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9,307
Demand-pull inflation
Demand-pull inflation occurs to arise when aggregate demand in an economy is more than aggregate supply. It involves inflation rising as real gross domestic product rises and unemployment falls, as the economy moves along the Phillips curve. This is commonly described as "too much money chasing too few goods". More accurately, it should be described as involving "too much money spent chasing too few goods", since only money that is spent on goods and services can cause inflation. This would not be expected to happen, unless the economy is already at a full employment level. It is the opposite of cost-push inflation. In Keynesian theory, increased employment results in increased aggregate demand (AD), which leads to further hiring by firms to increase output. Due to capacity constraints, this increase in output will eventually become so small that the price of the good will rise. At first, unemployment will go down, shifting AD1 to AD2, which increases demand (noted as "Y") by (Y2 − Y1). This increase in demand means more workers are needed, and then AD will be shifted from AD2 to AD3, but this time much less is produced than in the previous shift, but the price level has risen from P2 to P3, a much higher increase in price than in the previous shift. This increase in price is what causes inflation in an overheating economy. Demand-pull inflation is in contrast with cost-push inflation, when price and wage increases are being transmitted from one sector to another. However, these can be considered as different aspects of an overall inflationary process—demand-pull inflation explains how price inflation starts, and cost-push inflation demonstrates why inflation once begun is so difficult to stop.
[ { "paragraph_id": 0, "text": "Demand-pull inflation occurs to arise when aggregate demand in an economy is more than aggregate supply. It involves inflation rising as real gross domestic product rises and unemployment falls, as the economy moves along the Phillips curve. This is commonly described as \"too much money chasing too few goods\". More accurately, it should be described as involving \"too much money spent chasing too few goods\", since only money that is spent on goods and services can cause inflation. This would not be expected to happen, unless the economy is already at a full employment level. It is the opposite of cost-push inflation.", "title": "" }, { "paragraph_id": 1, "text": "In Keynesian theory, increased employment results in increased aggregate demand (AD), which leads to further hiring by firms to increase output. Due to capacity constraints, this increase in output will eventually become so small that the price of the good will rise. At first, unemployment will go down, shifting AD1 to AD2, which increases demand (noted as \"Y\") by (Y2 − Y1). This increase in demand means more workers are needed, and then AD will be shifted from AD2 to AD3, but this time much less is produced than in the previous shift, but the price level has risen from P2 to P3, a much higher increase in price than in the previous shift. This increase in price is what causes inflation in an overheating economy.", "title": "How it occurs" }, { "paragraph_id": 2, "text": "Demand-pull inflation is in contrast with cost-push inflation, when price and wage increases are being transmitted from one sector to another. However, these can be considered as different aspects of an overall inflationary process—demand-pull inflation explains how price inflation starts, and cost-push inflation demonstrates why inflation once begun is so difficult to stop.", "title": "How it occurs" } ]
Demand-pull inflation occurs to arise when aggregate demand in an economy is more than aggregate supply. It involves inflation rising as real gross domestic product rises and unemployment falls, as the economy moves along the Phillips curve. This is commonly described as "too much money chasing too few goods". More accurately, it should be described as involving "too much money spent chasing too few goods", since only money that is spent on goods and services can cause inflation. This would not be expected to happen, unless the economy is already at a full employment level. It is the opposite of cost-push inflation.
2023-02-25T04:35:17Z
[ "Template:Reflist", "Template:Cite journal", "Template:Cite web", "Template:Economics", "Template:Short description", "Template:Macroeconomics sidebar" ]
https://en.wikipedia.org/wiki/Demand-pull_inflation
9,308
Cost-push inflation
Cost-push inflation is a purported type of inflation caused by increases in the cost of important goods or services where no suitable alternative is available. As businesses face higher prices for underlying inputs, they are forced to increase prices of their outputs. It is contrasted with the theory of demand-pull inflation. Both accounts of inflation have at various times been put forward, with inconclusive evidence as to which explanation is superior. One example of cost-push inflation is the oil crisis of the 1970s, which some economists see as a major cause of the inflation experienced in the Western world in that decade. It is argued that this inflation resulted from increases in the cost of petroleum imposed by the member states of OPEC. Since petroleum is so important to industrialized economies, a large increase in its price can lead to the increase in the price of most products, raising the price level. Some economists argue that such a change in the price level can raise the inflation rate over longer periods, due to adaptive expectations and the price/wage spiral, so that a supply shock can have persistent effects. The existence of cost-push inflation is disputed. Dallas S. Batten described it as a myth, writing "Though the cost-push argument is appealing on the surface, neither economic theory nor empirical evidence indicates that businesses and labor can cause continually rising prices", and identifying the real cause as "increased aggregate demand resulting from increased money growth". Milton Friedman criticised the concept of cost-push inflation, writing "To each businessman separately it looks as if he has to raise prices because costs have gone up. But then, we must ask, 'Why did his costs go up? ... The answer is, because ... total demand all over was increasing." Friedman wrote, "the inflation arises from one and only one reason: an increase in a quantity of money."
[ { "paragraph_id": 0, "text": "Cost-push inflation is a purported type of inflation caused by increases in the cost of important goods or services where no suitable alternative is available. As businesses face higher prices for underlying inputs, they are forced to increase prices of their outputs. It is contrasted with the theory of demand-pull inflation. Both accounts of inflation have at various times been put forward, with inconclusive evidence as to which explanation is superior.", "title": "" }, { "paragraph_id": 1, "text": "One example of cost-push inflation is the oil crisis of the 1970s, which some economists see as a major cause of the inflation experienced in the Western world in that decade. It is argued that this inflation resulted from increases in the cost of petroleum imposed by the member states of OPEC. Since petroleum is so important to industrialized economies, a large increase in its price can lead to the increase in the price of most products, raising the price level. Some economists argue that such a change in the price level can raise the inflation rate over longer periods, due to adaptive expectations and the price/wage spiral, so that a supply shock can have persistent effects.", "title": "" }, { "paragraph_id": 2, "text": "The existence of cost-push inflation is disputed. Dallas S. Batten described it as a myth, writing \"Though the cost-push argument is appealing on the surface, neither economic theory nor empirical evidence indicates that businesses and labor can cause continually rising prices\", and identifying the real cause as \"increased aggregate demand resulting from increased money growth\".", "title": "" }, { "paragraph_id": 3, "text": "Milton Friedman criticised the concept of cost-push inflation, writing \"To each businessman separately it looks as if he has to raise prices because costs have gone up. But then, we must ask, 'Why did his costs go up? ... The answer is, because ... total demand all over was increasing.\" Friedman wrote, \"the inflation arises from one and only one reason: an increase in a quantity of money.\"", "title": "" } ]
Cost-push inflation is a purported type of inflation caused by increases in the cost of important goods or services where no suitable alternative is available. As businesses face higher prices for underlying inputs, they are forced to increase prices of their outputs. It is contrasted with the theory of demand-pull inflation. Both accounts of inflation have at various times been put forward, with inconclusive evidence as to which explanation is superior. One example of cost-push inflation is the oil crisis of the 1970s, which some economists see as a major cause of the inflation experienced in the Western world in that decade. It is argued that this inflation resulted from increases in the cost of petroleum imposed by the member states of OPEC. Since petroleum is so important to industrialized economies, a large increase in its price can lead to the increase in the price of most products, raising the price level. Some economists argue that such a change in the price level can raise the inflation rate over longer periods, due to adaptive expectations and the price/wage spiral, so that a supply shock can have persistent effects. The existence of cost-push inflation is disputed. Dallas S. Batten described it as a myth, writing "Though the cost-push argument is appealing on the surface, neither economic theory nor empirical evidence indicates that businesses and labor can cause continually rising prices", and identifying the real cause as "increased aggregate demand resulting from increased money growth". Milton Friedman criticised the concept of cost-push inflation, writing "To each businessman separately it looks as if he has to raise prices because costs have gone up. But then, we must ask, 'Why did his costs go up? ... The answer is, because ... total demand all over was increasing." Friedman wrote, "the inflation arises from one and only one reason: an increase in a quantity of money."
2002-01-17T00:46:49Z
2023-12-30T17:44:06Z
[ "Template:Macroeconomics sidebar", "Template:Cite journal", "Template:Cite web", "Template:Economics", "Template:Short description" ]
https://en.wikipedia.org/wiki/Cost-push_inflation
9,309
Extractor (mathematics)
An ( N , M , D , K , ϵ ) {\displaystyle (N,M,D,K,\epsilon )} -extractor is a bipartite graph with N {\displaystyle N} nodes on the left and M {\displaystyle M} nodes on the right such that each node on the left has D {\displaystyle D} neighbors (on the right), which has the added property that for any subset A {\displaystyle A} of the left vertices of size at least K {\displaystyle K} , the distribution on right vertices obtained by choosing a random node in A {\displaystyle A} and then following a random edge to get a node x on the right side is ϵ {\displaystyle \epsilon } -close to the uniform distribution in terms of total variation distance. A disperser is a related graph. An equivalent way to view an extractor is as a bivariate function in the natural way. With this view it turns out that the extractor property is equivalent to: for any source of randomness X {\displaystyle X} that gives n {\displaystyle n} bits with min-entropy log K {\displaystyle \log K} , the distribution E ( X , U D ) {\displaystyle E(X,U_{D})} is ϵ {\displaystyle \epsilon } -close to U M {\displaystyle U_{M}} , where U T {\displaystyle U_{T}} denotes the uniform distribution on [ T ] {\displaystyle [T]} . Extractors are interesting when they can be constructed with small K , D , ϵ {\displaystyle K,D,\epsilon } relative to N {\displaystyle N} and M {\displaystyle M} is as close to K D {\displaystyle KD} (the total randomness in the input sources) as possible. Extractor functions were originally researched as a way to extract randomness from weakly random sources. See randomness extractor. Using the probabilistic method it is easy to show that extractor graphs with really good parameters exist. The challenge is to find explicit or polynomial time computable examples of such graphs with good parameters. Algorithms that compute extractor (and disperser) graphs have found many applications in computer science.
[ { "paragraph_id": 0, "text": "An ( N , M , D , K , ϵ ) {\\displaystyle (N,M,D,K,\\epsilon )} -extractor is a bipartite graph with N {\\displaystyle N} nodes on the left and M {\\displaystyle M} nodes on the right such that each node on the left has D {\\displaystyle D} neighbors (on the right), which has the added property that for any subset A {\\displaystyle A} of the left vertices of size at least K {\\displaystyle K} , the distribution on right vertices obtained by choosing a random node in A {\\displaystyle A} and then following a random edge to get a node x on the right side is ϵ {\\displaystyle \\epsilon } -close to the uniform distribution in terms of total variation distance.", "title": "" }, { "paragraph_id": 1, "text": "A disperser is a related graph.", "title": "" }, { "paragraph_id": 2, "text": "An equivalent way to view an extractor is as a bivariate function", "title": "" }, { "paragraph_id": 3, "text": "in the natural way. With this view it turns out that the extractor property is equivalent to: for any source of randomness X {\\displaystyle X} that gives n {\\displaystyle n} bits with min-entropy log K {\\displaystyle \\log K} , the distribution E ( X , U D ) {\\displaystyle E(X,U_{D})} is ϵ {\\displaystyle \\epsilon } -close to U M {\\displaystyle U_{M}} , where U T {\\displaystyle U_{T}} denotes the uniform distribution on [ T ] {\\displaystyle [T]} .", "title": "" }, { "paragraph_id": 4, "text": "Extractors are interesting when they can be constructed with small K , D , ϵ {\\displaystyle K,D,\\epsilon } relative to N {\\displaystyle N} and M {\\displaystyle M} is as close to K D {\\displaystyle KD} (the total randomness in the input sources) as possible.", "title": "" }, { "paragraph_id": 5, "text": "Extractor functions were originally researched as a way to extract randomness from weakly random sources. See randomness extractor.", "title": "" }, { "paragraph_id": 6, "text": "Using the probabilistic method it is easy to show that extractor graphs with really good parameters exist. The challenge is to find explicit or polynomial time computable examples of such graphs with good parameters. Algorithms that compute extractor (and disperser) graphs have found many applications in computer science.", "title": "" } ]
An -extractor is a bipartite graph with N nodes on the left and M nodes on the right such that each node on the left has D neighbors, which has the added property that for any subset A of the left vertices of size at least K , the distribution on right vertices obtained by choosing a random node in A and then following a random edge to get a node x on the right side is ϵ -close to the uniform distribution in terms of total variation distance. A disperser is a related graph. An equivalent way to view an extractor is as a bivariate function in the natural way. With this view it turns out that the extractor property is equivalent to: for any source of randomness X that gives n bits with min-entropy log ⁡ K , the distribution E is ϵ -close to U M , where U T denotes the uniform distribution on [ T ] . Extractors are interesting when they can be constructed with small K , D , ϵ relative to N and M is as close to K D as possible. Extractor functions were originally researched as a way to extract randomness from weakly random sources. See randomness extractor. Using the probabilistic method it is easy to show that extractor graphs with really good parameters exist. The challenge is to find explicit or polynomial time computable examples of such graphs with good parameters. Algorithms that compute extractor graphs have found many applications in computer science.
2022-02-05T12:09:41Z
[ "Template:Short description" ]
https://en.wikipedia.org/wiki/Extractor_(mathematics)
9,310
Enterprise resource planning
Enterprise resource planning (ERP) is the integrated management of main business processes, often in real time and mediated by software and technology. ERP is usually referred to as a category of business management software—typically a suite of integrated applications—that an organization can use to collect, store, manage and interpret data from many business activities. ERP systems can be local-based or cloud-based. Cloud-based applications have grown in recent years due to the increased efficiencies arising from information being readily available from any location with Internet access. ERP provides an integrated and continuously updated view of core business processes using common databases maintained by a database management system. ERP systems track business resources—cash, raw materials, production capacity—and the status of business commitments: orders, purchase orders, and payroll. The applications that make up the system share data across various departments (manufacturing, purchasing, sales, accounting, etc.) that provide the data. ERP facilitates information flow between all business functions and manages connections to outside stakeholders. According to Gartner, the global ERP market size is estimated at $35 billion in 2021. Though early ERP systems focused on large enterprises, smaller enterprises increasingly use ERP systems. The ERP system integrates varied organizational systems and facilitates error-free transactions and production, thereby enhancing the organization's efficiency. However, developing an ERP system differs from traditional system development. ERP systems run on a variety of computer hardware and network configurations, typically using a database as an information repository. The Gartner Group first used the acronym ERP in the 1990s to include the capabilities of material requirements planning (MRP), and the later manufacturing resource planning (MRP II), as well as computer-integrated manufacturing. Without replacing these terms, ERP came to represent a larger whole that reflected the evolution of application integration beyond manufacturing. Not all ERP packages are developed from a manufacturing core; ERP vendors variously began assembling their packages with finance-and-accounting, maintenance, and human-resource components. By the mid-1990s ERP systems addressed all core enterprise functions. Governments and non–profit organizations also began to use ERP systems. An "ERP system selection methodology" is a formal process for selecting an enterprise resource planning (ERP) system. Existing methodologies include: Kuiper's funnel method, Dobrin's three-dimensional (3D) web-based decision support tool, and the Clarkston Potomac methodology. ERP systems experienced rapid growth in the 1990s. Because of the year 2000 problem many companies took the opportunity to replace their old systems with ERP. ERP systems initially focused on automating back office functions that did not directly affect customers and the public. Front office functions, such as customer relationship management (CRM), dealt directly with customers, or e-business systems such as e-commerce and e-government—or supplier relationship management (SRM) became integrated later, when the internet simplified communicating with external parties. "ERP II" was coined in 2000 in an article by Gartner Publications entitled ERP Is Dead—Long Live ERP II. It describes web–based software that provides real–time access to ERP systems to employees and partners (such as suppliers and customers). The ERP II role expands traditional ERP resource optimization and transaction processing. Rather than just manage buying, selling, etc.—ERP II leverages information in the resources under its management to help the enterprise collaborate with other enterprises. ERP II is more flexible than the first generation ERP. Rather than confine ERP system capabilities within the organization, it goes beyond the corporate walls to interact with other systems. Enterprise application suite is an alternate name for such systems. ERP II systems are typically used to enable collaborative initiatives such as supply chain management (SCM), customer relationship management (CRM) and business intelligence (BI) among business partner organizations through the use of various electronic business technologies. The large proportion of companies are pursuing a strong managerial targets in ERP system instead of acquire a ERP company. Developers now make more effort to integrate mobile devices with the ERP system. ERP vendors are extending ERP to these devices, along with other business applications, so that businesses don't have to rely on third-party applications. As an example, the e-commerce platform Shopify was able to make ERP tools from Microsoft and Oracle available on its app in October 2021. Technical stakes of modern ERP concern integration—hardware, applications, networking, supply chains. ERP now covers more functions and roles—including decision making, stakeholders' relationships, standardization, transparency, globalization, etc. ERP systems typically include the following characteristics: An ERP system covers the following common functional areas. In many ERP systems, these are called and grouped together as ERP modules: Government resource planning (GRP) is the equivalent of an ERP for the public sector and an integrated office automation system for government bodies. The software structure, modularization, core algorithms and main interfaces do not differ from other ERPs, and ERP software suppliers manage to adapt their systems to government agencies. Both system implementations, in private and public organizations, are adopted to improve productivity and overall business performance in organizations, but comparisons (private vs. public) of implementations shows that the main factors influencing ERP implementation success in the public sector are cultural. Most ERP systems incorporate best practices. This means the software reflects the vendor's interpretation of the most effective way to perform each business process. Systems vary in how conveniently the customer can modify these practices. Use of best practices eases compliance with requirements such as IFRS, Sarbanes-Oxley, or Basel II. They can also help comply with de facto industry standards, such as electronic funds transfer. This is because the procedure can be readily codified within the ERP software and replicated with confidence across multiple businesses that share that business requirement. ERP systems connect to real–time data and transaction data in a variety of ways. These systems are typically configured by systems integrators, who bring unique knowledge on process, equipment, and vendor solutions. Direct integration—ERP systems have connectivity (communications to plant floor equipment) as part of their product offering. This requires that the vendors offer specific support for the plant floor equipment their customers operate. Database integration—ERP systems connect to plant floor data sources through staging tables in a database. Plant floor systems deposit the necessary information into the database. The ERP system reads the information in the table. The benefit of staging is that ERP vendors do not need to master the complexities of equipment integration. Connectivity becomes the responsibility of the systems integrator. Enterprise appliance transaction modules (EATM)—These devices communicate directly with plant floor equipment and with the ERP system via methods supported by the ERP system. EATM can employ a staging table, web services, or system–specific program interfaces (APIs). An EATM offers the benefit of being an off–the–shelf solution. Custom–integration solutions—Many system integrators offer custom solutions. These systems tend to have the highest level of initial integration cost, and can have a higher long term maintenance and reliability costs. Long term costs can be minimized through careful system testing and thorough documentation. Custom–integrated solutions typically run on workstation or server-class computers. ERP's scope usually implies significant changes to staff work processes and practices. Generally, three types of services are available to help implement such changes: consulting, customization, and support. Implementation time depends on business size, number of modules, customization, the scope of process changes, and the readiness of the customer to take ownership for the project. Modular ERP systems can be implemented in stages. The typical project for a large enterprise takes about 14 months and requires around 150 consultants. Small projects can require months; multinational and other large implementations can take years. Customization can substantially increase implementation times. Besides that, information processing influences various business functions e.g. some large corporations like Walmart use a just in time inventory system. This reduces inventory storage and increases delivery efficiency, and requires up-to-date data. Before 2014, Walmart used a system called Inforem developed by IBM to manage replenishment. Implementing ERP typically requires changes in existing business processes. Poor understanding of needed process changes prior to starting implementation is a main reason for project failure. The difficulties could be related to the system, business process, infrastructure, training, or lack of motivation. It is therefore crucial that organizations thoroughly analyze processes before they deploy an ERP software. Analysis can identify opportunities for process modernization. It also enables an assessment of the alignment of current processes with those provided by the ERP system. Research indicates that risk of business process mismatch is decreased by: ERP implementation is considerably more difficult (and politically charged) in decentralized organizations, because they often have different processes, business rules, data semantics, authorization hierarchies, and decision centers. This may require migrating some business units before others, delaying implementation to work through the necessary changes for each unit, possibly reducing integration (e.g., linking via master data management) or customizing the system to meet specific needs. A potential disadvantage is that adopting "standard" processes can lead to a loss of competitive advantage. While this has happened, losses in one area are often offset by gains in other areas, increasing overall competitive advantage. Configuring an ERP system is largely a matter of balancing the way the organization wants the system to work, and the way the system is designed to work out of the box. ERP systems typically include many configurable settings that in effect modify system operations. For example, in the ServiceNow platform, business rules can be written requiring the signature of a business owner within 2 weeks of a newly completed risk assessment. The tool can be configured to automatically email notifications to the business owner, and transition the risk assessment to various stages in the process depending on the owner's responses or lack thereof. Two-tier ERP software and hardware lets companies run the equivalent of two ERP systems at once: one at the corporate level and one at the division or subsidiary level. For example, a manufacturing company could use an ERP system to manage across the organization using independent global or regional distribution, production or sales centers, and service providers to support the main company's customers. Each independent center (or) subsidiary may have its own business operations cycles, workflows, and business processes. Given the realities of globalization, enterprises continuously evaluate how to optimize their regional, divisional, and product or manufacturing strategies to support strategic goals and reduce time-to-market while increasing profitability and delivering value. With two-tier ERP, the regional distribution, production, or sales centers and service providers continue operating under their own business model—separate from the main company, using their own ERP systems. Since these smaller companies' processes and workflows are not tied to main company's processes and workflows, they can respond to local business requirements in multiple locations. Factors that affect enterprises' adoption of two-tier ERP systems include: ERP systems are theoretically based on industry best practices, and their makers intend that organizations deploy them "as is". ERP vendors do offer customers configuration options that let organizations incorporate their own business rules, but gaps in features often remain even after configuration is complete. ERP customers have several options to reconcile feature gaps, each with their own pros/cons. Technical solutions include rewriting part of the delivered software, writing a homegrown module to work within the ERP system, or interfacing to an external system. These three options constitute varying degrees of system customization—with the first being the most invasive and costly to maintain. Alternatively, there are non-technical options such as changing business practices or organizational policies to better match the delivered ERP feature set. Key differences between customization and configuration include: Advantages of customization include: Customization's disadvantages include that it may: ERP systems can be extended with third–party software, often via vendor-supplied interfaces. Extensions offer features such as: Data migration is the process of moving, copying, and restructuring data from an existing system to the ERP system. Migration is critical to implementation success and requires significant planning. Unfortunately, since migration is one of the final activities before the production phase, it often receives insufficient attention. The following steps can structure migration planning: Often, data migration is incomplete because some of the data in the existing system is either incompatible or not needed in the new system. As such, the existing system may need to be kept as an archived database to refer back to once the new ERP system is in place. The most fundamental advantage of ERP is that the integration of a myriad of business processes saves time and expense. Management can make decisions faster and with fewer errors. Data becomes visible across the organization. Tasks that benefit from this integration include: ERP systems centralize business data, which: Critical success factors are limited number of areas in which results, if satisfactory, will ensure the organization's successful competitive performance. The CSF method has helped organizations specify their own critical information needs. Achieving satisfactory results in the key areas of critical success factors can ensure competitive advantage leading to improved organizational performance and overcome the challenges faced by organizations. Critical success factors theoretical foundation was improved upon, verified, and validated by several researchers, which underscored the importance of CSFs and its application to ERP project implementations. The application of critical success factors can prevent organizations from making costly mistakes, and the effective usage of CSFs can ensure project success and reduce failures during project implementations. Some of the important critical success factors related to ERP projects are: Know your data, longer and more integrated testing, utilization of the right people, longer stabilization period (hyper-care), clear communication, early buy-in from business, have a Lean Agile program, less customization, ERP projects must be business-driven and not IT-driven. Research published in 2011 based on a survey of 225 manufacturers, retailers and distributors found "high" rates of interest and adoption of ERP systems and that very few businesses were "completely untouched" by the concept of an ERP system. 27% of the companies survey had a fully operational system, 12% were at that time rolling out a system and 26% had an existing ERP system which they were extending or upgrading. The term "postmodern ERP" was coined by Gartner in 2013, when it first appeared in the paper series "Predicts 2014". According to Gartner's definition of the postmodern ERP strategy, legacy, monolithic and highly customized ERP suites, in which all parts are heavily reliant on each other, should sooner or later be replaced by a mixture of both cloud-based and on-premises applications, which are more loosely coupled and can be easily exchanged if needed. The basic idea is that there should still be a core ERP solution that would cover most important business functions, while other functions will be covered by specialist software solutions that merely extend the core ERP. This concept is similar to the so-called best-of-breed approach to software execution, but it shouldn't be confused with it. While in both cases, applications that make up the whole are relatively loosely connected and quite easily interchangeable, in the case of the latter there is no ERP solution whatsoever. Instead, every business function is covered by a separate software solution. There is, however, no golden rule as to what business functions should be part of the core ERP, and what should be covered by supplementary solutions. According to Gartner, every company must define their own postmodern ERP strategy, based on company's internal and external needs, operations and processes. For example, a company may define that the core ERP solution should cover those business processes that must stay behind the firewall, and therefore, choose to leave their core ERP on-premises. At the same time, another company may decide to host the core ERP solution in the cloud and move only a few ERP modules as supplementary solutions to on-premises. The main benefits that companies will gain from implementing postmodern ERP strategy are speed and flexibility when reacting to unexpected changes in business processes or on the organizational level. With the majority of applications having a relatively loose connection, it is fairly easy to replace or upgrade them whenever necessary. In addition to that, following the examples above, companies can select and combine cloud-based and on-premises solutions that are most suited for their ERP needs. The downside of postmodern ERP is that it will most likely lead to an increased number of software vendors that companies will have to manage, as well as pose additional integration challenges for the central IT.
[ { "paragraph_id": 0, "text": "Enterprise resource planning (ERP) is the integrated management of main business processes, often in real time and mediated by software and technology. ERP is usually referred to as a category of business management software—typically a suite of integrated applications—that an organization can use to collect, store, manage and interpret data from many business activities. ERP systems can be local-based or cloud-based. Cloud-based applications have grown in recent years due to the increased efficiencies arising from information being readily available from any location with Internet access.", "title": "" }, { "paragraph_id": 1, "text": "ERP provides an integrated and continuously updated view of core business processes using common databases maintained by a database management system. ERP systems track business resources—cash, raw materials, production capacity—and the status of business commitments: orders, purchase orders, and payroll. The applications that make up the system share data across various departments (manufacturing, purchasing, sales, accounting, etc.) that provide the data. ERP facilitates information flow between all business functions and manages connections to outside stakeholders.", "title": "" }, { "paragraph_id": 2, "text": "According to Gartner, the global ERP market size is estimated at $35 billion in 2021. Though early ERP systems focused on large enterprises, smaller enterprises increasingly use ERP systems.", "title": "" }, { "paragraph_id": 3, "text": "The ERP system integrates varied organizational systems and facilitates error-free transactions and production, thereby enhancing the organization's efficiency. However, developing an ERP system differs from traditional system development. ERP systems run on a variety of computer hardware and network configurations, typically using a database as an information repository.", "title": "" }, { "paragraph_id": 4, "text": "The Gartner Group first used the acronym ERP in the 1990s to include the capabilities of material requirements planning (MRP), and the later manufacturing resource planning (MRP II), as well as computer-integrated manufacturing. Without replacing these terms, ERP came to represent a larger whole that reflected the evolution of application integration beyond manufacturing.", "title": "Origin" }, { "paragraph_id": 5, "text": "Not all ERP packages are developed from a manufacturing core; ERP vendors variously began assembling their packages with finance-and-accounting, maintenance, and human-resource components. By the mid-1990s ERP systems addressed all core enterprise functions. Governments and non–profit organizations also began to use ERP systems. An \"ERP system selection methodology\" is a formal process for selecting an enterprise resource planning (ERP) system. Existing methodologies include: Kuiper's funnel method, Dobrin's three-dimensional (3D) web-based decision support tool, and the Clarkston Potomac methodology.", "title": "Origin" }, { "paragraph_id": 6, "text": "ERP systems experienced rapid growth in the 1990s. Because of the year 2000 problem many companies took the opportunity to replace their old systems with ERP.", "title": "Expansion" }, { "paragraph_id": 7, "text": "ERP systems initially focused on automating back office functions that did not directly affect customers and the public. Front office functions, such as customer relationship management (CRM), dealt directly with customers, or e-business systems such as e-commerce and e-government—or supplier relationship management (SRM) became integrated later, when the internet simplified communicating with external parties.", "title": "Expansion" }, { "paragraph_id": 8, "text": "\"ERP II\" was coined in 2000 in an article by Gartner Publications entitled ERP Is Dead—Long Live ERP II. It describes web–based software that provides real–time access to ERP systems to employees and partners (such as suppliers and customers). The ERP II role expands traditional ERP resource optimization and transaction processing. Rather than just manage buying, selling, etc.—ERP II leverages information in the resources under its management to help the enterprise collaborate with other enterprises. ERP II is more flexible than the first generation ERP. Rather than confine ERP system capabilities within the organization, it goes beyond the corporate walls to interact with other systems. Enterprise application suite is an alternate name for such systems. ERP II systems are typically used to enable collaborative initiatives such as supply chain management (SCM), customer relationship management (CRM) and business intelligence (BI) among business partner organizations through the use of various electronic business technologies. The large proportion of companies are pursuing a strong managerial targets in ERP system instead of acquire a ERP company.", "title": "Expansion" }, { "paragraph_id": 9, "text": "Developers now make more effort to integrate mobile devices with the ERP system. ERP vendors are extending ERP to these devices, along with other business applications, so that businesses don't have to rely on third-party applications. As an example, the e-commerce platform Shopify was able to make ERP tools from Microsoft and Oracle available on its app in October 2021.", "title": "Expansion" }, { "paragraph_id": 10, "text": "Technical stakes of modern ERP concern integration—hardware, applications, networking, supply chains. ERP now covers more functions and roles—including decision making, stakeholders' relationships, standardization, transparency, globalization, etc.", "title": "Expansion" }, { "paragraph_id": 11, "text": "ERP systems typically include the following characteristics:", "title": "Characteristics" }, { "paragraph_id": 12, "text": "An ERP system covers the following common functional areas. In many ERP systems, these are called and grouped together as ERP modules:", "title": "Functional areas" }, { "paragraph_id": 13, "text": "Government resource planning (GRP) is the equivalent of an ERP for the public sector and an integrated office automation system for government bodies. The software structure, modularization, core algorithms and main interfaces do not differ from other ERPs, and ERP software suppliers manage to adapt their systems to government agencies.", "title": "Functional areas" }, { "paragraph_id": 14, "text": "Both system implementations, in private and public organizations, are adopted to improve productivity and overall business performance in organizations, but comparisons (private vs. public) of implementations shows that the main factors influencing ERP implementation success in the public sector are cultural.", "title": "Functional areas" }, { "paragraph_id": 15, "text": "Most ERP systems incorporate best practices. This means the software reflects the vendor's interpretation of the most effective way to perform each business process. Systems vary in how conveniently the customer can modify these practices.", "title": "Best practices" }, { "paragraph_id": 16, "text": "Use of best practices eases compliance with requirements such as IFRS, Sarbanes-Oxley, or Basel II. They can also help comply with de facto industry standards, such as electronic funds transfer. This is because the procedure can be readily codified within the ERP software and replicated with confidence across multiple businesses that share that business requirement.", "title": "Best practices" }, { "paragraph_id": 17, "text": "ERP systems connect to real–time data and transaction data in a variety of ways. These systems are typically configured by systems integrators, who bring unique knowledge on process, equipment, and vendor solutions.", "title": "Connectivity to plant floor information" }, { "paragraph_id": 18, "text": "Direct integration—ERP systems have connectivity (communications to plant floor equipment) as part of their product offering. This requires that the vendors offer specific support for the plant floor equipment their customers operate.", "title": "Connectivity to plant floor information" }, { "paragraph_id": 19, "text": "Database integration—ERP systems connect to plant floor data sources through staging tables in a database. Plant floor systems deposit the necessary information into the database. The ERP system reads the information in the table. The benefit of staging is that ERP vendors do not need to master the complexities of equipment integration. Connectivity becomes the responsibility of the systems integrator.", "title": "Connectivity to plant floor information" }, { "paragraph_id": 20, "text": "Enterprise appliance transaction modules (EATM)—These devices communicate directly with plant floor equipment and with the ERP system via methods supported by the ERP system. EATM can employ a staging table, web services, or system–specific program interfaces (APIs). An EATM offers the benefit of being an off–the–shelf solution.", "title": "Connectivity to plant floor information" }, { "paragraph_id": 21, "text": "Custom–integration solutions—Many system integrators offer custom solutions. These systems tend to have the highest level of initial integration cost, and can have a higher long term maintenance and reliability costs. Long term costs can be minimized through careful system testing and thorough documentation. Custom–integrated solutions typically run on workstation or server-class computers.", "title": "Connectivity to plant floor information" }, { "paragraph_id": 22, "text": "ERP's scope usually implies significant changes to staff work processes and practices. Generally, three types of services are available to help implement such changes: consulting, customization, and support. Implementation time depends on business size, number of modules, customization, the scope of process changes, and the readiness of the customer to take ownership for the project. Modular ERP systems can be implemented in stages. The typical project for a large enterprise takes about 14 months and requires around 150 consultants. Small projects can require months; multinational and other large implementations can take years. Customization can substantially increase implementation times.", "title": "Implementation" }, { "paragraph_id": 23, "text": "Besides that, information processing influences various business functions e.g. some large corporations like Walmart use a just in time inventory system. This reduces inventory storage and increases delivery efficiency, and requires up-to-date data. Before 2014, Walmart used a system called Inforem developed by IBM to manage replenishment.", "title": "Implementation" }, { "paragraph_id": 24, "text": "Implementing ERP typically requires changes in existing business processes. Poor understanding of needed process changes prior to starting implementation is a main reason for project failure. The difficulties could be related to the system, business process, infrastructure, training, or lack of motivation.", "title": "Implementation" }, { "paragraph_id": 25, "text": "It is therefore crucial that organizations thoroughly analyze processes before they deploy an ERP software. Analysis can identify opportunities for process modernization. It also enables an assessment of the alignment of current processes with those provided by the ERP system. Research indicates that risk of business process mismatch is decreased by:", "title": "Implementation" }, { "paragraph_id": 26, "text": "ERP implementation is considerably more difficult (and politically charged) in decentralized organizations, because they often have different processes, business rules, data semantics, authorization hierarchies, and decision centers. This may require migrating some business units before others, delaying implementation to work through the necessary changes for each unit, possibly reducing integration (e.g., linking via master data management) or customizing the system to meet specific needs.", "title": "Implementation" }, { "paragraph_id": 27, "text": "A potential disadvantage is that adopting \"standard\" processes can lead to a loss of competitive advantage. While this has happened, losses in one area are often offset by gains in other areas, increasing overall competitive advantage.", "title": "Implementation" }, { "paragraph_id": 28, "text": "Configuring an ERP system is largely a matter of balancing the way the organization wants the system to work, and the way the system is designed to work out of the box. ERP systems typically include many configurable settings that in effect modify system operations. For example, in the ServiceNow platform, business rules can be written requiring the signature of a business owner within 2 weeks of a newly completed risk assessment. The tool can be configured to automatically email notifications to the business owner, and transition the risk assessment to various stages in the process depending on the owner's responses or lack thereof.", "title": "Implementation" }, { "paragraph_id": 29, "text": "Two-tier ERP software and hardware lets companies run the equivalent of two ERP systems at once: one at the corporate level and one at the division or subsidiary level. For example, a manufacturing company could use an ERP system to manage across the organization using independent global or regional distribution, production or sales centers, and service providers to support the main company's customers. Each independent center (or) subsidiary may have its own business operations cycles, workflows, and business processes.", "title": "Implementation" }, { "paragraph_id": 30, "text": "Given the realities of globalization, enterprises continuously evaluate how to optimize their regional, divisional, and product or manufacturing strategies to support strategic goals and reduce time-to-market while increasing profitability and delivering value. With two-tier ERP, the regional distribution, production, or sales centers and service providers continue operating under their own business model—separate from the main company, using their own ERP systems. Since these smaller companies' processes and workflows are not tied to main company's processes and workflows, they can respond to local business requirements in multiple locations.", "title": "Implementation" }, { "paragraph_id": 31, "text": "Factors that affect enterprises' adoption of two-tier ERP systems include:", "title": "Implementation" }, { "paragraph_id": 32, "text": "ERP systems are theoretically based on industry best practices, and their makers intend that organizations deploy them \"as is\". ERP vendors do offer customers configuration options that let organizations incorporate their own business rules, but gaps in features often remain even after configuration is complete.", "title": "Implementation" }, { "paragraph_id": 33, "text": "ERP customers have several options to reconcile feature gaps, each with their own pros/cons. Technical solutions include rewriting part of the delivered software, writing a homegrown module to work within the ERP system, or interfacing to an external system. These three options constitute varying degrees of system customization—with the first being the most invasive and costly to maintain. Alternatively, there are non-technical options such as changing business practices or organizational policies to better match the delivered ERP feature set. Key differences between customization and configuration include:", "title": "Implementation" }, { "paragraph_id": 34, "text": "Advantages of customization include:", "title": "Implementation" }, { "paragraph_id": 35, "text": "Customization's disadvantages include that it may:", "title": "Implementation" }, { "paragraph_id": 36, "text": "ERP systems can be extended with third–party software, often via vendor-supplied interfaces. Extensions offer features such as:", "title": "Implementation" }, { "paragraph_id": 37, "text": "Data migration is the process of moving, copying, and restructuring data from an existing system to the ERP system. Migration is critical to implementation success and requires significant planning. Unfortunately, since migration is one of the final activities before the production phase, it often receives insufficient attention. The following steps can structure migration planning:", "title": "Implementation" }, { "paragraph_id": 38, "text": "Often, data migration is incomplete because some of the data in the existing system is either incompatible or not needed in the new system. As such, the existing system may need to be kept as an archived database to refer back to once the new ERP system is in place.", "title": "Implementation" }, { "paragraph_id": 39, "text": "The most fundamental advantage of ERP is that the integration of a myriad of business processes saves time and expense. Management can make decisions faster and with fewer errors. Data becomes visible across the organization. Tasks that benefit from this integration include:", "title": "Implementation" }, { "paragraph_id": 40, "text": "ERP systems centralize business data, which:", "title": "Implementation" }, { "paragraph_id": 41, "text": "Critical success factors are limited number of areas in which results, if satisfactory, will ensure the organization's successful competitive performance. The CSF method has helped organizations specify their own critical information needs. Achieving satisfactory results in the key areas of critical success factors can ensure competitive advantage leading to improved organizational performance and overcome the challenges faced by organizations. Critical success factors theoretical foundation was improved upon, verified, and validated by several researchers, which underscored the importance of CSFs and its application to ERP project implementations.", "title": "Implementation" }, { "paragraph_id": 42, "text": "The application of critical success factors can prevent organizations from making costly mistakes, and the effective usage of CSFs can ensure project success and reduce failures during project implementations. Some of the important critical success factors related to ERP projects are: Know your data, longer and more integrated testing, utilization of the right people, longer stabilization period (hyper-care), clear communication, early buy-in from business, have a Lean Agile program, less customization, ERP projects must be business-driven and not IT-driven.", "title": "Implementation" }, { "paragraph_id": 43, "text": "Research published in 2011 based on a survey of 225 manufacturers, retailers and distributors found \"high\" rates of interest and adoption of ERP systems and that very few businesses were \"completely untouched\" by the concept of an ERP system. 27% of the companies survey had a fully operational system, 12% were at that time rolling out a system and 26% had an existing ERP system which they were extending or upgrading.", "title": "Implementation" }, { "paragraph_id": 44, "text": "The term \"postmodern ERP\" was coined by Gartner in 2013, when it first appeared in the paper series \"Predicts 2014\". According to Gartner's definition of the postmodern ERP strategy, legacy, monolithic and highly customized ERP suites, in which all parts are heavily reliant on each other, should sooner or later be replaced by a mixture of both cloud-based and on-premises applications, which are more loosely coupled and can be easily exchanged if needed.", "title": "Postmodern ERP" }, { "paragraph_id": 45, "text": "The basic idea is that there should still be a core ERP solution that would cover most important business functions, while other functions will be covered by specialist software solutions that merely extend the core ERP. This concept is similar to the so-called best-of-breed approach to software execution, but it shouldn't be confused with it. While in both cases, applications that make up the whole are relatively loosely connected and quite easily interchangeable, in the case of the latter there is no ERP solution whatsoever. Instead, every business function is covered by a separate software solution.", "title": "Postmodern ERP" }, { "paragraph_id": 46, "text": "There is, however, no golden rule as to what business functions should be part of the core ERP, and what should be covered by supplementary solutions. According to Gartner, every company must define their own postmodern ERP strategy, based on company's internal and external needs, operations and processes. For example, a company may define that the core ERP solution should cover those business processes that must stay behind the firewall, and therefore, choose to leave their core ERP on-premises. At the same time, another company may decide to host the core ERP solution in the cloud and move only a few ERP modules as supplementary solutions to on-premises.", "title": "Postmodern ERP" }, { "paragraph_id": 47, "text": "The main benefits that companies will gain from implementing postmodern ERP strategy are speed and flexibility when reacting to unexpected changes in business processes or on the organizational level. With the majority of applications having a relatively loose connection, it is fairly easy to replace or upgrade them whenever necessary. In addition to that, following the examples above, companies can select and combine cloud-based and on-premises solutions that are most suited for their ERP needs. The downside of postmodern ERP is that it will most likely lead to an increased number of software vendors that companies will have to manage, as well as pose additional integration challenges for the central IT.", "title": "Postmodern ERP" } ]
Enterprise resource planning (ERP) is the integrated management of main business processes, often in real time and mediated by software and technology. ERP is usually referred to as a category of business management software—typically a suite of integrated applications—that an organization can use to collect, store, manage and interpret data from many business activities. ERP systems can be local-based or cloud-based. Cloud-based applications have grown in recent years due to the increased efficiencies arising from information being readily available from any location with Internet access. ERP provides an integrated and continuously updated view of core business processes using common databases maintained by a database management system. ERP systems track business resources—cash, raw materials, production capacity—and the status of business commitments: orders, purchase orders, and payroll. The applications that make up the system share data across various departments that provide the data. ERP facilitates information flow between all business functions and manages connections to outside stakeholders. According to Gartner, the global ERP market size is estimated at $35 billion in 2021. Though early ERP systems focused on large enterprises, smaller enterprises increasingly use ERP systems. The ERP system integrates varied organizational systems and facilitates error-free transactions and production, thereby enhancing the organization's efficiency. However, developing an ERP system differs from traditional system development. ERP systems run on a variety of computer hardware and network configurations, typically using a database as an information repository.
2001-04-06T15:58:12Z
2023-12-29T13:30:04Z
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https://en.wikipedia.org/wiki/Enterprise_resource_planning
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Endocrinology
Endocrinology (from endocrine + -ology) is a branch of biology and medicine dealing with the endocrine system, its diseases, and its specific secretions known as hormones. It is also concerned with the integration of developmental events proliferation, growth, and differentiation, and the psychological or behavioral activities of metabolism, growth and development, tissue function, sleep, digestion, respiration, excretion, mood, stress, lactation, movement, reproduction, and sensory perception caused by hormones. Specializations include behavioral endocrinology and comparative endocrinology. The endocrine system consists of several glands, all in different parts of the body, that secrete hormones directly into the blood rather than into a duct system. Therefore, endocrine glands are regarded as ductless glands. Hormones have many different functions and modes of action; one hormone may have several effects on different target organs, and, conversely, one target organ may be affected by more than one hormone. Endocrinology is the study of the endocrine system in the human body. This is a system of glands which secrete hormones. Hormones are chemicals that affect the actions of different organ systems in the body. Examples include thyroid hormone, growth hormone, and insulin. The endocrine system involves a number of feedback mechanisms, so that often one hormone (such as thyroid stimulating hormone) will control the action or release of another secondary hormone (such as thyroid hormone). If there is too much of the secondary hormone, it may provide negative feedback to the primary hormone, maintaining homeostasis. In the original 1902 definition by Bayliss and Starling (see below), they specified that, to be classified as a hormone, a chemical must be produced by an organ, be released (in small amounts) into the blood, and be transported by the blood to a distant organ to exert its specific function. This definition holds for most "classical" hormones, but there are also paracrine mechanisms (chemical communication between cells within a tissue or organ), autocrine signals (a chemical that acts on the same cell), and intracrine signals (a chemical that acts within the same cell). A neuroendocrine signal is a "classical" hormone that is released into the blood by a neurosecretory neuron (see article on neuroendocrinology). Griffin and Ojeda identify three different classes of hormones based on their chemical composition: Amines, such as norepinephrine, epinephrine, and dopamine (catecholamines), are derived from single amino acids, in this case tyrosine. Thyroid hormones such as 3,5,3’-triiodothyronine (T3) and 3,5,3’,5’-tetraiodothyronine (thyroxine, T4) make up a subset of this class because they derive from the combination of two iodinated tyrosine amino acid residues. Peptide hormones and protein hormones consist of three (in the case of thyrotropin-releasing hormone) to more than 200 (in the case of follicle-stimulating hormone) amino acid residues and can have a molecular mass as large as 31,000 grams per mole. All hormones secreted by the pituitary gland are peptide hormones, as are leptin from adipocytes, ghrelin from the stomach, and insulin from the pancreas. Steroid hormones are converted from their parent compound, cholesterol. Mammalian steroid hormones can be grouped into five groups by the receptors to which they bind: glucocorticoids, mineralocorticoids, androgens, estrogens, and progestogens. Some forms of vitamin D, such as calcitriol, are steroid-like and bind to homologous receptors, but lack the characteristic fused ring structure of true steroids. Although every organ system secretes and responds to hormones (including the brain, lungs, heart, intestine, skin, and the kidneys), the clinical specialty of endocrinology focuses primarily on the endocrine organs, meaning the organs whose primary function is hormone secretion. These organs include the pituitary, thyroid, adrenals, ovaries, testes, and pancreas. An endocrinologist is a physician who specializes in treating disorders of the endocrine system, such as diabetes, hyperthyroidism, and many others (see list of diseases). The medical specialty of endocrinology involves the diagnostic evaluation of a wide variety of symptoms and variations and the long-term management of disorders of deficiency or excess of one or more hormones. The diagnosis and treatment of endocrine diseases are guided by laboratory tests to a greater extent than for most specialties. Many diseases are investigated through excitation/stimulation or inhibition/suppression testing. This might involve injection with a stimulating agent to test the function of an endocrine organ. Blood is then sampled to assess the changes of the relevant hormones or metabolites. An endocrinologist needs extensive knowledge of clinical chemistry and biochemistry to understand the uses and limitations of the investigations. A second important aspect of the practice of endocrinology is distinguishing human variation from disease. Atypical patterns of physical development and abnormal test results must be assessed as indicative of disease or not. Diagnostic imaging of endocrine organs may reveal incidental findings called incidentalomas, which may or may not represent disease. Endocrinology involves caring for the person as well as the disease. Most endocrine disorders are chronic diseases that need lifelong care. Some of the most common endocrine diseases include diabetes mellitus, hypothyroidism and the metabolic syndrome. Care of diabetes, obesity and other chronic diseases necessitates understanding the patient at the personal and social level as well as the molecular, and the physician–patient relationship can be an important therapeutic process. Apart from treating patients, many endocrinologists are involved in clinical science and medical research, teaching, and hospital management. Endocrinologists are specialists of internal medicine or pediatrics. Reproductive endocrinologists deal primarily with problems of fertility and menstrual function—often training first in obstetrics. Most qualify as an internist, pediatrician, or gynecologist for a few years before specializing, depending on the local training system. In the U.S. and Canada, training for board certification in internal medicine, pediatrics, or gynecology after medical school is called residency. Further formal training to subspecialize in adult, pediatric, or reproductive endocrinology is called a fellowship. Typical training for a North American endocrinologist involves 4 years of college, 4 years of medical school, 3 years of residency, and 2 years of fellowship. In the US, adult endocrinologists are board certified by the American Board of Internal Medicine (ABIM) or the American Osteopathic Board of Internal Medicine (AOBIM) in Endocrinology, Diabetes and Metabolism. Endocrinology also involves the study of the diseases of the endocrine system. These diseases may relate to too little or too much secretion of a hormone, too little or too much action of a hormone, or problems with receiving the hormone. Because endocrinology encompasses so many conditions and diseases, there are many organizations that provide education to patients and the public. The Hormone Foundation is the public education affiliate of The Endocrine Society and provides information on all endocrine-related conditions. Other educational organizations that focus on one or more endocrine-related conditions include the American Diabetes Association, Human Growth Foundation, American Menopause Foundation, Inc., and Thyroid Foundation of America. In North America the principal professional organizations of endocrinologists include The Endocrine Society, the American Association of Clinical Endocrinologists, the American Diabetes Association, the Lawson Wilkins Pediatric Endocrine Society, and the American Thyroid Association. In Europe, the European Society of Endocrinology (ESE) and the European Society for Paediatric Endocrinology (ESPE) are the main organisations representing professionals in the fields of adult and paediatric endocrinology, respectively. In the United Kingdom, the Society for Endocrinology and the British Society for Paediatric Endocrinology and Diabetes are the main professional organisations. The European Society for Paediatric Endocrinology is the largest international professional association dedicated solely to paediatric endocrinology. There are numerous similar associations around the world. The earliest study of endocrinology began in China. The Chinese were isolating sex and pituitary hormones from human urine and using them for medicinal purposes by 200 BC. They used many complex methods, such as sublimation of steroid hormones. Another method specified by Chinese texts—the earliest dating to 1110—specified the use of saponin (from the beans of Gleditsia sinensis) to extract hormones, but gypsum (containing calcium sulfate) was also known to have been used. Although most of the relevant tissues and endocrine glands had been identified by early anatomists, a more humoral approach to understanding biological function and disease was favoured by the ancient Greek and Roman thinkers such as Aristotle, Hippocrates, Lucretius, Celsus, and Galen, according to Freeman et al., and these theories held sway until the advent of germ theory, physiology, and organ basis of pathology in the 19th century. In 1849, Arnold Berthold noted that castrated cockerels did not develop combs and wattles or exhibit overtly male behaviour. He found that replacement of testes back into the abdominal cavity of the same bird or another castrated bird resulted in normal behavioural and morphological development, and he concluded (erroneously) that the testes secreted a substance that "conditioned" the blood that, in turn, acted on the body of the cockerel. In fact, one of two other things could have been true: that the testes modified or activated a constituent of the blood or that the testes removed an inhibitory factor from the blood. It was not proven that the testes released a substance that engenders male characteristics until it was shown that the extract of testes could replace their function in castrated animals. Pure, crystalline testosterone was isolated in 1935. Graves' disease was named after Irish doctor Robert James Graves, who described a case of goiter with exophthalmos in 1835. The German Karl Adolph von Basedow also independently reported the same constellation of symptoms in 1840, while earlier reports of the disease were also published by the Italians Giuseppe Flajani and Antonio Giuseppe Testa, in 1802 and 1810 respectively, and by the English physician Caleb Hillier Parry (a friend of Edward Jenner) in the late 18th century. Thomas Addison was first to describe Addison's disease in 1849. In 1902 William Bayliss and Ernest Starling performed an experiment in which they observed that acid instilled into the duodenum caused the pancreas to begin secretion, even after they had removed all nervous connections between the two. The same response could be produced by injecting extract of jejunum mucosa into the jugular vein, showing that some factor in the mucosa was responsible. They named this substance "secretin" and coined the term hormone for chemicals that act in this way. Joseph von Mering and Oskar Minkowski made the observation in 1889 that removing the pancreas surgically led to an increase in blood sugar, followed by a coma and eventual death—symptoms of diabetes mellitus. In 1922, Banting and Best realized that homogenizing the pancreas and injecting the derived extract reversed this condition. Neurohormones were first identified by Otto Loewi in 1921. He incubated a frog's heart (innervated with its vagus nerve attached) in a saline bath, and left in the solution for some time. The solution was then used to bathe a non-innervated second heart. If the vagus nerve on the first heart was stimulated, negative inotropic (beat amplitude) and chronotropic (beat rate) activity were seen in both hearts. This did not occur in either heart if the vagus nerve was not stimulated. The vagus nerve was adding something to the saline solution. The effect could be blocked using atropine, a known inhibitor to heart vagal nerve stimulation. Clearly, something was being secreted by the vagus nerve and affecting the heart. The "vagusstuff" (as Loewi called it) causing the myotropic (muscle enhancing) effects was later identified to be acetylcholine and norepinephrine. Loewi won the Nobel Prize for his discovery. Shashank R. Joshi Recent work in endocrinology focuses on the molecular mechanisms responsible for triggering the effects of hormones. The first example of such work being done was in 1962 by Earl Sutherland. Sutherland investigated whether hormones enter cells to evoke action, or stayed outside of cells. He studied norepinephrine, which acts on the liver to convert glycogen into glucose via the activation of the phosphorylase enzyme. He homogenized the liver into a membrane fraction and soluble fraction (phosphorylase is soluble), added norepinephrine to the membrane fraction, extracted its soluble products, and added them to the first soluble fraction. Phosphorylase activated, indicating that norepinephrine's target receptor was on the cell membrane, not located intracellularly. He later identified the compound as cyclic AMP (cAMP) and with his discovery created the concept of second-messenger-mediated pathways. He, like Loewi, won the Nobel Prize for his groundbreaking work in endocrinology.
[ { "paragraph_id": 0, "text": "Endocrinology (from endocrine + -ology) is a branch of biology and medicine dealing with the endocrine system, its diseases, and its specific secretions known as hormones. It is also concerned with the integration of developmental events proliferation, growth, and differentiation, and the psychological or behavioral activities of metabolism, growth and development, tissue function, sleep, digestion, respiration, excretion, mood, stress, lactation, movement, reproduction, and sensory perception caused by hormones. Specializations include behavioral endocrinology and comparative endocrinology.", "title": "" }, { "paragraph_id": 1, "text": "The endocrine system consists of several glands, all in different parts of the body, that secrete hormones directly into the blood rather than into a duct system. Therefore, endocrine glands are regarded as ductless glands. Hormones have many different functions and modes of action; one hormone may have several effects on different target organs, and, conversely, one target organ may be affected by more than one hormone.", "title": "" }, { "paragraph_id": 2, "text": "Endocrinology is the study of the endocrine system in the human body. This is a system of glands which secrete hormones. Hormones are chemicals that affect the actions of different organ systems in the body. Examples include thyroid hormone, growth hormone, and insulin. The endocrine system involves a number of feedback mechanisms, so that often one hormone (such as thyroid stimulating hormone) will control the action or release of another secondary hormone (such as thyroid hormone). If there is too much of the secondary hormone, it may provide negative feedback to the primary hormone, maintaining homeostasis.", "title": "The endocrine system" }, { "paragraph_id": 3, "text": "In the original 1902 definition by Bayliss and Starling (see below), they specified that, to be classified as a hormone, a chemical must be produced by an organ, be released (in small amounts) into the blood, and be transported by the blood to a distant organ to exert its specific function. This definition holds for most \"classical\" hormones, but there are also paracrine mechanisms (chemical communication between cells within a tissue or organ), autocrine signals (a chemical that acts on the same cell), and intracrine signals (a chemical that acts within the same cell). A neuroendocrine signal is a \"classical\" hormone that is released into the blood by a neurosecretory neuron (see article on neuroendocrinology).", "title": "The endocrine system" }, { "paragraph_id": 4, "text": "Griffin and Ojeda identify three different classes of hormones based on their chemical composition:", "title": "The endocrine system" }, { "paragraph_id": 5, "text": "Amines, such as norepinephrine, epinephrine, and dopamine (catecholamines), are derived from single amino acids, in this case tyrosine. Thyroid hormones such as 3,5,3’-triiodothyronine (T3) and 3,5,3’,5’-tetraiodothyronine (thyroxine, T4) make up a subset of this class because they derive from the combination of two iodinated tyrosine amino acid residues.", "title": "The endocrine system" }, { "paragraph_id": 6, "text": "Peptide hormones and protein hormones consist of three (in the case of thyrotropin-releasing hormone) to more than 200 (in the case of follicle-stimulating hormone) amino acid residues and can have a molecular mass as large as 31,000 grams per mole. All hormones secreted by the pituitary gland are peptide hormones, as are leptin from adipocytes, ghrelin from the stomach, and insulin from the pancreas.", "title": "The endocrine system" }, { "paragraph_id": 7, "text": "Steroid hormones are converted from their parent compound, cholesterol. Mammalian steroid hormones can be grouped into five groups by the receptors to which they bind: glucocorticoids, mineralocorticoids, androgens, estrogens, and progestogens. Some forms of vitamin D, such as calcitriol, are steroid-like and bind to homologous receptors, but lack the characteristic fused ring structure of true steroids.", "title": "The endocrine system" }, { "paragraph_id": 8, "text": "Although every organ system secretes and responds to hormones (including the brain, lungs, heart, intestine, skin, and the kidneys), the clinical specialty of endocrinology focuses primarily on the endocrine organs, meaning the organs whose primary function is hormone secretion. These organs include the pituitary, thyroid, adrenals, ovaries, testes, and pancreas.", "title": "As a profession" }, { "paragraph_id": 9, "text": "An endocrinologist is a physician who specializes in treating disorders of the endocrine system, such as diabetes, hyperthyroidism, and many others (see list of diseases).", "title": "As a profession" }, { "paragraph_id": 10, "text": "The medical specialty of endocrinology involves the diagnostic evaluation of a wide variety of symptoms and variations and the long-term management of disorders of deficiency or excess of one or more hormones.", "title": "As a profession" }, { "paragraph_id": 11, "text": "The diagnosis and treatment of endocrine diseases are guided by laboratory tests to a greater extent than for most specialties. Many diseases are investigated through excitation/stimulation or inhibition/suppression testing. This might involve injection with a stimulating agent to test the function of an endocrine organ. Blood is then sampled to assess the changes of the relevant hormones or metabolites. An endocrinologist needs extensive knowledge of clinical chemistry and biochemistry to understand the uses and limitations of the investigations.", "title": "As a profession" }, { "paragraph_id": 12, "text": "A second important aspect of the practice of endocrinology is distinguishing human variation from disease. Atypical patterns of physical development and abnormal test results must be assessed as indicative of disease or not. Diagnostic imaging of endocrine organs may reveal incidental findings called incidentalomas, which may or may not represent disease.", "title": "As a profession" }, { "paragraph_id": 13, "text": "Endocrinology involves caring for the person as well as the disease. Most endocrine disorders are chronic diseases that need lifelong care. Some of the most common endocrine diseases include diabetes mellitus, hypothyroidism and the metabolic syndrome. Care of diabetes, obesity and other chronic diseases necessitates understanding the patient at the personal and social level as well as the molecular, and the physician–patient relationship can be an important therapeutic process.", "title": "As a profession" }, { "paragraph_id": 14, "text": "Apart from treating patients, many endocrinologists are involved in clinical science and medical research, teaching, and hospital management.", "title": "As a profession" }, { "paragraph_id": 15, "text": "Endocrinologists are specialists of internal medicine or pediatrics. Reproductive endocrinologists deal primarily with problems of fertility and menstrual function—often training first in obstetrics. Most qualify as an internist, pediatrician, or gynecologist for a few years before specializing, depending on the local training system. In the U.S. and Canada, training for board certification in internal medicine, pediatrics, or gynecology after medical school is called residency. Further formal training to subspecialize in adult, pediatric, or reproductive endocrinology is called a fellowship. Typical training for a North American endocrinologist involves 4 years of college, 4 years of medical school, 3 years of residency, and 2 years of fellowship. In the US, adult endocrinologists are board certified by the American Board of Internal Medicine (ABIM) or the American Osteopathic Board of Internal Medicine (AOBIM) in Endocrinology, Diabetes and Metabolism.", "title": "As a profession" }, { "paragraph_id": 16, "text": "Endocrinology also involves the study of the diseases of the endocrine system. These diseases may relate to too little or too much secretion of a hormone, too little or too much action of a hormone, or problems with receiving the hormone.", "title": "Diseases and medicine" }, { "paragraph_id": 17, "text": "Because endocrinology encompasses so many conditions and diseases, there are many organizations that provide education to patients and the public. The Hormone Foundation is the public education affiliate of The Endocrine Society and provides information on all endocrine-related conditions. Other educational organizations that focus on one or more endocrine-related conditions include the American Diabetes Association, Human Growth Foundation, American Menopause Foundation, Inc., and Thyroid Foundation of America.", "title": "Diseases and medicine" }, { "paragraph_id": 18, "text": "In North America the principal professional organizations of endocrinologists include The Endocrine Society, the American Association of Clinical Endocrinologists, the American Diabetes Association, the Lawson Wilkins Pediatric Endocrine Society, and the American Thyroid Association.", "title": "Diseases and medicine" }, { "paragraph_id": 19, "text": "In Europe, the European Society of Endocrinology (ESE) and the European Society for Paediatric Endocrinology (ESPE) are the main organisations representing professionals in the fields of adult and paediatric endocrinology, respectively.", "title": "Diseases and medicine" }, { "paragraph_id": 20, "text": "In the United Kingdom, the Society for Endocrinology and the British Society for Paediatric Endocrinology and Diabetes are the main professional organisations.", "title": "Diseases and medicine" }, { "paragraph_id": 21, "text": "The European Society for Paediatric Endocrinology is the largest international professional association dedicated solely to paediatric endocrinology. There are numerous similar associations around the world.", "title": "Diseases and medicine" }, { "paragraph_id": 22, "text": "The earliest study of endocrinology began in China. The Chinese were isolating sex and pituitary hormones from human urine and using them for medicinal purposes by 200 BC. They used many complex methods, such as sublimation of steroid hormones. Another method specified by Chinese texts—the earliest dating to 1110—specified the use of saponin (from the beans of Gleditsia sinensis) to extract hormones, but gypsum (containing calcium sulfate) was also known to have been used.", "title": "History" }, { "paragraph_id": 23, "text": "Although most of the relevant tissues and endocrine glands had been identified by early anatomists, a more humoral approach to understanding biological function and disease was favoured by the ancient Greek and Roman thinkers such as Aristotle, Hippocrates, Lucretius, Celsus, and Galen, according to Freeman et al., and these theories held sway until the advent of germ theory, physiology, and organ basis of pathology in the 19th century.", "title": "History" }, { "paragraph_id": 24, "text": "In 1849, Arnold Berthold noted that castrated cockerels did not develop combs and wattles or exhibit overtly male behaviour. He found that replacement of testes back into the abdominal cavity of the same bird or another castrated bird resulted in normal behavioural and morphological development, and he concluded (erroneously) that the testes secreted a substance that \"conditioned\" the blood that, in turn, acted on the body of the cockerel. In fact, one of two other things could have been true: that the testes modified or activated a constituent of the blood or that the testes removed an inhibitory factor from the blood. It was not proven that the testes released a substance that engenders male characteristics until it was shown that the extract of testes could replace their function in castrated animals. Pure, crystalline testosterone was isolated in 1935.", "title": "History" }, { "paragraph_id": 25, "text": "Graves' disease was named after Irish doctor Robert James Graves, who described a case of goiter with exophthalmos in 1835. The German Karl Adolph von Basedow also independently reported the same constellation of symptoms in 1840, while earlier reports of the disease were also published by the Italians Giuseppe Flajani and Antonio Giuseppe Testa, in 1802 and 1810 respectively, and by the English physician Caleb Hillier Parry (a friend of Edward Jenner) in the late 18th century. Thomas Addison was first to describe Addison's disease in 1849.", "title": "History" }, { "paragraph_id": 26, "text": "In 1902 William Bayliss and Ernest Starling performed an experiment in which they observed that acid instilled into the duodenum caused the pancreas to begin secretion, even after they had removed all nervous connections between the two. The same response could be produced by injecting extract of jejunum mucosa into the jugular vein, showing that some factor in the mucosa was responsible. They named this substance \"secretin\" and coined the term hormone for chemicals that act in this way.", "title": "History" }, { "paragraph_id": 27, "text": "Joseph von Mering and Oskar Minkowski made the observation in 1889 that removing the pancreas surgically led to an increase in blood sugar, followed by a coma and eventual death—symptoms of diabetes mellitus. In 1922, Banting and Best realized that homogenizing the pancreas and injecting the derived extract reversed this condition.", "title": "History" }, { "paragraph_id": 28, "text": "Neurohormones were first identified by Otto Loewi in 1921. He incubated a frog's heart (innervated with its vagus nerve attached) in a saline bath, and left in the solution for some time. The solution was then used to bathe a non-innervated second heart. If the vagus nerve on the first heart was stimulated, negative inotropic (beat amplitude) and chronotropic (beat rate) activity were seen in both hearts. This did not occur in either heart if the vagus nerve was not stimulated. The vagus nerve was adding something to the saline solution. The effect could be blocked using atropine, a known inhibitor to heart vagal nerve stimulation. Clearly, something was being secreted by the vagus nerve and affecting the heart. The \"vagusstuff\" (as Loewi called it) causing the myotropic (muscle enhancing) effects was later identified to be acetylcholine and norepinephrine. Loewi won the Nobel Prize for his discovery. Shashank R. Joshi", "title": "History" }, { "paragraph_id": 29, "text": "Recent work in endocrinology focuses on the molecular mechanisms responsible for triggering the effects of hormones. The first example of such work being done was in 1962 by Earl Sutherland. Sutherland investigated whether hormones enter cells to evoke action, or stayed outside of cells. He studied norepinephrine, which acts on the liver to convert glycogen into glucose via the activation of the phosphorylase enzyme. He homogenized the liver into a membrane fraction and soluble fraction (phosphorylase is soluble), added norepinephrine to the membrane fraction, extracted its soluble products, and added them to the first soluble fraction. Phosphorylase activated, indicating that norepinephrine's target receptor was on the cell membrane, not located intracellularly. He later identified the compound as cyclic AMP (cAMP) and with his discovery created the concept of second-messenger-mediated pathways. He, like Loewi, won the Nobel Prize for his groundbreaking work in endocrinology.", "title": "History" } ]
Endocrinology is a branch of biology and medicine dealing with the endocrine system, its diseases, and its specific secretions known as hormones. It is also concerned with the integration of developmental events proliferation, growth, and differentiation, and the psychological or behavioral activities of metabolism, growth and development, tissue function, sleep, digestion, respiration, excretion, mood, stress, lactation, movement, reproduction, and sensory perception caused by hormones. Specializations include behavioral endocrinology and comparative endocrinology. The endocrine system consists of several glands, all in different parts of the body, that secrete hormones directly into the blood rather than into a duct system. Therefore, endocrine glands are regarded as ductless glands. Hormones have many different functions and modes of action; one hormone may have several effects on different target organs, and, conversely, one target organ may be affected by more than one hormone.
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https://en.wikipedia.org/wiki/Endocrinology
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Endocrine system
The endocrine system is a messenger system in an organism comprising feedback loops of hormones that are released by internal glands directly into the circulatory system and that target and regulate distant organs. In vertebrates, the hypothalamus is the neural control center for all endocrine systems. In humans, the major endocrine glands are the thyroid, parathyroid, pituitary, pineal, and adrenal glands, and the (male) testicles and (female) ovaries. The hypothalamus, pancreas, and thymus also function as endocrine glands, among other functions. (The hypothalamus and pituitary glands are organs of the neuroendocrine system. One of the most important functions of the hypothalamus—it is located in the brain adjacent to the pituitary gland—is to link the endocrine system to the nervous system via the pituitary gland.) Other organs, such as the kidneys, also have roles within the endocrine system by secreting certain hormones. The study of the endocrine system and its disorders is known as endocrinology. Glands that signal each other in sequence are often referred to as an axis, such as the hypothalamic–pituitary–adrenal axis. In addition to the specialized endocrine organs mentioned above, many other organs that are part of other body systems have secondary endocrine functions, including bone, kidneys, liver, heart and gonads. For example, the kidney secretes the endocrine hormone erythropoietin. Hormones can be amino acid complexes, steroids, eicosanoids, leukotrienes, or prostaglandins. The endocrine system is contrasted both to exocrine glands, which secrete hormones to the outside of the body, and to the system known as paracrine signalling between cells over a relatively short distance. Endocrine glands have no ducts, are vascular, and commonly have intracellular vacuoles or granules that store their hormones. In contrast, exocrine glands, such as salivary glands, sweat glands, and glands within the gastrointestinal tract, tend to be much less vascular and have ducts or a hollow lumen. Endocrinology is a branch of internal medicine. The human endocrine system consists of several systems that operate via feedback loops. Several important feedback systems are mediated via the hypothalamus and pituitary. Endocrine glands are glands of the endocrine system that secrete their products, hormones, directly into interstitial spaces where they are absorbed into blood rather than through a duct. The major glands of the endocrine system include the pineal gland, pituitary gland, pancreas, ovaries, testes, thyroid gland, parathyroid gland, hypothalamus and adrenal glands. The hypothalamus and pituitary gland are neuroendocrine organs. The hypothalamus and the anterior pituitary are two out of the three endocrine glands that are important in cell signaling. They are both part of the HPA axis which is known to play a role in cell signaling in the nervous system. Hypothalamus: The hypothalamus is a key regulator of the autonomic nervous system. The endocrine system has three sets of endocrine outputs which include the magnocellular system, the parvocellular system, and autonomic intervention. The magnocellular is involved in the expression of oxytocin or vasopressin. The parvocellular is involved in controlling the secretion of hormones from the anterior pituitary. Anterior Pituitary: The main role of the anterior pituitary gland is to produce and secrete tropic hormones. Some examples of tropic hormones secreted by the anterior pituitary gland include TSH, ACTH, GH, LH, and FSH. There are many types of cells that make up the endocrine system and these cells typically make up larger tissues and organs that function within and outside of the endocrine system. The fetal endocrine system is one of the first systems to develop during prenatal development. The fetal adrenal cortex can be identified within four weeks of gestation. The adrenal cortex originates from the thickening of the intermediate mesoderm. At five to six weeks of gestation, the mesonephros differentiates into a tissue known as the genital ridge. The genital ridge produces the steroidogenic cells for both the gonads and the adrenal cortex. The adrenal medulla is derived from ectodermal cells. Cells that will become adrenal tissue move retroperitoneally to the upper portion of the mesonephros. At seven weeks of gestation, the adrenal cells are joined by sympathetic cells that originate from the neural crest to form the adrenal medulla. At the end of the eighth week, the adrenal glands have been encapsulated and have formed a distinct organ above the developing kidneys. At birth, the adrenal glands weigh approximately eight to nine grams (twice that of the adult adrenal glands) and are 0.5% of the total body weight. At 25 weeks, the adult adrenal cortex zone develops and is responsible for the primary synthesis of steroids during the early postnatal weeks. The thyroid gland develops from two different clusterings of embryonic cells. One part is from the thickening of the pharyngeal floor, which serves as the precursor of the thyroxine (T4) producing follicular cells. The other part is from the caudal extensions of the fourth pharyngobranchial pouches which results in the parafollicular calcitonin-secreting cells. These two structures are apparent by 16 to 17 days of gestation. Around the 24th day of gestation, the foramen cecum, a thin, flask-like diverticulum of the median anlage develops. At approximately 24 to 32 days of gestation the median anlage develops into a bilobed structure. By 50 days of gestation, the medial and lateral anlage have fused together. At 12 weeks of gestation, the fetal thyroid is capable of storing iodine for the production of TRH, TSH, and free thyroid hormone. At 20 weeks, the fetus is able to implement feedback mechanisms for the production of thyroid hormones. During fetal development, T4 is the major thyroid hormone being produced while triiodothyronine (T3) and its inactive derivative, reverse T3, are not detected until the third trimester. A lateral and ventral view of an embryo showing the third (inferior) and fourth (superior) parathyroid glands during the 6th week of embryogenesis Once the embryo reaches four weeks of gestation, the parathyroid glands begins to develop. The human embryo forms five sets of endoderm-lined pharyngeal pouches. The third and fourth pouch are responsible for developing into the inferior and superior parathyroid glands, respectively. The third pharyngeal pouch encounters the developing thyroid gland and they migrate down to the lower poles of the thyroid lobes. The fourth pharyngeal pouch later encounters the developing thyroid gland and migrates to the upper poles of the thyroid lobes. At 14 weeks of gestation, the parathyroid glands begin to enlarge from 0.1 mm in diameter to approximately 1 – 2 mm at birth. The developing parathyroid glands are physiologically functional beginning in the second trimester. Studies in mice have shown that interfering with the HOX15 gene can cause parathyroid gland aplasia, which suggests the gene plays an important role in the development of the parathyroid gland. The genes, TBX1, CRKL, GATA3, GCM2, and SOX3 have also been shown to play a crucial role in the formation of the parathyroid gland. Mutations in TBX1 and CRKL genes are correlated with DiGeorge syndrome, while mutations in GATA3 have also resulted in a DiGeorge-like syndrome. Malformations in the GCM2 gene have resulted in hypoparathyroidism. Studies on SOX3 gene mutations have demonstrated that it plays a role in parathyroid development. These mutations also lead to varying degrees of hypopituitarism. The human fetal pancreas begins to develop by the fourth week of gestation. Five weeks later, the pancreatic alpha and beta cells have begun to emerge. Reaching eight to ten weeks into development, the pancreas starts producing insulin, glucagon, somatostatin, and pancreatic polypeptide. During the early stages of fetal development, the number of pancreatic alpha cells outnumbers the number of pancreatic beta cells. The alpha cells reach their peak in the middle stage of gestation. From the middle stage until term, the beta cells continue to increase in number until they reach an approximate 1:1 ratio with the alpha cells. The insulin concentration within the fetal pancreas is 3.6 pmol/g at seven to ten weeks, which rises to 30 pmol/g at 16–25 weeks of gestation. Near term, the insulin concentration increases to 93 pmol/g. The endocrine cells have dispersed throughout the body within 10 weeks. At 31 weeks of development, the islets of Langerhans have differentiated. While the fetal pancreas has functional beta cells by 14 to 24 weeks of gestation, the amount of insulin that is released into the bloodstream is relatively low. In a study of pregnant women carrying fetuses in the mid-gestation and near term stages of development, the fetuses did not have an increase in plasma insulin levels in response to injections of high levels of glucose. In contrast to insulin, the fetal plasma glucagon levels are relatively high and continue to increase during development. At the mid-stage of gestation, the glucagon concentration is 6 μg/g, compared to 2 μg/g in adult humans. Just like insulin, fetal glucagon plasma levels do not change in response to an infusion of glucose. However, a study of an infusion of alanine into pregnant women was shown to increase the cord blood and maternal glucagon concentrations, demonstrating a fetal response to amino acid exposure. As such, while the fetal pancreatic alpha and beta islet cells have fully developed and are capable of hormone synthesis during the remaining fetal maturation, the islet cells are relatively immature in their capacity to produce glucagon and insulin. This is thought to be a result of the relatively stable levels of fetal serum glucose concentrations achieved via maternal transfer of glucose through the placenta. On the other hand, the stable fetal serum glucose levels could be attributed to the absence of pancreatic signaling initiated by incretins during feeding. In addition, the fetal pancreatic islets cells are unable to sufficiently produce cAMP and rapidly degrade cAMP by phosphodiesterase necessary to secrete glucagon and insulin. During fetal development, the storage of glycogen is controlled by fetal glucocorticoids and placental lactogen. Fetal insulin is responsible for increasing glucose uptake and lipogenesis during the stages leading up to birth. Fetal cells contain a higher amount of insulin receptors in comparison to adults cells and fetal insulin receptors are not downregulated in cases of hyperinsulinemia. In comparison, fetal haptic glucagon receptors are lowered in comparison to adult cells and the glycemic effect of glucagon is blunted. This temporary physiological change aids the increased rate of fetal development during the final trimester. Poorly managed maternal diabetes mellitus is linked to fetal macrosomia, increased risk of miscarriage, and defects in fetal development. Maternal hyperglycemia is also linked to increased insulin levels and beta cell hyperplasia in the post-term infant. Children of diabetic mothers are at an increased risk for conditions such as: polycythemia, renal vein thrombosis, hypocalcemia, respiratory distress syndrome, jaundice, cardiomyopathy, congenital heart disease, and improper organ development. The reproductive system begins development at four to five weeks of gestation with germ cell migration. The bipotential gonad results from the collection of the medioventral region of the urogenital ridge. At the five-week point, the developing gonads break away from the adrenal primordium. Gonadal differentiation begins 42 days following conception. For males, the testes form at six fetal weeks and the sertoli cells begin developing by the eight week of gestation. SRY, the sex-determining locus, serves to differentiate the Sertoli cells. The Sertoli cells are the point of origin for anti-Müllerian hormone. Once synthesized, the anti-Müllerian hormone initiates the ipsilateral regression of the Müllerian tract and inhibits the development of female internal features. At 10 weeks of gestation, the Leydig cells begin to produce androgen hormones. The androgen hormone dihydrotestosterone is responsible for the development of the male external genitalia. The testicles descend during prenatal development in a two-stage process that begins at eight weeks of gestation and continues through the middle of the third trimester. During the transabdominal stage (8 to 15 weeks of gestation), the gubernacular ligament contracts and begins to thicken. The craniosuspensory ligament begins to break down. This stage is regulated by the secretion of insulin-like 3 (INSL3), a relaxin-like factor produced by the testicles, and the INSL3 G-coupled receptor, LGR8. During the transinguinal phase (25 to 35 weeks of gestation), the testicles descend into the scrotum. This stage is regulated by androgens, the genitofemoral nerve, and calcitonin gene-related peptide. During the second and third trimester, testicular development concludes with the diminution of the fetal Leydig cells and the lengthening and coiling of the seminiferous cords. For females, the ovaries become morphologically visible by the 8th week of gestation. The absence of testosterone results in the diminution of the Wolffian structures. The Müllerian structures remain and develop into the fallopian tubes, uterus, and the upper region of the vagina. The urogenital sinus develops into the urethra and lower region of the vagina, the genital tubercle develops into the clitoris, the urogenital folds develop into the labia minora, and the urogenital swellings develop into the labia majora. At 16 weeks of gestation, the ovaries produce FSH and LH/hCG receptors. At 20 weeks of gestation, the theca cell precursors are present and oogonia mitosis is occurring. At 25 weeks of gestation, the ovary is morphologically defined and folliculogenesis can begin. Studies of gene expression show that a specific complement of genes, such as follistatin and multiple cyclin kinase inhibitors are involved in ovarian development. An assortment of genes and proteins - such as WNT4, RSPO1, FOXL2, and various estrogen receptors - have been shown to prevent the development of testicles or the lineage of male-type cells. The pituitary gland is formed within the rostral neural plate. The Rathke's pouch, a cavity of ectodermal cells of the oropharynx, forms between the fourth and fifth week of gestation and upon full development, it gives rise to the anterior pituitary gland. By seven weeks of gestation, the anterior pituitary vascular system begins to develop. During the first 12 weeks of gestation, the anterior pituitary undergoes cellular differentiation. At 20 weeks of gestation, the hypophyseal portal system has developed. The Rathke's pouch grows towards the third ventricle and fuses with the diverticulum. This eliminates the lumen and the structure becomes Rathke's cleft. The posterior pituitary lobe is formed from the diverticulum. Portions of the pituitary tissue may remain in the nasopharyngeal midline. In rare cases this results in functioning ectopic hormone-secreting tumors in the nasopharynx. The functional development of the anterior pituitary involves spatiotemporal regulation of transcription factors expressed in pituitary stem cells and dynamic gradients of local soluble factors. The coordination of the dorsal gradient of pituitary morphogenesis is dependent on neuroectodermal signals from the infundibular bone morphogenetic protein 4 (BMP4). This protein is responsible for the development of the initial invagination of the Rathke's pouch. Other essential proteins necessary for pituitary cell proliferation are Fibroblast growth factor 8 (FGF8), Wnt4, and Wnt5. Ventral developmental patterning and the expression of transcription factors is influenced by the gradients of BMP2 and sonic hedgehog protein (SHH). These factors are essential for coordinating early patterns of cell proliferation. Six weeks into gestation, the corticotroph cells can be identified. By seven weeks of gestation, the anterior pituitary is capable of secreting ACTH. Within eight weeks of gestation, somatotroph cells begin to develop with cytoplasmic expression of human growth hormone. Once a fetus reaches 12 weeks of development, the thyrotrophs begin expression of Beta subunits for TSH, while gonadotrophs being to express beta-subunits for LH and FSH. Male fetuses predominately produced LH-expressing gonadotrophs, while female fetuses produce an equal expression of LH and FSH expressing gonadotrophs. At 24 weeks of gestation, prolactin-expressing lactotrophs begin to emerge. A hormone is any of a class of signaling molecules produced by cells in glands in multicellular organisms that are transported by the circulatory system to target distant organs to regulate physiology and behaviour. Hormones have diverse chemical structures, mainly of 3 classes: eicosanoids, steroids, and amino acid/protein derivatives (amines, peptides, and proteins). The glands that secrete hormones comprise the endocrine system. The term hormone is sometimes extended to include chemicals produced by cells that affect the same cell (autocrine or intracrine signalling) or nearby cells (paracrine signalling). Hormones are used to communicate between organs and tissues for physiological regulation and behavioral activities, such as digestion, metabolism, respiration, tissue function, sensory perception, sleep, excretion, lactation, stress, growth and development, movement, reproduction, and mood. Hormones affect distant cells by binding to specific receptor proteins in the target cell resulting in a change in cell function. This may lead to cell type-specific responses that include rapid changes to the activity of existing proteins, or slower changes in the expression of target genes. Amino acid–based hormones (amines and peptide or protein hormones) are water-soluble and act on the surface of target cells via signal transduction pathways; steroid hormones, being lipid-soluble, move through the plasma membranes of target cells to act within their nuclei. The typical mode of cell signalling in the endocrine system is endocrine signaling, that is, using the circulatory system to reach distant target organs. However, there are also other modes, i.e., paracrine, autocrine, and neuroendocrine signaling. Purely neurocrine signaling between neurons, on the other hand, belongs completely to the nervous system. Autocrine signaling is a form of signaling in which a cell secretes a hormone or chemical messenger (called the autocrine agent) that binds to autocrine receptors on the same cell, leading to changes in the cells. Some endocrinologists and clinicians include the paracrine system as part of the endocrine system, but there is not consensus. Paracrines are slower acting, targeting cells in the same tissue or organ. An example of this is somatostatin which is released by some pancreatic cells and targets other pancreatic cells. Juxtacrine signaling is a type of intercellular communication that is transmitted via oligosaccharide, lipid, or protein components of a cell membrane, and may affect either the emitting cell or the immediately adjacent cells. It occurs between adjacent cells that possess broad patches of closely opposed plasma membrane linked by transmembrane channels known as connexons. The gap between the cells can usually be between only 2 and 4 nm. Diseases of the endocrine system are common, including conditions such as diabetes mellitus, thyroid disease, and obesity. Endocrine disease is characterized by misregulated hormone release (a productive pituitary adenoma), inappropriate response to signaling (hypothyroidism), lack of a gland (diabetes mellitus type 1, diminished erythropoiesis in chronic kidney failure), or structural enlargement in a critical site such as the thyroid (toxic multinodular goitre). Hypofunction of endocrine glands can occur as a result of loss of reserve, hyposecretion, agenesis, atrophy, or active destruction. Hyperfunction can occur as a result of hypersecretion, loss of suppression, hyperplastic or neoplastic change, or hyperstimulation. Endocrinopathies are classified as primary, secondary, or tertiary. Primary endocrine disease inhibits the action of downstream glands. Secondary endocrine disease is indicative of a problem with the pituitary gland. Tertiary endocrine disease is associated with dysfunction of the hypothalamus and its releasing hormones. As the thyroid, and hormones have been implicated in signaling distant tissues to proliferate, for example, the estrogen receptor has been shown to be involved in certain breast cancers. Endocrine, paracrine, and autocrine signaling have all been implicated in proliferation, one of the required steps of oncogenesis. Other common diseases that result from endocrine dysfunction include Addison's disease, Cushing's disease and Graves' disease. Cushing's disease and Addison's disease are pathologies involving the dysfunction of the adrenal gland. Dysfunction in the adrenal gland could be due to primary or secondary factors and can result in hypercortisolism or hypocortisolism. Cushing's disease is characterized by the hypersecretion of the adrenocorticotropic hormone (ACTH) due to a pituitary adenoma that ultimately causes endogenous hypercortisolism by stimulating the adrenal glands. Some clinical signs of Cushing's disease include obesity, moon face, and hirsutism. Addison's disease is an endocrine disease that results from hypocortisolism caused by adrenal gland insufficiency. Adrenal insufficiency is significant because it is correlated with decreased ability to maintain blood pressure and blood sugar, a defect that can prove to be fatal. Graves' disease involves the hyperactivity of the thyroid gland which produces the T3 and T4 hormones. Graves' disease effects range from excess sweating, fatigue, heat intolerance and high blood pressure to swelling of the eyes that causes redness, puffiness and in rare cases reduced or double vision. A neuroendocrine system has been observed in all animals with a nervous system and all vertebrates have a hypothalamus–pituitary axis. All vertebrates have a thyroid, which in amphibians is also crucial for transformation of larvae into adult form. All vertebrates have adrenal gland tissue, with mammals unique in having it organized into layers. All vertebrates have some form of a renin–angiotensin axis, and all tetrapods have aldosterone as a primary mineralocorticoid.
[ { "paragraph_id": 0, "text": "The endocrine system is a messenger system in an organism comprising feedback loops of hormones that are released by internal glands directly into the circulatory system and that target and regulate distant organs. In vertebrates, the hypothalamus is the neural control center for all endocrine systems.", "title": "" }, { "paragraph_id": 1, "text": "In humans, the major endocrine glands are the thyroid, parathyroid, pituitary, pineal, and adrenal glands, and the (male) testicles and (female) ovaries. The hypothalamus, pancreas, and thymus also function as endocrine glands, among other functions. (The hypothalamus and pituitary glands are organs of the neuroendocrine system. One of the most important functions of the hypothalamus—it is located in the brain adjacent to the pituitary gland—is to link the endocrine system to the nervous system via the pituitary gland.) Other organs, such as the kidneys, also have roles within the endocrine system by secreting certain hormones. The study of the endocrine system and its disorders is known as endocrinology.", "title": "" }, { "paragraph_id": 2, "text": "Glands that signal each other in sequence are often referred to as an axis, such as the hypothalamic–pituitary–adrenal axis. In addition to the specialized endocrine organs mentioned above, many other organs that are part of other body systems have secondary endocrine functions, including bone, kidneys, liver, heart and gonads. For example, the kidney secretes the endocrine hormone erythropoietin. Hormones can be amino acid complexes, steroids, eicosanoids, leukotrienes, or prostaglandins.", "title": "" }, { "paragraph_id": 3, "text": "The endocrine system is contrasted both to exocrine glands, which secrete hormones to the outside of the body, and to the system known as paracrine signalling between cells over a relatively short distance. Endocrine glands have no ducts, are vascular, and commonly have intracellular vacuoles or granules that store their hormones. In contrast, exocrine glands, such as salivary glands, sweat glands, and glands within the gastrointestinal tract, tend to be much less vascular and have ducts or a hollow lumen. Endocrinology is a branch of internal medicine.", "title": "" }, { "paragraph_id": 4, "text": "The human endocrine system consists of several systems that operate via feedback loops. Several important feedback systems are mediated via the hypothalamus and pituitary.", "title": "Structure" }, { "paragraph_id": 5, "text": "Endocrine glands are glands of the endocrine system that secrete their products, hormones, directly into interstitial spaces where they are absorbed into blood rather than through a duct. The major glands of the endocrine system include the pineal gland, pituitary gland, pancreas, ovaries, testes, thyroid gland, parathyroid gland, hypothalamus and adrenal glands. The hypothalamus and pituitary gland are neuroendocrine organs.", "title": "Structure" }, { "paragraph_id": 6, "text": "The hypothalamus and the anterior pituitary are two out of the three endocrine glands that are important in cell signaling. They are both part of the HPA axis which is known to play a role in cell signaling in the nervous system.", "title": "Structure" }, { "paragraph_id": 7, "text": "Hypothalamus: The hypothalamus is a key regulator of the autonomic nervous system. The endocrine system has three sets of endocrine outputs which include the magnocellular system, the parvocellular system, and autonomic intervention. The magnocellular is involved in the expression of oxytocin or vasopressin. The parvocellular is involved in controlling the secretion of hormones from the anterior pituitary.", "title": "Structure" }, { "paragraph_id": 8, "text": "Anterior Pituitary: The main role of the anterior pituitary gland is to produce and secrete tropic hormones. Some examples of tropic hormones secreted by the anterior pituitary gland include TSH, ACTH, GH, LH, and FSH.", "title": "Structure" }, { "paragraph_id": 9, "text": "There are many types of cells that make up the endocrine system and these cells typically make up larger tissues and organs that function within and outside of the endocrine system.", "title": "Structure" }, { "paragraph_id": 10, "text": "The fetal endocrine system is one of the first systems to develop during prenatal development.", "title": "Development" }, { "paragraph_id": 11, "text": "The fetal adrenal cortex can be identified within four weeks of gestation. The adrenal cortex originates from the thickening of the intermediate mesoderm. At five to six weeks of gestation, the mesonephros differentiates into a tissue known as the genital ridge. The genital ridge produces the steroidogenic cells for both the gonads and the adrenal cortex. The adrenal medulla is derived from ectodermal cells. Cells that will become adrenal tissue move retroperitoneally to the upper portion of the mesonephros. At seven weeks of gestation, the adrenal cells are joined by sympathetic cells that originate from the neural crest to form the adrenal medulla. At the end of the eighth week, the adrenal glands have been encapsulated and have formed a distinct organ above the developing kidneys. At birth, the adrenal glands weigh approximately eight to nine grams (twice that of the adult adrenal glands) and are 0.5% of the total body weight. At 25 weeks, the adult adrenal cortex zone develops and is responsible for the primary synthesis of steroids during the early postnatal weeks.", "title": "Development" }, { "paragraph_id": 12, "text": "The thyroid gland develops from two different clusterings of embryonic cells. One part is from the thickening of the pharyngeal floor, which serves as the precursor of the thyroxine (T4) producing follicular cells. The other part is from the caudal extensions of the fourth pharyngobranchial pouches which results in the parafollicular calcitonin-secreting cells. These two structures are apparent by 16 to 17 days of gestation. Around the 24th day of gestation, the foramen cecum, a thin, flask-like diverticulum of the median anlage develops. At approximately 24 to 32 days of gestation the median anlage develops into a bilobed structure. By 50 days of gestation, the medial and lateral anlage have fused together. At 12 weeks of gestation, the fetal thyroid is capable of storing iodine for the production of TRH, TSH, and free thyroid hormone. At 20 weeks, the fetus is able to implement feedback mechanisms for the production of thyroid hormones. During fetal development, T4 is the major thyroid hormone being produced while triiodothyronine (T3) and its inactive derivative, reverse T3, are not detected until the third trimester.", "title": "Development" }, { "paragraph_id": 13, "text": "A lateral and ventral view of an embryo showing the third (inferior) and fourth (superior) parathyroid glands during the 6th week of embryogenesis", "title": "Development" }, { "paragraph_id": 14, "text": "Once the embryo reaches four weeks of gestation, the parathyroid glands begins to develop. The human embryo forms five sets of endoderm-lined pharyngeal pouches. The third and fourth pouch are responsible for developing into the inferior and superior parathyroid glands, respectively. The third pharyngeal pouch encounters the developing thyroid gland and they migrate down to the lower poles of the thyroid lobes. The fourth pharyngeal pouch later encounters the developing thyroid gland and migrates to the upper poles of the thyroid lobes. At 14 weeks of gestation, the parathyroid glands begin to enlarge from 0.1 mm in diameter to approximately 1 – 2 mm at birth. The developing parathyroid glands are physiologically functional beginning in the second trimester.", "title": "Development" }, { "paragraph_id": 15, "text": "Studies in mice have shown that interfering with the HOX15 gene can cause parathyroid gland aplasia, which suggests the gene plays an important role in the development of the parathyroid gland. The genes, TBX1, CRKL, GATA3, GCM2, and SOX3 have also been shown to play a crucial role in the formation of the parathyroid gland. Mutations in TBX1 and CRKL genes are correlated with DiGeorge syndrome, while mutations in GATA3 have also resulted in a DiGeorge-like syndrome. Malformations in the GCM2 gene have resulted in hypoparathyroidism. Studies on SOX3 gene mutations have demonstrated that it plays a role in parathyroid development. These mutations also lead to varying degrees of hypopituitarism.", "title": "Development" }, { "paragraph_id": 16, "text": "The human fetal pancreas begins to develop by the fourth week of gestation. Five weeks later, the pancreatic alpha and beta cells have begun to emerge. Reaching eight to ten weeks into development, the pancreas starts producing insulin, glucagon, somatostatin, and pancreatic polypeptide. During the early stages of fetal development, the number of pancreatic alpha cells outnumbers the number of pancreatic beta cells. The alpha cells reach their peak in the middle stage of gestation. From the middle stage until term, the beta cells continue to increase in number until they reach an approximate 1:1 ratio with the alpha cells. The insulin concentration within the fetal pancreas is 3.6 pmol/g at seven to ten weeks, which rises to 30 pmol/g at 16–25 weeks of gestation. Near term, the insulin concentration increases to 93 pmol/g. The endocrine cells have dispersed throughout the body within 10 weeks. At 31 weeks of development, the islets of Langerhans have differentiated.", "title": "Development" }, { "paragraph_id": 17, "text": "While the fetal pancreas has functional beta cells by 14 to 24 weeks of gestation, the amount of insulin that is released into the bloodstream is relatively low. In a study of pregnant women carrying fetuses in the mid-gestation and near term stages of development, the fetuses did not have an increase in plasma insulin levels in response to injections of high levels of glucose. In contrast to insulin, the fetal plasma glucagon levels are relatively high and continue to increase during development. At the mid-stage of gestation, the glucagon concentration is 6 μg/g, compared to 2 μg/g in adult humans. Just like insulin, fetal glucagon plasma levels do not change in response to an infusion of glucose. However, a study of an infusion of alanine into pregnant women was shown to increase the cord blood and maternal glucagon concentrations, demonstrating a fetal response to amino acid exposure.", "title": "Development" }, { "paragraph_id": 18, "text": "As such, while the fetal pancreatic alpha and beta islet cells have fully developed and are capable of hormone synthesis during the remaining fetal maturation, the islet cells are relatively immature in their capacity to produce glucagon and insulin. This is thought to be a result of the relatively stable levels of fetal serum glucose concentrations achieved via maternal transfer of glucose through the placenta. On the other hand, the stable fetal serum glucose levels could be attributed to the absence of pancreatic signaling initiated by incretins during feeding. In addition, the fetal pancreatic islets cells are unable to sufficiently produce cAMP and rapidly degrade cAMP by phosphodiesterase necessary to secrete glucagon and insulin.", "title": "Development" }, { "paragraph_id": 19, "text": "During fetal development, the storage of glycogen is controlled by fetal glucocorticoids and placental lactogen. Fetal insulin is responsible for increasing glucose uptake and lipogenesis during the stages leading up to birth. Fetal cells contain a higher amount of insulin receptors in comparison to adults cells and fetal insulin receptors are not downregulated in cases of hyperinsulinemia. In comparison, fetal haptic glucagon receptors are lowered in comparison to adult cells and the glycemic effect of glucagon is blunted. This temporary physiological change aids the increased rate of fetal development during the final trimester. Poorly managed maternal diabetes mellitus is linked to fetal macrosomia, increased risk of miscarriage, and defects in fetal development. Maternal hyperglycemia is also linked to increased insulin levels and beta cell hyperplasia in the post-term infant. Children of diabetic mothers are at an increased risk for conditions such as: polycythemia, renal vein thrombosis, hypocalcemia, respiratory distress syndrome, jaundice, cardiomyopathy, congenital heart disease, and improper organ development.", "title": "Development" }, { "paragraph_id": 20, "text": "The reproductive system begins development at four to five weeks of gestation with germ cell migration. The bipotential gonad results from the collection of the medioventral region of the urogenital ridge. At the five-week point, the developing gonads break away from the adrenal primordium. Gonadal differentiation begins 42 days following conception.", "title": "Development" }, { "paragraph_id": 21, "text": "For males, the testes form at six fetal weeks and the sertoli cells begin developing by the eight week of gestation. SRY, the sex-determining locus, serves to differentiate the Sertoli cells. The Sertoli cells are the point of origin for anti-Müllerian hormone. Once synthesized, the anti-Müllerian hormone initiates the ipsilateral regression of the Müllerian tract and inhibits the development of female internal features. At 10 weeks of gestation, the Leydig cells begin to produce androgen hormones. The androgen hormone dihydrotestosterone is responsible for the development of the male external genitalia.", "title": "Development" }, { "paragraph_id": 22, "text": "The testicles descend during prenatal development in a two-stage process that begins at eight weeks of gestation and continues through the middle of the third trimester. During the transabdominal stage (8 to 15 weeks of gestation), the gubernacular ligament contracts and begins to thicken. The craniosuspensory ligament begins to break down. This stage is regulated by the secretion of insulin-like 3 (INSL3), a relaxin-like factor produced by the testicles, and the INSL3 G-coupled receptor, LGR8. During the transinguinal phase (25 to 35 weeks of gestation), the testicles descend into the scrotum. This stage is regulated by androgens, the genitofemoral nerve, and calcitonin gene-related peptide. During the second and third trimester, testicular development concludes with the diminution of the fetal Leydig cells and the lengthening and coiling of the seminiferous cords.", "title": "Development" }, { "paragraph_id": 23, "text": "For females, the ovaries become morphologically visible by the 8th week of gestation. The absence of testosterone results in the diminution of the Wolffian structures. The Müllerian structures remain and develop into the fallopian tubes, uterus, and the upper region of the vagina. The urogenital sinus develops into the urethra and lower region of the vagina, the genital tubercle develops into the clitoris, the urogenital folds develop into the labia minora, and the urogenital swellings develop into the labia majora. At 16 weeks of gestation, the ovaries produce FSH and LH/hCG receptors. At 20 weeks of gestation, the theca cell precursors are present and oogonia mitosis is occurring. At 25 weeks of gestation, the ovary is morphologically defined and folliculogenesis can begin.", "title": "Development" }, { "paragraph_id": 24, "text": "Studies of gene expression show that a specific complement of genes, such as follistatin and multiple cyclin kinase inhibitors are involved in ovarian development. An assortment of genes and proteins - such as WNT4, RSPO1, FOXL2, and various estrogen receptors - have been shown to prevent the development of testicles or the lineage of male-type cells.", "title": "Development" }, { "paragraph_id": 25, "text": "The pituitary gland is formed within the rostral neural plate. The Rathke's pouch, a cavity of ectodermal cells of the oropharynx, forms between the fourth and fifth week of gestation and upon full development, it gives rise to the anterior pituitary gland. By seven weeks of gestation, the anterior pituitary vascular system begins to develop. During the first 12 weeks of gestation, the anterior pituitary undergoes cellular differentiation. At 20 weeks of gestation, the hypophyseal portal system has developed. The Rathke's pouch grows towards the third ventricle and fuses with the diverticulum. This eliminates the lumen and the structure becomes Rathke's cleft. The posterior pituitary lobe is formed from the diverticulum. Portions of the pituitary tissue may remain in the nasopharyngeal midline. In rare cases this results in functioning ectopic hormone-secreting tumors in the nasopharynx.", "title": "Development" }, { "paragraph_id": 26, "text": "The functional development of the anterior pituitary involves spatiotemporal regulation of transcription factors expressed in pituitary stem cells and dynamic gradients of local soluble factors. The coordination of the dorsal gradient of pituitary morphogenesis is dependent on neuroectodermal signals from the infundibular bone morphogenetic protein 4 (BMP4). This protein is responsible for the development of the initial invagination of the Rathke's pouch. Other essential proteins necessary for pituitary cell proliferation are Fibroblast growth factor 8 (FGF8), Wnt4, and Wnt5. Ventral developmental patterning and the expression of transcription factors is influenced by the gradients of BMP2 and sonic hedgehog protein (SHH). These factors are essential for coordinating early patterns of cell proliferation.", "title": "Development" }, { "paragraph_id": 27, "text": "Six weeks into gestation, the corticotroph cells can be identified. By seven weeks of gestation, the anterior pituitary is capable of secreting ACTH. Within eight weeks of gestation, somatotroph cells begin to develop with cytoplasmic expression of human growth hormone. Once a fetus reaches 12 weeks of development, the thyrotrophs begin expression of Beta subunits for TSH, while gonadotrophs being to express beta-subunits for LH and FSH. Male fetuses predominately produced LH-expressing gonadotrophs, while female fetuses produce an equal expression of LH and FSH expressing gonadotrophs. At 24 weeks of gestation, prolactin-expressing lactotrophs begin to emerge.", "title": "Development" }, { "paragraph_id": 28, "text": "A hormone is any of a class of signaling molecules produced by cells in glands in multicellular organisms that are transported by the circulatory system to target distant organs to regulate physiology and behaviour. Hormones have diverse chemical structures, mainly of 3 classes: eicosanoids, steroids, and amino acid/protein derivatives (amines, peptides, and proteins). The glands that secrete hormones comprise the endocrine system. The term hormone is sometimes extended to include chemicals produced by cells that affect the same cell (autocrine or intracrine signalling) or nearby cells (paracrine signalling).", "title": "Function" }, { "paragraph_id": 29, "text": "Hormones are used to communicate between organs and tissues for physiological regulation and behavioral activities, such as digestion, metabolism, respiration, tissue function, sensory perception, sleep, excretion, lactation, stress, growth and development, movement, reproduction, and mood.", "title": "Function" }, { "paragraph_id": 30, "text": "Hormones affect distant cells by binding to specific receptor proteins in the target cell resulting in a change in cell function. This may lead to cell type-specific responses that include rapid changes to the activity of existing proteins, or slower changes in the expression of target genes. Amino acid–based hormones (amines and peptide or protein hormones) are water-soluble and act on the surface of target cells via signal transduction pathways; steroid hormones, being lipid-soluble, move through the plasma membranes of target cells to act within their nuclei.", "title": "Function" }, { "paragraph_id": 31, "text": "The typical mode of cell signalling in the endocrine system is endocrine signaling, that is, using the circulatory system to reach distant target organs. However, there are also other modes, i.e., paracrine, autocrine, and neuroendocrine signaling. Purely neurocrine signaling between neurons, on the other hand, belongs completely to the nervous system.", "title": "Function" }, { "paragraph_id": 32, "text": "Autocrine signaling is a form of signaling in which a cell secretes a hormone or chemical messenger (called the autocrine agent) that binds to autocrine receptors on the same cell, leading to changes in the cells.", "title": "Function" }, { "paragraph_id": 33, "text": "Some endocrinologists and clinicians include the paracrine system as part of the endocrine system, but there is not consensus. Paracrines are slower acting, targeting cells in the same tissue or organ. An example of this is somatostatin which is released by some pancreatic cells and targets other pancreatic cells.", "title": "Function" }, { "paragraph_id": 34, "text": "Juxtacrine signaling is a type of intercellular communication that is transmitted via oligosaccharide, lipid, or protein components of a cell membrane, and may affect either the emitting cell or the immediately adjacent cells.", "title": "Function" }, { "paragraph_id": 35, "text": "It occurs between adjacent cells that possess broad patches of closely opposed plasma membrane linked by transmembrane channels known as connexons. The gap between the cells can usually be between only 2 and 4 nm.", "title": "Function" }, { "paragraph_id": 36, "text": "Diseases of the endocrine system are common, including conditions such as diabetes mellitus, thyroid disease, and obesity. Endocrine disease is characterized by misregulated hormone release (a productive pituitary adenoma), inappropriate response to signaling (hypothyroidism), lack of a gland (diabetes mellitus type 1, diminished erythropoiesis in chronic kidney failure), or structural enlargement in a critical site such as the thyroid (toxic multinodular goitre). Hypofunction of endocrine glands can occur as a result of loss of reserve, hyposecretion, agenesis, atrophy, or active destruction. Hyperfunction can occur as a result of hypersecretion, loss of suppression, hyperplastic or neoplastic change, or hyperstimulation.", "title": "Clinical significance" }, { "paragraph_id": 37, "text": "Endocrinopathies are classified as primary, secondary, or tertiary. Primary endocrine disease inhibits the action of downstream glands. Secondary endocrine disease is indicative of a problem with the pituitary gland. Tertiary endocrine disease is associated with dysfunction of the hypothalamus and its releasing hormones.", "title": "Clinical significance" }, { "paragraph_id": 38, "text": "As the thyroid, and hormones have been implicated in signaling distant tissues to proliferate, for example, the estrogen receptor has been shown to be involved in certain breast cancers. Endocrine, paracrine, and autocrine signaling have all been implicated in proliferation, one of the required steps of oncogenesis.", "title": "Clinical significance" }, { "paragraph_id": 39, "text": "Other common diseases that result from endocrine dysfunction include Addison's disease, Cushing's disease and Graves' disease. Cushing's disease and Addison's disease are pathologies involving the dysfunction of the adrenal gland. Dysfunction in the adrenal gland could be due to primary or secondary factors and can result in hypercortisolism or hypocortisolism. Cushing's disease is characterized by the hypersecretion of the adrenocorticotropic hormone (ACTH) due to a pituitary adenoma that ultimately causes endogenous hypercortisolism by stimulating the adrenal glands. Some clinical signs of Cushing's disease include obesity, moon face, and hirsutism. Addison's disease is an endocrine disease that results from hypocortisolism caused by adrenal gland insufficiency. Adrenal insufficiency is significant because it is correlated with decreased ability to maintain blood pressure and blood sugar, a defect that can prove to be fatal.", "title": "Clinical significance" }, { "paragraph_id": 40, "text": "Graves' disease involves the hyperactivity of the thyroid gland which produces the T3 and T4 hormones. Graves' disease effects range from excess sweating, fatigue, heat intolerance and high blood pressure to swelling of the eyes that causes redness, puffiness and in rare cases reduced or double vision.", "title": "Clinical significance" }, { "paragraph_id": 41, "text": "A neuroendocrine system has been observed in all animals with a nervous system and all vertebrates have a hypothalamus–pituitary axis. All vertebrates have a thyroid, which in amphibians is also crucial for transformation of larvae into adult form. All vertebrates have adrenal gland tissue, with mammals unique in having it organized into layers. All vertebrates have some form of a renin–angiotensin axis, and all tetrapods have aldosterone as a primary mineralocorticoid.", "title": "Other animals" } ]
The endocrine system is a messenger system in an organism comprising feedback loops of hormones that are released by internal glands directly into the circulatory system and that target and regulate distant organs. In vertebrates, the hypothalamus is the neural control center for all endocrine systems. In humans, the major endocrine glands are the thyroid, parathyroid, pituitary, pineal, and adrenal glands, and the (male) testicles and (female) ovaries. The hypothalamus, pancreas, and thymus also function as endocrine glands, among other functions. Other organs, such as the kidneys, also have roles within the endocrine system by secreting certain hormones. The study of the endocrine system and its disorders is known as endocrinology. Glands that signal each other in sequence are often referred to as an axis, such as the hypothalamic–pituitary–adrenal axis. In addition to the specialized endocrine organs mentioned above, many other organs that are part of other body systems have secondary endocrine functions, including bone, kidneys, liver, heart and gonads. For example, the kidney secretes the endocrine hormone erythropoietin. Hormones can be amino acid complexes, steroids, eicosanoids, leukotrienes, or prostaglandins. The endocrine system is contrasted both to exocrine glands, which secrete hormones to the outside of the body, and to the system known as paracrine signalling between cells over a relatively short distance. Endocrine glands have no ducts, are vascular, and commonly have intracellular vacuoles or granules that store their hormones. In contrast, exocrine glands, such as salivary glands, sweat glands, and glands within the gastrointestinal tract, tend to be much less vascular and have ducts or a hollow lumen. Endocrinology is a branch of internal medicine.
2001-04-25T18:25:19Z
2023-12-13T03:27:07Z
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https://en.wikipedia.org/wiki/Endocrine_system
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Expander graph
In graph theory, an expander graph is a sparse graph that has strong connectivity properties, quantified using vertex, edge or spectral expansion. Expander constructions have spawned research in pure and applied mathematics, with several applications to complexity theory, design of robust computer networks, and the theory of error-correcting codes. Intuitively, an expander graph is a finite, undirected multigraph in which every subset of the vertices that is not "too large" has a "large" boundary. Different formalisations of these notions give rise to different notions of expanders: edge expanders, vertex expanders, and spectral expanders, as defined below. A disconnected graph is not an expander, since the boundary of a connected component is empty. Every connected graph is an expander; however, different connected graphs have different expansion parameters. The complete graph has the best expansion property, but it has largest possible degree. Informally, a graph is a good expander if it has low degree and high expansion parameters. The edge expansion (also isoperimetric number or Cheeger constant) h(G) of a graph G on n vertices is defined as which can also be written as ∂S = E(S, S) with S := V(G) \ S the complement of S and the edges between the subsets of vertices A,B ⊆ V(G). In the equation, the minimum is over all nonempty sets S of at most n⁄2 vertices and ∂S is the edge boundary of S, i.e., the set of edges with exactly one endpoint in S. Intuitively, is the minimum number of edges that need to be cut in order to split the graph in two. The edge expansion normalizes this concept by dividing with smallest number of vertices among the two parts. To see how the normalization can drastically change the value, consider the following example. Take two complete graphs with the same number of vertices n and add n edges between the two graphs by connecting their vertices one-to-one. The minimum cut will be n but the edge expansion will be 1. Notice that in min |∂S|, the optimization can be equivalently done either over 0 ≤ |S| ≤ n⁄2 or over any non-empty subset, since E ( S , S ¯ ) = E ( S ¯ , S ) {\displaystyle E(S,{\overline {S}})=E({\overline {S}},S)} . The same is not true for h(G) because of the normalization by |S|. If we want to write h(G) with an optimization over all non-empty subsets, we can rewrite it as The vertex isoperimetric number hout(G) (also vertex expansion or magnification) of a graph G is defined as where ∂out(S) is the outer boundary of S, i.e., the set of vertices in V(G) \ S with at least one neighbor in S. In a variant of this definition (called unique neighbor expansion) ∂out(S) is replaced by the set of vertices in V with exactly one neighbor in S. The vertex isoperimetric number hin(G) of a graph G is defined as where ∂ in ( S ) {\displaystyle \partial _{\text{in}}(S)} is the inner boundary of S, i.e., the set of vertices in S with at least one neighbor in V(G) \ S. When G is d-regular, a linear algebraic definition of expansion is possible based on the eigenvalues of the adjacency matrix A = A(G) of G, where Aij is the number of edges between vertices i and j. Because A is symmetric, the spectral theorem implies that A has n real-valued eigenvalues λ1 ≥ λ2 ≥ … ≥ λn. It is known that all these eigenvalues are in [−d, d] and more specifically, it is known that λn = −d if and only if G is bipartite. More formally, we refer to an n-vertex, d-regular graph with as an (n, d, λ)-graph. The bound given by an (n, d, λ)-graph on λi for i ≠ 1 is useful many contexts, including the expander mixing lemma. Spectral expansion can be two-sided, as above, with max i ≠ 1 | λ i | ≤ λ {\displaystyle \max _{i\neq 1}|\lambda _{i}|\leq \lambda } , or it can be one-sided, with max i ≠ 1 λ i ≤ λ {\displaystyle \max _{i\neq 1}\lambda _{i}\leq \lambda } . The latter is a weaker notion that holds also for bipartite graphs and is still useful for many applications, such as the Alon-Chung lemma. Because G is regular, the uniform distribution u ∈ R n {\displaystyle u\in \mathbb {R} ^{n}} with ui = 1⁄n for all i = 1, …, n is the stationary distribution of G. That is, we have Au = du, and u is an eigenvector of A with eigenvalue λ1 = d, where d is the degree of the vertices of G. The spectral gap of G is defined to be d − λ2, and it measures the spectral expansion of the graph G. If we set as this is the largest eigenvalue corresponding to an eigenvector orthogonal to u, it can be equivalently defined using the Rayleigh quotient: where is the 2-norm of the vector v ∈ R n {\displaystyle v\in \mathbb {R} ^{n}} . The normalized versions of these definitions are also widely used and more convenient in stating some results. Here one considers the matrix 1/dA, which is the Markov transition matrix of the graph G. Its eigenvalues are between −1 and 1. For not necessarily regular graphs, the spectrum of a graph can be defined similarly using the eigenvalues of the Laplacian matrix. For directed graphs, one considers the singular values of the adjacency matrix A, which are equal to the roots of the eigenvalues of the symmetric matrix AA. The expansion parameters defined above are related to each other. In particular, for any d-regular graph G, Consequently, for constant degree graphs, vertex and edge expansion are qualitatively the same. When G is d-regular, meaning each vertex is of degree d, there is a relationship between the isoperimetric constant h(G) and the gap d − λ2 in the spectrum of the adjacency operator of G. By standard spectral graph theory, the trivial eigenvalue of the adjacency operator of a d-regular graph is λ1 = d and the first non-trivial eigenvalue is λ2. If G is connected, then λ2 < d. An inequality due to Dodziuk and independently Alon and Milman states that In fact, the lower bound is tight. The lower bound is achieved in limit for the hypercube Qn, where h(G) = 1 and d – λ = 2. The upper bound is (asymptotically) achieved for a cycle, where H(Cn) = 4/n= Θ(1/n) and d – λ = 2-2cos(2 π {\displaystyle \pi } /n) ≈ (2 π {\displaystyle \pi } /n)^2= Θ(1/n). A better bound is given in as These inequalities are closely related to the Cheeger bound for Markov chains and can be seen as a discrete version of Cheeger's inequality in Riemannian geometry. Similar connections between vertex isoperimetric numbers and the spectral gap have also been studied: Asymptotically speaking, the quantities h⁄d, hout, and hin are all bounded above by the spectral gap O(d – λ2). There are four general strategies for explicitly constructing families of expander graphs. The first strategy is algebraic and group-theoretic, the second strategy is analytic and uses additive combinatorics, the third strategy is combinatorial and uses the zig-zag and related graph products, and the fourth strategy is based on lifts. Noga Alon showed that certain graphs constructed from finite geometries are the sparsest examples of highly expanding graphs. Algebraic constructions based on Cayley graphs are known for various variants of expander graphs. The following construction is due to Margulis and has been analysed by Gabber and Galil. For every natural number n, one considers the graph Gn with the vertex set Z n × Z n {\displaystyle \mathbb {Z} _{n}\times \mathbb {Z} _{n}} , where Z n = Z / n Z {\displaystyle \mathbb {Z} _{n}=\mathbb {Z} /n\mathbb {Z} } : For every vertex ( x , y ) ∈ Z n × Z n {\displaystyle (x,y)\in \mathbb {Z} _{n}\times \mathbb {Z} _{n}} , its eight adjacent vertices are Then the following holds: Theorem. For all n, the graph Gn has second-largest eigenvalue λ ( G ) ≤ 5 2 {\displaystyle \lambda (G)\leq 5{\sqrt {2}}} . By a theorem of Alon and Boppana, all sufficiently large d-regular graphs satisfy λ 2 ≥ 2 d − 1 − o ( 1 ) {\displaystyle \lambda _{2}\geq 2{\sqrt {d-1}}-o(1)} , where λ2 is the second largest eigenvalue in absolute value. As a direct consequence, we know that for every fixed d and λ < 2 d − 1 {\displaystyle \lambda <2{\sqrt {d-1}}} , there are only finitely many (n, d, λ)-graphs. Ramanujan graphs are d-regular graphs for which this bound is tight, satisfying Hence Ramanujan graphs have an asymptotically smallest possible value of λ2. This makes them excellent spectral expanders. Lubotzky, Phillips, and Sarnak (1988), Margulis (1988), and Morgenstern (1994) show how Ramanujan graphs can be constructed explicitly. In 1985, Alon, conjectured that most d-regular graphs on n vertices, for sufficiently large n, are almost Ramanujan. That is, for ε > 0, they satisfy In 2003, Joel Friedman both proved the conjecture and specified what is meant by "most d-regular graphs" by showing that random d-regular graphs have λ ≤ 2 d − 1 + ε {\displaystyle \lambda \leq 2{\sqrt {d-1}}+\varepsilon } for every ε > 0 with probability 1 – O(n), where A simpler proof of a slightly weaker result was given by Puder. Marcus, Spielman and Srivastava, gave a construction of bipartite Ramanujan graphs based on lifts. Reingold, Vadhan, and Wigderson introduced the zig-zag product in 2003. Roughly speaking, the zig-zag product of two expander graphs produces a graph with only slightly worse expansion. Therefore, a zig-zag product can also be used to construct families of expander graphs. If G is a (n, m, λ1)-graph and H is an (m, d, λ1)-graph, then the zig-zag product G ◦ H is a (nm, d, φ(λ1, λ2))-graph where φ has the following properties. Specifically, Note that property (1) implies that the zig-zag product of two expander graphs is also an expander graph, thus zig-zag products can be used inductively to create a family of expander graphs. Intuitively, the construction of the zig-zag product can be thought of in the following way. Each vertex of G is blown up to a "cloud" of m vertices, each associated to a different edge connected to the vertex. Each vertex is now labeled as (v, k) where v refers to an original vertex of G and k refers to the kth edge of v. Two vertices, (v, k) and (w,l) are connected if it is possible to get from (v, k) to (w, l) through the following sequence of moves. An r-lift of a graph is formed by replacing each vertex by r vertices, and each edge by a matching between the corresponding sets of r {\displaystyle r} vertices. The lifted graph inherits the eigenvalues of the original graph, and has some additional eigenvalues. Bilu and Linial showed that every d-regular graph has a 2-lift in which the additional eigenvalues are at most O ( d log 3 d ) {\displaystyle O({\sqrt {d\log ^{3}d}})} in magnitude. They also showed that if the starting graph is a good enough expander, then a good 2-lift can be found in polynomial time, thus giving an efficient construction of d-regular expanders for every d. Bilu and Linial conjectured that the bound O ( d log 3 d ) {\displaystyle O({\sqrt {d\log ^{3}d}})} can be improved to 2 d − 1 {\displaystyle 2{\sqrt {d-1}}} , which would be optimal due to the Alon-Boppana bound. This conjecture was proved in the bipartite setting by Marcus, Spielman and Srivastava, who used the method of interlacing polynomials. As a result, they obtained an alternative construction of bipartite Ramanujan graphs. The original non-constructive proof was turned into an algorithm by Michael B. Cohen. Later the method was generalized to r-lifts by Hall, Puder and Sawin. There are many results that show the existence of graphs with good expansion properties through probabilistic arguments. In fact, the existence of expanders was first proved by Pinsker who showed that for a randomly chosen n vertex left d regular bipartite graph, |N(S)| ≥ (d – 2)|S| for all subsets of vertices |S| ≤ cdn with high probability, where cd is a constant depending on d that is O(d). Alon and Roichman showed that for every 1 > ε > 0, there is some c(ε) > 0 such that the following holds: For a group G of order n, consider the Cayley graph on G with c(ε) log2 n randomly chosen elements from G. Then, in the limit of n getting to infinity, the resulting graph is almost surely an ε-expander. The original motivation for expanders is to build economical robust networks (phone or computer): an expander with bounded degree is precisely an asymptotic robust graph with the number of edges growing linearly with size (number of vertices), for all subsets. Expander graphs have found extensive applications in computer science, in designing algorithms, error correcting codes, extractors, pseudorandom generators, sorting networks (Ajtai, Komlós & Szemerédi (1983)) and robust computer networks. They have also been used in proofs of many important results in computational complexity theory, such as SL = L (Reingold (2008)) and the PCP theorem (Dinur (2007)). In cryptography, expander graphs are used to construct hash functions. In a 2006 survey of expander graphs, Hoory, Linial, and Wigderson split the study of expander graphs into four categories: extremal problems, typical behavior, explicit constructions, and algorithms. Extremal problems focus on the bounding of expansion parameters, while typical behavior problems characterize how the expansion parameters are distributed over random graphs. Explicit constructions focus on constructing graphs that optimize certain parameters, and algorithmic questions study the evaluation and estimation of parameters. The expander mixing lemma states that for an (n, d, λ)-graph, for any two subsets of the vertices S, T ⊆ V, the number of edges between S and T is approximately what you would expect in a random d-regular graph. The approximation is better the smaller λ is. In a random d-regular graph, as well as in an Erdős–Rényi random graph with edge probability d⁄n, we expect d⁄n • |S| • |T| edges between S and T. More formally, let E(S, T) denote the number of edges between S and T. If the two sets are not disjoint, edges in their intersection are counted twice, that is, Then the expander mixing lemma says that the following inequality holds: Many properties of (n, d, λ)-graphs are corollaries of the expander mixing lemmas, including the following. χ ( G ) ≤ O ( d log ( 1 + d / λ ) ) . {\displaystyle \chi (G)\leq O\left({\frac {d}{\log(1+d/\lambda )}}\right).} ⌈ log n log ( d / λ ) ⌉ . {\displaystyle \left\lceil \log {\frac {n}{\log(d/\lambda )}}\right\rceil .} The Chernoff bound states that, when sampling many independent samples from a random variable in the range [−1, 1], with high probability the average of our samples is close to the expectation of the random variable. The expander walk sampling lemma, due to Ajtai, Komlós & Szemerédi (1987) and Gillman (1998), states that this also holds true when sampling from a walk on an expander graph. This is particularly useful in the theory of derandomization, since sampling according to an expander walk uses many fewer random bits than sampling independently. Sorting networks take a set of inputs and perform a series of parallel steps to sort the inputs. A parallel step consists of performing any number of disjoint comparisons and potentially swapping pairs of compared inputs. The depth of a network is given by the number of parallel steps it takes. Expander graphs play an important role in the AKS sorting network, which achieves depth O(log n). While this is asymptotically the best known depth for a sorting network, the reliance on expanders makes the constant bound too large for practical use. Within the AKS sorting network, expander graphs are used to construct bounded depth ε-halvers. An ε-halver takes as input a length n permutation of (1, …, n) and halves the inputs into two disjoint sets A and B such that for each integer k ≤ n⁄2 at most εk of the k smallest inputs are in B and at most εk of the k largest inputs are in A. The sets A and B are an ε-halving. Following Ajtai, Komlós & Szemerédi (1983), a depth d ε-halver can be constructed as follows. Take an n vertex, degree d bipartite expander with parts X and Y of equal size such that every subset of vertices of size at most εn has at least 1 – ε/ε neighbors. The vertices of the graph can be thought of as registers that contain inputs and the edges can be thought of as wires that compare the inputs of two registers. At the start, arbitrarily place half of the inputs in X and half of the inputs in Y and decompose the edges into d perfect matchings. The goal is to end with X roughly containing the smaller half of the inputs and Y containing roughly the larger half of the inputs. To achieve this, sequentially process each matching by comparing the registers paired up by the edges of this matching and correct any inputs that are out of order. Specifically, for each edge of the matching, if the larger input is in the register in X and the smaller input is in the register in Y, then swap the two inputs so that the smaller one is in X and the larger one is in Y. It is clear that this process consists of d parallel steps. After all d rounds, take A to be the set of inputs in registers in X and B to be the set of inputs in registers in Y to obtain an ε-halving. To see this, notice that if a register u in X and v in Y are connected by an edge uv then after the matching with this edge is processed, the input in u is less than that of v. Furthermore, this property remains true throughout the rest of the process. Now, suppose for some k ≤ n⁄2 that more than εk of the inputs (1, …, k) are in B. Then by expansion properties of the graph, the registers of these inputs in Y are connected with at least 1 – ε/εk registers in X. Altogether, this constitutes more than k registers so there must be some register A in X connected to some register B in Y such that the final input of A is not in (1, …, k), while the final input of B is. This violates the previous property however, and thus the output sets A and B must be an ε-halving.
[ { "paragraph_id": 0, "text": "In graph theory, an expander graph is a sparse graph that has strong connectivity properties, quantified using vertex, edge or spectral expansion. Expander constructions have spawned research in pure and applied mathematics, with several applications to complexity theory, design of robust computer networks, and the theory of error-correcting codes.", "title": "" }, { "paragraph_id": 1, "text": "Intuitively, an expander graph is a finite, undirected multigraph in which every subset of the vertices that is not \"too large\" has a \"large\" boundary. Different formalisations of these notions give rise to different notions of expanders: edge expanders, vertex expanders, and spectral expanders, as defined below.", "title": "Definitions" }, { "paragraph_id": 2, "text": "A disconnected graph is not an expander, since the boundary of a connected component is empty. Every connected graph is an expander; however, different connected graphs have different expansion parameters. The complete graph has the best expansion property, but it has largest possible degree. Informally, a graph is a good expander if it has low degree and high expansion parameters.", "title": "Definitions" }, { "paragraph_id": 3, "text": "The edge expansion (also isoperimetric number or Cheeger constant) h(G) of a graph G on n vertices is defined as", "title": "Definitions" }, { "paragraph_id": 4, "text": "which can also be written as ∂S = E(S, S) with S := V(G) \\ S the complement of S and", "title": "Definitions" }, { "paragraph_id": 5, "text": "the edges between the subsets of vertices A,B ⊆ V(G).", "title": "Definitions" }, { "paragraph_id": 6, "text": "In the equation, the minimum is over all nonempty sets S of at most n⁄2 vertices and ∂S is the edge boundary of S, i.e., the set of edges with exactly one endpoint in S.", "title": "Definitions" }, { "paragraph_id": 7, "text": "Intuitively,", "title": "Definitions" }, { "paragraph_id": 8, "text": "is the minimum number of edges that need to be cut in order to split the graph in two. The edge expansion normalizes this concept by dividing with smallest number of vertices among the two parts. To see how the normalization can drastically change the value, consider the following example. Take two complete graphs with the same number of vertices n and add n edges between the two graphs by connecting their vertices one-to-one. The minimum cut will be n but the edge expansion will be 1.", "title": "Definitions" }, { "paragraph_id": 9, "text": "Notice that in min |∂S|, the optimization can be equivalently done either over 0 ≤ |S| ≤ n⁄2 or over any non-empty subset, since E ( S , S ¯ ) = E ( S ¯ , S ) {\\displaystyle E(S,{\\overline {S}})=E({\\overline {S}},S)} . The same is not true for h(G) because of the normalization by |S|. If we want to write h(G) with an optimization over all non-empty subsets, we can rewrite it as", "title": "Definitions" }, { "paragraph_id": 10, "text": "The vertex isoperimetric number hout(G) (also vertex expansion or magnification) of a graph G is defined as", "title": "Definitions" }, { "paragraph_id": 11, "text": "where ∂out(S) is the outer boundary of S, i.e., the set of vertices in V(G) \\ S with at least one neighbor in S. In a variant of this definition (called unique neighbor expansion) ∂out(S) is replaced by the set of vertices in V with exactly one neighbor in S.", "title": "Definitions" }, { "paragraph_id": 12, "text": "The vertex isoperimetric number hin(G) of a graph G is defined as", "title": "Definitions" }, { "paragraph_id": 13, "text": "where ∂ in ( S ) {\\displaystyle \\partial _{\\text{in}}(S)} is the inner boundary of S, i.e., the set of vertices in S with at least one neighbor in V(G) \\ S.", "title": "Definitions" }, { "paragraph_id": 14, "text": "When G is d-regular, a linear algebraic definition of expansion is possible based on the eigenvalues of the adjacency matrix A = A(G) of G, where Aij is the number of edges between vertices i and j. Because A is symmetric, the spectral theorem implies that A has n real-valued eigenvalues λ1 ≥ λ2 ≥ … ≥ λn. It is known that all these eigenvalues are in [−d, d] and more specifically, it is known that λn = −d if and only if G is bipartite.", "title": "Definitions" }, { "paragraph_id": 15, "text": "More formally, we refer to an n-vertex, d-regular graph with", "title": "Definitions" }, { "paragraph_id": 16, "text": "as an (n, d, λ)-graph. The bound given by an (n, d, λ)-graph on λi for i ≠ 1 is useful many contexts, including the expander mixing lemma.", "title": "Definitions" }, { "paragraph_id": 17, "text": "Spectral expansion can be two-sided, as above, with max i ≠ 1 | λ i | ≤ λ {\\displaystyle \\max _{i\\neq 1}|\\lambda _{i}|\\leq \\lambda } , or it can be one-sided, with max i ≠ 1 λ i ≤ λ {\\displaystyle \\max _{i\\neq 1}\\lambda _{i}\\leq \\lambda } . The latter is a weaker notion that holds also for bipartite graphs and is still useful for many applications, such as the Alon-Chung lemma.", "title": "Definitions" }, { "paragraph_id": 18, "text": "Because G is regular, the uniform distribution u ∈ R n {\\displaystyle u\\in \\mathbb {R} ^{n}} with ui = 1⁄n for all i = 1, …, n is the stationary distribution of G. That is, we have Au = du, and u is an eigenvector of A with eigenvalue λ1 = d, where d is the degree of the vertices of G. The spectral gap of G is defined to be d − λ2, and it measures the spectral expansion of the graph G.", "title": "Definitions" }, { "paragraph_id": 19, "text": "If we set", "title": "Definitions" }, { "paragraph_id": 20, "text": "as this is the largest eigenvalue corresponding to an eigenvector orthogonal to u, it can be equivalently defined using the Rayleigh quotient:", "title": "Definitions" }, { "paragraph_id": 21, "text": "where", "title": "Definitions" }, { "paragraph_id": 22, "text": "is the 2-norm of the vector v ∈ R n {\\displaystyle v\\in \\mathbb {R} ^{n}} .", "title": "Definitions" }, { "paragraph_id": 23, "text": "The normalized versions of these definitions are also widely used and more convenient in stating some results. Here one considers the matrix 1/dA, which is the Markov transition matrix of the graph G. Its eigenvalues are between −1 and 1. For not necessarily regular graphs, the spectrum of a graph can be defined similarly using the eigenvalues of the Laplacian matrix. For directed graphs, one considers the singular values of the adjacency matrix A, which are equal to the roots of the eigenvalues of the symmetric matrix AA.", "title": "Definitions" }, { "paragraph_id": 24, "text": "The expansion parameters defined above are related to each other. In particular, for any d-regular graph G,", "title": "Relationships between different expansion properties" }, { "paragraph_id": 25, "text": "Consequently, for constant degree graphs, vertex and edge expansion are qualitatively the same.", "title": "Relationships between different expansion properties" }, { "paragraph_id": 26, "text": "When G is d-regular, meaning each vertex is of degree d, there is a relationship between the isoperimetric constant h(G) and the gap d − λ2 in the spectrum of the adjacency operator of G. By standard spectral graph theory, the trivial eigenvalue of the adjacency operator of a d-regular graph is λ1 = d and the first non-trivial eigenvalue is λ2. If G is connected, then λ2 < d. An inequality due to Dodziuk and independently Alon and Milman states that", "title": "Relationships between different expansion properties" }, { "paragraph_id": 27, "text": "In fact, the lower bound is tight. The lower bound is achieved in limit for the hypercube Qn, where h(G) = 1 and d – λ = 2. The upper bound is (asymptotically) achieved for a cycle, where H(Cn) = 4/n= Θ(1/n) and d – λ = 2-2cos(2 π {\\displaystyle \\pi } /n) ≈ (2 π {\\displaystyle \\pi } /n)^2= Θ(1/n). A better bound is given in as", "title": "Relationships between different expansion properties" }, { "paragraph_id": 28, "text": "These inequalities are closely related to the Cheeger bound for Markov chains and can be seen as a discrete version of Cheeger's inequality in Riemannian geometry.", "title": "Relationships between different expansion properties" }, { "paragraph_id": 29, "text": "Similar connections between vertex isoperimetric numbers and the spectral gap have also been studied:", "title": "Relationships between different expansion properties" }, { "paragraph_id": 30, "text": "Asymptotically speaking, the quantities h⁄d, hout, and hin are all bounded above by the spectral gap O(d – λ2).", "title": "Relationships between different expansion properties" }, { "paragraph_id": 31, "text": "There are four general strategies for explicitly constructing families of expander graphs. The first strategy is algebraic and group-theoretic, the second strategy is analytic and uses additive combinatorics, the third strategy is combinatorial and uses the zig-zag and related graph products, and the fourth strategy is based on lifts. Noga Alon showed that certain graphs constructed from finite geometries are the sparsest examples of highly expanding graphs.", "title": "Constructions" }, { "paragraph_id": 32, "text": "Algebraic constructions based on Cayley graphs are known for various variants of expander graphs. The following construction is due to Margulis and has been analysed by Gabber and Galil. For every natural number n, one considers the graph Gn with the vertex set Z n × Z n {\\displaystyle \\mathbb {Z} _{n}\\times \\mathbb {Z} _{n}} , where Z n = Z / n Z {\\displaystyle \\mathbb {Z} _{n}=\\mathbb {Z} /n\\mathbb {Z} } : For every vertex ( x , y ) ∈ Z n × Z n {\\displaystyle (x,y)\\in \\mathbb {Z} _{n}\\times \\mathbb {Z} _{n}} , its eight adjacent vertices are", "title": "Constructions" }, { "paragraph_id": 33, "text": "Then the following holds:", "title": "Constructions" }, { "paragraph_id": 34, "text": "Theorem. For all n, the graph Gn has second-largest eigenvalue λ ( G ) ≤ 5 2 {\\displaystyle \\lambda (G)\\leq 5{\\sqrt {2}}} .", "title": "Constructions" }, { "paragraph_id": 35, "text": "By a theorem of Alon and Boppana, all sufficiently large d-regular graphs satisfy λ 2 ≥ 2 d − 1 − o ( 1 ) {\\displaystyle \\lambda _{2}\\geq 2{\\sqrt {d-1}}-o(1)} , where λ2 is the second largest eigenvalue in absolute value. As a direct consequence, we know that for every fixed d and λ < 2 d − 1 {\\displaystyle \\lambda <2{\\sqrt {d-1}}} , there are only finitely many (n, d, λ)-graphs. Ramanujan graphs are d-regular graphs for which this bound is tight, satisfying", "title": "Constructions" }, { "paragraph_id": 36, "text": "Hence Ramanujan graphs have an asymptotically smallest possible value of λ2. This makes them excellent spectral expanders.", "title": "Constructions" }, { "paragraph_id": 37, "text": "Lubotzky, Phillips, and Sarnak (1988), Margulis (1988), and Morgenstern (1994) show how Ramanujan graphs can be constructed explicitly.", "title": "Constructions" }, { "paragraph_id": 38, "text": "In 1985, Alon, conjectured that most d-regular graphs on n vertices, for sufficiently large n, are almost Ramanujan. That is, for ε > 0, they satisfy", "title": "Constructions" }, { "paragraph_id": 39, "text": "In 2003, Joel Friedman both proved the conjecture and specified what is meant by \"most d-regular graphs\" by showing that random d-regular graphs have λ ≤ 2 d − 1 + ε {\\displaystyle \\lambda \\leq 2{\\sqrt {d-1}}+\\varepsilon } for every ε > 0 with probability 1 – O(n), where", "title": "Constructions" }, { "paragraph_id": 40, "text": "A simpler proof of a slightly weaker result was given by Puder.", "title": "Constructions" }, { "paragraph_id": 41, "text": "Marcus, Spielman and Srivastava, gave a construction of bipartite Ramanujan graphs based on lifts.", "title": "Constructions" }, { "paragraph_id": 42, "text": "Reingold, Vadhan, and Wigderson introduced the zig-zag product in 2003. Roughly speaking, the zig-zag product of two expander graphs produces a graph with only slightly worse expansion. Therefore, a zig-zag product can also be used to construct families of expander graphs. If G is a (n, m, λ1)-graph and H is an (m, d, λ1)-graph, then the zig-zag product G ◦ H is a (nm, d, φ(λ1, λ2))-graph where φ has the following properties.", "title": "Constructions" }, { "paragraph_id": 43, "text": "Specifically,", "title": "Constructions" }, { "paragraph_id": 44, "text": "Note that property (1) implies that the zig-zag product of two expander graphs is also an expander graph, thus zig-zag products can be used inductively to create a family of expander graphs.", "title": "Constructions" }, { "paragraph_id": 45, "text": "Intuitively, the construction of the zig-zag product can be thought of in the following way. Each vertex of G is blown up to a \"cloud\" of m vertices, each associated to a different edge connected to the vertex. Each vertex is now labeled as (v, k) where v refers to an original vertex of G and k refers to the kth edge of v. Two vertices, (v, k) and (w,l) are connected if it is possible to get from (v, k) to (w, l) through the following sequence of moves.", "title": "Constructions" }, { "paragraph_id": 46, "text": "An r-lift of a graph is formed by replacing each vertex by r vertices, and each edge by a matching between the corresponding sets of r {\\displaystyle r} vertices. The lifted graph inherits the eigenvalues of the original graph, and has some additional eigenvalues. Bilu and Linial showed that every d-regular graph has a 2-lift in which the additional eigenvalues are at most O ( d log 3 d ) {\\displaystyle O({\\sqrt {d\\log ^{3}d}})} in magnitude. They also showed that if the starting graph is a good enough expander, then a good 2-lift can be found in polynomial time, thus giving an efficient construction of d-regular expanders for every d.", "title": "Constructions" }, { "paragraph_id": 47, "text": "Bilu and Linial conjectured that the bound O ( d log 3 d ) {\\displaystyle O({\\sqrt {d\\log ^{3}d}})} can be improved to 2 d − 1 {\\displaystyle 2{\\sqrt {d-1}}} , which would be optimal due to the Alon-Boppana bound. This conjecture was proved in the bipartite setting by Marcus, Spielman and Srivastava, who used the method of interlacing polynomials. As a result, they obtained an alternative construction of bipartite Ramanujan graphs. The original non-constructive proof was turned into an algorithm by Michael B. Cohen. Later the method was generalized to r-lifts by Hall, Puder and Sawin.", "title": "Constructions" }, { "paragraph_id": 48, "text": "There are many results that show the existence of graphs with good expansion properties through probabilistic arguments. In fact, the existence of expanders was first proved by Pinsker who showed that for a randomly chosen n vertex left d regular bipartite graph, |N(S)| ≥ (d – 2)|S| for all subsets of vertices |S| ≤ cdn with high probability, where cd is a constant depending on d that is O(d). Alon and Roichman showed that for every 1 > ε > 0, there is some c(ε) > 0 such that the following holds: For a group G of order n, consider the Cayley graph on G with c(ε) log2 n randomly chosen elements from G. Then, in the limit of n getting to infinity, the resulting graph is almost surely an ε-expander.", "title": "Constructions" }, { "paragraph_id": 49, "text": "The original motivation for expanders is to build economical robust networks (phone or computer): an expander with bounded degree is precisely an asymptotic robust graph with the number of edges growing linearly with size (number of vertices), for all subsets.", "title": "Applications and useful properties" }, { "paragraph_id": 50, "text": "Expander graphs have found extensive applications in computer science, in designing algorithms, error correcting codes, extractors, pseudorandom generators, sorting networks (Ajtai, Komlós & Szemerédi (1983)) and robust computer networks. They have also been used in proofs of many important results in computational complexity theory, such as SL = L (Reingold (2008)) and the PCP theorem (Dinur (2007)). In cryptography, expander graphs are used to construct hash functions.", "title": "Applications and useful properties" }, { "paragraph_id": 51, "text": "In a 2006 survey of expander graphs, Hoory, Linial, and Wigderson split the study of expander graphs into four categories: extremal problems, typical behavior, explicit constructions, and algorithms. Extremal problems focus on the bounding of expansion parameters, while typical behavior problems characterize how the expansion parameters are distributed over random graphs. Explicit constructions focus on constructing graphs that optimize certain parameters, and algorithmic questions study the evaluation and estimation of parameters.", "title": "Applications and useful properties" }, { "paragraph_id": 52, "text": "The expander mixing lemma states that for an (n, d, λ)-graph, for any two subsets of the vertices S, T ⊆ V, the number of edges between S and T is approximately what you would expect in a random d-regular graph. The approximation is better the smaller λ is. In a random d-regular graph, as well as in an Erdős–Rényi random graph with edge probability d⁄n, we expect d⁄n • |S| • |T| edges between S and T.", "title": "Applications and useful properties" }, { "paragraph_id": 53, "text": "More formally, let E(S, T) denote the number of edges between S and T. If the two sets are not disjoint, edges in their intersection are counted twice, that is,", "title": "Applications and useful properties" }, { "paragraph_id": 54, "text": "Then the expander mixing lemma says that the following inequality holds:", "title": "Applications and useful properties" }, { "paragraph_id": 55, "text": "Many properties of (n, d, λ)-graphs are corollaries of the expander mixing lemmas, including the following.", "title": "Applications and useful properties" }, { "paragraph_id": 56, "text": "χ ( G ) ≤ O ( d log ( 1 + d / λ ) ) . {\\displaystyle \\chi (G)\\leq O\\left({\\frac {d}{\\log(1+d/\\lambda )}}\\right).}", "title": "Applications and useful properties" }, { "paragraph_id": 57, "text": "⌈ log n log ( d / λ ) ⌉ . {\\displaystyle \\left\\lceil \\log {\\frac {n}{\\log(d/\\lambda )}}\\right\\rceil .}", "title": "Applications and useful properties" }, { "paragraph_id": 58, "text": "The Chernoff bound states that, when sampling many independent samples from a random variable in the range [−1, 1], with high probability the average of our samples is close to the expectation of the random variable. The expander walk sampling lemma, due to Ajtai, Komlós & Szemerédi (1987) and Gillman (1998), states that this also holds true when sampling from a walk on an expander graph. This is particularly useful in the theory of derandomization, since sampling according to an expander walk uses many fewer random bits than sampling independently.", "title": "Applications and useful properties" }, { "paragraph_id": 59, "text": "Sorting networks take a set of inputs and perform a series of parallel steps to sort the inputs. A parallel step consists of performing any number of disjoint comparisons and potentially swapping pairs of compared inputs. The depth of a network is given by the number of parallel steps it takes. Expander graphs play an important role in the AKS sorting network, which achieves depth O(log n). While this is asymptotically the best known depth for a sorting network, the reliance on expanders makes the constant bound too large for practical use.", "title": "Applications and useful properties" }, { "paragraph_id": 60, "text": "Within the AKS sorting network, expander graphs are used to construct bounded depth ε-halvers. An ε-halver takes as input a length n permutation of (1, …, n) and halves the inputs into two disjoint sets A and B such that for each integer k ≤ n⁄2 at most εk of the k smallest inputs are in B and at most εk of the k largest inputs are in A. The sets A and B are an ε-halving.", "title": "Applications and useful properties" }, { "paragraph_id": 61, "text": "Following Ajtai, Komlós & Szemerédi (1983), a depth d ε-halver can be constructed as follows. Take an n vertex, degree d bipartite expander with parts X and Y of equal size such that every subset of vertices of size at most εn has at least 1 – ε/ε neighbors.", "title": "Applications and useful properties" }, { "paragraph_id": 62, "text": "The vertices of the graph can be thought of as registers that contain inputs and the edges can be thought of as wires that compare the inputs of two registers. At the start, arbitrarily place half of the inputs in X and half of the inputs in Y and decompose the edges into d perfect matchings. The goal is to end with X roughly containing the smaller half of the inputs and Y containing roughly the larger half of the inputs. To achieve this, sequentially process each matching by comparing the registers paired up by the edges of this matching and correct any inputs that are out of order. Specifically, for each edge of the matching, if the larger input is in the register in X and the smaller input is in the register in Y, then swap the two inputs so that the smaller one is in X and the larger one is in Y. It is clear that this process consists of d parallel steps.", "title": "Applications and useful properties" }, { "paragraph_id": 63, "text": "After all d rounds, take A to be the set of inputs in registers in X and B to be the set of inputs in registers in Y to obtain an ε-halving. To see this, notice that if a register u in X and v in Y are connected by an edge uv then after the matching with this edge is processed, the input in u is less than that of v. Furthermore, this property remains true throughout the rest of the process. Now, suppose for some k ≤ n⁄2 that more than εk of the inputs (1, …, k) are in B. Then by expansion properties of the graph, the registers of these inputs in Y are connected with at least 1 – ε/εk registers in X. Altogether, this constitutes more than k registers so there must be some register A in X connected to some register B in Y such that the final input of A is not in (1, …, k), while the final input of B is. This violates the previous property however, and thus the output sets A and B must be an ε-halving.", "title": "Applications and useful properties" } ]
In graph theory, an expander graph is a sparse graph that has strong connectivity properties, quantified using vertex, edge or spectral expansion. Expander constructions have spawned research in pure and applied mathematics, with several applications to complexity theory, design of robust computer networks, and the theory of error-correcting codes.
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https://en.wikipedia.org/wiki/Expander_graph
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England
England is a country that is part of the United Kingdom. It shares land borders with Wales to its west and Scotland to its north, while Ireland is located across the Irish Sea to its west and northwest, and the Celtic Sea lies to its southwest. It is separated from continental Europe by the North Sea to the east and the English Channel to the south. The country covers roughly 62% of the island of Great Britain, which is in the North Atlantic, and includes over 100 smaller islands such as the Isles of Scilly and the Isle of Wight. The area now called England was first inhabited by modern humans during the Upper Paleolithic, but takes its name from the Angles, a Germanic tribe who settled during the 5th and 6th centuries. England became a unified state in the 10th century and has had a significant cultural and legal impact on the wider world since the Age of Discovery, which began during the 15th century. The Kingdom of England, which included Wales after 1535, ceased being a separate sovereign state on 1 May 1707 when the Acts of Union put the terms agreed in the Treaty of Union the previous year into effect; this resulted in a political union with the Kingdom of Scotland that created the Kingdom of Great Britain. England is the origin of many well-known worldwide exports, including the English language, the English law system (which served as the basis for the common law systems of many other countries), association football (the world's most popular sport), and the Church of England; its parliamentary system of government has been widely adopted by other nations. The Industrial Revolution began in 18th-century England, transforming its society into the world's first industrialised nation. England is home to the two oldest universities in the English-speaking world: the University of Oxford, founded in 1096, and the University of Cambridge, founded in 1209. Both universities are ranked among the most prestigious in the world. England's terrain chiefly consists of low hills and plains, especially in the centre and south. Upland and mountainous terrain is mostly found in the north and west, including Dartmoor, the Lake District, the Pennines, and the Shropshire Hills. The country's capital is London, the greater metropolitan of which has a population of 14.2 million as of 2021, representing the United Kingdom's largest metropolitan area. England's population of 56.3 million comprises 84% of the population of the United Kingdom, largely concentrated around London, the South East, and conurbations in the centre, the North West, the North East, and Yorkshire and the Humber, which each developed as major industrial regions during the 19th century. The name "England" is derived from the Old English name Englaland, which means "land of the Angles". The Angles were one of the Germanic tribes that settled in Great Britain during the Early Middle Ages. The Angles came from the Anglia peninsula in the Bay of Kiel area (present-day German state of Schleswig-Holstein) of the Baltic Sea. The earliest recorded use of the term, as "Engla londe", is in the late-ninth-century translation into Old English of Bede's Ecclesiastical History of the English People. The term was then used to mean "the land inhabited by the English", and it included English people in what is now south-east Scotland but was then part of the English kingdom of Northumbria. The Anglo-Saxon Chronicle recorded that the Domesday Book of 1086 covered the whole of England, meaning the English kingdom, but a few years later the Chronicle stated that King Malcolm III went "out of Scotlande into Lothian in Englaland", thus using it in the more ancient sense. The earliest attested reference to the Angles occurs in the 1st-century work by Tacitus, Germania, in which the Latin word Anglii is used. The etymology of the tribal name itself is disputed by scholars; it has been suggested that it derives from the shape of the Angeln peninsula, an angular shape. How and why a term derived from the name of a tribe that was less significant than others, such as the Saxons, came to be used for the entire country is not known, but it seems this is related to the custom of calling the Germanic people in Britain Angli Saxones or English Saxons to distinguish them from continental Saxons (Eald-Seaxe) of Old Saxony in Germany. In Scottish Gaelic, the Saxon tribe gave their name to the word for England (Sasunn); similarly, the Welsh name for the English language is "Saesneg". A romantic name for England is Loegria, related to the Welsh word for England, Lloegr, and made popular by its use in Arthurian legend. Albion is also applied to England in a more poetic capacity, though its original meaning is the island of Britain as a whole. The earliest known evidence of human presence in the area now known as England was that of Homo antecessor, dating to approximately 780,000 years ago. The oldest proto-human bones discovered in England date from 500,000 years ago. Modern humans are known to have inhabited the area during the Upper Paleolithic period, though permanent settlements were only established within the last 6,000 years. After the last ice age only large mammals such as mammoths, bison and woolly rhinoceros remained. Roughly 11,000 years ago, when the ice sheets began to recede, humans repopulated the area; genetic research suggests they came from the northern part of the Iberian Peninsula. The sea level was lower than the present day and Britain was connected by land bridge to Ireland and Eurasia. As the seas rose, it was separated from Ireland 10,000 years ago and from Eurasia two millennia later. The Beaker culture arrived around 2,500 BC, introducing drinking and food vessels constructed from clay, as well as vessels used as reduction pots to smelt copper ores. It was during this time that major Neolithic monuments such as Stonehenge and Avebury were constructed. By heating together tin and copper, which were in abundance in the area, the Beaker culture people made bronze, and later iron from iron ores. The development of iron smelting allowed the construction of better ploughs, advancing agriculture (for instance, with Celtic fields), as well as the production of more effective weapons. During the Iron Age, Celtic culture, deriving from the Hallstatt and La Tène cultures, arrived from Central Europe. Brythonic was the spoken language during this time. Society was tribal; according to Ptolemy's Geographia there were around 20 tribes in the area. Like other regions on the edge of the Empire, Britain had long enjoyed trading links with the Romans. Julius Caesar of the Roman Republic attempted to invade twice in 55 BC; although largely unsuccessful, he managed to set up a client king from the Trinovantes. The Romans invaded Britain in 43 AD during the reign of Emperor Claudius, subsequently conquering much of Britain, and the area was incorporated into the Roman Empire as Britannia province. The best-known of the native tribes who attempted to resist were the Catuvellauni led by Caratacus. Later, an uprising led by Boudica, Queen of the Iceni, ended with Boudica's suicide following her defeat at the Battle of Watling Street. The author of one study of Roman Britain suggested that from 43 AD to 84 AD, the Roman invaders killed somewhere between 100,000 and 250,000 people from a population of perhaps 2,000,000. This era saw a Greco-Roman culture prevail with the introduction of Roman law, Roman architecture, aqueducts, sewers, many agricultural items and silk. In the 3rd century, Emperor Septimius Severus died at Eboracum (now York), where Constantine was subsequently proclaimed emperor a century later. There is debate about when Christianity was first introduced; it was no later than the 4th century, probably much earlier. According to Bede, missionaries were sent from Rome by Eleutherius at the request of the chieftain Lucius of Britain in 180 AD, to settle differences as to Eastern and Western ceremonials, which were disturbing the church. There are traditions linked to Glastonbury claiming an introduction through Joseph of Arimathea, while others claim through Lucius of Britain. By 410, during the decline of the Roman Empire, Britain was left exposed by the end of Roman rule in Britain and the withdrawal of Roman army units, to defend the frontiers in continental Europe and partake in civil wars. Celtic Christian monastic and missionary movements flourished. This period of Christianity was influenced by ancient Celtic culture in its sensibilities, polity, practices and theology. Local "congregations" were centred in the monastic community and monastic leaders were more like chieftains, as peers, rather than in the more hierarchical system of the Roman-dominated church. Roman military withdrawals left Britain open to invasion by pagan, seafaring warriors from north-western continental Europe, chiefly the Saxons, Angles, Jutes and Frisians who had long raided the coasts of the Roman province. These groups then began to settle in increasing numbers over the course of the fifth and sixth centuries, initially in the eastern part of the country. Their advance was contained for some decades after the Britons' victory at the Battle of Mount Badon, but subsequently resumed, overrunning the fertile lowlands of Britain and reducing the area under Brittonic control to a series of separate enclaves in the more rugged country to the west by the end of the 6th century. Contemporary texts describing this period are extremely scarce, giving rise to its description as a Dark Age. Details of the Anglo-Saxon settlement of Britain are consequently subject to considerable disagreement; the emerging consensus is that it occurred on a large scale in the south and east but was less substantial to the north and west, where Celtic languages continued to be spoken even in areas under Anglo-Saxon control. Roman-dominated Christianity had, in general, been replaced in the conquered territories by Anglo-Saxon paganism, but was reintroduced by missionaries from Rome led by Augustine from 597. Disputes between the Roman- and Celtic-dominated forms of Christianity ended in victory for the Roman tradition at the Council of Whitby (664), which was ostensibly about tonsures (clerical haircuts) and the date of Easter, but more significantly, about the differences in Roman and Celtic forms of authority, theology, and practice. During the settlement period the lands ruled by the incomers seem to have been fragmented into numerous tribal territories, but by the 7th century, when substantial evidence of the situation again becomes available, these had coalesced into roughly a dozen kingdoms including Northumbria, Mercia, Wessex, East Anglia, Essex, Kent and Sussex. Over the following centuries, this process of political consolidation continued. The 7th century saw a struggle for hegemony between Northumbria and Mercia, which in the 8th century gave way to Mercian preeminence. In the early 9th century Mercia was displaced as the foremost kingdom by Wessex. Later in that century escalating attacks by the Danes culminated in the conquest of the north and east of England, overthrowing the kingdoms of Northumbria, Mercia and East Anglia. Wessex under Alfred the Great was left as the only surviving English kingdom, and under his successors, it steadily expanded at the expense of the kingdoms of the Danelaw. This brought about the political unification of England, first accomplished under Æthelstan in 927 and definitively established after further conflicts by Eadred in 953. A fresh wave of Scandinavian attacks from the late 10th century ended with the conquest of this united kingdom by Sweyn Forkbeard in 1013 and again by his son Cnut in 1016, turning it into the centre of a short-lived North Sea Empire that also included Denmark and Norway. However, the native royal dynasty was restored with the accession of Edward the Confessor in 1042. A dispute over the succession to Edward led to the Norman Conquest in 1066, accomplished by an army led by Duke William of Normandy. The Normans themselves originated from Scandinavia and had settled in Normandy in the late 9th and early 10th centuries. This conquest led to the almost total dispossession of the English elite and its replacement by a new French-speaking aristocracy, whose speech had a profound and permanent effect on the English language. Subsequently, the House of Plantagenet from Anjou inherited the English throne under Henry II, adding England to the budding Angevin Empire of fiefs the family had inherited in France including Aquitaine. They reigned for three centuries, some noted monarchs being Richard I, Edward I, Edward III and Henry V. The period saw changes in trade and legislation, including the signing of the Magna Carta, an English legal charter used to limit the sovereign's powers by law and protect the privileges of freemen. Catholic monasticism flourished, providing philosophers, and the universities of Oxford and Cambridge were founded with royal patronage. The Principality of Wales became a Plantagenet fief during the 13th century and the Lordship of Ireland was given to the English monarchy by the Pope. During the 14th century, the Plantagenets and the House of Valois claimed to be legitimate claimants to the House of Capet and of France; the two powers clashed in the Hundred Years' War. The Black Death epidemic hit England; starting in 1348, it eventually killed up to half of England's inhabitants. Between 1453 and 1487, a civil war known as the War of the Roses waged between the two branches of the royal family, the Yorkists and Lancastrians. Eventually it led to the Yorkists losing the throne entirely to a Welsh noble family the Tudors, a branch of the Lancastrians headed by Henry Tudor who invaded with Welsh and Breton mercenaries, gaining victory at the Battle of Bosworth Field where the Yorkist king Richard III was killed. During the Tudor period, England began to develop naval skills, and exploration intensified in the Age of Discovery. Henry VIII broke from communion with the Catholic Church, over issues relating to his divorce, under the Acts of Supremacy in 1534 which proclaimed the monarch head of the Church of England. In contrast with much of European Protestantism, the roots of the split were more political than theological. He also legally incorporated his ancestral land Wales into the Kingdom of England with the 1535–1542 acts. There were internal religious conflicts during the reigns of Henry's daughters, Mary I and Elizabeth I. The former took the country back to Catholicism while the latter broke from it again, forcefully asserting the supremacy of Anglicanism. The Elizabethan era is the epoch in the Tudor age of the reign of Queen Elizabeth I ("the Virgin Queen"). Historians often depict it as the golden age in English history that represented the apogee of the English Renaissance and saw the flowering of great art, drama, poetry, music and literature. England during this period had a centralised, well-organised, and effective government. Competing with Spain, the first English colony in the Americas was founded in 1585 by explorer Walter Raleigh in Virginia and named Roanoke. The Roanoke colony failed and is known as the lost colony after it was found abandoned on the return of the late-arriving supply ship. With the East India Company, England also competed with the Dutch and French in the East. During the Elizabethan period, England was at war with Spain. An armada sailed from Spain in 1588 as part of a wider plan to invade England and re-establish a Catholic monarchy. The plan was thwarted by bad coordination, stormy weather and successful harrying attacks by an English fleet under Lord Howard of Effingham. This failure did not end the threat: Spain launched two further armadas, in 1596 and 1597, but both were driven back by storms. The political structure of the island changed in 1603, when the King of Scots, James VI, a kingdom which had been a long-time rival to English interests, inherited the throne of England as James I, thereby creating a personal union. He styled himself King of Great Britain, although this had no basis in English law. Under the auspices of James VI and I the Authorised King James Version of the Holy Bible was published in 1611. It was the standard version of the Bible read by most Protestant Christians for four hundred years until modern revisions were produced in the 20th century. Based on conflicting political, religious and social positions, the English Civil War was fought between the supporters of Parliament and those of King Charles I, known colloquially as Roundheads and Cavaliers respectively. This was an interwoven part of the wider multifaceted Wars of the Three Kingdoms, involving Scotland and Ireland. The Parliamentarians were victorious, Charles I was executed and the kingdom replaced by the Commonwealth. Leader of the Parliament forces, Oliver Cromwell declared himself Lord Protector in 1653; a period of personal rule followed. After Cromwell's death and the resignation of his son Richard as Lord Protector, Charles II was invited to return as monarch in 1660, in a move called the Restoration. With the reopening of theatres, fine arts, literature and performing arts flourished throughout the Restoration of ''the Merry Monarch'' Charles II. After the Glorious Revolution of 1688, it was constitutionally established that King and Parliament should rule together, though Parliament would have the real power. This was established with the Bill of Rights in 1689. Among the statutes set down were that the law could only be made by Parliament and could not be suspended by the King, also that the King could not impose taxes or raise an army without the prior approval of Parliament. Also since that time, no British monarch has entered the House of Commons when it is sitting, which is annually commemorated at the State Opening of Parliament by the British monarch when the doors of the House of Commons are slammed in the face of the monarch's messenger, symbolising the rights of Parliament and its independence from the monarch. With the founding of the Royal Society in 1660, science was greatly encouraged. By the mid-to-late 17th century, two political factions had emerged – the Tories and Whigs. Though the Tories initially supported Catholic king James II, some of them, along with the Whigs, during the Revolution of 1688 invited the Dutch Prince William of Orange to defeat James and become the king. Some English people, especially in the north, were Jacobites and continued to support James and his sons. Under the Stuart dynasty England expanded in trade, finance and prosperity. Britain developed Europe's largest merchant fleet. After the parliaments of England and Scotland agreed, the two countries joined in political union, to create the Kingdom of Great Britain in 1707. To accommodate the union, institutions such as the law and national churches of each remained separate. Under the newly formed Kingdom of Great Britain, output from the Royal Society and other English initiatives combined with the Scottish Enlightenment to create innovations in science and engineering, while the enormous growth in British overseas trade protected by the Royal Navy paved the way for the establishment of the British Empire. Domestically it drove the Industrial Revolution, a period of profound change in the socioeconomic and cultural conditions of England, resulting in industrialised agriculture, manufacture, engineering and mining, as well as new and pioneering road, rail and water networks to facilitate their expansion and development. The opening of Northwest England's Bridgewater Canal in 1761 ushered in the canal age in Britain. In 1825 the world's first permanent steam locomotive-hauled passenger railway – the Stockton and Darlington Railway – opened to the public. During the Industrial Revolution, many workers moved from England's countryside to new and expanding urban industrial areas to work in factories, for instance at Birmingham and Manchester, with the latter the world's first industrial city. England maintained relative stability throughout the French Revolution, under George III and William Pitt the Younger. The regency of George IV is noted for its elegance and achievements in the fine arts and architecture. During the Napoleonic Wars, Napoleon planned to invade from the south-east; however, this failed to manifest and the Napoleonic forces were defeated by the British: at sea by Horatio Nelson, and on land by Arthur Wellesley. The major victory at the Battle of Trafalgar confirmed the naval supremacy Britain had established during the course of the eighteenth century. The Napoleonic Wars fostered a concept of Britishness and a united national British people, shared with the English, Scots and Welsh. London became the largest and most populous metropolitan area in the world during the Victorian era, and trade within the British Empire – as well as the standing of the British military and navy – was prestigious. Technologically, this era saw many innovations that proved key to the United Kingdom's power and prosperity. Political agitation at home from radicals such as the Chartists and the suffragettes enabled legislative reform and universal suffrage. Power shifts in east-central Europe led to World War I; hundreds of thousands of English soldiers died fighting for the United Kingdom as part of the Allies. Two decades later, in World War II, the United Kingdom was again one of the Allies. Developments in warfare technology saw many cities damaged by air-raids during the Blitz. Following the war, the British Empire experienced rapid decolonisation, and there was a speeding-up of technological innovations; automobiles became the primary means of transport and Frank Whittle's development of the jet engine led to wider air travel. Residential patterns were altered in England by private motoring, and by the creation of the National Health Service in 1948, providing publicly funded health care to all permanent residents free at the point of need. Combined, these prompted the reform of local government in England in the mid-20th century. Since the 20th century, there has been significant population movement to England, mostly from other parts of the British Isles, but also from the Commonwealth, particularly the Indian subcontinent. Since the 1970s there has been a large move away from manufacturing and an increasing emphasis on the service industry. As part of the United Kingdom, the area joined a common market initiative called the European Economic Community which became the European Union. Since the late 20th century the administration of the United Kingdom has moved towards devolved governance in Scotland, Wales and Northern Ireland. England and Wales continues to exist as a jurisdiction within the United Kingdom. Devolution has stimulated a greater emphasis on a more English-specific identity and patriotism. There is no devolved English government, but an attempt to create a similar system on a sub-regional basis was rejected by referendum. England is part of the United Kingdom, a constitutional monarchy with a parliamentary system. There has not been a government of England since 1707, when the Acts of Union 1707, putting into effect the terms of the Treaty of Union, joined England and Scotland to form the Kingdom of Great Britain. Before the union England was ruled by its monarch and the Parliament of England. Today England is governed directly by the Parliament of the United Kingdom, although other countries of the United Kingdom have devolved governments. In the House of Commons which is the lower house of the British Parliament based at the Palace of Westminster, there are 532 members of parliament (MPs) for constituencies in England, out of the 650 total. England is represented by 345 MPs from the Conservative Party, 179 from the Labour Party, seven from the Liberal Democrats, one from the Green Party, and the Speaker of the House. Since devolution, in which other countries of the United Kingdom – Scotland, Wales and Northern Ireland – each have their own devolved parliament or assemblies for local issues, there has been debate about how to counterbalance this in England. Originally it was planned that various regions of England would be devolved, but following the proposal's rejection by the North East in a 2004 referendum, this has not been carried out. The English law legal system, developed over the centuries, is the basis of common law legal systems used in most Commonwealth countries and the United States (except Louisiana). Despite now being part of the United Kingdom, the legal system of the Courts of England and Wales continued, under the Treaty of Union, as a separate legal system from the one used in Scotland. The general essence of English law is that it is made by judges sitting in courts, applying their common sense and knowledge of legal precedent – stare decisis – to the facts before them. The court system is headed by the Senior Courts of England and Wales, consisting of the Court of Appeal, the High Court of Justice for civil cases, and the Crown Court for criminal cases. The Supreme Court of the United Kingdom is the highest court for criminal and civil cases in England and Wales. It was created in 2009 after constitutional changes, taking over the judicial functions of the House of Lords. A decision of the Supreme Court is binding on every other court in the hierarchy, which must follow its directions. The Secretary of State for Justice is the minister responsible to Parliament for the judiciary, the court system and prisons and probation in England. Crime increased between 1981 and 1995 but fell by 42% in the period 1995–2006. The prison population doubled over the same period, giving it one of the highest incarceration rates in Western Europe at 147 per 100,000. His Majesty's Prison Service, reporting to the Ministry of Justice, manages most prisons, housing 81,309 prisoners in England and Wales as of September 2022. The subdivisions of England consist of up to four levels of subnational division, controlled through a variety of types of administrative entities created for the purposes of local government. Outside the London region, England's highest tier is the 48 ceremonial counties. These are used primarily as a geographical frame of reference. Of these, 38 developed gradually since the Middle Ages; these were reformed to 51 in 1974 and to their current number in 1996. Each has a Lord Lieutenant and High Sheriff; these posts are used to represent the British monarch locally. Some counties, such as Herefordshire, are only divided further into civil parishes. The royal county of Berkshire and the metropolitan counties have different types of status to other ceremonial counties. The second tier is made up of combined authorities and the 27 county-tier shire counties. In 1974, all ceremonial counties were two-tier; and with the metropolitan county tier phased out, the 1996 reform separated the ceremonial county and the administrative county tier. England is also divided into local government districts. The district can align to a ceremonial county, or be a district tier within a shire county, be a royal or metropolitan borough, have borough or city status, or be a unitary authority. At the community level, much of England is divided into civil parishes with their own councils; in Greater London only one such parish, Queen's Park, exists as of 2014 after they were abolished in 1965 until legislation allowed their recreation in 2007. From 1994 until the early 2010s England was divided for a few purposes into regions; a 1998 referendum for the London Region created the London Assembly two years later. A failed 2004 North East England devolution referendum cancelled further regional assembly devolution with the regional structure outside London abolished. Ceremonially and administratively, the region is divided between the City of London and Greater London; these are further divided into the 32 London Boroughs and the 25 Wards of the City of London. Geographically, England includes the central and southern two-thirds of the island of Great Britain, plus such offshore islands as the Isle of Wight and the Isles of Scilly. It is bordered by two other countries of the United Kingdom: to the north by Scotland and to the west by Wales. England is closer than any other part of mainland Britain to the European continent. It is separated from France (Hauts-de-France) by a 21-mile (34 km) sea gap, though the two countries are connected by the Channel Tunnel near Folkestone. England also has shores on the Irish Sea, North Sea and Atlantic Ocean. The ports of London, Liverpool, and Newcastle lie on the tidal rivers Thames, Mersey and Tyne respectively. At 220 miles (350 km), the Severn is the longest river flowing through England. It empties into the Bristol Channel and is notable for its Severn Bore (a tidal bore), which can reach 2 metres (6.6 ft) in height. However, the longest river entirely in England is the Thames, which is 215 miles (346 km) in length. There are many lakes in England; the largest is Windermere, within the aptly named Lake District. Most of England's landscape consists of low hills and plains, with upland and mountainous terrain in the north and west of the country. The northern uplands include the Pennines, a chain of uplands dividing east and west, the Lake District mountains in Cumbria, and the Cheviot Hills, straddling the border between England and Scotland. The highest point in England, at 978 metres (3,209 ft), is Scafell Pike in the Lake District. The Shropshire Hills are near Wales while Dartmoor and Exmoor are two upland areas in the south-west of the country. The approximate dividing line between terrain types is often indicated by the Tees–Exe line. The Pennines, known as the "backbone of England", are the oldest range of mountains in the country, originating from the end of the Paleozoic Era around 300 million years ago. Their geological composition includes, among others, sandstone and limestone, and also coal. There are karst landscapes in calcite areas such as parts of Yorkshire and Derbyshire. The Pennine landscape is high moorland in upland areas, indented by fertile valleys of the region's rivers. They contain two national parks, the Yorkshire Dales and the Peak District. In the West Country, Dartmoor and Exmoor of the Southwest Peninsula include upland moorland supported by granite. The English Lowlands are in the central and southern regions of the country, consisting of green rolling hills, including the Cotswold Hills, Chiltern Hills, North and South Downs; where they meet the sea they form white rock exposures such as the cliffs of Dover. This also includes relatively flat plains such as the Salisbury Plain, Somerset Levels, South Coast Plain and The Fens. England has a temperate maritime climate: it is mild with temperatures not much lower than 0 °C (32 °F) in winter and not much higher than 32 °C (90 °F) in summer. The weather is damp relatively frequently and is changeable. The coldest months are January and February, the latter particularly on the English coast, while July is normally the warmest month. Months with mild to warm weather are May, June, September and October. Rainfall is spread fairly evenly throughout the year. Important influences on the climate of England are its proximity to the Atlantic Ocean, its northern latitude and the warming of the sea by the Gulf Stream. Rainfall is higher in the west, and parts of the Lake District receive more rain than anywhere else in the country. Since weather records began, the highest temperature recorded was 40.3 °C (104.5 °F) on 19 July 2022 at Coningsby, Lincolnshire, while the lowest was −26.1 °C (−15.0 °F) on 10 January 1982 in Edgmond, Shropshire. The fauna of England is similar to that of other areas in the British Isles with a wide range of vertebrate and invertebrate life in a diverse range of habitats. National nature reserves in England are designated by Natural England as key places for wildlife and natural features in England. They were established to protect the most significant areas of habitat and of geological formations. NNRs are managed on behalf of the nation, many by Natural England themselves, but also by non-governmental organisations, including the members of The Wildlife Trusts partnership, the National Trust, and the Royal Society for the Protection of Birds. There are 229 NNRs in England covering 939 square kilometres (363 square miles). Often they contain rare species or nationally important populations of plants and animals. The Environment Agency is a non-departmental public body, established in 1995 and sponsored by the Department for Environment, Food and Rural Affairs with responsibilities relating to the protection and enhancement of the environment in England. The Secretary of State for Environment, Food and Rural Affairs is the minister responsible for environmental protection, agriculture, fisheries and rural communities in England. England has a temperate oceanic climate in most areas, lacking extremes of cold or heat, but does have a few small areas of subarctic and warmer areas in the South West. Towards the North of England the climate becomes colder and most of England's mountains and high hills are located here and have a major impact on the climate and thus the local fauna of the areas. Deciduous woodlands are common across all of England and provide a great habitat for much of England's wildlife, but these give way in northern and upland areas of England to coniferous forests (mainly plantations) which also benefit certain forms of wildlife. Some species have adapted to the expanded urban environment, particularly the red fox, which is the most successful urban mammal after the brown rat, and other animals such as common wood pigeon, both of which thrive in urban and suburban areas. The Greater London Built-up Area is by far the largest urban area in England and one of the busiest cities in the world. It is considered a global city and has a population larger than any other country in the United Kingdom besides England itself. Other urban areas of considerable size and influence tend to be in northern England or the English Midlands. There are 50 settlements which have designated city status in England, while the wider United Kingdom has 66. While many cities in England are quite large, such as Birmingham, Sheffield, Manchester, Liverpool, Leeds, Newcastle, Bradford, Nottingham, population size is not a prerequisite for city status. Traditionally the status was given to towns with diocesan cathedrals, so there are smaller cities like Wells, Ely, Ripon, Truro and Chichester. England's economy is one of the largest and most dynamic in the world, with an average GDP per capita of £34,690. HM Treasury, led by the Chancellor of the Exchequer, is responsible for developing and executing the government's public finance policy and economic policy. Usually regarded as a mixed market economy, it has adopted many free market principles, yet maintains an advanced social welfare infrastructure. The economy of England is the largest part of the UK's economy. England is a leader in the chemical and pharmaceutical sectors and in key technical industries, particularly aerospace, the arms industry, and the software industry. London, home to the London Stock Exchange, the United Kingdom's main stock exchange and the largest in Europe, is England's financial centre, with 100 of Europe's 500 largest corporations being based there. London is the largest financial centre in Europe and as of 2014 is the second largest in the world. London has also been named as the fastest growing technology hub in Europe, with England having over 100 unique tech companies with a value of $1 billion or more. The Bank of England, founded in 1694 as private banker to the government of England and a state-owned institution since 1946, is the United Kingdom's central bank. The bank has a monopoly on the issue of banknotes in England and Wales, although not in other parts of the UK. The government has devolved responsibility to the bank's Monetary Policy Committee for managing the monetary policy of the country and setting interest rates. England is highly industrialised, but since the 1970s there has been a decline in traditional heavy and manufacturing industries, and an increasing emphasis on a more service industry oriented economy. Tourism has become a significant industry, attracting millions of visitors to England each year. The export part of the economy is dominated by pharmaceuticals, automotives, crude oil and petroleum from the English parts of North Sea oil along with Wytch Farm, aircraft engines and alcoholic beverages. The creative industries accounted for 7 per cent GVA in 2005 and grew at an average of 6 per cent per annum between 1997 and 2005. Agriculture is intensive, highly mechanised and efficient by European standards, producing 60% of food needs with only 2% of the labour force. Two-thirds of production is devoted to livestock, the remainder to arable crops. The main crops that are grown are wheat, barley, oats, potatoes, and sugar beets. England retains a significant fishing industry. Its fleets bring home a variety of fish, ranging from sole to herring. England is also rich in natural resources including coal, petroleum, natural gas, tin, limestone, iron ore, salt, clay, chalk, gypsum, lead, and silica. Prominent English figures from the field of science and mathematics include Sir Isaac Newton, Charles Darwin, Robert Hooke, Alan Turing, Stephen Hawking, Edward Jenner, Francis Crick, Joseph Lister, Joseph Priestley, Thomas Young, Christopher Wren and Richard Dawkins. England was a leading centre of the Scientific Revolution from the 17th century. As the birthplace of the Industrial Revolution, England was home to many significant inventors during the late 18th and early 19th centuries. Famous English engineers include Isambard Kingdom Brunel, best known for the creation of the Great Western Railway, a series of famous steamships, and numerous important bridges, revolutionising public transport and modern-day engineering. Thomas Newcomen's steam engine helped spawn the Industrial Revolution. The Father of Railways, George Stephenson, built the first public inter-city railway line in the world, the Liverpool and Manchester Railway, which opened in 1830. With his role in the marketing and manufacturing of the steam engine, and invention of modern coinage, Matthew Boulton (business partner of James Watt) is regarded as one of the most influential entrepreneurs in history. The physician Edward Jenner's smallpox vaccine is said to have "saved more lives ... than were lost in all the wars of mankind since the beginning of recorded history." Inventions and discoveries of the English include the jet engine; the first industrial spinning machine; the first computer and the first modern computer; the World Wide Web along with HTML; the first successful human blood transfusion; the motorised vacuum cleaner; the lawn mower; the seat belt; the hovercraft; the electric motor; steam engines; and theories such as the Darwinian theory of evolution and atomic theory. Newton developed the ideas of universal gravitation, Newtonian mechanics, and calculus, and Robert Hooke his eponymously named law of elasticity. Other inventions include the iron plate railway, the thermosiphon, tarmac, the rubber band, the mousetrap, "cat's eye" road marker, joint development of the light bulb, steam locomotives, the modern seed drill and many modern techniques and technologies used in precision engineering. The Royal Society, formally The Royal Society of London for Improving Natural Knowledge, is a learned society and the United Kingdom's national academy of sciences. Founded on 28 November 1660, It is the oldest national scientific institution in the world. The Royal Institution of Great Britain was founded in 1799 by leading English scientists, including Henry Cavendish. Some experts claim that the earliest concept of a metric system was invented by John Wilkins in 1668. Scientific research and development remains important in the universities of England, with many establishing science parks to facilitate production and co-operation with industry. Cambridge is the most intensive research cluster for science and technology in the world. In 2022, the UK produced 6.3 per cent of the world's scientific research papers and had a 10.5 per cent share of scientific citations, the third highest in the world (after the United States and China). Scientific journals produced in England include Nature, the British Medical Journal and The Lancet. Bletchley Park, regarded as one of the birthplaces of computer science, hosted the world's first AI Safety Summit in 2023. The world's first AI Safety Institute is based in England. The Department for Science, Innovation and Technology, Secretary of State for Science, Innovation and Technology, and Minister of State for Science, Research and Innovation has responsibility for science in England. The Department for Transport is the government body responsible for overseeing transport in England. The department is run by the Secretary of State for Transport. England has a dense and modern transportation infrastructure. There are many motorways in England, and many other trunk roads, such as the A1 Great North Road, which runs through eastern England from London to Newcastle (much of this section is motorway) and onward to the Scottish border. The longest motorway in England is the M6, from Rugby through the North West up to the Anglo-Scottish border, a distance of 232 miles (373 km). Other major routes include: the M1 from London to Leeds, the M25 which encircles London, the M60 which encircles Manchester, the M4 from London to South Wales, the M62 from Liverpool via Manchester to East Yorkshire, and the M5 from Birmingham to Bristol and the South West. Bus transport across the country is widespread; major companies include Arriva, FirstGroup, Go-Ahead Group, Mobico Group, Rotala and Stagecoach Group. Bus Rapid Transit originated in England with the Runcorn Busway opening in 1971. The red double-decker buses in London have become a symbol of England. National Cycle Route offers cycling routes nationally. Rail transport in England is the oldest in the world: passenger railways originated in England in 1825. Much of Britain's 10,000 miles (16,000 km) of rail network lies in England, covering the country fairly extensively. There is rail transport access to France and Belgium through an undersea rail link, the Channel Tunnel, which was completed in 1994. Great British Railways is a planned state-owned public body that will oversee rail transport in Great Britain from 2024. The Office of Rail and Road is responsible for the economic and safety regulation of England's railways. Crossrail was Europe's largest construction project with a £15 billion projected cost, opened in 2022. High Speed 2, a new high-speed north–south railway line, is under construction. There is a rapid transit network in two English cities: the London Underground, and the Tyne and Wear Metro in Newcastle upon Tyne, Gateshead and Sunderland. There are several extensive tram networks, such as the Manchester Metrolink, Sheffield Supertram, West Midlands Metro, Nottingham Express Transit, and Tramlink in South London. England also has extensive domestic and international aviation links. The largest airport is Heathrow, which is the world's second busiest airport measured by number of international passengers. By sea there is ferry transport, both local and international, including from Liverpool to Ireland and the Isle of Man, and Hull to the Netherlands and Belgium. There are around 4,400 miles (7,100 km) of navigable waterways in England, half of which is owned by the Canal & River Trust, however, water transport is very limited. The River Thames is the major waterway in England, with imports and exports focused at the Port of Tilbury in the Thames Estuary, one of the United Kingdom's three major ports. Successive governments have outlined numerous commitments to reduce carbon dioxide emissions. Notably, the UK is one of the best sites in Europe for wind energy, and wind power production is its fastest growing supply. Wind power contributed 26.8% of UK electricity generation in 2022. England is home to Hornsea 2, the largest offshore wind farm in the world, situated in waters roughly 89 kilometres off the coast of Yorkshire. The Climate Change Act 2008 was passed in Parliament with an overwhelming majority across political parties. It sets out emission reduction targets that the UK must comply with legally. It represents the first global legally binding climate change mitigation target set by a country. UK government energy policy aims to play a key role in limiting greenhouse gas emissions, while meeting energy demand. Shifting availabilities of resources and development of technologies also change the country's energy mix through changes in costs. The current energy policy is the responsibility of the Department for Energy Security and Net Zero and Secretary of State for Energy Security and Net Zero. The Minister of State for Business, Energy and Clean Growth is responsible for green finance, climate science and innovation, and low carbon generation. In 2022, the United Kingdom was ranked 2 out of 180 countries in the Environmental Performance Index. A law has been passed that UK greenhouse gas emissions will be net zero by 2050. The National Health Service (NHS), is the publicly funded healthcare system responsible for providing the majority of healthcare in the country. The NHS began on 5 July 1948, putting into effect the provisions of the National Health Service Act 1946. It was based on the findings of the Beveridge Report, prepared by economist and social reformer William Beveridge. The NHS is largely funded from general taxation including National Insurance payments, and it provides most of its services free at the point of use, although there are charges for some people for eye tests, dental care, prescriptions and aspects of personal care. The government department responsible for the NHS is the Department of Health, headed by the Secretary of State for Health. Most of the expenditure of the department is spent on the NHS—£98.6 billion was spent in 2008–2009. Regulatory bodies such as the General Medical Council and the Nursing and Midwifery Council are organised on a UK-wide basis, as are non-governmental bodies such as the Royal Colleges. The average life expectancy is 77.5 years for males and 81.7 years for females, the highest of the four countries of the United Kingdom. The south of England has a higher life expectancy than the north, but regional differences seem to be slowly narrowing: between 1991–1993 and 2012–2014, life expectancy in the North East increased by 6.0 years and in the North West by 5.8 years. With over 56 million inhabitants, England is by far the most populous country of the United Kingdom, accounting for 84% of the combined total. England taken as a unit and measured against international states would be the 26th largest country by population in the world. The English people are British people. There is an English diaspora in former parts of the British Empire; especially the United States, Canada, Australia, South Africa and New Zealand. Since the late 1990s, many English people have migrated to Spain. Due in particular to the economic prosperity of South East England, it has received many economic migrants from the other parts of the United Kingdom. There has been significant Irish migration. The proportion of ethnically European residents totals at 87.50%, including Germans and Poles. Other people from much further afield in the former British colonies have arrived since the 1950s: in particular, 6% of people living in England have family origins in the Indian subcontinent, mostly India, Pakistan and Bangladesh. About 0.7% are Chinese. 2.90% of the population are black, from Africa and the Caribbean, especially former British colonies. In 2007, 22% of primary school children in England were from ethnic minority families, and in 2011 that figure was 26.5%. About half of the population increase between 1991 and 2001 was due to immigration. England contains one indigenous national minority, the Cornish people, recognised by the UK government under the Framework Convention for the Protection of National Minorities in 2014. English, today spoken by hundreds of millions of people around the world, originated in what is now England, where it remains the principal tongue. According to a 2011 census, it is spoken well or very well by 98% of the population. Due in large part to the British Empire, the English language is the world's unofficial lingua franca. English language learning and teaching is an important economic activity, and includes language schooling, tourism spending, and publishing. There is no legislation mandating an official language for England, but English is the only language used for official business. Despite the country's relatively small size, there are many distinct regional accents, and individuals with particularly strong accents may not be easily understood everywhere in the country. As well as English, England has two other indigenous languages, Cornish and Welsh. Cornish died out as a community language in the 18th century but is being revived, and is now protected under the European Charter for Regional or Minority Languages. It is spoken by 0.1% of people in Cornwall, and is taught to some degree in several primary and secondary schools. State schools teach students a second language or third language from the ages of seven, most commonly French, Spanish or German. It was reported in 2007 that around 800,000 school students spoke a foreign language at home, the most common being Punjabi and Urdu. However, following the 2011 census data released by the Office for National Statistics, figures now show that Polish is the main language spoken in England after English. In 2022, British Sign Language became an official language of England when the British Sign Language Act 2022 came into effect. In the 2011 census, 59.4% of the population of England specified their religion as Christian, 24.7% answered that they had no religion, 5% specified that they were Muslim, while 3.7% of the population belongs to other religions and 7.2% did not give an answer. Christianity is the most widely practised religion in England. The established church of England is the Church of England, which left communion with Rome in the 1530s when Henry VIII was unable to annul his marriage to Catherine of Aragon. The church regards itself as both Catholic and Protestant. There are High Church and Low Church traditions and some Anglicans regard themselves as Anglo-Catholics, following the Tractarian movement. The monarch of the United Kingdom is the supreme governor of the Church of England, which has around 26 million baptised members (of whom the vast majority are not regular churchgoers). It forms part of the Anglican Communion with the Archbishop of Canterbury acting as its symbolic worldwide head. Many cathedrals and parish churches are historic buildings of significant architectural importance, such as Westminster Abbey, York Minster, Durham Cathedral, and Salisbury Cathedral. The second-largest Christian denomination is the Catholic Church. Since its reintroduction after the Catholic Emancipation, the Church has organised ecclesiastically on an England and Wales basis where there are 4.5 million members (most of whom are English). There has been one Pope from England to date, Adrian IV, while saints Bede and Anselm are regarded as Doctors of the Church. A form of Protestantism known as Methodism is the third largest Christian practice and grew out of Anglicanism through John Wesley. It gained popularity in the mill towns of Lancashire and Yorkshire, and among tin miners in Cornwall. There are other non-conformist minorities, such as Baptists, Quakers, Congregationalists, Unitarians and The Salvation Army. The patron saint of England is Saint George; his symbolic cross is included in the flag of England. There are many other English and associated saints, including Cuthbert, Edmund, Alban, Wilfrid, Aidan, Edward the Confessor, John Fisher, Thomas More, Petroc, Piran, Margaret Clitherow and Thomas Becket. There are non-Christian religions practised. Jews have a history of a small minority on the island since 1070. They were expelled from England in 1290 following the Edict of Expulsion, and were allowed back in 1656. Especially since the 1950s, religions from the former British colonies have grown in numbers, due to immigration. Islam is the most common of these, now accounting for around 5% of the population in England. Hinduism, Sikhism and Buddhism are next in number, adding up to 2.8% combined, introduced from India and Southeast Asia. A small minority of the population practise ancient Pagan religions. Neopaganism in the United Kingdom is primarily represented by Wicca and Neopagan witchcraft, Druidry, and Heathenry. According to the 2011 census, there are roughly 53,172 people who identify as Pagan in England, including 11,026 Wiccans. 24.7% of people in England declared no religion, compared with 14.6% in 2001. Norwich had the highest such proportion at 42.5%, followed by Brighton and Hove at 42.4%. The Department for Education is the government department responsible for issues affecting people in England up to the age of 19, including education. State-funded schools are attended by approximately 93% of English schoolchildren. Education is the responsibility of the Secretary of State for Education. Children between the ages of 3 and 5 attend nursery or an Early Years Foundation Stage reception unit within a primary school. Children between the ages of 5 and 11 attend primary school, and secondary school is attended by those aged between 11 and 16. State-funded schools are obliged by law to teach the National Curriculum; basic areas of learning include English literature, English language, mathematics, science, art & design, citizenship, history, geography, religious education, design & technology, computing, ancient & modern languages, music, and physical education. The Programme for International Student Assessment coordinated by the OECD currently ranks the overall knowledge and skills of British 15-year-olds as 13th in the world in literacy, mathematics, and science with the average British student scoring 503.7, well above the OECD average of 493. Although most English secondary schools are comprehensive, there are selective intake grammar schools to which entrance is subject to passing the eleven-plus exam. Around 7.2 per cent of English schoolchildren attend private schools, which are funded by private sources. Standards in state schools are monitored by the Office for Standards in Education, and in private schools by the Independent Schools Inspectorate. After finishing compulsory education, students take GCSE examinations. Students may then opt to continue into further education for two years. Further education colleges (particularly sixth form colleges) often form part of a secondary school site. A-level examinations are sat by a large number of further education students, and often form the basis of an application to university. Further education covers a wide curriculum of study and apprenticeships, including T-levels, BTEC, NVQ and others. Tertiary colleges provide both academic and vocational courses. Higher education students normally attend university from age 18 onwards, where they study for an academic degree. There are over 90 universities in England, all but one of which are public institutions. The Department for Business, Innovation and Skills is the government department responsible for higher education in England. Students are generally entitled to student loans to cover tuition fees and living costs. The first degree offered to undergraduates is the bachelor's degree, which usually takes three years to complete. Students are then able to work towards a postgraduate degree, which usually takes one year, or a doctorate, which takes three or more years. England's universities include some of the highest-ranked universities in the world. As of 2023, four England-based universities, the University of Cambridge, University of Oxford, Imperial College London, and University College London, are ranked among the top ten in the 2023 QS World University Rankings. The University of Cambridge, founded in 1209, and the University of Oxford, founded in 1096, are the two oldest universities in the English-speaking world. The London School of Economics has been described as the world's leading social science institution for both teaching and research. The London Business School is considered one of the world's leading business schools and in 2010 its MBA programme was ranked best in the world by the Financial Times. Academic degrees in England are usually split into classes: first class, upper second class, lower second class, third, and unclassified. The King's School, Canterbury and King's School, Rochester are the oldest schools in the English-speaking world. Many of England's most well-known schools, such as Winchester College, Eton, St Paul's School, Harrow School and Rugby School are fee-paying institutions. Many ancient standing stone monuments were erected during the prehistoric period; among the best known are Stonehenge, Devil's Arrows, Rudston Monolith and Castlerigg. With the introduction of Ancient Roman architecture there was a development of basilicas, baths, amphitheaters, triumphal arches, villas, Roman temples, Roman roads, Roman forts, stockades and aqueducts. It was the Romans who founded the first cities and towns such as London, Bath, York, Chester and St Albans. Perhaps the best-known example is Hadrian's Wall stretching right across northern England. Another well-preserved example is the Roman Baths at Bath, Somerset. Early medieval architecture's secular buildings were simple constructions mainly using timber with thatch for roofing. Ecclesiastical architecture ranged from a synthesis of Hiberno–Saxon monasticism, to Early Christian basilica and architecture characterised by pilaster-strips, blank arcading, baluster shafts and triangular headed openings. After the Norman conquest in 1066 various castles were created; the best known include the Tower of London, Warwick Castle, Durham Castle and Windsor Castle. Throughout the Plantagenet era, an English Gothic architecture flourished, with prime examples including the medieval cathedrals such as Canterbury Cathedral, Westminster Abbey and York Minster. Expanding on the Norman base there was also castles, palaces, great houses, universities and parish churches. Medieval architecture was completed with the 16th-century Tudor style; the four-centred arch, now known as the Tudor arch, was a defining feature as were wattle and daub houses domestically. In the aftermath of the Renaissance a form of architecture echoing classical antiquity synthesised with Christianity appeared, the English Baroque style of architect Christopher Wren being particularly championed. Georgian architecture followed in a more refined style, evoking a simple Palladian form; the Royal Crescent at Bath is one of the best examples of this. With the emergence of romanticism during Victorian period, a Gothic Revival was launched. In addition to this, around the same time the Industrial Revolution paved the way for buildings such as The Crystal Palace. Since the 1930s various modernist forms have appeared whose reception is often controversial, though traditionalist resistance movements continue with support in influential places. Landscape gardening, as developed by Capability Brown, set an international trend for the English landscape garden. Gardening, and visiting gardens, are regarded as typically English pursuits. The English garden presented an idealized view of nature. At large country houses, the English garden usually included lakes, sweeps of gently rolling lawns set against groves of trees, and recreations of classical temples, Gothic ruins, bridges, and other picturesque architecture, designed to recreate an idyllic pastoral landscape. By the end of the 18th century, the English garden was being imitated by the French landscape garden, and as far away as Pavlovsk, Saint Petersburg, the gardens of the future Emperor Paul. It also had a major influence on the public parks and gardens which appeared around the world in the 19th century. The English landscape garden was centred on the English country house and manor houses. English Heritage and the National Trust preserve great gardens and landscape parks throughout the country. The RHS Chelsea Flower Show is held every year by the Royal Horticultural Society and is said to be the largest gardening show in the world. English folklore developed over many centuries. Some of the characters and stories are present across England, but most belong to specific regions. Common folkloric beings include pixies, giants, elves, bogeymen, trolls, goblins and dwarves. While many legends and folk-customs are thought to be ancient, such as the tales featuring Offa of Angel and Wayland the Smith, others date from after the Norman invasion. The legends featuring Robin Hood and his Merry Men of Sherwood, and their battles with the Sheriff of Nottingham, are among the best-known of these. During the High Middle Ages tales originating from Brythonic traditions entered English folklore and developed into the Arthurian myth. These were derived from Anglo-Norman, Welsh and French sources, featuring King Arthur, Camelot, Excalibur, Merlin and the Knights of the Round Table such as Lancelot. These stories are most centrally brought together within Geoffrey of Monmouth's Historia Regum Britanniae (History of the Kings of Britain). Some folk figures are based on semi or actual historical people whose story has been passed down centuries. On 5 November people celebrate Bonfire Night to commemorate the foiling of the Gunpowder Plot centred on Guy Fawkes. There are various national and regional folk activities, participated in to this day, such as Morris dancing, Maypole dancing, Rapper sword in the North East, Long Sword dance in Yorkshire, Mummers Plays, bottle-kicking in Leicestershire, and cheese-rolling at Cooper's Hill. There is no official national costume, but a few are well established such as the Pearly Kings and Queens associated with cockneys, the Royal Guard, the Morris costume and Beefeaters. Since the early modern period the food of England has historically been characterised by its simplicity of approach and a reliance on the high quality of natural produce. During the Middle Ages and the Renaissance, English cuisine enjoyed an excellent reputation, though a decline began during the Industrial Revolution with increasing urbanisation. The cuisine of England has, however, recently undergone a revival, which has been recognised by food critics with some good ratings in Restaurant's best restaurant in the world charts. The quality of London's best restaurants has made the city a leading centre of international cuisine. Traditional examples of English food include the Sunday roast, featuring a roasted joint (usually beef, lamb, chicken or pork) served with assorted fresh vegetables, roast potatoes, Yorkshire pudding and gravy. Other prominent meals include fish and chips and the full English breakfast (generally consisting of bacon, sausages, grilled tomatoes, fried bread, black pudding, baked beans, mushrooms and eggs). Various meat pies are consumed, such as steak and kidney pie, steak and ale pie, cottage pie, pork pie (usually eaten cold) and the Cornish pasty. Sausages are commonly eaten, either as bangers and mash or toad in the hole. Lancashire hotpot is a well-known stew originating in the northwest. There are over 700 varieties of cheese produced in England. Some of the more popular cheeses are Cheddar, Red Leicester, Wensleydale, Double Gloucester and Blue Stilton. Many Anglo-Indian hybrid dishes, curries, have been created, such as chicken tikka masala and balti. Traditional English dessert dishes include apple pie or other fruit pies; spotted dick – all generally served with custard; and, more recently, sticky toffee pudding. Sweet pastries include scones served with jam or cream, dried fruit loaves, Eccles cakes and mince pies as well as sweet or spiced biscuits. Common non-alcoholic drinks include tea and coffee; frequently consumed alcoholic drinks include wine, ciders and English beers, such as bitter, mild, stout and brown ale. The earliest known examples are the prehistoric rock and cave art pieces, most prominent in North Yorkshire, Northumberland and Cumbria, but also feature further south, for example at Creswell Crags. With the arrival of Roman culture in the 1st century, various forms of art such as statues, busts, glasswork and mosaics were the norm. There are numerous surviving artefacts, such as those at Lullingstone and Aldborough. During the Early Middle Ages the style favoured sculpted crosses and ivories, manuscript painting, gold and enamel jewellery, demonstrating a love of intricate, interwoven designs such as in the Staffordshire Hoard discovered in 2009. Some of these blended Gaelic and Anglian styles, such as the Lindisfarne Gospels and Vespasian Psalter. Later Gothic art was popular at Winchester and Canterbury, examples survive such as Benedictional of St. Æthelwold and Luttrell Psalter. The Tudor era saw prominent artists as part of their court; portrait painting, which would remain an enduring part of English art, was boosted by German Hans Holbein, and natives such as Nicholas Hilliard built on this. Under the Stuarts, Continental artists were influential especially the Flemish, examples from the period include Anthony van Dyck, Peter Lely, Godfrey Kneller and William Dobson. The 18th century saw the founding of the Royal Academy; a classicism based on the High Renaissance prevailed, with Thomas Gainsborough and Joshua Reynolds becoming two of England's most treasured artists. In the 19th century, John Constable and J. M. W. Turner were major landscape artists. The Norwich School continued the landscape tradition, while the Pre-Raphaelite Brotherhood, led by artists such as Holman Hunt, Dante Gabriel Rossetti and John Everett Millais, revived the Early Renaissance style with their vivid and detailed style. Prominent among 20th-century artists was Henry Moore, regarded as the voice of British sculpture, and of British modernism in general. The Royal Society of Arts is an organisation committed to the arts and culture. Early authors such as Bede and Alcuin wrote in Latin. The period of Old English literature provided the epic poem Beowulf and the secular prose of the Anglo-Saxon Chronicle, along with Christian writings such as Judith, Cædmon's Hymn and hagiographies. Following the Norman conquest Latin continued among the educated classes, as well as an Anglo-Norman literature. Middle English literature emerged with Geoffrey Chaucer, author of The Canterbury Tales, along with Gower, the Pearl Poet and Langland. William of Ockham and Roger Bacon, who were Franciscans, were major philosophers of the Middle Ages. Julian of Norwich, who wrote Revelations of Divine Love, was a prominent Christian mystic. With the English Renaissance literature in the Early Modern English style appeared. William Shakespeare, whose works include Hamlet, Romeo and Juliet, Macbeth, and A Midsummer Night's Dream, remains one of the most championed authors in English literature. Christopher Marlowe, Edmund Spenser, Philip Sydney, Thomas Kyd, John Donne, and Ben Jonson are other established authors of the Elizabethan age. Francis Bacon and Thomas Hobbes wrote on empiricism and materialism, including scientific method and social contract. Filmer wrote on the Divine Right of Kings. Marvell was the best-known poet of the Commonwealth, while John Milton authored Paradise Lost during the Restoration. This royal throne of kings, this sceptred isle, this earth of majesty, this seat of Mars, this other Eden, demi-paradise; this fortress, built by nature for herself. This blessed plot, this earth, this realm, this England. William Shakespeare. Some of the most prominent philosophers of the Enlightenment were John Locke, Thomas Paine, Samuel Johnson and Jeremy Bentham. More radical elements were later countered by Edmund Burke who is regarded as the founder of conservatism. The poet Alexander Pope with his satirical verse became well regarded. The English played a significant role in romanticism: Samuel Taylor Coleridge, Lord Byron, John Keats, Mary Shelley, Percy Bysshe Shelley, William Blake and William Wordsworth were major figures. In response to the Industrial Revolution, agrarian writers sought a way between liberty and tradition; William Cobbett, G. K. Chesterton and Hilaire Belloc were main exponents, while the founder of guild socialism, Arthur Penty, and cooperative movement advocate G. D. H. Cole are somewhat related. Empiricism continued through John Stuart Mill and Bertrand Russell, while Bernard Williams was involved in analytics. Authors from around the Victorian era include Charles Dickens, the Brontë sisters, Jane Austen, George Eliot, Rudyard Kipling, Thomas Hardy, H. G. Wells and Lewis Carroll. Since then England has continued to produce novelists such as George Orwell, D. H. Lawrence, Virginia Woolf, C. S. Lewis, Enid Blyton, Aldous Huxley, Agatha Christie, Terry Pratchett, J. R. R. Tolkien, and J. K. Rowling. The traditional folk music of England is centuries old and has contributed to several genres prominently; mostly sea shanties, jigs, hornpipes and dance music. It has its own distinct variations and regional peculiarities. Ballads featuring Robin Hood, printed by Wynkyn de Worde in the 16th century, are an important artefact, as are John Playford's The Dancing Master and Robert Harley's Roxburghe Ballads collections. Some of the best-known songs are Greensleeves, Pastime with Good Company, Maggie May and Spanish Ladies among others. Many nursery rhymes are of English origin such as Mary, Mary, Quite Contrary, Roses Are Red, Jack and Jill, London Bridge Is Falling Down, The Grand Old Duke of York, Hey Diddle Diddle and Humpty Dumpty. Traditional English Christmas carols include "We Wish You a Merry Christmas", "The First Noel", "I Saw Three Ships" and "God Rest You Merry, Gentlemen". Early English composers in classical music include Renaissance artists Thomas Tallis and William Byrd, followed by Henry Purcell from the Baroque period and Thomas Arne who was well known for his patriotic song Rule, Britannia!. German-born George Frideric Handel spent most of his composing life in London and became a national icon in Britain, creating some of the most well-known works of classical music, especially his English oratorios, The Messiah, Solomon, Water Music, and Music for the Royal Fireworks. Classical music attracted much attention from 1784 with the formation of the Birmingham Triennial Music Festival, which was the longest running classical music festival of its kind until the final concerts in 1912. The English Musical Renaissance was a hypothetical development in the late 19th and early 20th century, when English composers, often those lecturing or trained at the Royal College of Music, were said to have freed themselves from foreign musical influences. There was a revival in the profile of composers from England in the 20th century led by Edward Elgar, Benjamin Britten, Frederick Delius, Gustav Holst, Ralph Vaughan Williams and others. Present-day composers from England include Michael Nyman, best known for The Piano, and Andrew Lloyd Webber, whose musicals have achieved enormous success in the West End and worldwide. In popular music, many English bands and solo artists have been cited as the most influential and best-selling musicians of all time. Acts such as the Beatles, Led Zeppelin, Pink Floyd, Elton John, Queen, Rod Stewart, David Bowie, the Rolling Stones and Def Leppard are among the highest-selling recording artists in the world. Many musical genres have origins in (or strong associations with) England, such as British invasion, progressive rock, hard rock, Mod, glam rock, heavy metal, Britpop, indie rock, gothic rock, shoegazing, acid house, garage, trip hop, drum and bass and dubstep. Large outdoor music festivals in the summer and autumn are popular, such as Glastonbury, V Festival, and the Reading and Leeds Festivals. England was at the forefront of the illegal, free rave movement from the late 1980s, which inspired the pan-European culture of teknivals. The Boishakhi Mela is a Bengali New Year festival celebrated by the British Bangladeshi community. It is the largest open-air Asian festival in Europe. After the Notting Hill Carnival, it is the second-largest street festival in the UK, attracting over 80,000 visitors. The most prominent opera house in England is the Royal Opera House at Covent Garden. The Proms is a major annual cultural event in the English calendar. The Royal Ballet is one of the world's foremost classical ballet companies. The Royal Academy of Music is the oldest conservatoire in the UK, founded in 1822, receiving its royal charter in 1830. England is home to numerous major orchestras such as the BBC Symphony Orchestra, the Royal Philharmonic Orchestra, the Philharmonia Orchestra, and the London Symphony Orchestra. Other forms of entertainment that originated in England include the circus and the pantomime. England has had a considerable influence on the history of the cinema, producing some of the greatest actors, directors and motion pictures of all time, including Alfred Hitchcock, Charlie Chaplin, David Lean, Laurence Olivier, Vivien Leigh, John Gielgud, Peter Sellers, Julie Andrews, Michael Caine, Gary Oldman, Helen Mirren, Kate Winslet and Daniel Day-Lewis. Hitchcock and Lean are among the most critically acclaimed filmmakers. Hitchcock's The Lodger: A Story of the London Fog (1926) helped shape the thriller genre in film, while his 1929 Blackmail is often regarded as the first British sound feature film. Major film studios in England include Pinewood, Elstree and Shepperton. Some of the most commercially successful films of all time have been produced in England, including two of the highest-grossing film franchises (Harry Potter and James Bond). Ealing Studios in London has a claim to being the oldest continuously working film studio in the world. Famous for recording many motion picture film scores, the London Symphony Orchestra first performed film music in 1935. The Hammer Horror films starring Christopher Lee saw the production of the first gory horror films showing blood and guts in colour. The BFI Top 100 British films includes Monty Python's Life of Brian (1979), a film regularly voted the funniest of all time by the UK public. English producers are also active in international co-productions and English actors, directors and crew feature regularly in American films. The UK film council ranked David Yates, Christopher Nolan, Mike Newell, Ridley Scott and Paul Greengrass the five most commercially successful English directors since 2001. Other contemporary English directors include Sam Mendes, Guy Ritchie and Richard Curtis. Current actors include Tom Hardy, Daniel Craig, Benedict Cumberbatch, Lena Headey, Felicity Jones, Emilia Clarke, Lashana Lynch, and Emma Watson. Acclaimed for his motion capture work, Andy Serkis opened The Imaginarium Studios in London in 2011. The visual effects company Framestore in London has produced some of the most critically acclaimed special effects in modern film. Many successful Hollywood films have been based on English people, stories or events. The 'English Cycle' of Disney animated films include Alice in Wonderland, The Jungle Book and Winnie the Pooh. English Heritage is a governmental body with a broad remit of managing the historic sites, artefacts and environments of England. It is currently sponsored by the Department for Culture, Media and Sport. A non-governmental charity, the National Trust holds a complementary role, focussed on landscapes and country houses. 17 of the 25 United Kingdom UNESCO World Heritage Sites fall within England. Some of the best-known of these are: Hadrian's Wall, Stonehenge, Avebury and Associated Sites, the Tower of London, the Jurassic Coast, Saltaire, Ironbridge Gorge, Blenheim Palace and the Lake District. London's British Museum holds more than seven million objects, one of the largest and most comprehensive collections in the world, illustrating and documenting global human culture from its beginnings to the present. The British Library in London is the national library and is one of the world's largest research libraries, holding over 150 million items in almost all known languages and formats, including around 25 million books. The National Gallery in Trafalgar Square houses a collection of over 2,300 paintings dating from the mid-13th century to 1900. The Tate galleries house the national collections of British and international modern art; they also host the Turner Prize. The Secretary of State for Culture, Media and Sport has overall responsibility for cultural property and heritage. A blue plaque, the oldest historical marker scheme in the world, is a permanent sign installed in a public place in England to commemorate a link between that location and a famous person or event. In 2011 there were around 1,600 museums in England. Entry to most museums and galleries is free. London is one of the world's most visited cities, regularly taking the top five most visited cities in Europe. It is considered a global centre of finance, art and culture. The BBC, founded in 1922, is the UK's publicly funded radio, television and Internet broadcasting corporation, and is the oldest and largest broadcaster in the world. It operates numerous television and radio stations in the UK and abroad and its domestic services are funded by the television licence. The BBC World Service is an international broadcaster owned and operated by the BBC. It is the world's largest of any kind. It broadcasts radio news, speech and discussions in more than 40 languages. London dominates the media sector in England: national newspapers and television and radio are largely based there, although Manchester is also a significant national media centre. The UK publishing sector, including books, directories and databases, journals, magazines and business media, newspapers and news agencies, has a combined turnover of around £20 billion and employs around 167,000 people. National newspapers produced in England include The Times, The Guardian and the Financial Times. Magazines and journals published in England that have achieved worldwide circulation include Nature, New Scientist, The Spectator, Prospect, NME and The Economist. The Secretary of State for Culture, Media and Sport has overall responsibility over media and broadcasting in England. England has a strong sporting heritage, and during the 19th century codified many sports that are now played around the world. Sports originating in England include association football, cricket, rugby union, rugby league, tennis, boxing, badminton, squash, rounders, hockey, snooker, billiards, darts, table tennis, bowls, netball, thoroughbred horseracing, greyhound racing and fox hunting. It has helped the development of golf, sailing and Formula One. Football is the most popular of these sports. The England national football team, whose home venue is Wembley Stadium, played Scotland in the first ever international football match in 1872. Referred to as the "home of football" by FIFA, England hosted and won the 1966 FIFA World Cup. With a British television audience peak of 32.30 million viewers, the final is the most watched television event ever in the UK. England is recognised by FIFA as the birthplace of club football: Sheffield F.C., founded in 1857, is the world's oldest club. The England women's national football team won the UEFA Euro 2022, hosted by England. Cricket is generally thought to have been developed in the early medieval period among the farming and metalworking communities of the Weald. The England cricket team is a composite England and Wales team. One of the game's top rivalries is The Ashes series between England and Australia, contested since 1882. Lord's Cricket Ground situated in London is sometimes referred to as the "Mecca of Cricket". After winning the 2019 Cricket World Cup, England became the first country to win the World Cups in football, rugby union, and cricket. William Penny Brookes was prominent in organising the format for the modern Olympic Games. London has hosted the Summer Olympic Games three times, in 1908, 1948, and 2012. England competes in the Commonwealth Games, held every four years. Sport England is the governing body responsible for distributing funds and providing strategic guidance for sporting activity in England. Rugby union originated in Rugby School, Warwickshire in the early 19th century. The top level of club participation is the English Premiership. Rugby league was born in Huddersfield in 1895. Since 2008, the England national rugby league team has been a full test nation in lieu of the Great Britain national rugby league team, which won three World Cups. Club sides play in Super League, the present-day embodiment of the Rugby Football League Championship. Rugby League is most popular among towns in the northern English counties of Lancashire, Yorkshire and Cumbria. Golf has been prominent in England, due in part to its cultural and geographical ties to Scotland. There are professional tours for men and women, in two main tours: the PGA and the European Tour. The world's oldest golf tournament, and golf's first major is The Open Championship, played both in England and Scotland. The biennial golf competition, the Ryder Cup, is named after English businessman Samuel Ryder. Tennis was created in Birmingham in the late 19th century, and the Wimbledon Championships is the oldest tennis tournament in the world, and widely considered the most prestigious. Wimbledon has a major place in the English cultural calendar. In boxing, under the Marquess of Queensberry Rules, England has produced many world champions across the weight divisions internationally recognised by the governing bodies. Originating in 17th and 18th-century England, the thoroughbred is a horse breed best known for its use in horse racing. The National Hunt horse race the Grand National, is held annually at Aintree Racecourse in early April. It is the most watched horse race in the UK, and three-time winner Red Rum is the most successful racehorse in the event's history. The 1950 British Grand Prix at Silverstone was the first race in the newly created Formula One World Championship. It has manufactured some of the most technically advanced racing cars, and many of today's racing companies choose England as their base of operations. England also has a rich heritage in Grand Prix motorcycle racing, the premier championship of motorcycle road racing, and produced several world champions. Darts is a widely popular sport in England; a professional competitive sport, it is a traditional pub game. Another popular sport commonly associated with pub games is snooker, and England has produced several world champions. The English are keen sailors and enjoy competitive sailing; founding and winning some of the world's most famous international competitive tournaments across the various race formats, including the match race, a regatta, and the America's Cup. The St George's Cross has been the national flag of England since the 13th century. Originally the flag was used by the maritime Republic of Genoa. The English monarch paid a tribute to the Doge of Genoa from 1190 onwards so that English ships could fly the flag as a means of protection when entering the Mediterranean. A red cross was a symbol for many Crusaders in the 12th and 13th centuries, and became associated with Saint George. Since 1606 the St George's Cross has formed part of the design of the Union Flag, a Pan-British flag designed by King James I. During the English Civil War and Interregnum, the New Model Army's standards and the Commonwealth's Great Seal both incorporated the flag of Saint George. There are numerous other symbols and symbolic artefacts, both official and unofficial, including the Tudor rose, the nation's floral emblem, and the Three Lions featured on the Royal Arms of England. The Tudor rose was adopted as a national emblem of England around the time of the Wars of the Roses as a symbol of peace. It is a syncretic symbol in that it merged the white rose of the Yorkists and the red rose of the Lancastrians. It is also known as the Rose of England. The oak tree is a symbol of England: the Royal Oak symbol and Oak Apple Day commemorate the escape of King Charles II after his father's execution, when he hid in an oak to avoid detection by the parliamentarians before safely reaching exile. The Royal Arms of England, a national coat of arms featuring three lions, originated with Richard the Lionheart in 1198. It is blazoned as gules, three lions passant guardant or and it provides one of the most prominent symbols of England. England does not have an official national anthem, as the United Kingdom as a whole has God Save the King. However, Jerusalem, Land of Hope and Glory (used for England during the 2002 Commonwealth Games), and I Vow to Thee, My Country are often considered unofficial English national anthems. England's National Day is 23 April which is Saint George's Day: Saint George is the patron saint of England.
[ { "paragraph_id": 0, "text": "England is a country that is part of the United Kingdom. It shares land borders with Wales to its west and Scotland to its north, while Ireland is located across the Irish Sea to its west and northwest, and the Celtic Sea lies to its southwest. It is separated from continental Europe by the North Sea to the east and the English Channel to the south. The country covers roughly 62% of the island of Great Britain, which is in the North Atlantic, and includes over 100 smaller islands such as the Isles of Scilly and the Isle of Wight.", "title": "" }, { "paragraph_id": 1, "text": "The area now called England was first inhabited by modern humans during the Upper Paleolithic, but takes its name from the Angles, a Germanic tribe who settled during the 5th and 6th centuries. England became a unified state in the 10th century and has had a significant cultural and legal impact on the wider world since the Age of Discovery, which began during the 15th century. The Kingdom of England, which included Wales after 1535, ceased being a separate sovereign state on 1 May 1707 when the Acts of Union put the terms agreed in the Treaty of Union the previous year into effect; this resulted in a political union with the Kingdom of Scotland that created the Kingdom of Great Britain.", "title": "" }, { "paragraph_id": 2, "text": "England is the origin of many well-known worldwide exports, including the English language, the English law system (which served as the basis for the common law systems of many other countries), association football (the world's most popular sport), and the Church of England; its parliamentary system of government has been widely adopted by other nations. The Industrial Revolution began in 18th-century England, transforming its society into the world's first industrialised nation. England is home to the two oldest universities in the English-speaking world: the University of Oxford, founded in 1096, and the University of Cambridge, founded in 1209. Both universities are ranked among the most prestigious in the world.", "title": "" }, { "paragraph_id": 3, "text": "England's terrain chiefly consists of low hills and plains, especially in the centre and south. Upland and mountainous terrain is mostly found in the north and west, including Dartmoor, the Lake District, the Pennines, and the Shropshire Hills. The country's capital is London, the greater metropolitan of which has a population of 14.2 million as of 2021, representing the United Kingdom's largest metropolitan area. England's population of 56.3 million comprises 84% of the population of the United Kingdom, largely concentrated around London, the South East, and conurbations in the centre, the North West, the North East, and Yorkshire and the Humber, which each developed as major industrial regions during the 19th century.", "title": "" }, { "paragraph_id": 4, "text": "The name \"England\" is derived from the Old English name Englaland, which means \"land of the Angles\". The Angles were one of the Germanic tribes that settled in Great Britain during the Early Middle Ages. The Angles came from the Anglia peninsula in the Bay of Kiel area (present-day German state of Schleswig-Holstein) of the Baltic Sea. The earliest recorded use of the term, as \"Engla londe\", is in the late-ninth-century translation into Old English of Bede's Ecclesiastical History of the English People. The term was then used to mean \"the land inhabited by the English\", and it included English people in what is now south-east Scotland but was then part of the English kingdom of Northumbria. The Anglo-Saxon Chronicle recorded that the Domesday Book of 1086 covered the whole of England, meaning the English kingdom, but a few years later the Chronicle stated that King Malcolm III went \"out of Scotlande into Lothian in Englaland\", thus using it in the more ancient sense.", "title": "Toponymy" }, { "paragraph_id": 5, "text": "The earliest attested reference to the Angles occurs in the 1st-century work by Tacitus, Germania, in which the Latin word Anglii is used. The etymology of the tribal name itself is disputed by scholars; it has been suggested that it derives from the shape of the Angeln peninsula, an angular shape. How and why a term derived from the name of a tribe that was less significant than others, such as the Saxons, came to be used for the entire country is not known, but it seems this is related to the custom of calling the Germanic people in Britain Angli Saxones or English Saxons to distinguish them from continental Saxons (Eald-Seaxe) of Old Saxony in Germany. In Scottish Gaelic, the Saxon tribe gave their name to the word for England (Sasunn); similarly, the Welsh name for the English language is \"Saesneg\". A romantic name for England is Loegria, related to the Welsh word for England, Lloegr, and made popular by its use in Arthurian legend. Albion is also applied to England in a more poetic capacity, though its original meaning is the island of Britain as a whole.", "title": "Toponymy" }, { "paragraph_id": 6, "text": "The earliest known evidence of human presence in the area now known as England was that of Homo antecessor, dating to approximately 780,000 years ago. The oldest proto-human bones discovered in England date from 500,000 years ago. Modern humans are known to have inhabited the area during the Upper Paleolithic period, though permanent settlements were only established within the last 6,000 years. After the last ice age only large mammals such as mammoths, bison and woolly rhinoceros remained. Roughly 11,000 years ago, when the ice sheets began to recede, humans repopulated the area; genetic research suggests they came from the northern part of the Iberian Peninsula. The sea level was lower than the present day and Britain was connected by land bridge to Ireland and Eurasia. As the seas rose, it was separated from Ireland 10,000 years ago and from Eurasia two millennia later.", "title": "History" }, { "paragraph_id": 7, "text": "The Beaker culture arrived around 2,500 BC, introducing drinking and food vessels constructed from clay, as well as vessels used as reduction pots to smelt copper ores. It was during this time that major Neolithic monuments such as Stonehenge and Avebury were constructed. By heating together tin and copper, which were in abundance in the area, the Beaker culture people made bronze, and later iron from iron ores. The development of iron smelting allowed the construction of better ploughs, advancing agriculture (for instance, with Celtic fields), as well as the production of more effective weapons.", "title": "History" }, { "paragraph_id": 8, "text": "During the Iron Age, Celtic culture, deriving from the Hallstatt and La Tène cultures, arrived from Central Europe. Brythonic was the spoken language during this time. Society was tribal; according to Ptolemy's Geographia there were around 20 tribes in the area. Like other regions on the edge of the Empire, Britain had long enjoyed trading links with the Romans. Julius Caesar of the Roman Republic attempted to invade twice in 55 BC; although largely unsuccessful, he managed to set up a client king from the Trinovantes.", "title": "History" }, { "paragraph_id": 9, "text": "The Romans invaded Britain in 43 AD during the reign of Emperor Claudius, subsequently conquering much of Britain, and the area was incorporated into the Roman Empire as Britannia province. The best-known of the native tribes who attempted to resist were the Catuvellauni led by Caratacus. Later, an uprising led by Boudica, Queen of the Iceni, ended with Boudica's suicide following her defeat at the Battle of Watling Street. The author of one study of Roman Britain suggested that from 43 AD to 84 AD, the Roman invaders killed somewhere between 100,000 and 250,000 people from a population of perhaps 2,000,000. This era saw a Greco-Roman culture prevail with the introduction of Roman law, Roman architecture, aqueducts, sewers, many agricultural items and silk. In the 3rd century, Emperor Septimius Severus died at Eboracum (now York), where Constantine was subsequently proclaimed emperor a century later.", "title": "History" }, { "paragraph_id": 10, "text": "There is debate about when Christianity was first introduced; it was no later than the 4th century, probably much earlier. According to Bede, missionaries were sent from Rome by Eleutherius at the request of the chieftain Lucius of Britain in 180 AD, to settle differences as to Eastern and Western ceremonials, which were disturbing the church. There are traditions linked to Glastonbury claiming an introduction through Joseph of Arimathea, while others claim through Lucius of Britain. By 410, during the decline of the Roman Empire, Britain was left exposed by the end of Roman rule in Britain and the withdrawal of Roman army units, to defend the frontiers in continental Europe and partake in civil wars. Celtic Christian monastic and missionary movements flourished. This period of Christianity was influenced by ancient Celtic culture in its sensibilities, polity, practices and theology. Local \"congregations\" were centred in the monastic community and monastic leaders were more like chieftains, as peers, rather than in the more hierarchical system of the Roman-dominated church.", "title": "History" }, { "paragraph_id": 11, "text": "Roman military withdrawals left Britain open to invasion by pagan, seafaring warriors from north-western continental Europe, chiefly the Saxons, Angles, Jutes and Frisians who had long raided the coasts of the Roman province. These groups then began to settle in increasing numbers over the course of the fifth and sixth centuries, initially in the eastern part of the country. Their advance was contained for some decades after the Britons' victory at the Battle of Mount Badon, but subsequently resumed, overrunning the fertile lowlands of Britain and reducing the area under Brittonic control to a series of separate enclaves in the more rugged country to the west by the end of the 6th century. Contemporary texts describing this period are extremely scarce, giving rise to its description as a Dark Age. Details of the Anglo-Saxon settlement of Britain are consequently subject to considerable disagreement; the emerging consensus is that it occurred on a large scale in the south and east but was less substantial to the north and west, where Celtic languages continued to be spoken even in areas under Anglo-Saxon control. Roman-dominated Christianity had, in general, been replaced in the conquered territories by Anglo-Saxon paganism, but was reintroduced by missionaries from Rome led by Augustine from 597. Disputes between the Roman- and Celtic-dominated forms of Christianity ended in victory for the Roman tradition at the Council of Whitby (664), which was ostensibly about tonsures (clerical haircuts) and the date of Easter, but more significantly, about the differences in Roman and Celtic forms of authority, theology, and practice.", "title": "History" }, { "paragraph_id": 12, "text": "During the settlement period the lands ruled by the incomers seem to have been fragmented into numerous tribal territories, but by the 7th century, when substantial evidence of the situation again becomes available, these had coalesced into roughly a dozen kingdoms including Northumbria, Mercia, Wessex, East Anglia, Essex, Kent and Sussex. Over the following centuries, this process of political consolidation continued. The 7th century saw a struggle for hegemony between Northumbria and Mercia, which in the 8th century gave way to Mercian preeminence. In the early 9th century Mercia was displaced as the foremost kingdom by Wessex. Later in that century escalating attacks by the Danes culminated in the conquest of the north and east of England, overthrowing the kingdoms of Northumbria, Mercia and East Anglia. Wessex under Alfred the Great was left as the only surviving English kingdom, and under his successors, it steadily expanded at the expense of the kingdoms of the Danelaw. This brought about the political unification of England, first accomplished under Æthelstan in 927 and definitively established after further conflicts by Eadred in 953. A fresh wave of Scandinavian attacks from the late 10th century ended with the conquest of this united kingdom by Sweyn Forkbeard in 1013 and again by his son Cnut in 1016, turning it into the centre of a short-lived North Sea Empire that also included Denmark and Norway. However, the native royal dynasty was restored with the accession of Edward the Confessor in 1042.", "title": "History" }, { "paragraph_id": 13, "text": "A dispute over the succession to Edward led to the Norman Conquest in 1066, accomplished by an army led by Duke William of Normandy. The Normans themselves originated from Scandinavia and had settled in Normandy in the late 9th and early 10th centuries. This conquest led to the almost total dispossession of the English elite and its replacement by a new French-speaking aristocracy, whose speech had a profound and permanent effect on the English language.", "title": "History" }, { "paragraph_id": 14, "text": "Subsequently, the House of Plantagenet from Anjou inherited the English throne under Henry II, adding England to the budding Angevin Empire of fiefs the family had inherited in France including Aquitaine. They reigned for three centuries, some noted monarchs being Richard I, Edward I, Edward III and Henry V. The period saw changes in trade and legislation, including the signing of the Magna Carta, an English legal charter used to limit the sovereign's powers by law and protect the privileges of freemen. Catholic monasticism flourished, providing philosophers, and the universities of Oxford and Cambridge were founded with royal patronage. The Principality of Wales became a Plantagenet fief during the 13th century and the Lordship of Ireland was given to the English monarchy by the Pope. During the 14th century, the Plantagenets and the House of Valois claimed to be legitimate claimants to the House of Capet and of France; the two powers clashed in the Hundred Years' War. The Black Death epidemic hit England; starting in 1348, it eventually killed up to half of England's inhabitants.", "title": "History" }, { "paragraph_id": 15, "text": "Between 1453 and 1487, a civil war known as the War of the Roses waged between the two branches of the royal family, the Yorkists and Lancastrians. Eventually it led to the Yorkists losing the throne entirely to a Welsh noble family the Tudors, a branch of the Lancastrians headed by Henry Tudor who invaded with Welsh and Breton mercenaries, gaining victory at the Battle of Bosworth Field where the Yorkist king Richard III was killed.", "title": "History" }, { "paragraph_id": 16, "text": "During the Tudor period, England began to develop naval skills, and exploration intensified in the Age of Discovery. Henry VIII broke from communion with the Catholic Church, over issues relating to his divorce, under the Acts of Supremacy in 1534 which proclaimed the monarch head of the Church of England. In contrast with much of European Protestantism, the roots of the split were more political than theological. He also legally incorporated his ancestral land Wales into the Kingdom of England with the 1535–1542 acts. There were internal religious conflicts during the reigns of Henry's daughters, Mary I and Elizabeth I. The former took the country back to Catholicism while the latter broke from it again, forcefully asserting the supremacy of Anglicanism.", "title": "History" }, { "paragraph_id": 17, "text": "The Elizabethan era is the epoch in the Tudor age of the reign of Queen Elizabeth I (\"the Virgin Queen\"). Historians often depict it as the golden age in English history that represented the apogee of the English Renaissance and saw the flowering of great art, drama, poetry, music and literature. England during this period had a centralised, well-organised, and effective government.", "title": "History" }, { "paragraph_id": 18, "text": "Competing with Spain, the first English colony in the Americas was founded in 1585 by explorer Walter Raleigh in Virginia and named Roanoke. The Roanoke colony failed and is known as the lost colony after it was found abandoned on the return of the late-arriving supply ship. With the East India Company, England also competed with the Dutch and French in the East. During the Elizabethan period, England was at war with Spain. An armada sailed from Spain in 1588 as part of a wider plan to invade England and re-establish a Catholic monarchy. The plan was thwarted by bad coordination, stormy weather and successful harrying attacks by an English fleet under Lord Howard of Effingham. This failure did not end the threat: Spain launched two further armadas, in 1596 and 1597, but both were driven back by storms.", "title": "History" }, { "paragraph_id": 19, "text": "The political structure of the island changed in 1603, when the King of Scots, James VI, a kingdom which had been a long-time rival to English interests, inherited the throne of England as James I, thereby creating a personal union. He styled himself King of Great Britain, although this had no basis in English law. Under the auspices of James VI and I the Authorised King James Version of the Holy Bible was published in 1611. It was the standard version of the Bible read by most Protestant Christians for four hundred years until modern revisions were produced in the 20th century.", "title": "History" }, { "paragraph_id": 20, "text": "Based on conflicting political, religious and social positions, the English Civil War was fought between the supporters of Parliament and those of King Charles I, known colloquially as Roundheads and Cavaliers respectively. This was an interwoven part of the wider multifaceted Wars of the Three Kingdoms, involving Scotland and Ireland. The Parliamentarians were victorious, Charles I was executed and the kingdom replaced by the Commonwealth. Leader of the Parliament forces, Oliver Cromwell declared himself Lord Protector in 1653; a period of personal rule followed. After Cromwell's death and the resignation of his son Richard as Lord Protector, Charles II was invited to return as monarch in 1660, in a move called the Restoration. With the reopening of theatres, fine arts, literature and performing arts flourished throughout the Restoration of ''the Merry Monarch'' Charles II. After the Glorious Revolution of 1688, it was constitutionally established that King and Parliament should rule together, though Parliament would have the real power. This was established with the Bill of Rights in 1689. Among the statutes set down were that the law could only be made by Parliament and could not be suspended by the King, also that the King could not impose taxes or raise an army without the prior approval of Parliament. Also since that time, no British monarch has entered the House of Commons when it is sitting, which is annually commemorated at the State Opening of Parliament by the British monarch when the doors of the House of Commons are slammed in the face of the monarch's messenger, symbolising the rights of Parliament and its independence from the monarch. With the founding of the Royal Society in 1660, science was greatly encouraged.", "title": "History" }, { "paragraph_id": 21, "text": "By the mid-to-late 17th century, two political factions had emerged – the Tories and Whigs. Though the Tories initially supported Catholic king James II, some of them, along with the Whigs, during the Revolution of 1688 invited the Dutch Prince William of Orange to defeat James and become the king. Some English people, especially in the north, were Jacobites and continued to support James and his sons. Under the Stuart dynasty England expanded in trade, finance and prosperity. Britain developed Europe's largest merchant fleet. After the parliaments of England and Scotland agreed, the two countries joined in political union, to create the Kingdom of Great Britain in 1707. To accommodate the union, institutions such as the law and national churches of each remained separate.", "title": "History" }, { "paragraph_id": 22, "text": "Under the newly formed Kingdom of Great Britain, output from the Royal Society and other English initiatives combined with the Scottish Enlightenment to create innovations in science and engineering, while the enormous growth in British overseas trade protected by the Royal Navy paved the way for the establishment of the British Empire. Domestically it drove the Industrial Revolution, a period of profound change in the socioeconomic and cultural conditions of England, resulting in industrialised agriculture, manufacture, engineering and mining, as well as new and pioneering road, rail and water networks to facilitate their expansion and development. The opening of Northwest England's Bridgewater Canal in 1761 ushered in the canal age in Britain. In 1825 the world's first permanent steam locomotive-hauled passenger railway – the Stockton and Darlington Railway – opened to the public.", "title": "History" }, { "paragraph_id": 23, "text": "During the Industrial Revolution, many workers moved from England's countryside to new and expanding urban industrial areas to work in factories, for instance at Birmingham and Manchester, with the latter the world's first industrial city. England maintained relative stability throughout the French Revolution, under George III and William Pitt the Younger. The regency of George IV is noted for its elegance and achievements in the fine arts and architecture. During the Napoleonic Wars, Napoleon planned to invade from the south-east; however, this failed to manifest and the Napoleonic forces were defeated by the British: at sea by Horatio Nelson, and on land by Arthur Wellesley. The major victory at the Battle of Trafalgar confirmed the naval supremacy Britain had established during the course of the eighteenth century. The Napoleonic Wars fostered a concept of Britishness and a united national British people, shared with the English, Scots and Welsh.", "title": "History" }, { "paragraph_id": 24, "text": "London became the largest and most populous metropolitan area in the world during the Victorian era, and trade within the British Empire – as well as the standing of the British military and navy – was prestigious. Technologically, this era saw many innovations that proved key to the United Kingdom's power and prosperity. Political agitation at home from radicals such as the Chartists and the suffragettes enabled legislative reform and universal suffrage.", "title": "History" }, { "paragraph_id": 25, "text": "Power shifts in east-central Europe led to World War I; hundreds of thousands of English soldiers died fighting for the United Kingdom as part of the Allies. Two decades later, in World War II, the United Kingdom was again one of the Allies. Developments in warfare technology saw many cities damaged by air-raids during the Blitz. Following the war, the British Empire experienced rapid decolonisation, and there was a speeding-up of technological innovations; automobiles became the primary means of transport and Frank Whittle's development of the jet engine led to wider air travel. Residential patterns were altered in England by private motoring, and by the creation of the National Health Service in 1948, providing publicly funded health care to all permanent residents free at the point of need. Combined, these prompted the reform of local government in England in the mid-20th century.", "title": "History" }, { "paragraph_id": 26, "text": "Since the 20th century, there has been significant population movement to England, mostly from other parts of the British Isles, but also from the Commonwealth, particularly the Indian subcontinent. Since the 1970s there has been a large move away from manufacturing and an increasing emphasis on the service industry. As part of the United Kingdom, the area joined a common market initiative called the European Economic Community which became the European Union. Since the late 20th century the administration of the United Kingdom has moved towards devolved governance in Scotland, Wales and Northern Ireland. England and Wales continues to exist as a jurisdiction within the United Kingdom. Devolution has stimulated a greater emphasis on a more English-specific identity and patriotism. There is no devolved English government, but an attempt to create a similar system on a sub-regional basis was rejected by referendum.", "title": "History" }, { "paragraph_id": 27, "text": "England is part of the United Kingdom, a constitutional monarchy with a parliamentary system. There has not been a government of England since 1707, when the Acts of Union 1707, putting into effect the terms of the Treaty of Union, joined England and Scotland to form the Kingdom of Great Britain. Before the union England was ruled by its monarch and the Parliament of England. Today England is governed directly by the Parliament of the United Kingdom, although other countries of the United Kingdom have devolved governments.", "title": "Governance" }, { "paragraph_id": 28, "text": "In the House of Commons which is the lower house of the British Parliament based at the Palace of Westminster, there are 532 members of parliament (MPs) for constituencies in England, out of the 650 total. England is represented by 345 MPs from the Conservative Party, 179 from the Labour Party, seven from the Liberal Democrats, one from the Green Party, and the Speaker of the House.", "title": "Governance" }, { "paragraph_id": 29, "text": "Since devolution, in which other countries of the United Kingdom – Scotland, Wales and Northern Ireland – each have their own devolved parliament or assemblies for local issues, there has been debate about how to counterbalance this in England. Originally it was planned that various regions of England would be devolved, but following the proposal's rejection by the North East in a 2004 referendum, this has not been carried out.", "title": "Governance" }, { "paragraph_id": 30, "text": "The English law legal system, developed over the centuries, is the basis of common law legal systems used in most Commonwealth countries and the United States (except Louisiana). Despite now being part of the United Kingdom, the legal system of the Courts of England and Wales continued, under the Treaty of Union, as a separate legal system from the one used in Scotland. The general essence of English law is that it is made by judges sitting in courts, applying their common sense and knowledge of legal precedent – stare decisis – to the facts before them.", "title": "Governance" }, { "paragraph_id": 31, "text": "The court system is headed by the Senior Courts of England and Wales, consisting of the Court of Appeal, the High Court of Justice for civil cases, and the Crown Court for criminal cases. The Supreme Court of the United Kingdom is the highest court for criminal and civil cases in England and Wales. It was created in 2009 after constitutional changes, taking over the judicial functions of the House of Lords. A decision of the Supreme Court is binding on every other court in the hierarchy, which must follow its directions.", "title": "Governance" }, { "paragraph_id": 32, "text": "The Secretary of State for Justice is the minister responsible to Parliament for the judiciary, the court system and prisons and probation in England. Crime increased between 1981 and 1995 but fell by 42% in the period 1995–2006. The prison population doubled over the same period, giving it one of the highest incarceration rates in Western Europe at 147 per 100,000. His Majesty's Prison Service, reporting to the Ministry of Justice, manages most prisons, housing 81,309 prisoners in England and Wales as of September 2022.", "title": "Governance" }, { "paragraph_id": 33, "text": "The subdivisions of England consist of up to four levels of subnational division, controlled through a variety of types of administrative entities created for the purposes of local government.", "title": "Governance" }, { "paragraph_id": 34, "text": "Outside the London region, England's highest tier is the 48 ceremonial counties. These are used primarily as a geographical frame of reference. Of these, 38 developed gradually since the Middle Ages; these were reformed to 51 in 1974 and to their current number in 1996. Each has a Lord Lieutenant and High Sheriff; these posts are used to represent the British monarch locally. Some counties, such as Herefordshire, are only divided further into civil parishes. The royal county of Berkshire and the metropolitan counties have different types of status to other ceremonial counties.", "title": "Governance" }, { "paragraph_id": 35, "text": "The second tier is made up of combined authorities and the 27 county-tier shire counties. In 1974, all ceremonial counties were two-tier; and with the metropolitan county tier phased out, the 1996 reform separated the ceremonial county and the administrative county tier.", "title": "Governance" }, { "paragraph_id": 36, "text": "England is also divided into local government districts. The district can align to a ceremonial county, or be a district tier within a shire county, be a royal or metropolitan borough, have borough or city status, or be a unitary authority.", "title": "Governance" }, { "paragraph_id": 37, "text": "At the community level, much of England is divided into civil parishes with their own councils; in Greater London only one such parish, Queen's Park, exists as of 2014 after they were abolished in 1965 until legislation allowed their recreation in 2007.", "title": "Governance" }, { "paragraph_id": 38, "text": "From 1994 until the early 2010s England was divided for a few purposes into regions; a 1998 referendum for the London Region created the London Assembly two years later. A failed 2004 North East England devolution referendum cancelled further regional assembly devolution with the regional structure outside London abolished.", "title": "Governance" }, { "paragraph_id": 39, "text": "Ceremonially and administratively, the region is divided between the City of London and Greater London; these are further divided into the 32 London Boroughs and the 25 Wards of the City of London.", "title": "Governance" }, { "paragraph_id": 40, "text": "Geographically, England includes the central and southern two-thirds of the island of Great Britain, plus such offshore islands as the Isle of Wight and the Isles of Scilly. It is bordered by two other countries of the United Kingdom: to the north by Scotland and to the west by Wales.", "title": "Geography" }, { "paragraph_id": 41, "text": "England is closer than any other part of mainland Britain to the European continent. It is separated from France (Hauts-de-France) by a 21-mile (34 km) sea gap, though the two countries are connected by the Channel Tunnel near Folkestone. England also has shores on the Irish Sea, North Sea and Atlantic Ocean.", "title": "Geography" }, { "paragraph_id": 42, "text": "The ports of London, Liverpool, and Newcastle lie on the tidal rivers Thames, Mersey and Tyne respectively. At 220 miles (350 km), the Severn is the longest river flowing through England. It empties into the Bristol Channel and is notable for its Severn Bore (a tidal bore), which can reach 2 metres (6.6 ft) in height. However, the longest river entirely in England is the Thames, which is 215 miles (346 km) in length.", "title": "Geography" }, { "paragraph_id": 43, "text": "There are many lakes in England; the largest is Windermere, within the aptly named Lake District. Most of England's landscape consists of low hills and plains, with upland and mountainous terrain in the north and west of the country. The northern uplands include the Pennines, a chain of uplands dividing east and west, the Lake District mountains in Cumbria, and the Cheviot Hills, straddling the border between England and Scotland. The highest point in England, at 978 metres (3,209 ft), is Scafell Pike in the Lake District. The Shropshire Hills are near Wales while Dartmoor and Exmoor are two upland areas in the south-west of the country. The approximate dividing line between terrain types is often indicated by the Tees–Exe line.", "title": "Geography" }, { "paragraph_id": 44, "text": "The Pennines, known as the \"backbone of England\", are the oldest range of mountains in the country, originating from the end of the Paleozoic Era around 300 million years ago. Their geological composition includes, among others, sandstone and limestone, and also coal. There are karst landscapes in calcite areas such as parts of Yorkshire and Derbyshire. The Pennine landscape is high moorland in upland areas, indented by fertile valleys of the region's rivers. They contain two national parks, the Yorkshire Dales and the Peak District. In the West Country, Dartmoor and Exmoor of the Southwest Peninsula include upland moorland supported by granite.", "title": "Geography" }, { "paragraph_id": 45, "text": "The English Lowlands are in the central and southern regions of the country, consisting of green rolling hills, including the Cotswold Hills, Chiltern Hills, North and South Downs; where they meet the sea they form white rock exposures such as the cliffs of Dover. This also includes relatively flat plains such as the Salisbury Plain, Somerset Levels, South Coast Plain and The Fens.", "title": "Geography" }, { "paragraph_id": 46, "text": "England has a temperate maritime climate: it is mild with temperatures not much lower than 0 °C (32 °F) in winter and not much higher than 32 °C (90 °F) in summer. The weather is damp relatively frequently and is changeable. The coldest months are January and February, the latter particularly on the English coast, while July is normally the warmest month. Months with mild to warm weather are May, June, September and October. Rainfall is spread fairly evenly throughout the year.", "title": "Geography" }, { "paragraph_id": 47, "text": "Important influences on the climate of England are its proximity to the Atlantic Ocean, its northern latitude and the warming of the sea by the Gulf Stream. Rainfall is higher in the west, and parts of the Lake District receive more rain than anywhere else in the country. Since weather records began, the highest temperature recorded was 40.3 °C (104.5 °F) on 19 July 2022 at Coningsby, Lincolnshire, while the lowest was −26.1 °C (−15.0 °F) on 10 January 1982 in Edgmond, Shropshire.", "title": "Geography" }, { "paragraph_id": 48, "text": "The fauna of England is similar to that of other areas in the British Isles with a wide range of vertebrate and invertebrate life in a diverse range of habitats. National nature reserves in England are designated by Natural England as key places for wildlife and natural features in England. They were established to protect the most significant areas of habitat and of geological formations. NNRs are managed on behalf of the nation, many by Natural England themselves, but also by non-governmental organisations, including the members of The Wildlife Trusts partnership, the National Trust, and the Royal Society for the Protection of Birds. There are 229 NNRs in England covering 939 square kilometres (363 square miles). Often they contain rare species or nationally important populations of plants and animals.", "title": "Geography" }, { "paragraph_id": 49, "text": "The Environment Agency is a non-departmental public body, established in 1995 and sponsored by the Department for Environment, Food and Rural Affairs with responsibilities relating to the protection and enhancement of the environment in England. The Secretary of State for Environment, Food and Rural Affairs is the minister responsible for environmental protection, agriculture, fisheries and rural communities in England.", "title": "Geography" }, { "paragraph_id": 50, "text": "England has a temperate oceanic climate in most areas, lacking extremes of cold or heat, but does have a few small areas of subarctic and warmer areas in the South West. Towards the North of England the climate becomes colder and most of England's mountains and high hills are located here and have a major impact on the climate and thus the local fauna of the areas. Deciduous woodlands are common across all of England and provide a great habitat for much of England's wildlife, but these give way in northern and upland areas of England to coniferous forests (mainly plantations) which also benefit certain forms of wildlife. Some species have adapted to the expanded urban environment, particularly the red fox, which is the most successful urban mammal after the brown rat, and other animals such as common wood pigeon, both of which thrive in urban and suburban areas.", "title": "Geography" }, { "paragraph_id": 51, "text": "The Greater London Built-up Area is by far the largest urban area in England and one of the busiest cities in the world. It is considered a global city and has a population larger than any other country in the United Kingdom besides England itself. Other urban areas of considerable size and influence tend to be in northern England or the English Midlands. There are 50 settlements which have designated city status in England, while the wider United Kingdom has 66.", "title": "Geography" }, { "paragraph_id": 52, "text": "While many cities in England are quite large, such as Birmingham, Sheffield, Manchester, Liverpool, Leeds, Newcastle, Bradford, Nottingham, population size is not a prerequisite for city status. Traditionally the status was given to towns with diocesan cathedrals, so there are smaller cities like Wells, Ely, Ripon, Truro and Chichester.", "title": "Geography" }, { "paragraph_id": 53, "text": "England's economy is one of the largest and most dynamic in the world, with an average GDP per capita of £34,690. HM Treasury, led by the Chancellor of the Exchequer, is responsible for developing and executing the government's public finance policy and economic policy. Usually regarded as a mixed market economy, it has adopted many free market principles, yet maintains an advanced social welfare infrastructure.", "title": "Economy" }, { "paragraph_id": 54, "text": "The economy of England is the largest part of the UK's economy. England is a leader in the chemical and pharmaceutical sectors and in key technical industries, particularly aerospace, the arms industry, and the software industry. London, home to the London Stock Exchange, the United Kingdom's main stock exchange and the largest in Europe, is England's financial centre, with 100 of Europe's 500 largest corporations being based there. London is the largest financial centre in Europe and as of 2014 is the second largest in the world.", "title": "Economy" }, { "paragraph_id": 55, "text": "London has also been named as the fastest growing technology hub in Europe, with England having over 100 unique tech companies with a value of $1 billion or more. The Bank of England, founded in 1694 as private banker to the government of England and a state-owned institution since 1946, is the United Kingdom's central bank. The bank has a monopoly on the issue of banknotes in England and Wales, although not in other parts of the UK. The government has devolved responsibility to the bank's Monetary Policy Committee for managing the monetary policy of the country and setting interest rates.", "title": "Economy" }, { "paragraph_id": 56, "text": "England is highly industrialised, but since the 1970s there has been a decline in traditional heavy and manufacturing industries, and an increasing emphasis on a more service industry oriented economy. Tourism has become a significant industry, attracting millions of visitors to England each year. The export part of the economy is dominated by pharmaceuticals, automotives, crude oil and petroleum from the English parts of North Sea oil along with Wytch Farm, aircraft engines and alcoholic beverages. The creative industries accounted for 7 per cent GVA in 2005 and grew at an average of 6 per cent per annum between 1997 and 2005.", "title": "Economy" }, { "paragraph_id": 57, "text": "Agriculture is intensive, highly mechanised and efficient by European standards, producing 60% of food needs with only 2% of the labour force. Two-thirds of production is devoted to livestock, the remainder to arable crops. The main crops that are grown are wheat, barley, oats, potatoes, and sugar beets. England retains a significant fishing industry. Its fleets bring home a variety of fish, ranging from sole to herring. England is also rich in natural resources including coal, petroleum, natural gas, tin, limestone, iron ore, salt, clay, chalk, gypsum, lead, and silica.", "title": "Economy" }, { "paragraph_id": 58, "text": "Prominent English figures from the field of science and mathematics include Sir Isaac Newton, Charles Darwin, Robert Hooke, Alan Turing, Stephen Hawking, Edward Jenner, Francis Crick, Joseph Lister, Joseph Priestley, Thomas Young, Christopher Wren and Richard Dawkins.", "title": "Economy" }, { "paragraph_id": 59, "text": "England was a leading centre of the Scientific Revolution from the 17th century. As the birthplace of the Industrial Revolution, England was home to many significant inventors during the late 18th and early 19th centuries. Famous English engineers include Isambard Kingdom Brunel, best known for the creation of the Great Western Railway, a series of famous steamships, and numerous important bridges, revolutionising public transport and modern-day engineering. Thomas Newcomen's steam engine helped spawn the Industrial Revolution.", "title": "Economy" }, { "paragraph_id": 60, "text": "The Father of Railways, George Stephenson, built the first public inter-city railway line in the world, the Liverpool and Manchester Railway, which opened in 1830. With his role in the marketing and manufacturing of the steam engine, and invention of modern coinage, Matthew Boulton (business partner of James Watt) is regarded as one of the most influential entrepreneurs in history. The physician Edward Jenner's smallpox vaccine is said to have \"saved more lives ... than were lost in all the wars of mankind since the beginning of recorded history.\"", "title": "Economy" }, { "paragraph_id": 61, "text": "Inventions and discoveries of the English include the jet engine; the first industrial spinning machine; the first computer and the first modern computer; the World Wide Web along with HTML; the first successful human blood transfusion; the motorised vacuum cleaner; the lawn mower; the seat belt; the hovercraft; the electric motor; steam engines; and theories such as the Darwinian theory of evolution and atomic theory. Newton developed the ideas of universal gravitation, Newtonian mechanics, and calculus, and Robert Hooke his eponymously named law of elasticity. Other inventions include the iron plate railway, the thermosiphon, tarmac, the rubber band, the mousetrap, \"cat's eye\" road marker, joint development of the light bulb, steam locomotives, the modern seed drill and many modern techniques and technologies used in precision engineering.", "title": "Economy" }, { "paragraph_id": 62, "text": "The Royal Society, formally The Royal Society of London for Improving Natural Knowledge, is a learned society and the United Kingdom's national academy of sciences. Founded on 28 November 1660, It is the oldest national scientific institution in the world. The Royal Institution of Great Britain was founded in 1799 by leading English scientists, including Henry Cavendish. Some experts claim that the earliest concept of a metric system was invented by John Wilkins in 1668.", "title": "Economy" }, { "paragraph_id": 63, "text": "Scientific research and development remains important in the universities of England, with many establishing science parks to facilitate production and co-operation with industry. Cambridge is the most intensive research cluster for science and technology in the world. In 2022, the UK produced 6.3 per cent of the world's scientific research papers and had a 10.5 per cent share of scientific citations, the third highest in the world (after the United States and China). Scientific journals produced in England include Nature, the British Medical Journal and The Lancet. Bletchley Park, regarded as one of the birthplaces of computer science, hosted the world's first AI Safety Summit in 2023. The world's first AI Safety Institute is based in England. The Department for Science, Innovation and Technology, Secretary of State for Science, Innovation and Technology, and Minister of State for Science, Research and Innovation has responsibility for science in England.", "title": "Economy" }, { "paragraph_id": 64, "text": "The Department for Transport is the government body responsible for overseeing transport in England. The department is run by the Secretary of State for Transport.", "title": "Economy" }, { "paragraph_id": 65, "text": "England has a dense and modern transportation infrastructure. There are many motorways in England, and many other trunk roads, such as the A1 Great North Road, which runs through eastern England from London to Newcastle (much of this section is motorway) and onward to the Scottish border. The longest motorway in England is the M6, from Rugby through the North West up to the Anglo-Scottish border, a distance of 232 miles (373 km). Other major routes include: the M1 from London to Leeds, the M25 which encircles London, the M60 which encircles Manchester, the M4 from London to South Wales, the M62 from Liverpool via Manchester to East Yorkshire, and the M5 from Birmingham to Bristol and the South West.", "title": "Economy" }, { "paragraph_id": 66, "text": "Bus transport across the country is widespread; major companies include Arriva, FirstGroup, Go-Ahead Group, Mobico Group, Rotala and Stagecoach Group. Bus Rapid Transit originated in England with the Runcorn Busway opening in 1971. The red double-decker buses in London have become a symbol of England. National Cycle Route offers cycling routes nationally.", "title": "Economy" }, { "paragraph_id": 67, "text": "Rail transport in England is the oldest in the world: passenger railways originated in England in 1825. Much of Britain's 10,000 miles (16,000 km) of rail network lies in England, covering the country fairly extensively. There is rail transport access to France and Belgium through an undersea rail link, the Channel Tunnel, which was completed in 1994.", "title": "Economy" }, { "paragraph_id": 68, "text": "Great British Railways is a planned state-owned public body that will oversee rail transport in Great Britain from 2024. The Office of Rail and Road is responsible for the economic and safety regulation of England's railways. Crossrail was Europe's largest construction project with a £15 billion projected cost, opened in 2022. High Speed 2, a new high-speed north–south railway line, is under construction.", "title": "Economy" }, { "paragraph_id": 69, "text": "There is a rapid transit network in two English cities: the London Underground, and the Tyne and Wear Metro in Newcastle upon Tyne, Gateshead and Sunderland. There are several extensive tram networks, such as the Manchester Metrolink, Sheffield Supertram, West Midlands Metro, Nottingham Express Transit, and Tramlink in South London. England also has extensive domestic and international aviation links. The largest airport is Heathrow, which is the world's second busiest airport measured by number of international passengers.", "title": "Economy" }, { "paragraph_id": 70, "text": "By sea there is ferry transport, both local and international, including from Liverpool to Ireland and the Isle of Man, and Hull to the Netherlands and Belgium. There are around 4,400 miles (7,100 km) of navigable waterways in England, half of which is owned by the Canal & River Trust, however, water transport is very limited. The River Thames is the major waterway in England, with imports and exports focused at the Port of Tilbury in the Thames Estuary, one of the United Kingdom's three major ports.", "title": "Economy" }, { "paragraph_id": 71, "text": "Successive governments have outlined numerous commitments to reduce carbon dioxide emissions. Notably, the UK is one of the best sites in Europe for wind energy, and wind power production is its fastest growing supply. Wind power contributed 26.8% of UK electricity generation in 2022. England is home to Hornsea 2, the largest offshore wind farm in the world, situated in waters roughly 89 kilometres off the coast of Yorkshire.", "title": "Economy" }, { "paragraph_id": 72, "text": "The Climate Change Act 2008 was passed in Parliament with an overwhelming majority across political parties. It sets out emission reduction targets that the UK must comply with legally. It represents the first global legally binding climate change mitigation target set by a country. UK government energy policy aims to play a key role in limiting greenhouse gas emissions, while meeting energy demand. Shifting availabilities of resources and development of technologies also change the country's energy mix through changes in costs.", "title": "Economy" }, { "paragraph_id": 73, "text": "The current energy policy is the responsibility of the Department for Energy Security and Net Zero and Secretary of State for Energy Security and Net Zero. The Minister of State for Business, Energy and Clean Growth is responsible for green finance, climate science and innovation, and low carbon generation. In 2022, the United Kingdom was ranked 2 out of 180 countries in the Environmental Performance Index. A law has been passed that UK greenhouse gas emissions will be net zero by 2050.", "title": "Economy" }, { "paragraph_id": 74, "text": "The National Health Service (NHS), is the publicly funded healthcare system responsible for providing the majority of healthcare in the country. The NHS began on 5 July 1948, putting into effect the provisions of the National Health Service Act 1946. It was based on the findings of the Beveridge Report, prepared by economist and social reformer William Beveridge. The NHS is largely funded from general taxation including National Insurance payments, and it provides most of its services free at the point of use, although there are charges for some people for eye tests, dental care, prescriptions and aspects of personal care.", "title": "Healthcare" }, { "paragraph_id": 75, "text": "The government department responsible for the NHS is the Department of Health, headed by the Secretary of State for Health. Most of the expenditure of the department is spent on the NHS—£98.6 billion was spent in 2008–2009. Regulatory bodies such as the General Medical Council and the Nursing and Midwifery Council are organised on a UK-wide basis, as are non-governmental bodies such as the Royal Colleges.", "title": "Healthcare" }, { "paragraph_id": 76, "text": "The average life expectancy is 77.5 years for males and 81.7 years for females, the highest of the four countries of the United Kingdom. The south of England has a higher life expectancy than the north, but regional differences seem to be slowly narrowing: between 1991–1993 and 2012–2014, life expectancy in the North East increased by 6.0 years and in the North West by 5.8 years.", "title": "Healthcare" }, { "paragraph_id": 77, "text": "With over 56 million inhabitants, England is by far the most populous country of the United Kingdom, accounting for 84% of the combined total. England taken as a unit and measured against international states would be the 26th largest country by population in the world.", "title": "Demography" }, { "paragraph_id": 78, "text": "The English people are British people. There is an English diaspora in former parts of the British Empire; especially the United States, Canada, Australia, South Africa and New Zealand. Since the late 1990s, many English people have migrated to Spain. Due in particular to the economic prosperity of South East England, it has received many economic migrants from the other parts of the United Kingdom. There has been significant Irish migration. The proportion of ethnically European residents totals at 87.50%, including Germans and Poles. Other people from much further afield in the former British colonies have arrived since the 1950s: in particular, 6% of people living in England have family origins in the Indian subcontinent, mostly India, Pakistan and Bangladesh. About 0.7% are Chinese. 2.90% of the population are black, from Africa and the Caribbean, especially former British colonies. In 2007, 22% of primary school children in England were from ethnic minority families, and in 2011 that figure was 26.5%. About half of the population increase between 1991 and 2001 was due to immigration.", "title": "Demography" }, { "paragraph_id": 79, "text": "England contains one indigenous national minority, the Cornish people, recognised by the UK government under the Framework Convention for the Protection of National Minorities in 2014.", "title": "Demography" }, { "paragraph_id": 80, "text": "English, today spoken by hundreds of millions of people around the world, originated in what is now England, where it remains the principal tongue. According to a 2011 census, it is spoken well or very well by 98% of the population. Due in large part to the British Empire, the English language is the world's unofficial lingua franca.", "title": "Demography" }, { "paragraph_id": 81, "text": "English language learning and teaching is an important economic activity, and includes language schooling, tourism spending, and publishing. There is no legislation mandating an official language for England, but English is the only language used for official business. Despite the country's relatively small size, there are many distinct regional accents, and individuals with particularly strong accents may not be easily understood everywhere in the country.", "title": "Demography" }, { "paragraph_id": 82, "text": "As well as English, England has two other indigenous languages, Cornish and Welsh. Cornish died out as a community language in the 18th century but is being revived, and is now protected under the European Charter for Regional or Minority Languages. It is spoken by 0.1% of people in Cornwall, and is taught to some degree in several primary and secondary schools.", "title": "Demography" }, { "paragraph_id": 83, "text": "State schools teach students a second language or third language from the ages of seven, most commonly French, Spanish or German. It was reported in 2007 that around 800,000 school students spoke a foreign language at home, the most common being Punjabi and Urdu. However, following the 2011 census data released by the Office for National Statistics, figures now show that Polish is the main language spoken in England after English. In 2022, British Sign Language became an official language of England when the British Sign Language Act 2022 came into effect.", "title": "Demography" }, { "paragraph_id": 84, "text": "In the 2011 census, 59.4% of the population of England specified their religion as Christian, 24.7% answered that they had no religion, 5% specified that they were Muslim, while 3.7% of the population belongs to other religions and 7.2% did not give an answer. Christianity is the most widely practised religion in England. The established church of England is the Church of England, which left communion with Rome in the 1530s when Henry VIII was unable to annul his marriage to Catherine of Aragon. The church regards itself as both Catholic and Protestant.", "title": "Demography" }, { "paragraph_id": 85, "text": "There are High Church and Low Church traditions and some Anglicans regard themselves as Anglo-Catholics, following the Tractarian movement. The monarch of the United Kingdom is the supreme governor of the Church of England, which has around 26 million baptised members (of whom the vast majority are not regular churchgoers). It forms part of the Anglican Communion with the Archbishop of Canterbury acting as its symbolic worldwide head. Many cathedrals and parish churches are historic buildings of significant architectural importance, such as Westminster Abbey, York Minster, Durham Cathedral, and Salisbury Cathedral.", "title": "Demography" }, { "paragraph_id": 86, "text": "The second-largest Christian denomination is the Catholic Church. Since its reintroduction after the Catholic Emancipation, the Church has organised ecclesiastically on an England and Wales basis where there are 4.5 million members (most of whom are English). There has been one Pope from England to date, Adrian IV, while saints Bede and Anselm are regarded as Doctors of the Church.", "title": "Demography" }, { "paragraph_id": 87, "text": "A form of Protestantism known as Methodism is the third largest Christian practice and grew out of Anglicanism through John Wesley. It gained popularity in the mill towns of Lancashire and Yorkshire, and among tin miners in Cornwall. There are other non-conformist minorities, such as Baptists, Quakers, Congregationalists, Unitarians and The Salvation Army.", "title": "Demography" }, { "paragraph_id": 88, "text": "The patron saint of England is Saint George; his symbolic cross is included in the flag of England. There are many other English and associated saints, including Cuthbert, Edmund, Alban, Wilfrid, Aidan, Edward the Confessor, John Fisher, Thomas More, Petroc, Piran, Margaret Clitherow and Thomas Becket. There are non-Christian religions practised. Jews have a history of a small minority on the island since 1070. They were expelled from England in 1290 following the Edict of Expulsion, and were allowed back in 1656.", "title": "Demography" }, { "paragraph_id": 89, "text": "Especially since the 1950s, religions from the former British colonies have grown in numbers, due to immigration. Islam is the most common of these, now accounting for around 5% of the population in England. Hinduism, Sikhism and Buddhism are next in number, adding up to 2.8% combined, introduced from India and Southeast Asia.", "title": "Demography" }, { "paragraph_id": 90, "text": "A small minority of the population practise ancient Pagan religions. Neopaganism in the United Kingdom is primarily represented by Wicca and Neopagan witchcraft, Druidry, and Heathenry. According to the 2011 census, there are roughly 53,172 people who identify as Pagan in England, including 11,026 Wiccans. 24.7% of people in England declared no religion, compared with 14.6% in 2001. Norwich had the highest such proportion at 42.5%, followed by Brighton and Hove at 42.4%.", "title": "Demography" }, { "paragraph_id": 91, "text": "The Department for Education is the government department responsible for issues affecting people in England up to the age of 19, including education. State-funded schools are attended by approximately 93% of English schoolchildren. Education is the responsibility of the Secretary of State for Education.", "title": "Education" }, { "paragraph_id": 92, "text": "Children between the ages of 3 and 5 attend nursery or an Early Years Foundation Stage reception unit within a primary school. Children between the ages of 5 and 11 attend primary school, and secondary school is attended by those aged between 11 and 16. State-funded schools are obliged by law to teach the National Curriculum; basic areas of learning include English literature, English language, mathematics, science, art & design, citizenship, history, geography, religious education, design & technology, computing, ancient & modern languages, music, and physical education.", "title": "Education" }, { "paragraph_id": 93, "text": "The Programme for International Student Assessment coordinated by the OECD currently ranks the overall knowledge and skills of British 15-year-olds as 13th in the world in literacy, mathematics, and science with the average British student scoring 503.7, well above the OECD average of 493.", "title": "Education" }, { "paragraph_id": 94, "text": "Although most English secondary schools are comprehensive, there are selective intake grammar schools to which entrance is subject to passing the eleven-plus exam. Around 7.2 per cent of English schoolchildren attend private schools, which are funded by private sources. Standards in state schools are monitored by the Office for Standards in Education, and in private schools by the Independent Schools Inspectorate.", "title": "Education" }, { "paragraph_id": 95, "text": "After finishing compulsory education, students take GCSE examinations. Students may then opt to continue into further education for two years. Further education colleges (particularly sixth form colleges) often form part of a secondary school site. A-level examinations are sat by a large number of further education students, and often form the basis of an application to university. Further education covers a wide curriculum of study and apprenticeships, including T-levels, BTEC, NVQ and others. Tertiary colleges provide both academic and vocational courses.", "title": "Education" }, { "paragraph_id": 96, "text": "Higher education students normally attend university from age 18 onwards, where they study for an academic degree. There are over 90 universities in England, all but one of which are public institutions. The Department for Business, Innovation and Skills is the government department responsible for higher education in England. Students are generally entitled to student loans to cover tuition fees and living costs. The first degree offered to undergraduates is the bachelor's degree, which usually takes three years to complete. Students are then able to work towards a postgraduate degree, which usually takes one year, or a doctorate, which takes three or more years.", "title": "Education" }, { "paragraph_id": 97, "text": "England's universities include some of the highest-ranked universities in the world. As of 2023, four England-based universities, the University of Cambridge, University of Oxford, Imperial College London, and University College London, are ranked among the top ten in the 2023 QS World University Rankings. The University of Cambridge, founded in 1209, and the University of Oxford, founded in 1096, are the two oldest universities in the English-speaking world.", "title": "Education" }, { "paragraph_id": 98, "text": "The London School of Economics has been described as the world's leading social science institution for both teaching and research. The London Business School is considered one of the world's leading business schools and in 2010 its MBA programme was ranked best in the world by the Financial Times. Academic degrees in England are usually split into classes: first class, upper second class, lower second class, third, and unclassified. The King's School, Canterbury and King's School, Rochester are the oldest schools in the English-speaking world. Many of England's most well-known schools, such as Winchester College, Eton, St Paul's School, Harrow School and Rugby School are fee-paying institutions.", "title": "Education" }, { "paragraph_id": 99, "text": "Many ancient standing stone monuments were erected during the prehistoric period; among the best known are Stonehenge, Devil's Arrows, Rudston Monolith and Castlerigg. With the introduction of Ancient Roman architecture there was a development of basilicas, baths, amphitheaters, triumphal arches, villas, Roman temples, Roman roads, Roman forts, stockades and aqueducts. It was the Romans who founded the first cities and towns such as London, Bath, York, Chester and St Albans. Perhaps the best-known example is Hadrian's Wall stretching right across northern England. Another well-preserved example is the Roman Baths at Bath, Somerset.", "title": "Culture" }, { "paragraph_id": 100, "text": "Early medieval architecture's secular buildings were simple constructions mainly using timber with thatch for roofing. Ecclesiastical architecture ranged from a synthesis of Hiberno–Saxon monasticism, to Early Christian basilica and architecture characterised by pilaster-strips, blank arcading, baluster shafts and triangular headed openings. After the Norman conquest in 1066 various castles were created; the best known include the Tower of London, Warwick Castle, Durham Castle and Windsor Castle.", "title": "Culture" }, { "paragraph_id": 101, "text": "Throughout the Plantagenet era, an English Gothic architecture flourished, with prime examples including the medieval cathedrals such as Canterbury Cathedral, Westminster Abbey and York Minster. Expanding on the Norman base there was also castles, palaces, great houses, universities and parish churches. Medieval architecture was completed with the 16th-century Tudor style; the four-centred arch, now known as the Tudor arch, was a defining feature as were wattle and daub houses domestically. In the aftermath of the Renaissance a form of architecture echoing classical antiquity synthesised with Christianity appeared, the English Baroque style of architect Christopher Wren being particularly championed.", "title": "Culture" }, { "paragraph_id": 102, "text": "Georgian architecture followed in a more refined style, evoking a simple Palladian form; the Royal Crescent at Bath is one of the best examples of this. With the emergence of romanticism during Victorian period, a Gothic Revival was launched. In addition to this, around the same time the Industrial Revolution paved the way for buildings such as The Crystal Palace. Since the 1930s various modernist forms have appeared whose reception is often controversial, though traditionalist resistance movements continue with support in influential places.", "title": "Culture" }, { "paragraph_id": 103, "text": "Landscape gardening, as developed by Capability Brown, set an international trend for the English landscape garden. Gardening, and visiting gardens, are regarded as typically English pursuits. The English garden presented an idealized view of nature. At large country houses, the English garden usually included lakes, sweeps of gently rolling lawns set against groves of trees, and recreations of classical temples, Gothic ruins, bridges, and other picturesque architecture, designed to recreate an idyllic pastoral landscape.", "title": "Culture" }, { "paragraph_id": 104, "text": "By the end of the 18th century, the English garden was being imitated by the French landscape garden, and as far away as Pavlovsk, Saint Petersburg, the gardens of the future Emperor Paul. It also had a major influence on the public parks and gardens which appeared around the world in the 19th century. The English landscape garden was centred on the English country house and manor houses.", "title": "Culture" }, { "paragraph_id": 105, "text": "English Heritage and the National Trust preserve great gardens and landscape parks throughout the country. The RHS Chelsea Flower Show is held every year by the Royal Horticultural Society and is said to be the largest gardening show in the world.", "title": "Culture" }, { "paragraph_id": 106, "text": "English folklore developed over many centuries. Some of the characters and stories are present across England, but most belong to specific regions. Common folkloric beings include pixies, giants, elves, bogeymen, trolls, goblins and dwarves. While many legends and folk-customs are thought to be ancient, such as the tales featuring Offa of Angel and Wayland the Smith, others date from after the Norman invasion. The legends featuring Robin Hood and his Merry Men of Sherwood, and their battles with the Sheriff of Nottingham, are among the best-known of these.", "title": "Culture" }, { "paragraph_id": 107, "text": "During the High Middle Ages tales originating from Brythonic traditions entered English folklore and developed into the Arthurian myth. These were derived from Anglo-Norman, Welsh and French sources, featuring King Arthur, Camelot, Excalibur, Merlin and the Knights of the Round Table such as Lancelot. These stories are most centrally brought together within Geoffrey of Monmouth's Historia Regum Britanniae (History of the Kings of Britain).", "title": "Culture" }, { "paragraph_id": 108, "text": "Some folk figures are based on semi or actual historical people whose story has been passed down centuries. On 5 November people celebrate Bonfire Night to commemorate the foiling of the Gunpowder Plot centred on Guy Fawkes. There are various national and regional folk activities, participated in to this day, such as Morris dancing, Maypole dancing, Rapper sword in the North East, Long Sword dance in Yorkshire, Mummers Plays, bottle-kicking in Leicestershire, and cheese-rolling at Cooper's Hill. There is no official national costume, but a few are well established such as the Pearly Kings and Queens associated with cockneys, the Royal Guard, the Morris costume and Beefeaters.", "title": "Culture" }, { "paragraph_id": 109, "text": "Since the early modern period the food of England has historically been characterised by its simplicity of approach and a reliance on the high quality of natural produce. During the Middle Ages and the Renaissance, English cuisine enjoyed an excellent reputation, though a decline began during the Industrial Revolution with increasing urbanisation. The cuisine of England has, however, recently undergone a revival, which has been recognised by food critics with some good ratings in Restaurant's best restaurant in the world charts. The quality of London's best restaurants has made the city a leading centre of international cuisine.", "title": "Culture" }, { "paragraph_id": 110, "text": "Traditional examples of English food include the Sunday roast, featuring a roasted joint (usually beef, lamb, chicken or pork) served with assorted fresh vegetables, roast potatoes, Yorkshire pudding and gravy. Other prominent meals include fish and chips and the full English breakfast (generally consisting of bacon, sausages, grilled tomatoes, fried bread, black pudding, baked beans, mushrooms and eggs). Various meat pies are consumed, such as steak and kidney pie, steak and ale pie, cottage pie, pork pie (usually eaten cold) and the Cornish pasty.", "title": "Culture" }, { "paragraph_id": 111, "text": "Sausages are commonly eaten, either as bangers and mash or toad in the hole. Lancashire hotpot is a well-known stew originating in the northwest. There are over 700 varieties of cheese produced in England. Some of the more popular cheeses are Cheddar, Red Leicester, Wensleydale, Double Gloucester and Blue Stilton. Many Anglo-Indian hybrid dishes, curries, have been created, such as chicken tikka masala and balti. Traditional English dessert dishes include apple pie or other fruit pies; spotted dick – all generally served with custard; and, more recently, sticky toffee pudding. Sweet pastries include scones served with jam or cream, dried fruit loaves, Eccles cakes and mince pies as well as sweet or spiced biscuits.", "title": "Culture" }, { "paragraph_id": 112, "text": "Common non-alcoholic drinks include tea and coffee; frequently consumed alcoholic drinks include wine, ciders and English beers, such as bitter, mild, stout and brown ale.", "title": "Culture" }, { "paragraph_id": 113, "text": "The earliest known examples are the prehistoric rock and cave art pieces, most prominent in North Yorkshire, Northumberland and Cumbria, but also feature further south, for example at Creswell Crags. With the arrival of Roman culture in the 1st century, various forms of art such as statues, busts, glasswork and mosaics were the norm. There are numerous surviving artefacts, such as those at Lullingstone and Aldborough. During the Early Middle Ages the style favoured sculpted crosses and ivories, manuscript painting, gold and enamel jewellery, demonstrating a love of intricate, interwoven designs such as in the Staffordshire Hoard discovered in 2009. Some of these blended Gaelic and Anglian styles, such as the Lindisfarne Gospels and Vespasian Psalter. Later Gothic art was popular at Winchester and Canterbury, examples survive such as Benedictional of St. Æthelwold and Luttrell Psalter.", "title": "Culture" }, { "paragraph_id": 114, "text": "The Tudor era saw prominent artists as part of their court; portrait painting, which would remain an enduring part of English art, was boosted by German Hans Holbein, and natives such as Nicholas Hilliard built on this. Under the Stuarts, Continental artists were influential especially the Flemish, examples from the period include Anthony van Dyck, Peter Lely, Godfrey Kneller and William Dobson. The 18th century saw the founding of the Royal Academy; a classicism based on the High Renaissance prevailed, with Thomas Gainsborough and Joshua Reynolds becoming two of England's most treasured artists.", "title": "Culture" }, { "paragraph_id": 115, "text": "In the 19th century, John Constable and J. M. W. Turner were major landscape artists. The Norwich School continued the landscape tradition, while the Pre-Raphaelite Brotherhood, led by artists such as Holman Hunt, Dante Gabriel Rossetti and John Everett Millais, revived the Early Renaissance style with their vivid and detailed style. Prominent among 20th-century artists was Henry Moore, regarded as the voice of British sculpture, and of British modernism in general. The Royal Society of Arts is an organisation committed to the arts and culture.", "title": "Culture" }, { "paragraph_id": 116, "text": "Early authors such as Bede and Alcuin wrote in Latin. The period of Old English literature provided the epic poem Beowulf and the secular prose of the Anglo-Saxon Chronicle, along with Christian writings such as Judith, Cædmon's Hymn and hagiographies. Following the Norman conquest Latin continued among the educated classes, as well as an Anglo-Norman literature.", "title": "Culture" }, { "paragraph_id": 117, "text": "Middle English literature emerged with Geoffrey Chaucer, author of The Canterbury Tales, along with Gower, the Pearl Poet and Langland. William of Ockham and Roger Bacon, who were Franciscans, were major philosophers of the Middle Ages. Julian of Norwich, who wrote Revelations of Divine Love, was a prominent Christian mystic. With the English Renaissance literature in the Early Modern English style appeared. William Shakespeare, whose works include Hamlet, Romeo and Juliet, Macbeth, and A Midsummer Night's Dream, remains one of the most championed authors in English literature.", "title": "Culture" }, { "paragraph_id": 118, "text": "Christopher Marlowe, Edmund Spenser, Philip Sydney, Thomas Kyd, John Donne, and Ben Jonson are other established authors of the Elizabethan age. Francis Bacon and Thomas Hobbes wrote on empiricism and materialism, including scientific method and social contract. Filmer wrote on the Divine Right of Kings. Marvell was the best-known poet of the Commonwealth, while John Milton authored Paradise Lost during the Restoration.", "title": "Culture" }, { "paragraph_id": 119, "text": "This royal throne of kings, this sceptred isle, this earth of majesty, this seat of Mars, this other Eden, demi-paradise; this fortress, built by nature for herself. This blessed plot, this earth, this realm, this England.", "title": "Culture" }, { "paragraph_id": 120, "text": "William Shakespeare.", "title": "Culture" }, { "paragraph_id": 121, "text": "Some of the most prominent philosophers of the Enlightenment were John Locke, Thomas Paine, Samuel Johnson and Jeremy Bentham. More radical elements were later countered by Edmund Burke who is regarded as the founder of conservatism. The poet Alexander Pope with his satirical verse became well regarded. The English played a significant role in romanticism: Samuel Taylor Coleridge, Lord Byron, John Keats, Mary Shelley, Percy Bysshe Shelley, William Blake and William Wordsworth were major figures.", "title": "Culture" }, { "paragraph_id": 122, "text": "In response to the Industrial Revolution, agrarian writers sought a way between liberty and tradition; William Cobbett, G. K. Chesterton and Hilaire Belloc were main exponents, while the founder of guild socialism, Arthur Penty, and cooperative movement advocate G. D. H. Cole are somewhat related. Empiricism continued through John Stuart Mill and Bertrand Russell, while Bernard Williams was involved in analytics. Authors from around the Victorian era include Charles Dickens, the Brontë sisters, Jane Austen, George Eliot, Rudyard Kipling, Thomas Hardy, H. G. Wells and Lewis Carroll. Since then England has continued to produce novelists such as George Orwell, D. H. Lawrence, Virginia Woolf, C. S. Lewis, Enid Blyton, Aldous Huxley, Agatha Christie, Terry Pratchett, J. R. R. Tolkien, and J. K. Rowling.", "title": "Culture" }, { "paragraph_id": 123, "text": "The traditional folk music of England is centuries old and has contributed to several genres prominently; mostly sea shanties, jigs, hornpipes and dance music. It has its own distinct variations and regional peculiarities. Ballads featuring Robin Hood, printed by Wynkyn de Worde in the 16th century, are an important artefact, as are John Playford's The Dancing Master and Robert Harley's Roxburghe Ballads collections. Some of the best-known songs are Greensleeves, Pastime with Good Company, Maggie May and Spanish Ladies among others. Many nursery rhymes are of English origin such as Mary, Mary, Quite Contrary, Roses Are Red, Jack and Jill, London Bridge Is Falling Down, The Grand Old Duke of York, Hey Diddle Diddle and Humpty Dumpty. Traditional English Christmas carols include \"We Wish You a Merry Christmas\", \"The First Noel\", \"I Saw Three Ships\" and \"God Rest You Merry, Gentlemen\".", "title": "Culture" }, { "paragraph_id": 124, "text": "Early English composers in classical music include Renaissance artists Thomas Tallis and William Byrd, followed by Henry Purcell from the Baroque period and Thomas Arne who was well known for his patriotic song Rule, Britannia!. German-born George Frideric Handel spent most of his composing life in London and became a national icon in Britain, creating some of the most well-known works of classical music, especially his English oratorios, The Messiah, Solomon, Water Music, and Music for the Royal Fireworks.", "title": "Culture" }, { "paragraph_id": 125, "text": "Classical music attracted much attention from 1784 with the formation of the Birmingham Triennial Music Festival, which was the longest running classical music festival of its kind until the final concerts in 1912. The English Musical Renaissance was a hypothetical development in the late 19th and early 20th century, when English composers, often those lecturing or trained at the Royal College of Music, were said to have freed themselves from foreign musical influences. There was a revival in the profile of composers from England in the 20th century led by Edward Elgar, Benjamin Britten, Frederick Delius, Gustav Holst, Ralph Vaughan Williams and others. Present-day composers from England include Michael Nyman, best known for The Piano, and Andrew Lloyd Webber, whose musicals have achieved enormous success in the West End and worldwide.", "title": "Culture" }, { "paragraph_id": 126, "text": "In popular music, many English bands and solo artists have been cited as the most influential and best-selling musicians of all time. Acts such as the Beatles, Led Zeppelin, Pink Floyd, Elton John, Queen, Rod Stewart, David Bowie, the Rolling Stones and Def Leppard are among the highest-selling recording artists in the world. Many musical genres have origins in (or strong associations with) England, such as British invasion, progressive rock, hard rock, Mod, glam rock, heavy metal, Britpop, indie rock, gothic rock, shoegazing, acid house, garage, trip hop, drum and bass and dubstep.", "title": "Culture" }, { "paragraph_id": 127, "text": "Large outdoor music festivals in the summer and autumn are popular, such as Glastonbury, V Festival, and the Reading and Leeds Festivals. England was at the forefront of the illegal, free rave movement from the late 1980s, which inspired the pan-European culture of teknivals. The Boishakhi Mela is a Bengali New Year festival celebrated by the British Bangladeshi community. It is the largest open-air Asian festival in Europe. After the Notting Hill Carnival, it is the second-largest street festival in the UK, attracting over 80,000 visitors.", "title": "Culture" }, { "paragraph_id": 128, "text": "The most prominent opera house in England is the Royal Opera House at Covent Garden. The Proms is a major annual cultural event in the English calendar. The Royal Ballet is one of the world's foremost classical ballet companies. The Royal Academy of Music is the oldest conservatoire in the UK, founded in 1822, receiving its royal charter in 1830. England is home to numerous major orchestras such as the BBC Symphony Orchestra, the Royal Philharmonic Orchestra, the Philharmonia Orchestra, and the London Symphony Orchestra. Other forms of entertainment that originated in England include the circus and the pantomime.", "title": "Culture" }, { "paragraph_id": 129, "text": "England has had a considerable influence on the history of the cinema, producing some of the greatest actors, directors and motion pictures of all time, including Alfred Hitchcock, Charlie Chaplin, David Lean, Laurence Olivier, Vivien Leigh, John Gielgud, Peter Sellers, Julie Andrews, Michael Caine, Gary Oldman, Helen Mirren, Kate Winslet and Daniel Day-Lewis. Hitchcock and Lean are among the most critically acclaimed filmmakers. Hitchcock's The Lodger: A Story of the London Fog (1926) helped shape the thriller genre in film, while his 1929 Blackmail is often regarded as the first British sound feature film.", "title": "Culture" }, { "paragraph_id": 130, "text": "Major film studios in England include Pinewood, Elstree and Shepperton. Some of the most commercially successful films of all time have been produced in England, including two of the highest-grossing film franchises (Harry Potter and James Bond). Ealing Studios in London has a claim to being the oldest continuously working film studio in the world. Famous for recording many motion picture film scores, the London Symphony Orchestra first performed film music in 1935. The Hammer Horror films starring Christopher Lee saw the production of the first gory horror films showing blood and guts in colour.", "title": "Culture" }, { "paragraph_id": 131, "text": "The BFI Top 100 British films includes Monty Python's Life of Brian (1979), a film regularly voted the funniest of all time by the UK public. English producers are also active in international co-productions and English actors, directors and crew feature regularly in American films. The UK film council ranked David Yates, Christopher Nolan, Mike Newell, Ridley Scott and Paul Greengrass the five most commercially successful English directors since 2001. Other contemporary English directors include Sam Mendes, Guy Ritchie and Richard Curtis. Current actors include Tom Hardy, Daniel Craig, Benedict Cumberbatch, Lena Headey, Felicity Jones, Emilia Clarke, Lashana Lynch, and Emma Watson. Acclaimed for his motion capture work, Andy Serkis opened The Imaginarium Studios in London in 2011. The visual effects company Framestore in London has produced some of the most critically acclaimed special effects in modern film. Many successful Hollywood films have been based on English people, stories or events. The 'English Cycle' of Disney animated films include Alice in Wonderland, The Jungle Book and Winnie the Pooh.", "title": "Culture" }, { "paragraph_id": 132, "text": "English Heritage is a governmental body with a broad remit of managing the historic sites, artefacts and environments of England. It is currently sponsored by the Department for Culture, Media and Sport. A non-governmental charity, the National Trust holds a complementary role, focussed on landscapes and country houses. 17 of the 25 United Kingdom UNESCO World Heritage Sites fall within England. Some of the best-known of these are: Hadrian's Wall, Stonehenge, Avebury and Associated Sites, the Tower of London, the Jurassic Coast, Saltaire, Ironbridge Gorge, Blenheim Palace and the Lake District.", "title": "Culture" }, { "paragraph_id": 133, "text": "London's British Museum holds more than seven million objects, one of the largest and most comprehensive collections in the world, illustrating and documenting global human culture from its beginnings to the present. The British Library in London is the national library and is one of the world's largest research libraries, holding over 150 million items in almost all known languages and formats, including around 25 million books. The National Gallery in Trafalgar Square houses a collection of over 2,300 paintings dating from the mid-13th century to 1900. The Tate galleries house the national collections of British and international modern art; they also host the Turner Prize.", "title": "Culture" }, { "paragraph_id": 134, "text": "The Secretary of State for Culture, Media and Sport has overall responsibility for cultural property and heritage. A blue plaque, the oldest historical marker scheme in the world, is a permanent sign installed in a public place in England to commemorate a link between that location and a famous person or event. In 2011 there were around 1,600 museums in England. Entry to most museums and galleries is free. London is one of the world's most visited cities, regularly taking the top five most visited cities in Europe. It is considered a global centre of finance, art and culture.", "title": "Culture" }, { "paragraph_id": 135, "text": "The BBC, founded in 1922, is the UK's publicly funded radio, television and Internet broadcasting corporation, and is the oldest and largest broadcaster in the world. It operates numerous television and radio stations in the UK and abroad and its domestic services are funded by the television licence. The BBC World Service is an international broadcaster owned and operated by the BBC. It is the world's largest of any kind. It broadcasts radio news, speech and discussions in more than 40 languages.", "title": "Media" }, { "paragraph_id": 136, "text": "London dominates the media sector in England: national newspapers and television and radio are largely based there, although Manchester is also a significant national media centre. The UK publishing sector, including books, directories and databases, journals, magazines and business media, newspapers and news agencies, has a combined turnover of around £20 billion and employs around 167,000 people. National newspapers produced in England include The Times, The Guardian and the Financial Times.", "title": "Media" }, { "paragraph_id": 137, "text": "Magazines and journals published in England that have achieved worldwide circulation include Nature, New Scientist, The Spectator, Prospect, NME and The Economist. The Secretary of State for Culture, Media and Sport has overall responsibility over media and broadcasting in England.", "title": "Media" }, { "paragraph_id": 138, "text": "England has a strong sporting heritage, and during the 19th century codified many sports that are now played around the world. Sports originating in England include association football, cricket, rugby union, rugby league, tennis, boxing, badminton, squash, rounders, hockey, snooker, billiards, darts, table tennis, bowls, netball, thoroughbred horseracing, greyhound racing and fox hunting. It has helped the development of golf, sailing and Formula One.", "title": "Sport" }, { "paragraph_id": 139, "text": "Football is the most popular of these sports. The England national football team, whose home venue is Wembley Stadium, played Scotland in the first ever international football match in 1872. Referred to as the \"home of football\" by FIFA, England hosted and won the 1966 FIFA World Cup. With a British television audience peak of 32.30 million viewers, the final is the most watched television event ever in the UK. England is recognised by FIFA as the birthplace of club football: Sheffield F.C., founded in 1857, is the world's oldest club. The England women's national football team won the UEFA Euro 2022, hosted by England.", "title": "Sport" }, { "paragraph_id": 140, "text": "Cricket is generally thought to have been developed in the early medieval period among the farming and metalworking communities of the Weald. The England cricket team is a composite England and Wales team. One of the game's top rivalries is The Ashes series between England and Australia, contested since 1882. Lord's Cricket Ground situated in London is sometimes referred to as the \"Mecca of Cricket\". After winning the 2019 Cricket World Cup, England became the first country to win the World Cups in football, rugby union, and cricket.", "title": "Sport" }, { "paragraph_id": 141, "text": "William Penny Brookes was prominent in organising the format for the modern Olympic Games. London has hosted the Summer Olympic Games three times, in 1908, 1948, and 2012. England competes in the Commonwealth Games, held every four years. Sport England is the governing body responsible for distributing funds and providing strategic guidance for sporting activity in England.", "title": "Sport" }, { "paragraph_id": 142, "text": "Rugby union originated in Rugby School, Warwickshire in the early 19th century. The top level of club participation is the English Premiership. Rugby league was born in Huddersfield in 1895. Since 2008, the England national rugby league team has been a full test nation in lieu of the Great Britain national rugby league team, which won three World Cups. Club sides play in Super League, the present-day embodiment of the Rugby Football League Championship. Rugby League is most popular among towns in the northern English counties of Lancashire, Yorkshire and Cumbria.", "title": "Sport" }, { "paragraph_id": 143, "text": "Golf has been prominent in England, due in part to its cultural and geographical ties to Scotland. There are professional tours for men and women, in two main tours: the PGA and the European Tour. The world's oldest golf tournament, and golf's first major is The Open Championship, played both in England and Scotland. The biennial golf competition, the Ryder Cup, is named after English businessman Samuel Ryder.", "title": "Sport" }, { "paragraph_id": 144, "text": "Tennis was created in Birmingham in the late 19th century, and the Wimbledon Championships is the oldest tennis tournament in the world, and widely considered the most prestigious. Wimbledon has a major place in the English cultural calendar.", "title": "Sport" }, { "paragraph_id": 145, "text": "In boxing, under the Marquess of Queensberry Rules, England has produced many world champions across the weight divisions internationally recognised by the governing bodies.", "title": "Sport" }, { "paragraph_id": 146, "text": "Originating in 17th and 18th-century England, the thoroughbred is a horse breed best known for its use in horse racing. The National Hunt horse race the Grand National, is held annually at Aintree Racecourse in early April. It is the most watched horse race in the UK, and three-time winner Red Rum is the most successful racehorse in the event's history.", "title": "Sport" }, { "paragraph_id": 147, "text": "The 1950 British Grand Prix at Silverstone was the first race in the newly created Formula One World Championship. It has manufactured some of the most technically advanced racing cars, and many of today's racing companies choose England as their base of operations. England also has a rich heritage in Grand Prix motorcycle racing, the premier championship of motorcycle road racing, and produced several world champions.", "title": "Sport" }, { "paragraph_id": 148, "text": "Darts is a widely popular sport in England; a professional competitive sport, it is a traditional pub game. Another popular sport commonly associated with pub games is snooker, and England has produced several world champions. The English are keen sailors and enjoy competitive sailing; founding and winning some of the world's most famous international competitive tournaments across the various race formats, including the match race, a regatta, and the America's Cup.", "title": "Sport" }, { "paragraph_id": 149, "text": "The St George's Cross has been the national flag of England since the 13th century. Originally the flag was used by the maritime Republic of Genoa. The English monarch paid a tribute to the Doge of Genoa from 1190 onwards so that English ships could fly the flag as a means of protection when entering the Mediterranean. A red cross was a symbol for many Crusaders in the 12th and 13th centuries, and became associated with Saint George. Since 1606 the St George's Cross has formed part of the design of the Union Flag, a Pan-British flag designed by King James I. During the English Civil War and Interregnum, the New Model Army's standards and the Commonwealth's Great Seal both incorporated the flag of Saint George.", "title": "National symbols" }, { "paragraph_id": 150, "text": "There are numerous other symbols and symbolic artefacts, both official and unofficial, including the Tudor rose, the nation's floral emblem, and the Three Lions featured on the Royal Arms of England. The Tudor rose was adopted as a national emblem of England around the time of the Wars of the Roses as a symbol of peace. It is a syncretic symbol in that it merged the white rose of the Yorkists and the red rose of the Lancastrians. It is also known as the Rose of England. The oak tree is a symbol of England: the Royal Oak symbol and Oak Apple Day commemorate the escape of King Charles II after his father's execution, when he hid in an oak to avoid detection by the parliamentarians before safely reaching exile.", "title": "National symbols" }, { "paragraph_id": 151, "text": "The Royal Arms of England, a national coat of arms featuring three lions, originated with Richard the Lionheart in 1198. It is blazoned as gules, three lions passant guardant or and it provides one of the most prominent symbols of England. England does not have an official national anthem, as the United Kingdom as a whole has God Save the King. However, Jerusalem, Land of Hope and Glory (used for England during the 2002 Commonwealth Games), and I Vow to Thee, My Country are often considered unofficial English national anthems. England's National Day is 23 April which is Saint George's Day: Saint George is the patron saint of England.", "title": "National symbols" } ]
England is a country that is part of the United Kingdom. It shares land borders with Wales to its west and Scotland to its north, while Ireland is located across the Irish Sea to its west and northwest, and the Celtic Sea lies to its southwest. It is separated from continental Europe by the North Sea to the east and the English Channel to the south. The country covers roughly 62% of the island of Great Britain, which is in the North Atlantic, and includes over 100 smaller islands such as the Isles of Scilly and the Isle of Wight. The area now called England was first inhabited by modern humans during the Upper Paleolithic, but takes its name from the Angles, a Germanic tribe who settled during the 5th and 6th centuries. England became a unified state in the 10th century and has had a significant cultural and legal impact on the wider world since the Age of Discovery, which began during the 15th century. The Kingdom of England, which included Wales after 1535, ceased being a separate sovereign state on 1 May 1707 when the Acts of Union put the terms agreed in the Treaty of Union the previous year into effect; this resulted in a political union with the Kingdom of Scotland that created the Kingdom of Great Britain. England is the origin of many well-known worldwide exports, including the English language, the English law system, association football, and the Church of England; its parliamentary system of government has been widely adopted by other nations. The Industrial Revolution began in 18th-century England, transforming its society into the world's first industrialised nation. England is home to the two oldest universities in the English-speaking world: the University of Oxford, founded in 1096, and the University of Cambridge, founded in 1209. Both universities are ranked among the most prestigious in the world. England's terrain chiefly consists of low hills and plains, especially in the centre and south. Upland and mountainous terrain is mostly found in the north and west, including Dartmoor, the Lake District, the Pennines, and the Shropshire Hills. The country's capital is London, the greater metropolitan of which has a population of 14.2 million as of 2021, representing the United Kingdom's largest metropolitan area. England's population of 56.3 million comprises 84% of the population of the United Kingdom, largely concentrated around London, the South East, and conurbations in the centre, the North West, the North East, and Yorkshire and the Humber, which each developed as major industrial regions during the 19th century.
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https://en.wikipedia.org/wiki/England
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European Union
The European Union (EU) is a supranational political and economic union of 27 member states that are located primarily in Europe. The union has a total area of 4,233,255 km (1,634,469 sq mi) and an estimated total population of over 448 million. The EU has often been described as a sui generis political entity (without precedent or comparison) combining the characteristics of both a federation and a confederation. Containing 5.8% of the world population in 2020, the EU generated a nominal gross domestic product (GDP) of around US$16.6 trillion in 2022, constituting approximately one sixth of global nominal GDP and the third-biggest global economy after the United States and China. Additionally, all EU states except Bulgaria have a very high Human Development Index according to the United Nations Development Programme. Its cornerstone, the Customs Union, paved the way to establishing an internal single market based on standardised legal framework and legislation that applies 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. The eurozone is a group composed of the 20 EU member states that have fully implemented the economic and monetary union and use the euro currency. 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. The union was established along with its citizenship when the Maastricht Treaty came into force in 1993, and was incorporated as an international legal juridical person upon entry into force of the Treaty of Lisbon in 2009. But its beginnings may be traced to a group of founding states known as the Inner Six (Belgium, France, Italy, Luxembourg, the Netherlands, and West Germany) at the start of modern European integration in 1948, namely to the Western Union, the International Authority for the Ruhr (IAR), the European Coal and Steel Community (ECSC), the European Economic Community and the European Atomic Energy Community (Euratom), established, respectively, by the 1948 Treaty of Brussels and London Six-Power Conference, the 1951 Treaty of Paris, the 1957 Treaty of Rome and Euratom Treaty. These increasingly amalgamated bodies have grown, with their legal successor the EU, both in size through accessions of further 22 states from 1973–2013, and in power through acquisitions of policy areas by the abovementioned treaties, as well as others, such as the Single European Act, Treaty of Amsterdam and Treaty of Nice. In 2012, the EU was awarded the Nobel Peace Prize. After the creation by six states, 22 other states joined the union. The United Kingdom became the only member state to leave the EU in 2020; ten countries are aspiring or negotiating to join it. Internationalism and visions of European unity had been around since well before the 19th century, but gained particularly as a reaction to World War I and its aftermath. In this light first advances for the idea of European integration were made. In 1920 John Maynard Keynes proposed a European customs union for the struggling post-war European economies, and in 1923 the oldest organization for European integration, the Paneuropean Union was founded, lead by Richard von Coudenhove-Kalergi, who later would found in June 1947 the European Parliamentary Union (EPU). As French prime minister and follower of the Paneuropean Union Aristide Briand (Nobel Peace Prize laureate for the Locarno Treaties) delivered a widely recognized speech at the League of Nations in Geneva on 5 September 1929 for a federal Europe to secure Europe and settle the historic Franco-German enmity. With large scale war being waged in Europe once again in the 1930s and becoming World War II, the question of what to fight against and what for, had to be agreed on. A first agreement was the Declaration of St James's Palace of 1941, when Europe's resistance gathered in London. This was expanded on by the 1941 Atlantic Charter, establishing the Allies and their common goals, inciting a new wave of global international institutions like the United Nations (founded 1945) or the Bretton Woods System (1944). During the 1943 Moscow Conference and Tehran Conference plans to establish joint institutions for a post-war world and Europe became increasingly an agenda. This led to a decision at the Yalta Conference in 1944 to form a European Advisory Commission, later replaced by the Council of Foreign Ministers and the Allied Control Council, following the German surrender and the Potsdam Agreement in 1945. By the end of the war European integration became seen as an antidote to the extreme nationalism which caused the war. On 19 September 1946 in a much recognized speech Winston Churchill reiterated his calls since 1930 for an "European Union" and "Council of Europe", at the University of Zürich, coincidentally parallel to the Hertenstein Congress of the Union of European Federalists, one of the then founded and later constituting members of the European Movement. One month later the French Union was installed by the new Fourth French Republic to direct the decolonization of its colonies so that they would become parts of a European community. Though by 1947 a growing rift between the western Allied Powers and the Soviet Union became evident as a result of the rigged 1947 Polish legislative election, which constituted an open breach of the Yalta Agreement. This was followed by the announcement of the Truman Doctrine on 12 March 1947, and on 4 March 1947, the signing of the Treaty of Dunkirk between France and the United Kingdom for mutual assistance, in the event of future military aggression against any of the pair. The rationale for the treaty was the threat of a potential future military attack, specifically a Soviet one in practice, though publicised under the disguise of a German one, according to the official statements. Immediately following the February 1948 coup d'état by the Communist Party of Czechoslovakia, the London Six-Power Conference was held, resulting in the Soviet boycott of the Allied Control Council and its incapacitation, an event marking the beginning of the Cold War. The remainder of the year 1948 marked the beginning of institutionalised European integration. The year 1948 marked the beginning of the institutionalised modern European integration. In March 1948 the Treaty of Brussels was signed, establishing the Western Union (WU), followed by the International Authority for the Ruhr. Furthermore, the Organisation for European Economic Co-operation (OEEC), the predecessor of the OECD, was also founded in 1948 to manage the Marshall Plan, triggering as a Soviet response formation of the Comecon. The ensuing Hague Congress of May 1948 was a pivotal moment in European integration, as it led to the creation of the European Movement International, the College of Europe and most importantly to the foundation of the Council of Europe on 5 May 1949 (which is now Europe day). The Council of Europe was one of the first institutions to bring the sovereign nations of (then only Western) Europe together, raising great hopes and fevered debates in the following two years for further European integration. It has since been a broad forum to further cooperation and shared issues, achieving for example the European Convention on Human Rights in 1950. Essential for the actual birth of the institutions of the EU was the Schuman Declaration on 9 May 1950 (the day after the fifth Victory in Europe Day) and the decision by six nations (France, Belgium, Netherlands, Luxembourg, West Germany and Italy) to follow Schuman and draft the Treaty of Paris. This treaty was created in 1952 the European Coal and Steel Community (ECSC), which was built on the International Authority for the Ruhr, installed by the Western Allies in 1949 to regulate the coal and steel industries of the Ruhr area in West Germany. Backed by the Marshall Plan with large funds coming from the United States since 1948, the ECSC became a milestone organization, enabling European economic development and integration and being the origin of the main institutions of the EU such as the European Commission and Parliament. Founding fathers of the European Union understood that coal and steel were the two industries essential for waging war, and believed that by tying their national industries together, a future war between their nations became much less likely. In parallel with Schuman, the Pleven Plan of 1951 tried but failed to tie the institutions of the developing European community under the European Political Community, which was to include the also proposed European Defence Community, an alternative to West Germany joining NATO which was established in 1949 under the Truman Doctrine. In 1954 the Modified Brussels Treaty transformed the Western Union into the Western European Union (WEU). West Germany eventually joined 1955 both WEU and NATO, prompting the Soviet Union to form the Warsaw Pact in 1955 as an institutional framework for its military domination in the countries of Central and Eastern Europe. Assessing the progress of European integration the Messina Conference was held in 1955, ordering the Spaak report, which in 1956 recommended the next significant steps of European integration. 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 cooperation in developing nuclear power. Both treaties came into force in 1958. Although the EEC and Euratom were created separately from the ECSC, 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 (Hirsch Commission). The OEEC was in turn reformed in 1961 into the Organisation for Economic Co-operation and Development (OECD) and its membership was extended to states outside of Europe, the United States and Canada. 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), Ireland, and the United Kingdom. Norway had negotiated to join at the same time, but Norwegian voters rejected membership in a referendum. The Ostpolitik and the ensuing détente led to establishment of a first truly pan-European body, the Conference on Security and Co-operation in Europe (CSCE), predecessor of the modern Organization for Security and Co-operation in Europe (OSCE). In 1979, the first direct elections to the European Parliament were held. Greece joined in 1981. In 1985, Greenland left the Communities, following a dispute over fishing rights. During the same year, 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. Portugal and Spain joined in 1986. In 1990, after the fall of the Eastern Bloc, the former East Germany became part of the communities as part of a reunified Germany. The European Union was formally established when the Maastricht Treaty—whose main architects were Horst Köhler, 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 20 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. 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 31 December 2020. The early 2020s saw Denmark abolishing one of its three opt-outs and Croatia adopting the Euro. After the economic crisis caused by the COVID-19 pandemic, the EU leaders agreed for the first time to emit common debt to finance the European Recovery Program called Next Generation EU (NGEU). On 24 February 2022, after massing on the borders of Ukraine, the Russian Armed Forces undertook an attempt for a full-scale invasion of Ukraine. The European Union imposed heavy sanctions on Russia and agreed on a pooled military aid package to Ukraine for lethal weapons funded via the European Peace Facility off-budget instrument. Preparing the Union for a new great enlargement is a political priority for the Union, with the goal of achieving over 35 member states by 2030. Institutional and budgetary reforms are being discussed in order to the Union to be ready for the new members. Since the end of World War II, sovereign European countries have entered into treaties and thereby co-operated and harmonised policies (or pooled sovereignty) in an increasing number of areas, in the European integration project or the construction of Europe (French: la construction européenne). The following timeline outlines the legal inception of the European Union (EU)—the principal framework for this unification. The EU inherited many of its present responsibilities from the European Communities (EC), which were founded in the 1950s in the spirit of the Schuman Declaration. The European Union operates through a hybrid system of supranational and intergovernmental decision-making, and according to the principle 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). 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 the EU level by special interest groups is regulated to try to balance the aspirations of private initiatives with public interest decision-making process. The European Union had an agreed budget of €170.6 billion in 2022, The EU had a long-term budget of €1,082.5 billion for the period 2014–2020, representing 1.02% of the EU-28's GNI. In 1960, the budget of the European Community was 0.03 per cent of GDP. Of this, €54bn subsidised agriculture enterprise, €42bn was spent on transport, building and the environment, €16bn on education and research, €13bn on welfare, €20bn on foreign and defence policy, €2bn in finance, €2bn in energy, €1.5bn in communications, and €13bn in administration. In November 2020, two 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 €750 billion. The budget may still be approved if Hungary and Poland withdraw their vetoes after further negotiations in the council and the European Council. Bodies combatting fraud have also been established, including the European Anti-fraud Office and the European Public Prosecutor's Office. The latter is a decentralized independent body of the European Union (EU), established under the Treaty of Lisbon between 22 of the 27 states of the EU following the method of enhanced cooperation. The European Public Prosecutor's Office investigate and prosecute fraud against the budget of the European Union and other crimes against the EU's financial interests including fraud concerning EU funds of over €10,000 and cross-border VAT fraud cases involving damages above €10 million. Member states retain in principle all powers except those that they have agreed collectively to delegate to the Union as a whole, though the exact delimitation has on occasions become a subject of scholarly or legal disputes. In certain fields, members have awarded exclusive competence and exclusive mandate to the Union. These are areas in which member states have entirely renounced their own capacity to enact legislation. In other areas, the EU and its member states share the competence to legislate. While both can legislate, the 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 into the following three categories: 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. The European Union executive branch is organized as a directorial system, where the executive power is jointly exercised by several people. The executive branch consists of the European Council and European Commission. The European Council sets the broad 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. Described by some as the union's "supreme political leadership", it is actively involved in the negotiation of treaty changes and defines the EU's policy agenda and strategies. Its leadership role involves solving disputes between member states and the institutions, and to resolving any political crises or disagreements over controversial issues and policies. It acts 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. 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 has 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. The leader of the 27 is the president of the European Commission (presently Ursula von der Leyen for 2019–2024), proposed by the European Council, following and taking into account the result of the European elections, and is then elected by the European Parliament. The President retains, as the leader responsible for the entire cabinet, the final say in accepting or rejecting a candidate submitted for a given portfolio by a member state, and oversees the commission's permanent civil service. 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 25 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 a vote of the European Parliament. All commissioners are first nominated by the government of the respective member state. The Council, as it is now simply called (also called the Council of the European Union 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 2022, the position is held by the Czech Republic. 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. The judicial branch of the European Union is formally called the Court of Justice of the European Union (CJEU) and consists of two courts: the Court of Justice and the General Court. The Court of Justice is the supreme court of the European Union in matters of European Union law. As a part of the CJEU, it is tasked with interpreting EU law and ensuring its uniform application across all EU member states under Article 263 of the Treaty of the Functioning of the European Union (TFEU). The Court was established in 1952, and is based in Luxembourg. It is composed of one judge per member state – currently 27 – although it normally hears cases in panels of three, five or fifteen judges. The Court has been led by president Koen Lenaerts since 2015. The CJEU is the highest court of the European Union in matters of Union law. Its case-law provides that EU law has supremacy over any national law that is inconsistent with EU law. It is not possible to appeal against the decisions of national courts in the CJEU, but rather national courts refer questions of EU law to the CJEU. However, it is ultimately for the national court to apply the resulting interpretation to the facts of any given case. Although, only courts of final appeal are bound to refer a question of EU law when one is addressed. The treaties give the CJEU the power for consistent application of EU law across the EU as a whole. The court also acts as an administrative and constitutional court between the other EU institutions and the Member States and can annul or invalidate unlawful acts of EU institutions, bodies, offices and agencies. The General Court is a constituent court of the European Union. It hears actions taken against the institutions of the European Union by individuals and member states, although certain matters are reserved for the Court of Justice. Decisions of the General Court can be appealed to the Court of Justice, but only on a point of law. Prior to the coming into force of the Lisbon Treaty on 1 December 2009, it was known as the Court of First Instance. The European Central Bank (ECB) is one of the institutions of the monetary branch of the European Union, the prime component of the Eurosystem and the European System of Central Banks. It is one of the world's most important central banks. The ECB Governing Council makes monetary policy for the Eurozone and the European Union, administers the foreign exchange reserves of EU member states, engages in foreign exchange operations, and defines the intermediate monetary objectives and key interest rate of the EU. The ECB Executive Board enforces the policies and decisions of the Governing Council, and may direct the national central banks when doing so. The ECB has the exclusive right to authorise the issuance of euro banknotes. Member states can issue euro coins, but the volume must be approved by the ECB beforehand. The bank also operates the TARGET2 payments system. The European System of Central Banks (ESCB) consists of the ECB and the national central banks (NCBs) of all 27 member states of the European Union. The ESCB is not the monetary authority of the eurozone, because not all EU member states have joined the euro. The ESCB's objective is price stability throughout the European Union. Secondarily, the ESCB's goal is to improve monetary and financial cooperation between the Eurosystem and member states outside the eurozone. The European Court of Auditors (ECA) is the auditory branch of the European Union. It was established in 1975 in Luxembourg in order to improve EU financial management. It has 27 members (1 from each EU member-state) supported by approximately 800 civil servants. The European Personnel Selection Office (EPSO) is the civil service branch of the European Union, and is responsible for selecting staff to work for the institutions and agencies of the European Union including the European Parliament, the European Council, the Council of the European Union, the European Commission, the European Court of Justice, the Court of Auditors, the European External Action Service, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman. Each institution is then able to recruit staff from among the pool of candidates selected by EPSO. On average, EPSO receives around 60,000–70,000 applications a year with around 1,500–2,000 candidates recruited by the European Union institutions. The European Ombudsman is the ombudsman branch of the European Union that holds the institutions, bodies and agencies of the EU to account, and promotes good administration. The Ombudsman helps people, businesses and organisations facing problems with the EU administration by investigating complaints, as well as by proactively looking into broader systemic issues. The current Ombudsman is Emily O'Reilly. The European Public Prosecutor's Office (EPPO) is the prosecutory branch of the European Union with juridical personality, established under the Treaty of Lisbon between 22 of the 27 states of the EU following the method of enhanced cooperation. It is based in Kirchberg, Luxembourg City alongside the Court of Justice of the European Union and the European Court of Auditors. 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. Under the principle of supremacy, national courts are required to enforce the treaties that their member states have ratified, 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. The question whether the secondary law enacted by the EU has a comparable status in relation to national legislation, has been a matter of debate among legal scholars. 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. 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. 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 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 stated 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 serves 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". 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 €874 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, €16.9 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, €22.7 billion for the period 2008–2013 and €30.5 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. 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. There is also the worldwide European Union Global Strategy. 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. Funding is provided by the Instrument for Pre-Accession Assistance and the Global Europe programmes. Partnership and cooperation agreements are bilateral agreements with non-member nations. 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. 22 EU members are members of NATO and Sweden is in the process of accession while the remaining member states follow policies of neutrality. The Western European Union, a military alliance with a mutual defence clause, closed in 2011 as its role had been transferred to the EU. 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. The EU Strategic Compass adopted in 2022 reaffirmed the bloc's partnership with NATO, committed to increased military mobility and formation of a 5,000-strong EU Rapid Deployment Capacity 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. 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. In an EU consisting of 27 members, substantial security and defence co-operation is increasingly relying on collaboration among all member states. The European Border and Coast Guard Agency (Frontex) is an agency of the EU aiming to detect and stop illegal immigration, human trafficking and terrorist infiltration. The EU also operates the European Travel Information and Authorisation System, the Entry/Exit System, the Schengen Information System, the Visa Information System and the Common European Asylum System which provide common databases for police and immigration authorities. The impetus for the development of this co-operation was the advent of open borders in the Schengen Area and the associated cross-border crime. Through successive enlargements, the European Union has grown from the six founding states (Belgium, France, West Germany, Italy, Luxembourg, and the Netherlands) to 27 members. Countries accede to the union by becoming a 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". In some policies, there are several member states that ally with strategic partners within the union. Examples of such alliances include the Baltic Assembly, the Benelux Union, the Bucharest Nine, the Craiova Group, the EU Med Group, the Lublin Triangle, the New Hanseatic League, the Three Seas Initiative, the Visegrád Group, and the Weimar Triangle. 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. 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. Subdivisions of member-states are based on the Nomenclature of Territorial Units for Statistics (NUTS), a geocode standard for statistical purposes. The standard, adopted in 2003, is developed and regulated by the European Union, and thus only covers the member states of the EU in detail. The Nomenclature of Territorial Units for Statistics is instrumental in the European Union's Structural Funds and Cohesion Fund delivery mechanisms and for locating the area where goods and services subject to European public procurement legislation are to be delivered. The Schengen Area is an area comprising 27 European countries that have officially abolished all passport and all other types of border control at their mutual borders. Being an element within the wider area of freedom, security and justice policy of the EU, it mostly functions as a single jurisdiction under a common visa policy for international travel purposes. The area is named after the 1985 Schengen Agreement and the 1990 Schengen Convention, both signed in Schengen, Luxembourg. Of the 27 EU member states, 23 participate in the Schengen Area. Of the four EU members that are not part of the Schengen Area, three—Bulgaria, Cyprus, and Romania—are legally obligated to join the area in the future; Ireland maintains an opt-out, and instead operates its own visa policy. The four European Free Trade Association (EFTA) member states, Iceland, Liechtenstein, Norway, and Switzerland, are not members of the EU, but have signed agreements in association with the Schengen Agreement. Also, three European microstates—Monaco, San Marino, and the Vatican City—maintain open borders for passenger traffic with their neighbours, and are therefore considered de facto members of the Schengen Area due to the practical impossibility of travelling to or from them without transiting through at least one Schengen member country. There are nine countries that are recognised as candidates for membership: Albania, Bosnia and Herzegovina, Georgia, Moldova, Montenegro, North Macedonia, Serbia, Turkey, and Ukraine. Norway, Switzerland and Iceland have submitted membership applications in the past, but subsequently frozen or withdrawn them. Additionally Kosovo is officially recognised as a potential candidate, and submitted a membership application. 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. The EU's member states cover an area of 4,233,262 square kilometres (1,634,472 sq mi), and therefore a large part of the European continent. The EU's highest peak is Mont Blanc in the Graian Alps, 4,810.45 metres (15,782 ft) above sea level. The lowest points in the EU are Lammefjorden, Denmark, and Zuidplaspolder, Netherlands, at 7 m (23 ft) below sea level. The landscape, climate, and economy of the EU are influenced by its coastline, which is 65,993 kilometres (41,006 mi) long. In addition to national territories in Europe, there are 32 special territories of members of the European Economic Area, not all of which are part of the EU. The largest by area is Greenland, which is not part of the EU but whose citizens are EU citizens, while the largest by population are the Canary Islands off Africa, which are part of the EU and the Schengen area. French Guiana in South America is part of the EU and the Eurozone, as is Mayotte, north of Madagascar. The climate of the European Union is of a temperate, continental nature, with a maritime climate prevailing on the western coasts and a mediterranean climate in the south. The climate is strongly conditioned by the Gulf Stream, which warms the western region to levels unattainable at similar latitudes on other continents. Western Europe is oceanic, while eastern Europe is continental and dry. Four seasons occur in western Europe, while southern Europe experiences a wet season and a dry season. Southern Europe is hot and dry during the summer months. The heaviest precipitation occurs downwind of water bodies due to the prevailing westerlies, with higher amounts also seen in the Alps. 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. In 2017, the EU emitted 9.1 per cent of global greenhouse-gas emissions. The European Union claims that already in 2018, its GHG emissions were 23% lower than 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 2030 and carbon neutrality by 2050. Also in the same year, the European Union and the United States pledged to cut methane emissions by 30% by 2030. The pledge is considered as a big achievement for climate change mitigation. The gross domestic product (GDP), a measure of economic activity, of EU member states was US$16.64 trillion in 2022, around 16.6 percent of the world GDP. There is a significant variation in GDP per capita between and 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 (€30,000) to 253 per cent (Luxembourg), or from €4,600 to €92,600. EU member states own the estimated third largest after the United States (US$140 trillion) and China (US$84 trillion) net wealth in the world, equal to around one sixth (US$76 trillion) of the US$454 trillion global wealth. 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 €25,000 in 2021. The Euro is the official currency in 20 member states of the EU. 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. 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, as agreed in the European Fiscal Pact. 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 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. In 1999, the currency union started to materialise through introducing a common accounting (virtual) currency in eleven of the member states. In 2002, it was turned into a fully-fledged conventible currency, when euro notes and coins were issued, while the phaseout of national currencies in the eurozone (consisting by then of 12 member states) was initiated. The eurozone (constituted by the EU member states which have adopted the euro) has since grown to 20 countries. The 20 EU member states known collectively as the eurozone have fully implemented the currency union by superseding their national currencies with the euro. The currency union represents 345 million 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. The euro, and the monetary policies of those who have adopted it in agreement with the EU, are under the control of the 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 Eurosystem, which comprehends all the Eurozone national central banks. The ECB is also the central institution of the Banking Union established within the eurozone, as the hub of European Banking Supervision. There is also a Single Resolution Mechanism in case of a bank default. As a political entity, the European Union is represented in the World Trade Organization (WTO). 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, 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. 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. 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. The European Union is the largest exporter in the world and in 2008 was 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 EU operates a competition policy intended to ensure undistorted competition within the single market. 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 €777 million following nine years of legal action. Total energy supply (2019) The total energy supply of the EU was 59 billion GJ in 2019, about 10.2 per cent of the world total. Approximately three fifths of the energy available in the EU came from imports (mostly of fossil fuels). Renewable energy contributed 18.1 per cent of the EU's total energy supply in 2019, and 11.1 per cent of the final energy consumption. 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. However, in May 2022, it was reported that the European Union is preparing another sanction against Russia over its invasion of Ukraine. It is expected to target Russian oil, Russian and Belarusian banks, as well as individuals and companies. According to an article by Reuters, two diplomats stated that the European Union may impose a ban on imports of Russian oil by the end of 2022. In May 2022, the EU Commission published the 'RePowerEU' initiative, a €300 billion plan outlining the path towards the end of EU dependence on Russian fossil fuels by 2030 and the acceleration on the clean energy transition. The European Union manages cross-border road, railway, airport and water infrastructure through the Trans-European Transport Network (TEN-T), created in 1990, and the Trans-European Combined Transport network. TEN-T comprises two network layers: the Core Network, which is to be completed by 2030; and the Comprehensive Network, which is to be completed by 2050. The network is currently made up of 9 core corridors: the Baltic–Adriatic Corridor, the North Sea–Baltic Corridor, the Mediterranean Corridor, the Orient/East–Med Corridor, the Scandinavian–Mediterranean Corridor, the Rhine–Alpine Corridor, the Atlantic Corridor, the North Sea–Mediterranean Corridor, and the Rhine–Danube Corridor. Road transportation was organized under the TEN-T by the Trans-European road network. Bundesautobahn 7 is the longest national motorway in the EU at 963 km (598 mi). Maritime transportation is organized under the TEN-T by the Trans-European Inland Waterway network, and the Trans-European Seaport network. European seaports are categorized as international, community, or regional. The Port of Rotterdam is the busiest in the EU, and the world's largest seaport outside of East Asia, located in and near the city of Rotterdam, in the province of South Holland in the Netherlands. The European Maritime Safety Agency (EMSA), founded in 2002 in Lisbon, Portugal, is charged with reducing the risk of maritime accidents, marine pollution from ships and the loss of human lives at sea by helping to enforce the pertinent EU legislation. Air transportation is organized under the TEN-T by the Trans-European Airport network. European airports are categorized as international, community, or regional. The Charles de Gaulle Airport is the busiest in the EU, located in and near the city of Paris, in France. The European Common Aviation Area (ECAA) is a single market in aviation. ECAA agreements were signed on 5 May 2006 in Salzburg, Austria between the EU and some third countries. The ECAA liberalises the air transport industry by allowing any company from any ECAA member state to fly between any ECAA member states airports, thereby allowing a "foreign" airline to provide domestic flights. The Single European Sky (SES) is an initiative that seeks to reform the European air traffic management system through a series of actions carried out in four different levels (institutional, operational, technological and control and supervision) with the aim of satisfying the needs of the European airspace in terms of capacity, safety, efficiency and environmental impact. Civil aviation safety is under the responsibility of the European Union Aviation Safety Agency (EASA). It carries out certification, regulation and standardisation and also performs investigation and monitoring. The idea of a European-level aviation safety authority goes back to 1996, but the agency was only legally established in 2002, and began operating in 2003. Rail transportation is organized under the TEN-T by the Trans-European Rail network, made up of the high-speed rail network and the conventional rail network. The Gare du Nord railway station is the busiest in the EU, located in and near the city of Paris, in France. Rail transport in Europe is being synchronised with the European Rail Traffic Management System (ERTMS) with the goal of greatly enhancing safety, increase efficiency of train transports and enhance cross-border interoperability. This is done by replacing former national signalling equipment and operational procedures with a single new Europe-wide standard for train control and command systems. This system is conducted by the European Union Agency for Railways (ERA). Mobile communication roaming charges are abolished throughout the EU, Iceland, Liechtenstein and Norway. The European Union Agency for the Space Programme (EUSPA), headquartered in Prague, Czech Republic, was established in 2021 to manage the European Union Space Programme in order to implement the pre-existing European Space Policy, established on 22 May 2007 between the EU and the European Space Agency (ESA), known collectively as the European Space Council. This was the first common political framework for space activities established by the EU. Each member state has pursued to some extent their own national space policy, though often co-ordinating through the ESA. Günter Verheugen, the European Commissioner for Enterprise and Industry, has stated that even though the EU is "a world leader in the technology, it is being put on the defensive by the United States and Russia and that it only has about a 10-year technological advantage on China and India, which are racing to catch up." Galileo is a global navigation satellite system (GNSS) that went live in 2016, created by the EU through the ESA, operated by the EUSPA, with two ground operations centres in Fucino, Italy, and Oberpfaffenhofen, Germany. The €10 billion project is named after the Italian astronomer Galileo Galilei. One of the aims of Galileo is to provide an independent high-precision positioning system so European political and military authorities do not have to rely on the US GPS, or the Russian GLONASS systems, which could be disabled or degraded by their operators at any time. The European Geostationary Navigation Overlay Service (EGNOS) is a satellite-based augmentation system (SBAS) developed by the ESA and EUROCONTROL. Currently, it supplements the GPS by reporting on the reliability and accuracy of their positioning data and sending out corrections. The system will supplement Galileo in a future version. The Copernicus Programme is the EU's Earth observation programme coordinated and managed by EUSPA in partnership with ESA. It aims at achieving a global, continuous, autonomous, high quality, wide range Earth observation capacity, providing accurate, timely and easily accessible information to, among other things, improve the management of the environment, understand and mitigate the effects of climate change, and ensure civil security. The Common Agricultural Policy (CAP) is the agricultural policy of the European Union. It implements a system of agricultural subsidies and other programmes. It was introduced in 1962 and has since then undergone several changes to reduce the EEC budget cost (from 73% in 1985 to 37% in 2017) and consider rural development in its aims. It has, however, been criticised on the grounds of its cost and its environmental and humanitarian effects. Likewise, the Common Fisheries Policy (CFP) is the fisheries policy of the European Union. It sets quotas for which member states are allowed to catch each type of fish, as well as encouraging the fishing industry by various market interventions and fishing subsidies. It was introduced in 2009 with the Treaty of Lisbon, which formally enshrined fisheries conservation policy as one of the handful of "exclusive competences" reserved for the European Union. The five European Structural and Investment Funds are supporting the development of the EU regions, primarily the underdeveloped ones, located mostly in the states of central and southern Europe. Another fund (the Instrument for Pre-Accession Assistance) provides support for candidate members to transform their country to conform to the EU's standard. Demographic transition to a society of ageing population, low fertility-rates and depopulation of non-metropolitan regions is tackled within this policies. 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 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). 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 European Directive about Minimum Wage, which looks to lift minimum wages and strengthen collective bargaining was approved by the European Parliament in September 2022. 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. Since 2019 there has been a European commissioner for equality and the European Institute for Gender Equality has existed since 2007. A Directive on countering gender-based violence has been proposed. In September 2022, a European Care strategy was approved in order to provide "quality, affordable and accessible care services". The European Social Charter is the main body that recognises the social rights of European citizens. 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 union-wide law against LGBT hate crimes. 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. The EU has also established agencies to co-ordinate police, prosecution and civil litigations across the member states: Europol for police co-operation, CEPOL for training of police forces and the Eurojust for co-operation between prosecutors and courts. It also operates the EUCARIS database of vehicles and drivers, the Eurodac, the European Criminal Records Information System, the European Cybercrime Centre, FADO, PRADO and others. Prohibitions against 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. 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." By virtue of these powers, the EU has enacted legislation on sexism in the work-place, age discrimination, and racial discrimination. 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. The population of the EU in 2021 was about 447 million people, corresponding to 5.8 per cent of the world population. The population density across the EU was 106 inhabitants per square kilometre, which is more than the world average. It is highest in areas in central and western Europe, sometimes referred to as the "blue banana", while Sweden and Finland in the north are much more sparsely populated. The total population of the EU has been slightly decreasing for several years, contracting by 0.04 per cent in 2021. This is due to a low birth rate of about 1.5 children per woman, less than the world average of 2.3. In total, 4.1 million babies were born in the EU in 2021. Immigration to Europe partially compensates for the natural population decrease. 5.3 per cent of the people residing in the EU are not EU citizens (a person who has the citizenship of an EU member state is automatically also an EU citizen). There were 31 non-EU citizenships that each accounted for at least 1 per cent of non-EU citizens living in the EU, of which the largest were Moroccan, Turkish, Syrian and Chinese. Around 1.9 million people immigrated to one of the EU member states from a non-EU country during 2020, and a total of 956 000 people emigrated from a member state to go to a non-EU country during the same year. More than two thirds (68.2%) of EU inhabitants lived in urban areas in 2020, which is slightly less than the world average. Cities are largely spread out across the EU with a large grouping in and around the Benelux. The EU contains about 40 urban areas with populations of over 1 million. 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 4 million. 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.). The EU 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. Most EU institutions use only a handful of working languages: the European Commission conducts its internal business in three procedural languages: English, French, and German; the Court of Justice uses French as the working language, and 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. The most widely spoken language in the EU is English; the language is spoken by 44 per cent of the population (2016 data) and studied by 95 per cent of school students, although following the withdrawal of the United Kingdom less than 1 per cent of the population speak it natively. German and French are spoken by 36 per cent and 30 per cent of the population. More than half (56 per cent) of EU citizens are able to engage in a conversation in a language other than their mother tongue. Luxembourgish (in Luxembourg) and Turkish (in Cyprus) are the only two national languages that are not official languages of the EU. Catalan, Galician and Basque are not recognised official languages of the EU but have official status in Spain. Therefore, official translations of the treaties are made into them and citizens have the right to correspond with the institutions in these languages. There are about 150 regional and minority languages in the EU, spoken by up to 50 million people. 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. 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 EU include Catholics of both Roman and Eastern Rite, numerous Protestant denominations with Lutherans, Anglicans, and Reformed forming the majority of Protestant affiliations, 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. 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 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". 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. 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 life expectancy in the EU was 80.1 year at birth in 2021, among the highest in the world and around nine years higher than the world average. 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. 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 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 EU member state 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. 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": Against the blue sky of the Western world, the stars symbolise the peoples of Europe in a form of a circle, the sign of union. The number of stars is invariably twelve, the figure twelve being the symbol of perfection and entirety. 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 (Latin: Carolus Magnus) 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 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. The European Union has had a significant positive economic effect 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% 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 is frequently cited as having made a major contribution 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 might provide through Article 7 of the Treaty on European Union an external constraint that prevents electoral autocracies, currently Hungary, from progressing into closed autocracies.
[ { "paragraph_id": 0, "text": "The European Union (EU) is a supranational political and economic union of 27 member states that are located primarily in Europe. The union has a total area of 4,233,255 km (1,634,469 sq mi) and an estimated total population of over 448 million. The EU has often been described as a sui generis political entity (without precedent or comparison) combining the characteristics of both a federation and a confederation.", "title": "" }, { "paragraph_id": 1, "text": "Containing 5.8% of the world population in 2020, the EU generated a nominal gross domestic product (GDP) of around US$16.6 trillion in 2022, constituting approximately one sixth of global nominal GDP and the third-biggest global economy after the United States and China. Additionally, all EU states except Bulgaria have a very high Human Development Index according to the United Nations Development Programme. Its cornerstone, the Customs Union, paved the way to establishing an internal single market based on standardised legal framework and legislation that applies 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. The eurozone is a group composed of the 20 EU member states that have fully implemented the economic and monetary union and use the euro currency. 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.", "title": "" }, { "paragraph_id": 2, "text": "The union was established along with its citizenship when the Maastricht Treaty came into force in 1993, and was incorporated as an international legal juridical person upon entry into force of the Treaty of Lisbon in 2009. But its beginnings may be traced to a group of founding states known as the Inner Six (Belgium, France, Italy, Luxembourg, the Netherlands, and West Germany) at the start of modern European integration in 1948, namely to the Western Union, the International Authority for the Ruhr (IAR), the European Coal and Steel Community (ECSC), the European Economic Community and the European Atomic Energy Community (Euratom), established, respectively, by the 1948 Treaty of Brussels and London Six-Power Conference, the 1951 Treaty of Paris, the 1957 Treaty of Rome and Euratom Treaty. These increasingly amalgamated bodies have grown, with their legal successor the EU, both in size through accessions of further 22 states from 1973–2013, and in power through acquisitions of policy areas by the abovementioned treaties, as well as others, such as the Single European Act, Treaty of Amsterdam and Treaty of Nice.", "title": "" }, { "paragraph_id": 3, "text": "In 2012, the EU was awarded the Nobel Peace Prize. After the creation by six states, 22 other states joined the union. The United Kingdom became the only member state to leave the EU in 2020; ten countries are aspiring or negotiating to join it.", "title": "" }, { "paragraph_id": 4, "text": "Internationalism and visions of European unity had been around since well before the 19th century, but gained particularly as a reaction to World War I and its aftermath. In this light first advances for the idea of European integration were made. In 1920 John Maynard Keynes proposed a European customs union for the struggling post-war European economies, and in 1923 the oldest organization for European integration, the Paneuropean Union was founded, lead by Richard von Coudenhove-Kalergi, who later would found in June 1947 the European Parliamentary Union (EPU). As French prime minister and follower of the Paneuropean Union Aristide Briand (Nobel Peace Prize laureate for the Locarno Treaties) delivered a widely recognized speech at the League of Nations in Geneva on 5 September 1929 for a federal Europe to secure Europe and settle the historic Franco-German enmity.", "title": "History" }, { "paragraph_id": 5, "text": "With large scale war being waged in Europe once again in the 1930s and becoming World War II, the question of what to fight against and what for, had to be agreed on. A first agreement was the Declaration of St James's Palace of 1941, when Europe's resistance gathered in London. This was expanded on by the 1941 Atlantic Charter, establishing the Allies and their common goals, inciting a new wave of global international institutions like the United Nations (founded 1945) or the Bretton Woods System (1944).", "title": "History" }, { "paragraph_id": 6, "text": "During the 1943 Moscow Conference and Tehran Conference plans to establish joint institutions for a post-war world and Europe became increasingly an agenda. This led to a decision at the Yalta Conference in 1944 to form a European Advisory Commission, later replaced by the Council of Foreign Ministers and the Allied Control Council, following the German surrender and the Potsdam Agreement in 1945.", "title": "History" }, { "paragraph_id": 7, "text": "By the end of the war European integration became seen as an antidote to the extreme nationalism which caused the war. On 19 September 1946 in a much recognized speech Winston Churchill reiterated his calls since 1930 for an \"European Union\" and \"Council of Europe\", at the University of Zürich, coincidentally parallel to the Hertenstein Congress of the Union of European Federalists, one of the then founded and later constituting members of the European Movement. One month later the French Union was installed by the new Fourth French Republic to direct the decolonization of its colonies so that they would become parts of a European community.", "title": "History" }, { "paragraph_id": 8, "text": "Though by 1947 a growing rift between the western Allied Powers and the Soviet Union became evident as a result of the rigged 1947 Polish legislative election, which constituted an open breach of the Yalta Agreement. This was followed by the announcement of the Truman Doctrine on 12 March 1947, and on 4 March 1947, the signing of the Treaty of Dunkirk between France and the United Kingdom for mutual assistance, in the event of future military aggression against any of the pair. The rationale for the treaty was the threat of a potential future military attack, specifically a Soviet one in practice, though publicised under the disguise of a German one, according to the official statements.", "title": "History" }, { "paragraph_id": 9, "text": "Immediately following the February 1948 coup d'état by the Communist Party of Czechoslovakia, the London Six-Power Conference was held, resulting in the Soviet boycott of the Allied Control Council and its incapacitation, an event marking the beginning of the Cold War. The remainder of the year 1948 marked the beginning of institutionalised European integration.", "title": "History" }, { "paragraph_id": 10, "text": "The year 1948 marked the beginning of the institutionalised modern European integration. In March 1948 the Treaty of Brussels was signed, establishing the Western Union (WU), followed by the International Authority for the Ruhr. Furthermore, the Organisation for European Economic Co-operation (OEEC), the predecessor of the OECD, was also founded in 1948 to manage the Marshall Plan, triggering as a Soviet response formation of the Comecon. The ensuing Hague Congress of May 1948 was a pivotal moment in European integration, as it led to the creation of the European Movement International, the College of Europe and most importantly to the foundation of the Council of Europe on 5 May 1949 (which is now Europe day). The Council of Europe was one of the first institutions to bring the sovereign nations of (then only Western) Europe together, raising great hopes and fevered debates in the following two years for further European integration. It has since been a broad forum to further cooperation and shared issues, achieving for example the European Convention on Human Rights in 1950. Essential for the actual birth of the institutions of the EU was the Schuman Declaration on 9 May 1950 (the day after the fifth Victory in Europe Day) and the decision by six nations (France, Belgium, Netherlands, Luxembourg, West Germany and Italy) to follow Schuman and draft the Treaty of Paris. This treaty was created in 1952 the European Coal and Steel Community (ECSC), which was built on the International Authority for the Ruhr, installed by the Western Allies in 1949 to regulate the coal and steel industries of the Ruhr area in West Germany. Backed by the Marshall Plan with large funds coming from the United States since 1948, the ECSC became a milestone organization, enabling European economic development and integration and being the origin of the main institutions of the EU such as the European Commission and Parliament. Founding fathers of the European Union understood that coal and steel were the two industries essential for waging war, and believed that by tying their national industries together, a future war between their nations became much less likely. In parallel with Schuman, the Pleven Plan of 1951 tried but failed to tie the institutions of the developing European community under the European Political Community, which was to include the also proposed European Defence Community, an alternative to West Germany joining NATO which was established in 1949 under the Truman Doctrine. In 1954 the Modified Brussels Treaty transformed the Western Union into the Western European Union (WEU). West Germany eventually joined 1955 both WEU and NATO, prompting the Soviet Union to form the Warsaw Pact in 1955 as an institutional framework for its military domination in the countries of Central and Eastern Europe. Assessing the progress of European integration the Messina Conference was held in 1955, ordering the Spaak report, which in 1956 recommended the next significant steps of European integration.", "title": "History" }, { "paragraph_id": 11, "text": "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 cooperation in developing nuclear power. Both treaties came into force in 1958. Although the EEC and Euratom were created separately from the ECSC, 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 (Hirsch Commission). The OEEC was in turn reformed in 1961 into the Organisation for Economic Co-operation and Development (OECD) and its membership was extended to states outside of Europe, the United States and Canada. 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).", "title": "History" }, { "paragraph_id": 12, "text": "In 1973, the communities were enlarged to include Denmark (including Greenland), Ireland, and the United Kingdom. Norway had negotiated to join at the same time, but Norwegian voters rejected membership in a referendum. The Ostpolitik and the ensuing détente led to establishment of a first truly pan-European body, the Conference on Security and Co-operation in Europe (CSCE), predecessor of the modern Organization for Security and Co-operation in Europe (OSCE). In 1979, the first direct elections to the European Parliament were held. Greece joined in 1981. In 1985, Greenland left the Communities, following a dispute over fishing rights. During the same year, 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. Portugal and Spain joined in 1986. In 1990, after the fall of the Eastern Bloc, the former East Germany became part of the communities as part of a reunified Germany.", "title": "History" }, { "paragraph_id": 13, "text": "The European Union was formally established when the Maastricht Treaty—whose main architects were Horst Köhler, 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.", "title": "History" }, { "paragraph_id": 14, "text": "In 2002, euro banknotes and coins replaced national currencies in 12 of the member states. Since then, the eurozone has increased to encompass 20 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.", "title": "History" }, { "paragraph_id": 15, "text": "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.", "title": "History" }, { "paragraph_id": 16, "text": "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.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "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 31 December 2020.", "title": "History" }, { "paragraph_id": 19, "text": "The early 2020s saw Denmark abolishing one of its three opt-outs and Croatia adopting the Euro.", "title": "History" }, { "paragraph_id": 20, "text": "After the economic crisis caused by the COVID-19 pandemic, the EU leaders agreed for the first time to emit common debt to finance the European Recovery Program called Next Generation EU (NGEU).", "title": "History" }, { "paragraph_id": 21, "text": "On 24 February 2022, after massing on the borders of Ukraine, the Russian Armed Forces undertook an attempt for a full-scale invasion of Ukraine. The European Union imposed heavy sanctions on Russia and agreed on a pooled military aid package to Ukraine for lethal weapons funded via the European Peace Facility off-budget instrument.", "title": "History" }, { "paragraph_id": 22, "text": "Preparing the Union for a new great enlargement is a political priority for the Union, with the goal of achieving over 35 member states by 2030. Institutional and budgetary reforms are being discussed in order to the Union to be ready for the new members.", "title": "History" }, { "paragraph_id": 23, "text": "Since the end of World War II, sovereign European countries have entered into treaties and thereby co-operated and harmonised policies (or pooled sovereignty) in an increasing number of areas, in the European integration project or the construction of Europe (French: la construction européenne). The following timeline outlines the legal inception of the European Union (EU)—the principal framework for this unification. The EU inherited many of its present responsibilities from the European Communities (EC), which were founded in the 1950s in the spirit of the Schuman Declaration.", "title": "History" }, { "paragraph_id": 24, "text": "", "title": "History" }, { "paragraph_id": 25, "text": "The European Union operates through a hybrid system of supranational and intergovernmental decision-making, and according to the principle 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).", "title": "Politics " }, { "paragraph_id": 26, "text": "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 the EU level by special interest groups is regulated to try to balance the aspirations of private initiatives with public interest decision-making process.", "title": "Politics " }, { "paragraph_id": 27, "text": "The European Union had an agreed budget of €170.6 billion in 2022, The EU had a long-term budget of €1,082.5 billion for the period 2014–2020, representing 1.02% of the EU-28's GNI. In 1960, the budget of the European Community was 0.03 per cent of GDP.", "title": "Politics " }, { "paragraph_id": 28, "text": "Of this, €54bn subsidised agriculture enterprise, €42bn was spent on transport, building and the environment, €16bn on education and research, €13bn on welfare, €20bn on foreign and defence policy, €2bn in finance, €2bn in energy, €1.5bn in communications, and €13bn in administration.", "title": "Politics " }, { "paragraph_id": 29, "text": "In November 2020, two 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 €750 billion. The budget may still be approved if Hungary and Poland withdraw their vetoes after further negotiations in the council and the European Council.", "title": "Politics " }, { "paragraph_id": 30, "text": "Bodies combatting fraud have also been established, including the European Anti-fraud Office and the European Public Prosecutor's Office. The latter is a decentralized independent body of the European Union (EU), established under the Treaty of Lisbon between 22 of the 27 states of the EU following the method of enhanced cooperation. The European Public Prosecutor's Office investigate and prosecute fraud against the budget of the European Union and other crimes against the EU's financial interests including fraud concerning EU funds of over €10,000 and cross-border VAT fraud cases involving damages above €10 million.", "title": "Politics " }, { "paragraph_id": 31, "text": "Member states retain in principle all powers except those that they have agreed collectively to delegate to the Union as a whole, though the exact delimitation has on occasions become a subject of scholarly or legal disputes.", "title": "Politics " }, { "paragraph_id": 32, "text": "In certain fields, members have awarded exclusive competence and exclusive mandate to the Union. These are areas in which member states have entirely renounced their own capacity to enact legislation. In other areas, the EU and its member states share the competence to legislate. While both can legislate, the 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 into the following three categories:", "title": "Politics " }, { "paragraph_id": 33, "text": "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.", "title": "Politics " }, { "paragraph_id": 34, "text": "The European Union executive branch is organized as a directorial system, where the executive power is jointly exercised by several people. The executive branch consists of the European Council and European Commission.", "title": "Politics " }, { "paragraph_id": 35, "text": "The European Council sets the broad 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. Described by some as the union's \"supreme political leadership\", it is actively involved in the negotiation of treaty changes and defines the EU's policy agenda and strategies. Its leadership role involves solving disputes between member states and the institutions, and to resolving any political crises or disagreements over controversial issues and policies. It acts 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.", "title": "Politics " }, { "paragraph_id": 36, "text": "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 has 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. The leader of the 27 is the president of the European Commission (presently Ursula von der Leyen for 2019–2024), proposed by the European Council, following and taking into account the result of the European elections, and is then elected by the European Parliament. The President retains, as the leader responsible for the entire cabinet, the final say in accepting or rejecting a candidate submitted for a given portfolio by a member state, and oversees the commission's permanent civil service. 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 25 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 a vote of the European Parliament. All commissioners are first nominated by the government of the respective member state.", "title": "Politics " }, { "paragraph_id": 37, "text": "The Council, as it is now simply called (also called the Council of the European Union 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 2022, the position is held by the Czech Republic.", "title": "Politics " }, { "paragraph_id": 38, "text": "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.", "title": "Politics " }, { "paragraph_id": 39, "text": "The judicial branch of the European Union is formally called the Court of Justice of the European Union (CJEU) and consists of two courts: the Court of Justice and the General Court. The Court of Justice is the supreme court of the European Union in matters of European Union law. As a part of the CJEU, it is tasked with interpreting EU law and ensuring its uniform application across all EU member states under Article 263 of the Treaty of the Functioning of the European Union (TFEU). The Court was established in 1952, and is based in Luxembourg. It is composed of one judge per member state – currently 27 – although it normally hears cases in panels of three, five or fifteen judges. The Court has been led by president Koen Lenaerts since 2015. The CJEU is the highest court of the European Union in matters of Union law. Its case-law provides that EU law has supremacy over any national law that is inconsistent with EU law. It is not possible to appeal against the decisions of national courts in the CJEU, but rather national courts refer questions of EU law to the CJEU. However, it is ultimately for the national court to apply the resulting interpretation to the facts of any given case. Although, only courts of final appeal are bound to refer a question of EU law when one is addressed. The treaties give the CJEU the power for consistent application of EU law across the EU as a whole. The court also acts as an administrative and constitutional court between the other EU institutions and the Member States and can annul or invalidate unlawful acts of EU institutions, bodies, offices and agencies.", "title": "Politics " }, { "paragraph_id": 40, "text": "The General Court is a constituent court of the European Union. It hears actions taken against the institutions of the European Union by individuals and member states, although certain matters are reserved for the Court of Justice. Decisions of the General Court can be appealed to the Court of Justice, but only on a point of law. Prior to the coming into force of the Lisbon Treaty on 1 December 2009, it was known as the Court of First Instance.", "title": "Politics " }, { "paragraph_id": 41, "text": "The European Central Bank (ECB) is one of the institutions of the monetary branch of the European Union, the prime component of the Eurosystem and the European System of Central Banks. It is one of the world's most important central banks. The ECB Governing Council makes monetary policy for the Eurozone and the European Union, administers the foreign exchange reserves of EU member states, engages in foreign exchange operations, and defines the intermediate monetary objectives and key interest rate of the EU. The ECB Executive Board enforces the policies and decisions of the Governing Council, and may direct the national central banks when doing so. The ECB has the exclusive right to authorise the issuance of euro banknotes. Member states can issue euro coins, but the volume must be approved by the ECB beforehand. The bank also operates the TARGET2 payments system. The European System of Central Banks (ESCB) consists of the ECB and the national central banks (NCBs) of all 27 member states of the European Union. The ESCB is not the monetary authority of the eurozone, because not all EU member states have joined the euro. The ESCB's objective is price stability throughout the European Union. Secondarily, the ESCB's goal is to improve monetary and financial cooperation between the Eurosystem and member states outside the eurozone.", "title": "Politics " }, { "paragraph_id": 42, "text": "The European Court of Auditors (ECA) is the auditory branch of the European Union. It was established in 1975 in Luxembourg in order to improve EU financial management. It has 27 members (1 from each EU member-state) supported by approximately 800 civil servants. The European Personnel Selection Office (EPSO) is the civil service branch of the European Union, and is responsible for selecting staff to work for the institutions and agencies of the European Union including the European Parliament, the European Council, the Council of the European Union, the European Commission, the European Court of Justice, the Court of Auditors, the European External Action Service, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman. Each institution is then able to recruit staff from among the pool of candidates selected by EPSO. On average, EPSO receives around 60,000–70,000 applications a year with around 1,500–2,000 candidates recruited by the European Union institutions. The European Ombudsman is the ombudsman branch of the European Union that holds the institutions, bodies and agencies of the EU to account, and promotes good administration. The Ombudsman helps people, businesses and organisations facing problems with the EU administration by investigating complaints, as well as by proactively looking into broader systemic issues. The current Ombudsman is Emily O'Reilly. The European Public Prosecutor's Office (EPPO) is the prosecutory branch of the European Union with juridical personality, established under the Treaty of Lisbon between 22 of the 27 states of the EU following the method of enhanced cooperation. It is based in Kirchberg, Luxembourg City alongside the Court of Justice of the European Union and the European Court of Auditors.", "title": "Politics " }, { "paragraph_id": 43, "text": "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.", "title": "Politics " }, { "paragraph_id": 44, "text": "Under the principle of supremacy, national courts are required to enforce the treaties that their member states have ratified, 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. The question whether the secondary law enacted by the EU has a comparable status in relation to national legislation, has been a matter of debate among legal scholars.", "title": "Politics " }, { "paragraph_id": 45, "text": "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.", "title": "Politics " }, { "paragraph_id": 46, "text": "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.", "title": "Politics " }, { "paragraph_id": 47, "text": "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 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.", "title": "Politics " }, { "paragraph_id": 48, "text": "The stated 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.", "title": "Politics " }, { "paragraph_id": 49, "text": "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 serves as a foreign ministry and diplomatic corps for the European Union.", "title": "Politics " }, { "paragraph_id": 50, "text": "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\".", "title": "Politics " }, { "paragraph_id": 51, "text": "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 €874 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.", "title": "Politics " }, { "paragraph_id": 52, "text": "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, €16.9 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, €22.7 billion for the period 2008–2013 and €30.5 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.", "title": "Politics " }, { "paragraph_id": 53, "text": "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.", "title": "Politics " }, { "paragraph_id": 54, "text": "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.", "title": "Politics " }, { "paragraph_id": 55, "text": "There is also the worldwide European Union Global Strategy. 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.", "title": "Politics " }, { "paragraph_id": 56, "text": "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. Funding is provided by the Instrument for Pre-Accession Assistance and the Global Europe programmes.", "title": "Politics " }, { "paragraph_id": 57, "text": "Partnership and cooperation agreements are bilateral agreements with non-member nations.", "title": "Politics " }, { "paragraph_id": 58, "text": "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. 22 EU members are members of NATO and Sweden is in the process of accession while the remaining member states follow policies of neutrality. The Western European Union, a military alliance with a mutual defence clause, closed in 2011 as its role had been transferred to the EU. 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. The EU Strategic Compass adopted in 2022 reaffirmed the bloc's partnership with NATO, committed to increased military mobility and formation of a 5,000-strong EU Rapid Deployment Capacity", "title": "Politics " }, { "paragraph_id": 59, "text": "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.", "title": "Politics " }, { "paragraph_id": 60, "text": "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. In an EU consisting of 27 members, substantial security and defence co-operation is increasingly relying on collaboration among all member states.", "title": "Politics " }, { "paragraph_id": 61, "text": "The European Border and Coast Guard Agency (Frontex) is an agency of the EU aiming to detect and stop illegal immigration, human trafficking and terrorist infiltration. The EU also operates the European Travel Information and Authorisation System, the Entry/Exit System, the Schengen Information System, the Visa Information System and the Common European Asylum System which provide common databases for police and immigration authorities. The impetus for the development of this co-operation was the advent of open borders in the Schengen Area and the associated cross-border crime.", "title": "Politics " }, { "paragraph_id": 62, "text": "Through successive enlargements, the European Union has grown from the six founding states (Belgium, France, West Germany, Italy, Luxembourg, and the Netherlands) to 27 members. Countries accede to the union by becoming a 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\". In some policies, there are several member states that ally with strategic partners within the union. Examples of such alliances include the Baltic Assembly, the Benelux Union, the Bucharest Nine, the Craiova Group, the EU Med Group, the Lublin Triangle, the New Hanseatic League, the Three Seas Initiative, the Visegrád Group, and the Weimar Triangle.", "title": "Member states" }, { "paragraph_id": 63, "text": "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.", "title": "Member states" }, { "paragraph_id": 64, "text": "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.", "title": "Member states" }, { "paragraph_id": 65, "text": "Subdivisions of member-states are based on the Nomenclature of Territorial Units for Statistics (NUTS), a geocode standard for statistical purposes. The standard, adopted in 2003, is developed and regulated by the European Union, and thus only covers the member states of the EU in detail. The Nomenclature of Territorial Units for Statistics is instrumental in the European Union's Structural Funds and Cohesion Fund delivery mechanisms and for locating the area where goods and services subject to European public procurement legislation are to be delivered.", "title": "Member states" }, { "paragraph_id": 66, "text": "The Schengen Area is an area comprising 27 European countries that have officially abolished all passport and all other types of border control at their mutual borders. Being an element within the wider area of freedom, security and justice policy of the EU, it mostly functions as a single jurisdiction under a common visa policy for international travel purposes. The area is named after the 1985 Schengen Agreement and the 1990 Schengen Convention, both signed in Schengen, Luxembourg. Of the 27 EU member states, 23 participate in the Schengen Area. Of the four EU members that are not part of the Schengen Area, three—Bulgaria, Cyprus, and Romania—are legally obligated to join the area in the future; Ireland maintains an opt-out, and instead operates its own visa policy. The four European Free Trade Association (EFTA) member states, Iceland, Liechtenstein, Norway, and Switzerland, are not members of the EU, but have signed agreements in association with the Schengen Agreement. Also, three European microstates—Monaco, San Marino, and the Vatican City—maintain open borders for passenger traffic with their neighbours, and are therefore considered de facto members of the Schengen Area due to the practical impossibility of travelling to or from them without transiting through at least one Schengen member country.", "title": "Member states" }, { "paragraph_id": 67, "text": "There are nine countries that are recognised as candidates for membership: Albania, Bosnia and Herzegovina, Georgia, Moldova, Montenegro, North Macedonia, Serbia, Turkey, and Ukraine. Norway, Switzerland and Iceland have submitted membership applications in the past, but subsequently frozen or withdrawn them. Additionally Kosovo is officially recognised as a potential candidate, and submitted a membership application.", "title": "Member states" }, { "paragraph_id": 68, "text": "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.", "title": "Member states" }, { "paragraph_id": 69, "text": "The EU's member states cover an area of 4,233,262 square kilometres (1,634,472 sq mi), and therefore a large part of the European continent. The EU's highest peak is Mont Blanc in the Graian Alps, 4,810.45 metres (15,782 ft) above sea level. The lowest points in the EU are Lammefjorden, Denmark, and Zuidplaspolder, Netherlands, at 7 m (23 ft) below sea level. The landscape, climate, and economy of the EU are influenced by its coastline, which is 65,993 kilometres (41,006 mi) long.", "title": "Geography" }, { "paragraph_id": 70, "text": "In addition to national territories in Europe, there are 32 special territories of members of the European Economic Area, not all of which are part of the EU. The largest by area is Greenland, which is not part of the EU but whose citizens are EU citizens, while the largest by population are the Canary Islands off Africa, which are part of the EU and the Schengen area. French Guiana in South America is part of the EU and the Eurozone, as is Mayotte, north of Madagascar.", "title": "Geography" }, { "paragraph_id": 71, "text": "The climate of the European Union is of a temperate, continental nature, with a maritime climate prevailing on the western coasts and a mediterranean climate in the south. The climate is strongly conditioned by the Gulf Stream, which warms the western region to levels unattainable at similar latitudes on other continents. Western Europe is oceanic, while eastern Europe is continental and dry. Four seasons occur in western Europe, while southern Europe experiences a wet season and a dry season. Southern Europe is hot and dry during the summer months. The heaviest precipitation occurs downwind of water bodies due to the prevailing westerlies, with higher amounts also seen in the Alps.", "title": "Geography" }, { "paragraph_id": 72, "text": "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.", "title": "Geography" }, { "paragraph_id": 73, "text": "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.", "title": "Geography" }, { "paragraph_id": 74, "text": "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.", "title": "Geography" }, { "paragraph_id": 75, "text": "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. In 2017, the EU emitted 9.1 per cent of global greenhouse-gas emissions. The European Union claims that already in 2018, its GHG emissions were 23% lower than in 1990.", "title": "Geography" }, { "paragraph_id": 76, "text": "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 2030 and carbon neutrality by 2050. Also in the same year, the European Union and the United States pledged to cut methane emissions by 30% by 2030. The pledge is considered as a big achievement for climate change mitigation.", "title": "Geography" }, { "paragraph_id": 77, "text": "The gross domestic product (GDP), a measure of economic activity, of EU member states was US$16.64 trillion in 2022, around 16.6 percent of the world GDP. There is a significant variation in GDP per capita between and 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 (€30,000) to 253 per cent (Luxembourg), or from €4,600 to €92,600.", "title": "Economy" }, { "paragraph_id": 78, "text": "EU member states own the estimated third largest after the United States (US$140 trillion) and China (US$84 trillion) net wealth in the world, equal to around one sixth (US$76 trillion) of the US$454 trillion global wealth. 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 €25,000 in 2021.", "title": "Economy" }, { "paragraph_id": 79, "text": "The Euro is the official currency in 20 member states of the EU. 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. 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, as agreed in the European Fiscal Pact.", "title": "Economy" }, { "paragraph_id": 80, "text": "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.", "title": "Economy" }, { "paragraph_id": 81, "text": "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.", "title": "Economy" }, { "paragraph_id": 82, "text": "In 1999, the currency union started to materialise through introducing a common accounting (virtual) currency in eleven of the member states. In 2002, it was turned into a fully-fledged conventible currency, when euro notes and coins were issued, while the phaseout of national currencies in the eurozone (consisting by then of 12 member states) was initiated. The eurozone (constituted by the EU member states which have adopted the euro) has since grown to 20 countries.", "title": "Economy" }, { "paragraph_id": 83, "text": "The 20 EU member states known collectively as the eurozone have fully implemented the currency union by superseding their national currencies with the euro. The currency union represents 345 million 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.", "title": "Economy" }, { "paragraph_id": 84, "text": "The euro, and the monetary policies of those who have adopted it in agreement with the EU, are under the control of the 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 Eurosystem, which comprehends all the Eurozone national central banks. The ECB is also the central institution of the Banking Union established within the eurozone, as the hub of European Banking Supervision. There is also a Single Resolution Mechanism in case of a bank default.", "title": "Economy" }, { "paragraph_id": 85, "text": "As a political entity, the European Union is represented in the World Trade Organization (WTO). 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.", "title": "Economy" }, { "paragraph_id": 86, "text": "The single market involves the free circulation of goods, capital, people, and services within the EU, 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.", "title": "Economy" }, { "paragraph_id": 87, "text": "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.", "title": "Economy" }, { "paragraph_id": 88, "text": "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.", "title": "Economy" }, { "paragraph_id": 89, "text": "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. The European Union is the largest exporter in the world and in 2008 was 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.", "title": "Economy" }, { "paragraph_id": 90, "text": "The EU operates a competition policy intended to ensure undistorted competition within the single market. 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 €777 million following nine years of legal action.", "title": "Economy" }, { "paragraph_id": 91, "text": "Total energy supply (2019)", "title": "Economy" }, { "paragraph_id": 92, "text": "The total energy supply of the EU was 59 billion GJ in 2019, about 10.2 per cent of the world total. Approximately three fifths of the energy available in the EU came from imports (mostly of fossil fuels). Renewable energy contributed 18.1 per cent of the EU's total energy supply in 2019, and 11.1 per cent of the final energy consumption.", "title": "Economy" }, { "paragraph_id": 93, "text": "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.", "title": "Economy" }, { "paragraph_id": 94, "text": "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.", "title": "Economy" }, { "paragraph_id": 95, "text": "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. However, in May 2022, it was reported that the European Union is preparing another sanction against Russia over its invasion of Ukraine. It is expected to target Russian oil, Russian and Belarusian banks, as well as individuals and companies. According to an article by Reuters, two diplomats stated that the European Union may impose a ban on imports of Russian oil by the end of 2022. In May 2022, the EU Commission published the 'RePowerEU' initiative, a €300 billion plan outlining the path towards the end of EU dependence on Russian fossil fuels by 2030 and the acceleration on the clean energy transition.", "title": "Economy" }, { "paragraph_id": 96, "text": "The European Union manages cross-border road, railway, airport and water infrastructure through the Trans-European Transport Network (TEN-T), created in 1990, and the Trans-European Combined Transport network. TEN-T comprises two network layers: the Core Network, which is to be completed by 2030; and the Comprehensive Network, which is to be completed by 2050. The network is currently made up of 9 core corridors: the Baltic–Adriatic Corridor, the North Sea–Baltic Corridor, the Mediterranean Corridor, the Orient/East–Med Corridor, the Scandinavian–Mediterranean Corridor, the Rhine–Alpine Corridor, the Atlantic Corridor, the North Sea–Mediterranean Corridor, and the Rhine–Danube Corridor. Road transportation was organized under the TEN-T by the Trans-European road network. Bundesautobahn 7 is the longest national motorway in the EU at 963 km (598 mi).", "title": "Economy" }, { "paragraph_id": 97, "text": "Maritime transportation is organized under the TEN-T by the Trans-European Inland Waterway network, and the Trans-European Seaport network. European seaports are categorized as international, community, or regional. The Port of Rotterdam is the busiest in the EU, and the world's largest seaport outside of East Asia, located in and near the city of Rotterdam, in the province of South Holland in the Netherlands. The European Maritime Safety Agency (EMSA), founded in 2002 in Lisbon, Portugal, is charged with reducing the risk of maritime accidents, marine pollution from ships and the loss of human lives at sea by helping to enforce the pertinent EU legislation.", "title": "Economy" }, { "paragraph_id": 98, "text": "Air transportation is organized under the TEN-T by the Trans-European Airport network. European airports are categorized as international, community, or regional. The Charles de Gaulle Airport is the busiest in the EU, located in and near the city of Paris, in France. The European Common Aviation Area (ECAA) is a single market in aviation. ECAA agreements were signed on 5 May 2006 in Salzburg, Austria between the EU and some third countries. The ECAA liberalises the air transport industry by allowing any company from any ECAA member state to fly between any ECAA member states airports, thereby allowing a \"foreign\" airline to provide domestic flights. The Single European Sky (SES) is an initiative that seeks to reform the European air traffic management system through a series of actions carried out in four different levels (institutional, operational, technological and control and supervision) with the aim of satisfying the needs of the European airspace in terms of capacity, safety, efficiency and environmental impact. Civil aviation safety is under the responsibility of the European Union Aviation Safety Agency (EASA). It carries out certification, regulation and standardisation and also performs investigation and monitoring. The idea of a European-level aviation safety authority goes back to 1996, but the agency was only legally established in 2002, and began operating in 2003.", "title": "Economy" }, { "paragraph_id": 99, "text": "Rail transportation is organized under the TEN-T by the Trans-European Rail network, made up of the high-speed rail network and the conventional rail network. The Gare du Nord railway station is the busiest in the EU, located in and near the city of Paris, in France. Rail transport in Europe is being synchronised with the European Rail Traffic Management System (ERTMS) with the goal of greatly enhancing safety, increase efficiency of train transports and enhance cross-border interoperability. This is done by replacing former national signalling equipment and operational procedures with a single new Europe-wide standard for train control and command systems. This system is conducted by the European Union Agency for Railways (ERA).", "title": "Economy" }, { "paragraph_id": 100, "text": "Mobile communication roaming charges are abolished throughout the EU, Iceland, Liechtenstein and Norway.", "title": "Economy" }, { "paragraph_id": 101, "text": "The European Union Agency for the Space Programme (EUSPA), headquartered in Prague, Czech Republic, was established in 2021 to manage the European Union Space Programme in order to implement the pre-existing European Space Policy, established on 22 May 2007 between the EU and the European Space Agency (ESA), known collectively as the European Space Council. This was the first common political framework for space activities established by the EU. Each member state has pursued to some extent their own national space policy, though often co-ordinating through the ESA. Günter Verheugen, the European Commissioner for Enterprise and Industry, has stated that even though the EU is \"a world leader in the technology, it is being put on the defensive by the United States and Russia and that it only has about a 10-year technological advantage on China and India, which are racing to catch up.\"", "title": "Economy" }, { "paragraph_id": 102, "text": "Galileo is a global navigation satellite system (GNSS) that went live in 2016, created by the EU through the ESA, operated by the EUSPA, with two ground operations centres in Fucino, Italy, and Oberpfaffenhofen, Germany. The €10 billion project is named after the Italian astronomer Galileo Galilei. One of the aims of Galileo is to provide an independent high-precision positioning system so European political and military authorities do not have to rely on the US GPS, or the Russian GLONASS systems, which could be disabled or degraded by their operators at any time. The European Geostationary Navigation Overlay Service (EGNOS) is a satellite-based augmentation system (SBAS) developed by the ESA and EUROCONTROL. Currently, it supplements the GPS by reporting on the reliability and accuracy of their positioning data and sending out corrections. The system will supplement Galileo in a future version. The Copernicus Programme is the EU's Earth observation programme coordinated and managed by EUSPA in partnership with ESA. It aims at achieving a global, continuous, autonomous, high quality, wide range Earth observation capacity, providing accurate, timely and easily accessible information to, among other things, improve the management of the environment, understand and mitigate the effects of climate change, and ensure civil security.", "title": "Economy" }, { "paragraph_id": 103, "text": "The Common Agricultural Policy (CAP) is the agricultural policy of the European Union. It implements a system of agricultural subsidies and other programmes. It was introduced in 1962 and has since then undergone several changes to reduce the EEC budget cost (from 73% in 1985 to 37% in 2017) and consider rural development in its aims. It has, however, been criticised on the grounds of its cost and its environmental and humanitarian effects.", "title": "Economy" }, { "paragraph_id": 104, "text": "Likewise, the Common Fisheries Policy (CFP) is the fisheries policy of the European Union. It sets quotas for which member states are allowed to catch each type of fish, as well as encouraging the fishing industry by various market interventions and fishing subsidies. It was introduced in 2009 with the Treaty of Lisbon, which formally enshrined fisheries conservation policy as one of the handful of \"exclusive competences\" reserved for the European Union.", "title": "Economy" }, { "paragraph_id": 105, "text": "The five European Structural and Investment Funds are supporting the development of the EU regions, primarily the underdeveloped ones, located mostly in the states of central and southern Europe. Another fund (the Instrument for Pre-Accession Assistance) provides support for candidate members to transform their country to conform to the EU's standard. Demographic transition to a society of ageing population, low fertility-rates and depopulation of non-metropolitan regions is tackled within this policies.", "title": "Economy" }, { "paragraph_id": 106, "text": "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 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).", "title": "Economy" }, { "paragraph_id": 107, "text": "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 European Directive about Minimum Wage, which looks to lift minimum wages and strengthen collective bargaining was approved by the European Parliament in September 2022.", "title": "Economy" }, { "paragraph_id": 108, "text": "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. Since 2019 there has been a European commissioner for equality and the European Institute for Gender Equality has existed since 2007. A Directive on countering gender-based violence has been proposed. In September 2022, a European Care strategy was approved in order to provide \"quality, affordable and accessible care services\". The European Social Charter is the main body that recognises the social rights of European citizens.", "title": "Economy" }, { "paragraph_id": 109, "text": "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 union-wide law against LGBT hate crimes.", "title": "Economy" }, { "paragraph_id": 110, "text": "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.", "title": "Economy" }, { "paragraph_id": 111, "text": "The EU has also established agencies to co-ordinate police, prosecution and civil litigations across the member states: Europol for police co-operation, CEPOL for training of police forces and the Eurojust for co-operation between prosecutors and courts. It also operates the EUCARIS database of vehicles and drivers, the Eurodac, the European Criminal Records Information System, the European Cybercrime Centre, FADO, PRADO and others.", "title": "Economy" }, { "paragraph_id": 112, "text": "Prohibitions against 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. 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.\" By virtue of these powers, the EU has enacted legislation on sexism in the work-place, age discrimination, and racial discrimination.", "title": "Economy" }, { "paragraph_id": 113, "text": "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.", "title": "Economy" }, { "paragraph_id": 114, "text": "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.", "title": "Economy" }, { "paragraph_id": 115, "text": "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.", "title": "Economy" }, { "paragraph_id": 116, "text": "The population of the EU in 2021 was about 447 million people, corresponding to 5.8 per cent of the world population. The population density across the EU was 106 inhabitants per square kilometre, which is more than the world average. It is highest in areas in central and western Europe, sometimes referred to as the \"blue banana\", while Sweden and Finland in the north are much more sparsely populated.", "title": "Demographics" }, { "paragraph_id": 117, "text": "The total population of the EU has been slightly decreasing for several years, contracting by 0.04 per cent in 2021. This is due to a low birth rate of about 1.5 children per woman, less than the world average of 2.3. In total, 4.1 million babies were born in the EU in 2021. Immigration to Europe partially compensates for the natural population decrease.", "title": "Demographics" }, { "paragraph_id": 118, "text": "5.3 per cent of the people residing in the EU are not EU citizens (a person who has the citizenship of an EU member state is automatically also an EU citizen). There were 31 non-EU citizenships that each accounted for at least 1 per cent of non-EU citizens living in the EU, of which the largest were Moroccan, Turkish, Syrian and Chinese. Around 1.9 million people immigrated to one of the EU member states from a non-EU country during 2020, and a total of 956 000 people emigrated from a member state to go to a non-EU country during the same year.", "title": "Demographics" }, { "paragraph_id": 119, "text": "More than two thirds (68.2%) of EU inhabitants lived in urban areas in 2020, which is slightly less than the world average. Cities are largely spread out across the EU with a large grouping in and around the Benelux. The EU contains about 40 urban areas with populations of over 1 million. 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 4 million.", "title": "Demographics" }, { "paragraph_id": 120, "text": "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.).", "title": "Demographics" }, { "paragraph_id": 121, "text": "The EU 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. Most EU institutions use only a handful of working languages: the European Commission conducts its internal business in three procedural languages: English, French, and German; the Court of Justice uses French as the working language, and 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.", "title": "Demographics" }, { "paragraph_id": 122, "text": "The most widely spoken language in the EU is English; the language is spoken by 44 per cent of the population (2016 data) and studied by 95 per cent of school students, although following the withdrawal of the United Kingdom less than 1 per cent of the population speak it natively. German and French are spoken by 36 per cent and 30 per cent of the population. More than half (56 per cent) of EU citizens are able to engage in a conversation in a language other than their mother tongue.", "title": "Demographics" }, { "paragraph_id": 123, "text": "Luxembourgish (in Luxembourg) and Turkish (in Cyprus) are the only two national languages that are not official languages of the EU. Catalan, Galician and Basque are not recognised official languages of the EU but have official status in Spain. Therefore, official translations of the treaties are made into them and citizens have the right to correspond with the institutions in these languages. There are about 150 regional and minority languages in the EU, spoken by up to 50 million people. 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.", "title": "Demographics" }, { "paragraph_id": 124, "text": "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.", "title": "Demographics" }, { "paragraph_id": 125, "text": "Christians in the EU include Catholics of both Roman and Eastern Rite, numerous Protestant denominations with Lutherans, Anglicans, and Reformed forming the majority of Protestant affiliations, 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.", "title": "Demographics" }, { "paragraph_id": 126, "text": "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 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\".", "title": "Demographics" }, { "paragraph_id": 127, "text": "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.", "title": "Demographics" }, { "paragraph_id": 128, "text": "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.", "title": "Demographics" }, { "paragraph_id": 129, "text": "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.", "title": "Demographics" }, { "paragraph_id": 130, "text": "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.", "title": "Demographics" }, { "paragraph_id": 131, "text": "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.", "title": "Demographics" }, { "paragraph_id": 132, "text": "The life expectancy in the EU was 80.1 year at birth in 2021, among the highest in the world and around nine years higher than the world average. 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.", "title": "Demographics" }, { "paragraph_id": 133, "text": "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.", "title": "Culture" }, { "paragraph_id": 134, "text": "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 EU member state citizenship.", "title": "Culture" }, { "paragraph_id": 135, "text": "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.", "title": "Culture" }, { "paragraph_id": 136, "text": "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\":", "title": "Culture" }, { "paragraph_id": 137, "text": "Against the blue sky of the Western world, the stars symbolise the peoples of Europe in a form of a circle, the sign of union. The number of stars is invariably twelve, the figure twelve being the symbol of perfection and entirety.", "title": "Culture" }, { "paragraph_id": 138, "text": "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.", "title": "Culture" }, { "paragraph_id": 139, "text": "Charles the Great, also known as Charlemagne (Latin: Carolus Magnus) 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.", "title": "Culture" }, { "paragraph_id": 140, "text": "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\".", "title": "Culture" }, { "paragraph_id": 141, "text": "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.", "title": "Culture" }, { "paragraph_id": 142, "text": "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.", "title": "Culture" }, { "paragraph_id": 143, "text": "The European Union has had a significant positive economic effect 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% 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.", "title": "Culture" }, { "paragraph_id": 144, "text": "The European Union is frequently cited as having made a major contribution 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 might provide through Article 7 of the Treaty on European Union an external constraint that prevents electoral autocracies, currently Hungary, from progressing into closed autocracies.", "title": "Culture" } ]
The European Union (EU) is a supranational political and economic union of 27 member states that are located primarily in Europe. The union has a total area of 4,233,255 km2 (1,634,469 sq mi) and an estimated total population of over 448 million. The EU has often been described as a sui generis political entity combining the characteristics of both a federation and a confederation. Containing 5.8% of the world population in 2020, the EU generated a nominal gross domestic product (GDP) of around US$16.6 trillion in 2022, constituting approximately one sixth of global nominal GDP and the third-biggest global economy after the United States and China. Additionally, all EU states except Bulgaria have a very high Human Development Index according to the United Nations Development Programme. Its cornerstone, the Customs Union, paved the way to establishing an internal single market based on standardised legal framework and legislation that applies 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. The eurozone is a group composed of the 20 EU member states that have fully implemented the economic and monetary union and use the euro currency. 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. The union was established along with its citizenship when the Maastricht Treaty came into force in 1993, and was incorporated as an international legal juridical person upon entry into force of the Treaty of Lisbon in 2009. But its beginnings may be traced to a group of founding states known as the Inner Six at the start of modern European integration in 1948, namely to the Western Union, the International Authority for the Ruhr (IAR), the European Coal and Steel Community (ECSC), the European Economic Community and the European Atomic Energy Community (Euratom), established, respectively, by the 1948 Treaty of Brussels and London Six-Power Conference, the 1951 Treaty of Paris, the 1957 Treaty of Rome and Euratom Treaty. These increasingly amalgamated bodies have grown, with their legal successor the EU, both in size through accessions of further 22 states from 1973–2013, and in power through acquisitions of policy areas by the abovementioned treaties, as well as others, such as the Single European Act, Treaty of Amsterdam and Treaty of Nice. In 2012, the EU was awarded the Nobel Peace Prize. After the creation by six states, 22 other states joined the union. The United Kingdom became the only member state to leave the EU in 2020; ten countries are aspiring or negotiating to join it.
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https://en.wikipedia.org/wiki/European_Union
9,320
Ericales
The Ericales are a large and diverse order of dicotyledons. Species in this order have considerable commercial importance including for tea, persimmon, blueberry, kiwifruit, Brazil nuts, argan, and azalea. The order includes trees, bushes, lianas, and herbaceous plants. Together with ordinary autophytic plants, the Ericales include chlorophyll-deficient mycoheterotrophic plants (e.g., Sarcodes sanguinea) and carnivorous plants (e.g., genus Sarracenia). Many species have five petals, often grown together. Fusion of the petals as a trait was traditionally used to place the order in the subclass Sympetalae. Mycorrhizal associations are quite common among the order representatives, and three kinds of mycorrhiza are found exclusively among Ericales (namely, ericoid, arbutoid and monotropoid mycorrhiza). In addition, some families among the order are notable for their exceptional ability to accumulate aluminum. Ericales are a cosmopolitan order. Areas of distribution of families vary largely - while some are restricted to tropics, others exist mainly in Arctic or temperate regions. The entire order contains over 8,000 species, of which the Ericaceae account for 2,000-4,000 species (by various estimates). The most commercially used plant in the order is tea (Camellia sinensis) from the family Theaceae. The order also includes some edible fruits, including kiwifruit (esp. Actinidia deliciosa), persimmon (genus Diospyros), blueberry, huckleberry, cranberry, Brazil nut, and Mamey sapote. The order also includes shea (Vitellaria paradoxa), which is the major dietary lipid source for millions of sub-Saharan Africans. Many Ericales species are cultivated for their showy flowers: well-known examples are azalea, rhododendron, camellia, heather, polyanthus, cyclamen, phlox, and busy Lizzie. These families are recognized in the APG III system as members of the Ericales: Likely phylogenetic relationships between the families of the Ericales: These families are not recognized in the APG III system but have been in common use in the recent past: These make up an early diverging group of asterids. Under the Cronquist system, the Ericales included a smaller group of plants, which were placed among the Dilleniidae:
[ { "paragraph_id": 0, "text": "The Ericales are a large and diverse order of dicotyledons. Species in this order have considerable commercial importance including for tea, persimmon, blueberry, kiwifruit, Brazil nuts, argan, and azalea. The order includes trees, bushes, lianas, and herbaceous plants. Together with ordinary autophytic plants, the Ericales include chlorophyll-deficient mycoheterotrophic plants (e.g., Sarcodes sanguinea) and carnivorous plants (e.g., genus Sarracenia).", "title": "" }, { "paragraph_id": 1, "text": "Many species have five petals, often grown together. Fusion of the petals as a trait was traditionally used to place the order in the subclass Sympetalae.", "title": "" }, { "paragraph_id": 2, "text": "Mycorrhizal associations are quite common among the order representatives, and three kinds of mycorrhiza are found exclusively among Ericales (namely, ericoid, arbutoid and monotropoid mycorrhiza). In addition, some families among the order are notable for their exceptional ability to accumulate aluminum.", "title": "" }, { "paragraph_id": 3, "text": "Ericales are a cosmopolitan order. Areas of distribution of families vary largely - while some are restricted to tropics, others exist mainly in Arctic or temperate regions. The entire order contains over 8,000 species, of which the Ericaceae account for 2,000-4,000 species (by various estimates).", "title": "" }, { "paragraph_id": 4, "text": "The most commercially used plant in the order is tea (Camellia sinensis) from the family Theaceae. The order also includes some edible fruits, including kiwifruit (esp. Actinidia deliciosa), persimmon (genus Diospyros), blueberry, huckleberry, cranberry, Brazil nut, and Mamey sapote. The order also includes shea (Vitellaria paradoxa), which is the major dietary lipid source for millions of sub-Saharan Africans. Many Ericales species are cultivated for their showy flowers: well-known examples are azalea, rhododendron, camellia, heather, polyanthus, cyclamen, phlox, and busy Lizzie.", "title": "Economic importance" }, { "paragraph_id": 5, "text": "These families are recognized in the APG III system as members of the Ericales:", "title": "Classification" }, { "paragraph_id": 6, "text": "Likely phylogenetic relationships between the families of the Ericales:", "title": "Classification" }, { "paragraph_id": 7, "text": "These families are not recognized in the APG III system but have been in common use in the recent past:", "title": "Previously included families" }, { "paragraph_id": 8, "text": "These make up an early diverging group of asterids. Under the Cronquist system, the Ericales included a smaller group of plants, which were placed among the Dilleniidae:", "title": "Previously included families" } ]
The Ericales are a large and diverse order of dicotyledons. Species in this order have considerable commercial importance including for tea, persimmon, blueberry, kiwifruit, Brazil nuts, argan, and azalea. The order includes trees, bushes, lianas, and herbaceous plants. Together with ordinary autophytic plants, the Ericales include chlorophyll-deficient mycoheterotrophic plants and carnivorous plants. Many species have five petals, often grown together. Fusion of the petals as a trait was traditionally used to place the order in the subclass Sympetalae. Mycorrhizal associations are quite common among the order representatives, and three kinds of mycorrhiza are found exclusively among Ericales. In addition, some families among the order are notable for their exceptional ability to accumulate aluminum. Ericales are a cosmopolitan order. Areas of distribution of families vary largely - while some are restricted to tropics, others exist mainly in Arctic or temperate regions. The entire order contains over 8,000 species, of which the Ericaceae account for 2,000-4,000 species.
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https://en.wikipedia.org/wiki/Ericales
9,321
Edward Sapir
Edward Sapir (/səˈpɪər/; January 26, 1884 – February 4, 1939) was an American anthropologist-linguist, who is widely considered to be one of the most important figures in the development of the discipline of linguistics in the United States. Sapir was born in German Pomerania, in what is now northern Poland. His family emigrated to the United States of America when he was a child. He studied Germanic linguistics at Columbia, where he came under the influence of Franz Boas, who inspired him to work on Native American languages. While finishing his Ph.D. he went to California to work with Alfred Kroeber documenting the indigenous languages there. He was employed by the Geological Survey of Canada for fifteen years, where he came into his own as one of the most significant linguists in North America, the other being Leonard Bloomfield. He was offered a professorship at the University of Chicago, and stayed for several years continuing to work for the professionalization of the discipline of linguistics. By the end of his life he was professor of anthropology at Yale. Among his many students were the linguists Mary Haas and Morris Swadesh, and anthropologists such as Fred Eggan and Hortense Powdermaker. With his linguistic background, Sapir became the one student of Boas to develop most completely the relationship between linguistics and anthropology. Sapir studied the ways in which language and culture influence each other, and he was interested in the relation between linguistic differences, and differences in cultural world views. This part of his thinking was developed by his student Benjamin Lee Whorf into the principle of linguistic relativity or the "Sapir–Whorf" hypothesis. In anthropology Sapir is known as an early proponent of the importance of psychology to anthropology, maintaining that studying the nature of relationships between different individual personalities is important for the ways in which culture and society develop. Among his major contributions to linguistics is his classification of Indigenous languages of the Americas, upon which he elaborated for most of his professional life. He played an important role in developing the modern concept of the phoneme, greatly advancing the understanding of phonology. Before Sapir it was generally considered impossible to apply the methods of historical linguistics to languages of indigenous peoples because they were believed to be more primitive than the Indo-European languages. Sapir was the first to prove that the methods of comparative linguistics were equally valid when applied to indigenous languages. In the 1929 edition of Encyclopædia Britannica he published what was then the most authoritative classification of Native American languages, and the first based on evidence from modern comparative linguistics. He was the first to produce evidence for the classification of the Algic, Uto-Aztecan, and Na-Dene languages. He proposed some language families that are not considered to have been adequately demonstrated, but which continue to generate investigation such as Hokan and Penutian. He specialized in the study of Athabascan languages, Chinookan languages, and Uto-Aztecan languages, producing important grammatical descriptions of Takelma, Wishram, Southern Paiute. Later in his career he also worked with Yiddish, Hebrew, and Chinese, as well as Germanic languages, and he also was invested in the development of an International Auxiliary Language. Sapir was born into a family of Lithuanian Jews in Lauenburg (now Lębork) in the Province of Pomerania where his father, Jacob David Sapir, worked as a cantor. The family was not Orthodox, and his father maintained his ties to Judaism through its music. The Sapir family did not stay long in Pomerania and never accepted German as a nationality. Edward Sapir's first language was Yiddish, and later English. In 1888, when he was four years old, the family moved to Liverpool, England, and in 1890 to the United States, to Richmond, Virginia. Here Edward Sapir lost his younger brother Max to typhoid fever. His father had difficulty keeping a job in a synagogue and finally settled in New York on the Lower East Side, where the family lived in poverty. As Jacob Sapir could not provide for his family, Sapir's mother, Eva Seagal Sapir, opened a shop to supply the basic necessities. They formally divorced in 1910. After settling in New York, Edward Sapir was raised mostly by his mother, who stressed the importance of education for upward social mobility, and turned the family increasingly away from Judaism. Even though Eva Sapir was an important influence, Sapir received his lust for knowledge and interest in scholarship, aesthetics, and music from his father. At age 14 Sapir won a Pulitzer scholarship to the prestigious Horace Mann high school, but he chose not to attend the school which he found too posh, going instead to DeWitt Clinton High School, and saving the scholarship money for his college education. Through the scholarship Sapir supplemented his mother's meager earnings. Sapir entered Columbia in 1901, still paying with the Pulitzer scholarship. Columbia at this time was one of the few elite private universities that did not limit admission of Jewish applicants with implicit quotas around 12 percent—approximately 40% of incoming students at Columbia were Jewish. Sapir earned both a B.A. (1904) and an M.A. (1905) in Germanic philology from Columbia, before embarking on his Ph.D. in Anthropology which he completed in 1909. Sapir emphasized language study in his college years at Columbia, studying Latin, Greek, and French for eight semesters. From his sophomore year he additionally began to focus on Germanic languages, completing coursework in Gothic, Old High German, Old Saxon, Icelandic, Dutch, Swedish, and Danish. Through Germanics professor William Carpenter, Sapir was exposed to methods of comparative linguistics that were being developed into a more scientific framework than the traditional philological approach. He also took courses in Sanskrit, and complemented his language studies by studying music in the department of the famous composer Edward MacDowell (though it is uncertain whether Sapir ever studied with MacDowell himself). In his last year in college Sapir enrolled in the course "Introduction to Anthropology", with Professor Livingston Farrand, who taught the Boas "four field" approach to anthropology. He also enrolled in an advanced anthropology seminar taught by Franz Boas, a course that would completely change the direction of his career. Although still in college, Sapir was allowed to participate in the Boas graduate seminar on American Languages, which included translations of Native American and Inuit myths collected by Boas. In this way Sapir was introduced to Indigenous American languages while he kept working on his M.A. in Germanic linguistics. Robert Lowie later said that Sapir's fascination with indigenous languages stemmed from the seminar with Boas in which Boas used examples from Native American languages to disprove all of Sapir's common-sense assumptions about the basic nature of language. Sapir's 1905 Master's thesis was an analysis of Johann Gottfried Herder's Treatise on the Origin of Language, and included examples from Inuit and Native American languages, not at all familiar to a Germanicist. The thesis criticized Herder for retaining a Biblical chronology, too shallow to allow for the observable diversification of languages, but he also argued with Herder that all of the world's languages have equal aesthetic potentials and grammatical complexity. He ended the paper by calling for a "very extended study of all the various existing stocks of languages, in order to determine the most fundamental properties of language" – almost a program statement for the modern study of linguistic typology, and a very Boasian approach. In 1906 he finished his coursework, having focused the last year on courses in anthropology and taking seminars such as Primitive Culture with Farrand, Ethnology with Boas, Archaeology and courses in Chinese language and culture with Berthold Laufer. He also maintained his Indo-European studies with courses in Celtic, Old Saxon, Swedish, and Sanskrit. Having finished his coursework, Sapir moved on to his doctoral fieldwork, spending several years in short-term appointments while working on his dissertation. Sapir's first fieldwork was on the Wishram Chinook language in the summer of 1905, funded by the Bureau of American Ethnology. This first experience with Native American languages in the field was closely overseen by Boas, who was particularly interested in having Sapir gather ethnological information for the Bureau. Sapir gathered a volume of Wishram texts, published 1909, and he managed to achieve a much more sophisticated understanding of the Chinook sound system than Boas. In the summer of 1906 he worked on Takelma and Chasta Costa. Sapir's work on Takelma became his doctoral dissertation, which he defended in 1908. The dissertation foreshadowed several important trends in Sapir's work, particularly the careful attention to the intuition of native speakers regarding sound patterns that later would become the basis for Sapir's formulation of the phoneme. In 1907–1908 Sapir was offered a position at the University of California at Berkeley, where Boas' first student Alfred Kroeber was the head of a project under the California state survey to document the Indigenous languages of California. Kroeber suggested that Sapir study the nearly extinct Yana language, and Sapir set to work. Sapir worked first with Betty Brown, one of the language's few remaining speakers. Later he began work with Sam Batwi, who spoke another dialect of Yana, but whose knowledge of Yana mythology was an important fount of knowledge. Sapir described the way in which the Yana language distinguishes grammatically and lexically between the speech of men and women. The collaboration between Kroeber and Sapir was made difficult by the fact that Sapir largely followed his own interest in detailed linguistic description, ignoring the administrative pressures to which Kroeber was subject, among them the need for a speedy completion and a focus on the broader classification issues. In the end Sapir didn't finish the work during the allotted year, and Kroeber was unable to offer him a longer appointment. Disappointed at not being able to stay at Berkeley, Sapir devoted his best efforts to other work, and did not get around to preparing any of the Yana material for publication until 1910, to Kroeber's deep disappointment. Sapir ended up leaving California early to take up a fellowship at the University of Pennsylvania, where he taught Ethnology and American Linguistics. At Pennsylvania he worked closely with another student of Boas, Frank Speck, and the two undertook work on Catawba in the summer of 1909. Also in the summer of 1909, Sapir went to Utah with his student J. Alden Mason. Intending originally to work on Hopi, he studied the Southern Paiute language; he decided to work with Tony Tillohash, who proved to be the perfect informant. Tillohash's strong intuition about the sound patterns of his language led Sapir to propose that the phoneme is not just an abstraction existing at the structural level of language, but in fact has psychological reality for speakers. Tillohash became a good friend of Sapir, and visited him at his home in New York and Philadelphia. Sapir worked with his father to transcribe a number of Southern Paiute songs that Tillohash knew. This fruitful collaboration laid the ground work for the classical description of the Southern Paiute language published in 1930, and enabled Sapir to produce conclusive evidence linking the Shoshonean languages to the Nahuan languages – establishing the Uto-Aztecan language family. Sapir's description of Southern Paiute is known by linguistics as "a model of analytical excellence". At Pennsylvania, Sapir was urged to work at a quicker pace than he felt comfortable. His "Grammar of Southern Paiute" was supposed to be published in Boas' Handbook of American Indian Languages, and Boas urged him to complete a preliminary version while funding for the publication remained available, but Sapir did not want to compromise on quality, and in the end the Handbook had to go to press without Sapir's piece. Boas kept working to secure a stable appointment for his student, and by his recommendation Sapir ended up being hired by the Canadian Geological Survey, who wanted him to lead the institutionalization of anthropology in Canada. Sapir, who by then had given up the hope of working at one of the few American research universities, accepted the appointment and moved to Ottawa. In the years 1910–25 Sapir established and directed the Anthropological Division in the Geological Survey of Canada in Ottawa. When he was hired, he was one of the first full-time anthropologists in Canada. He brought his parents with him to Ottawa, and also quickly established his own family, marrying Florence Delson, who also had Lithuanian Jewish roots. Neither the Sapirs nor the Delsons were in favor of the match. The Delsons, who hailed from the prestigious Jewish center of Vilna, considered the Sapirs to be rural upstarts and were less than impressed with Sapir's career in an unpronounceable academic field. Edward and Florence had three children together: Herbert Michael, Helen Ruth, and Philip. As director of the Anthropological division of the Geological Survey of Canada, Sapir embarked on a project to document the Indigenous cultures and languages of Canada. His first fieldwork took him to Vancouver Island to work on the Nootka language. Apart from Sapir the division had two other staff members, Marius Barbeau and Harlan I. Smith. Sapir insisted that the discipline of linguistics was of integral importance for ethnographic description, arguing that just as nobody would dream of discussing the history of the Catholic Church without knowing Latin or study German folksongs without knowing German, so it made little sense to approach the study of Indigenous folklore without knowledge of the indigenous languages. At this point the only Canadian first nation languages that were well known were Kwakiutl, described by Boas, Tshimshian and Haida. Sapir explicitly used the standard of documentation of European languages, to argue that the amassing knowledge of indigenous languages was of paramount importance. By introducing the high standards of Boasian anthropology, Sapir incited antagonism from those amateur ethnologists who felt that they had contributed important work. Unsatisfied with efforts by amateur and governmental anthropologists, Sapir worked to introduce an academic program of anthropology at one of the major universities, in order to professionalize the discipline. Sapir enlisted the assistance of fellow Boasians: Frank Speck, Paul Radin and Alexander Goldenweiser, who with Barbeau worked on the peoples of the Eastern Woodlands: the Ojibwa, the Iroquois, the Huron and the Wyandot. Sapir initiated work on the Athabascan languages of the Mackenzie valley and the Yukon, but it proved too difficult to find adequate assistance, and he concentrated mainly on Nootka and the languages of the North West Coast. During his time in Canada, together with Speck, Sapir also acted as an advocate for Indigenous rights, arguing publicly for introduction of better medical care for Indigenous communities, and assisting the Six Nation Iroquois in trying to recover eleven wampum belts that had been stolen from the reservation and were on display in the museum of the University of Pennsylvania. (The belts were finally returned to the Iroquois in 1988.) He also argued for the reversal of a Canadian law prohibiting the Potlatch ceremony of the West Coast tribes. In 1915 Sapir returned to California, where his expertise on the Yana language made him urgently needed. Kroeber had come into contact with Ishi, the last native speaker of the Yahi language, closely related to Yana, and needed someone to document the language urgently. Ishi, who had grown up without contact to whites, was monolingual in Yahi and was the last surviving member of his people. He had been adopted by the Kroebers, but had fallen ill with tuberculosis, and was not expected to live long. Sam Batwi, the speaker of Yana who had worked with Sapir, was unable to understand the Yahi variety, and Krober was convinced that only Sapir would be able to communicate with Ishi. Sapir traveled to San Francisco and worked with Ishi over the summer of 1915, having to invent new methods for working with a monolingual speaker. The information from Ishi was invaluable for understanding the relation between the different dialects of Yana. Ishi died of his illness in early 1916, and Kroeber partly blamed the exacting nature of working with Sapir for his failure to recover. Sapir described the work: "I think I may safely say that my work with Ishi is by far the most time-consuming and nerve-racking that I have ever undertaken. Ishi's imperturbable good humor alone made the work possible, though it also at times added to my exasperation". The First World War took its toll on the Canadian Geological Survey, cutting funding for anthropology and making the academic climate less agreeable. Sapir continued work on Athabascan, working with two speakers of the Alaskan languages Kutchin and Ingalik. Sapir was now more preoccupied with testing hypotheses about historical relationships between the Na-Dene languages than with documenting endangered languages, in effect becoming a theoretician. He was also growing to feel isolated from his American colleagues. From 1912 Florence's health deteriorated due to a lung abscess, and a resulting depression. The Sapir household was largely run by Eva Sapir, who did not get along well with Florence, and this added to the strain on both Florence and Edward. Sapir's parents had by now divorced and his father seemed to develop psychosis, which made it necessary for him to leave Canada for Philadelphia, where Edward continued to support him financially. Florence was hospitalized for long periods both for her depressions and for the lung abscess, and she died in 1924 due to an infection following surgery, providing the final incentive for Sapir to leave Canada. When the University of Chicago offered him a position, he happily accepted. During his period in Canada, Sapir came into his own as the leading figure in linguistics in North America. Among his substantial publications from this period were his book on Time Perspective in the Aboriginal American Culture (1916), in which he laid out an approach to using historical linguistics to study the prehistory of Native American cultures. Particularly important for establishing him in the field was his seminal book Language: An Introduction to the Study of Speech (1921), which was a layman's introduction to the discipline of linguistics as Sapir envisioned it. He also participated in the formulation of a report to the American Anthropological Association regarding the standardization of orthographic principles for writing Indigenous languages. While in Ottawa, he also collected and published French Canadian Folk Songs, and wrote a volume of his own poetry. His interest in poetry led him to form a close friendship with another Boasian anthropologist and poet, Ruth Benedict. Sapir initially wrote to Benedict to commend her for her dissertation on "The Guardian Spirit", but soon realized that Benedict had published poetry pseudonymously. In their correspondence the two critiqued each other's work, both submitting to the same publishers, and both being rejected. They also were both interested in psychology and the relation between individual personalities and cultural patterns, and in their correspondences they frequently psychoanalyzed each other. However, Sapir often showed little understanding for Benedict's private thoughts and feelings, and particularly his conservative gender ideology jarred with Benedict's struggles as a female professional academic. Though they were very close friends for a while, it was ultimately the differences in worldview and personality that led their friendship to fray. Before departing Canada, Sapir had a short affair with Margaret Mead, Benedict's protégé at Columbia. But Sapir's conservative ideas about marriage and the woman's role were anathema to Mead, as they had been to Benedict, and as Mead left to do field work in Samoa, the two separated permanently. Mead received news of Sapir's remarriage while still in Samoa, and burned their correspondence there on the beach. Settling in Chicago reinvigorated Sapir intellectually and personally. He socialized with intellectuals, gave lectures, participated in poetry and music clubs. His first graduate student at Chicago was Li Fang-Kuei. The Sapir household continued to be managed largely by Grandmother Eva, until Sapir remarried in 1926. Sapir's second wife, Jean Victoria McClenaghan, was sixteen years younger than he. She had first met Sapir when a student in Ottawa, but had since also come to work at the University of Chicago's department of Juvenile Research. Their son Paul Edward Sapir was born in 1928. Their other son J. David Sapir became a linguist and anthropologist specializing in West African Languages, especially Jola languages. Sapir also exerted influence through his membership in the Chicago School of Sociology, and his friendship with psychologist Harry Stack Sullivan. From 1931 until his death in 1939, Sapir taught at Yale University, where he became the head of the Department of Anthropology. He was invited to Yale to found an interdisciplinary program combining anthropology, linguistics and psychology, aimed at studying "the impact of culture on personality". While Sapir was explicitly given the task of founding a distinct anthropology department, this was not well received by the department of sociology who worked by William Graham Sumner's "Evolutionary sociology", which was anathema to Sapir's Boasian approach, nor by the two anthropologists of the Institute for Human Relations Clark Wissler and G. P. Murdock. Sapir never thrived at Yale, where as one of only four Jewish faculty members out of 569 he was denied membership to the faculty club where the senior faculty discussed academic business. At Yale, Sapir's graduate students included Morris Swadesh, Benjamin Lee Whorf, Mary Haas, Charles Hockett, and Harry Hoijer, several of whom he brought with him from Chicago. Sapir came to regard a young Semiticist named Zellig Harris as his intellectual heir, although Harris was never a formal student of Sapir. (For a time he dated Sapir's daughter.) In 1936 Sapir clashed with the Institute for Human Relations over the research proposal by anthropologist Hortense Powdermaker, who proposed a study of the black community of Indianola, Mississippi. Sapir argued that her research should be funded instead of the more sociological work of John Dollard. Sapir eventually lost the discussion and Powdermaker had to leave Yale. During his tenure at Yale, Sapir was elected to the American Academy of Arts and Sciences, the United States National Academy of Sciences, and the American Philosophical Society. In the summer of 1937 while teaching at the Linguistic Institute of the Linguistic Society of America in Ann Arbor, Sapir began having problems with a heart condition that had initially been diagnosed a couple of years earlier. In 1938, he had to take a leave from Yale, during which Benjamin Lee Whorf taught his courses and G. P. Murdock advised some of his students. After Sapir's death in 1939, G. P. Murdock became the chair of the anthropology department. Murdock, who despised the Boasian paradigm of cultural anthropology, dismantled most of Sapir's efforts to integrate anthropology, psychology, and linguistics. Sapir's anthropological thought has been described as isolated within the field of anthropology in his own days. Instead of searching for the ways in which culture influences human behavior, Sapir was interested in understanding how cultural patterns themselves were shaped by the composition of individual personalities that make up a society. This made Sapir cultivate an interest in individual psychology and his view of culture was more psychological than many of his contemporaries. It has been suggested that there is a close relation between Sapir's literary interests and his anthropological thought. His literary theory saw individual aesthetic sensibilities and creativity to interact with learned cultural traditions to produce unique and new poetic forms, echoing the way that he also saw individuals and cultural patterns to dialectically influence each other. Sapir's special focus among American languages was in the Athabaskan languages, a family which especially fascinated him. In a private letter, he wrote: "Dene is probably the son-of-a-bitchiest language in America to actually know...most fascinating of all languages ever invented." Sapir also studied the languages and cultures of Wishram Chinook, Navajo, Nootka, Colorado River Numic, Takelma, and Yana. His research on Southern Paiute, in collaboration with consultant Tony Tillohash, led to a 1933 article which would become influential in the characterization of the phoneme. Although noted for his work on American linguistics, Sapir wrote prolifically in linguistics in general. His book Language provides everything from a grammar-typological classification of languages (with examples ranging from Chinese to Nootka) to speculation on the phenomenon of language drift, and the arbitrariness of associations between language, race, and culture. Sapir was also a pioneer in Yiddish studies (his first language) in the United States (cf. Notes on Judeo-German phonology, 1915). Sapir was active in the international auxiliary language movement. In his paper "The Function of an International Auxiliary Language", he argued for the benefits of a regular grammar and advocated a critical focus on the fundamentals of language, unbiased by the idiosyncrasies of national languages, in the choice of an international auxiliary language. He was the first Research Director of the International Auxiliary Language Association (IALA), which presented the Interlingua conference in 1951. He directed the Association from 1930 to 1931, and was a member of its Consultative Counsel for Linguistic Research from 1927 to 1938. Sapir consulted with Alice Vanderbilt Morris to develop the research program of IALA.
[ { "paragraph_id": 0, "text": "Edward Sapir (/səˈpɪər/; January 26, 1884 – February 4, 1939) was an American anthropologist-linguist, who is widely considered to be one of the most important figures in the development of the discipline of linguistics in the United States.", "title": "" }, { "paragraph_id": 1, "text": "Sapir was born in German Pomerania, in what is now northern Poland. His family emigrated to the United States of America when he was a child. He studied Germanic linguistics at Columbia, where he came under the influence of Franz Boas, who inspired him to work on Native American languages. While finishing his Ph.D. he went to California to work with Alfred Kroeber documenting the indigenous languages there. He was employed by the Geological Survey of Canada for fifteen years, where he came into his own as one of the most significant linguists in North America, the other being Leonard Bloomfield. He was offered a professorship at the University of Chicago, and stayed for several years continuing to work for the professionalization of the discipline of linguistics. By the end of his life he was professor of anthropology at Yale. Among his many students were the linguists Mary Haas and Morris Swadesh, and anthropologists such as Fred Eggan and Hortense Powdermaker.", "title": "" }, { "paragraph_id": 2, "text": "With his linguistic background, Sapir became the one student of Boas to develop most completely the relationship between linguistics and anthropology. Sapir studied the ways in which language and culture influence each other, and he was interested in the relation between linguistic differences, and differences in cultural world views. This part of his thinking was developed by his student Benjamin Lee Whorf into the principle of linguistic relativity or the \"Sapir–Whorf\" hypothesis. In anthropology Sapir is known as an early proponent of the importance of psychology to anthropology, maintaining that studying the nature of relationships between different individual personalities is important for the ways in which culture and society develop.", "title": "" }, { "paragraph_id": 3, "text": "Among his major contributions to linguistics is his classification of Indigenous languages of the Americas, upon which he elaborated for most of his professional life. He played an important role in developing the modern concept of the phoneme, greatly advancing the understanding of phonology.", "title": "" }, { "paragraph_id": 4, "text": "Before Sapir it was generally considered impossible to apply the methods of historical linguistics to languages of indigenous peoples because they were believed to be more primitive than the Indo-European languages. Sapir was the first to prove that the methods of comparative linguistics were equally valid when applied to indigenous languages. In the 1929 edition of Encyclopædia Britannica he published what was then the most authoritative classification of Native American languages, and the first based on evidence from modern comparative linguistics. He was the first to produce evidence for the classification of the Algic, Uto-Aztecan, and Na-Dene languages. He proposed some language families that are not considered to have been adequately demonstrated, but which continue to generate investigation such as Hokan and Penutian.", "title": "" }, { "paragraph_id": 5, "text": "He specialized in the study of Athabascan languages, Chinookan languages, and Uto-Aztecan languages, producing important grammatical descriptions of Takelma, Wishram, Southern Paiute. Later in his career he also worked with Yiddish, Hebrew, and Chinese, as well as Germanic languages, and he also was invested in the development of an International Auxiliary Language.", "title": "" }, { "paragraph_id": 6, "text": "Sapir was born into a family of Lithuanian Jews in Lauenburg (now Lębork) in the Province of Pomerania where his father, Jacob David Sapir, worked as a cantor. The family was not Orthodox, and his father maintained his ties to Judaism through its music. The Sapir family did not stay long in Pomerania and never accepted German as a nationality. Edward Sapir's first language was Yiddish, and later English. In 1888, when he was four years old, the family moved to Liverpool, England, and in 1890 to the United States, to Richmond, Virginia. Here Edward Sapir lost his younger brother Max to typhoid fever. His father had difficulty keeping a job in a synagogue and finally settled in New York on the Lower East Side, where the family lived in poverty. As Jacob Sapir could not provide for his family, Sapir's mother, Eva Seagal Sapir, opened a shop to supply the basic necessities. They formally divorced in 1910. After settling in New York, Edward Sapir was raised mostly by his mother, who stressed the importance of education for upward social mobility, and turned the family increasingly away from Judaism. Even though Eva Sapir was an important influence, Sapir received his lust for knowledge and interest in scholarship, aesthetics, and music from his father. At age 14 Sapir won a Pulitzer scholarship to the prestigious Horace Mann high school, but he chose not to attend the school which he found too posh, going instead to DeWitt Clinton High School, and saving the scholarship money for his college education. Through the scholarship Sapir supplemented his mother's meager earnings.", "title": "Life" }, { "paragraph_id": 7, "text": "Sapir entered Columbia in 1901, still paying with the Pulitzer scholarship. Columbia at this time was one of the few elite private universities that did not limit admission of Jewish applicants with implicit quotas around 12 percent—approximately 40% of incoming students at Columbia were Jewish. Sapir earned both a B.A. (1904) and an M.A. (1905) in Germanic philology from Columbia, before embarking on his Ph.D. in Anthropology which he completed in 1909.", "title": "Life" }, { "paragraph_id": 8, "text": "Sapir emphasized language study in his college years at Columbia, studying Latin, Greek, and French for eight semesters. From his sophomore year he additionally began to focus on Germanic languages, completing coursework in Gothic, Old High German, Old Saxon, Icelandic, Dutch, Swedish, and Danish. Through Germanics professor William Carpenter, Sapir was exposed to methods of comparative linguistics that were being developed into a more scientific framework than the traditional philological approach. He also took courses in Sanskrit, and complemented his language studies by studying music in the department of the famous composer Edward MacDowell (though it is uncertain whether Sapir ever studied with MacDowell himself). In his last year in college Sapir enrolled in the course \"Introduction to Anthropology\", with Professor Livingston Farrand, who taught the Boas \"four field\" approach to anthropology. He also enrolled in an advanced anthropology seminar taught by Franz Boas, a course that would completely change the direction of his career.", "title": "Life" }, { "paragraph_id": 9, "text": "Although still in college, Sapir was allowed to participate in the Boas graduate seminar on American Languages, which included translations of Native American and Inuit myths collected by Boas. In this way Sapir was introduced to Indigenous American languages while he kept working on his M.A. in Germanic linguistics. Robert Lowie later said that Sapir's fascination with indigenous languages stemmed from the seminar with Boas in which Boas used examples from Native American languages to disprove all of Sapir's common-sense assumptions about the basic nature of language. Sapir's 1905 Master's thesis was an analysis of Johann Gottfried Herder's Treatise on the Origin of Language, and included examples from Inuit and Native American languages, not at all familiar to a Germanicist. The thesis criticized Herder for retaining a Biblical chronology, too shallow to allow for the observable diversification of languages, but he also argued with Herder that all of the world's languages have equal aesthetic potentials and grammatical complexity. He ended the paper by calling for a \"very extended study of all the various existing stocks of languages, in order to determine the most fundamental properties of language\" – almost a program statement for the modern study of linguistic typology, and a very Boasian approach.", "title": "Life" }, { "paragraph_id": 10, "text": "In 1906 he finished his coursework, having focused the last year on courses in anthropology and taking seminars such as Primitive Culture with Farrand, Ethnology with Boas, Archaeology and courses in Chinese language and culture with Berthold Laufer. He also maintained his Indo-European studies with courses in Celtic, Old Saxon, Swedish, and Sanskrit. Having finished his coursework, Sapir moved on to his doctoral fieldwork, spending several years in short-term appointments while working on his dissertation.", "title": "Life" }, { "paragraph_id": 11, "text": "Sapir's first fieldwork was on the Wishram Chinook language in the summer of 1905, funded by the Bureau of American Ethnology. This first experience with Native American languages in the field was closely overseen by Boas, who was particularly interested in having Sapir gather ethnological information for the Bureau. Sapir gathered a volume of Wishram texts, published 1909, and he managed to achieve a much more sophisticated understanding of the Chinook sound system than Boas. In the summer of 1906 he worked on Takelma and Chasta Costa. Sapir's work on Takelma became his doctoral dissertation, which he defended in 1908. The dissertation foreshadowed several important trends in Sapir's work, particularly the careful attention to the intuition of native speakers regarding sound patterns that later would become the basis for Sapir's formulation of the phoneme.", "title": "Life" }, { "paragraph_id": 12, "text": "In 1907–1908 Sapir was offered a position at the University of California at Berkeley, where Boas' first student Alfred Kroeber was the head of a project under the California state survey to document the Indigenous languages of California. Kroeber suggested that Sapir study the nearly extinct Yana language, and Sapir set to work. Sapir worked first with Betty Brown, one of the language's few remaining speakers. Later he began work with Sam Batwi, who spoke another dialect of Yana, but whose knowledge of Yana mythology was an important fount of knowledge. Sapir described the way in which the Yana language distinguishes grammatically and lexically between the speech of men and women.", "title": "Life" }, { "paragraph_id": 13, "text": "The collaboration between Kroeber and Sapir was made difficult by the fact that Sapir largely followed his own interest in detailed linguistic description, ignoring the administrative pressures to which Kroeber was subject, among them the need for a speedy completion and a focus on the broader classification issues. In the end Sapir didn't finish the work during the allotted year, and Kroeber was unable to offer him a longer appointment.", "title": "Life" }, { "paragraph_id": 14, "text": "Disappointed at not being able to stay at Berkeley, Sapir devoted his best efforts to other work, and did not get around to preparing any of the Yana material for publication until 1910, to Kroeber's deep disappointment.", "title": "Life" }, { "paragraph_id": 15, "text": "Sapir ended up leaving California early to take up a fellowship at the University of Pennsylvania, where he taught Ethnology and American Linguistics. At Pennsylvania he worked closely with another student of Boas, Frank Speck, and the two undertook work on Catawba in the summer of 1909. Also in the summer of 1909, Sapir went to Utah with his student J. Alden Mason. Intending originally to work on Hopi, he studied the Southern Paiute language; he decided to work with Tony Tillohash, who proved to be the perfect informant. Tillohash's strong intuition about the sound patterns of his language led Sapir to propose that the phoneme is not just an abstraction existing at the structural level of language, but in fact has psychological reality for speakers.", "title": "Life" }, { "paragraph_id": 16, "text": "Tillohash became a good friend of Sapir, and visited him at his home in New York and Philadelphia. Sapir worked with his father to transcribe a number of Southern Paiute songs that Tillohash knew. This fruitful collaboration laid the ground work for the classical description of the Southern Paiute language published in 1930, and enabled Sapir to produce conclusive evidence linking the Shoshonean languages to the Nahuan languages – establishing the Uto-Aztecan language family. Sapir's description of Southern Paiute is known by linguistics as \"a model of analytical excellence\".", "title": "Life" }, { "paragraph_id": 17, "text": "At Pennsylvania, Sapir was urged to work at a quicker pace than he felt comfortable. His \"Grammar of Southern Paiute\" was supposed to be published in Boas' Handbook of American Indian Languages, and Boas urged him to complete a preliminary version while funding for the publication remained available, but Sapir did not want to compromise on quality, and in the end the Handbook had to go to press without Sapir's piece. Boas kept working to secure a stable appointment for his student, and by his recommendation Sapir ended up being hired by the Canadian Geological Survey, who wanted him to lead the institutionalization of anthropology in Canada. Sapir, who by then had given up the hope of working at one of the few American research universities, accepted the appointment and moved to Ottawa.", "title": "Life" }, { "paragraph_id": 18, "text": "In the years 1910–25 Sapir established and directed the Anthropological Division in the Geological Survey of Canada in Ottawa. When he was hired, he was one of the first full-time anthropologists in Canada. He brought his parents with him to Ottawa, and also quickly established his own family, marrying Florence Delson, who also had Lithuanian Jewish roots. Neither the Sapirs nor the Delsons were in favor of the match. The Delsons, who hailed from the prestigious Jewish center of Vilna, considered the Sapirs to be rural upstarts and were less than impressed with Sapir's career in an unpronounceable academic field. Edward and Florence had three children together: Herbert Michael, Helen Ruth, and Philip.", "title": "Life" }, { "paragraph_id": 19, "text": "As director of the Anthropological division of the Geological Survey of Canada, Sapir embarked on a project to document the Indigenous cultures and languages of Canada. His first fieldwork took him to Vancouver Island to work on the Nootka language. Apart from Sapir the division had two other staff members, Marius Barbeau and Harlan I. Smith. Sapir insisted that the discipline of linguistics was of integral importance for ethnographic description, arguing that just as nobody would dream of discussing the history of the Catholic Church without knowing Latin or study German folksongs without knowing German, so it made little sense to approach the study of Indigenous folklore without knowledge of the indigenous languages. At this point the only Canadian first nation languages that were well known were Kwakiutl, described by Boas, Tshimshian and Haida. Sapir explicitly used the standard of documentation of European languages, to argue that the amassing knowledge of indigenous languages was of paramount importance. By introducing the high standards of Boasian anthropology, Sapir incited antagonism from those amateur ethnologists who felt that they had contributed important work. Unsatisfied with efforts by amateur and governmental anthropologists, Sapir worked to introduce an academic program of anthropology at one of the major universities, in order to professionalize the discipline.", "title": "Life" }, { "paragraph_id": 20, "text": "Sapir enlisted the assistance of fellow Boasians: Frank Speck, Paul Radin and Alexander Goldenweiser, who with Barbeau worked on the peoples of the Eastern Woodlands: the Ojibwa, the Iroquois, the Huron and the Wyandot. Sapir initiated work on the Athabascan languages of the Mackenzie valley and the Yukon, but it proved too difficult to find adequate assistance, and he concentrated mainly on Nootka and the languages of the North West Coast.", "title": "Life" }, { "paragraph_id": 21, "text": "During his time in Canada, together with Speck, Sapir also acted as an advocate for Indigenous rights, arguing publicly for introduction of better medical care for Indigenous communities, and assisting the Six Nation Iroquois in trying to recover eleven wampum belts that had been stolen from the reservation and were on display in the museum of the University of Pennsylvania. (The belts were finally returned to the Iroquois in 1988.) He also argued for the reversal of a Canadian law prohibiting the Potlatch ceremony of the West Coast tribes.", "title": "Life" }, { "paragraph_id": 22, "text": "In 1915 Sapir returned to California, where his expertise on the Yana language made him urgently needed. Kroeber had come into contact with Ishi, the last native speaker of the Yahi language, closely related to Yana, and needed someone to document the language urgently. Ishi, who had grown up without contact to whites, was monolingual in Yahi and was the last surviving member of his people. He had been adopted by the Kroebers, but had fallen ill with tuberculosis, and was not expected to live long. Sam Batwi, the speaker of Yana who had worked with Sapir, was unable to understand the Yahi variety, and Krober was convinced that only Sapir would be able to communicate with Ishi. Sapir traveled to San Francisco and worked with Ishi over the summer of 1915, having to invent new methods for working with a monolingual speaker. The information from Ishi was invaluable for understanding the relation between the different dialects of Yana. Ishi died of his illness in early 1916, and Kroeber partly blamed the exacting nature of working with Sapir for his failure to recover. Sapir described the work: \"I think I may safely say that my work with Ishi is by far the most time-consuming and nerve-racking that I have ever undertaken. Ishi's imperturbable good humor alone made the work possible, though it also at times added to my exasperation\".", "title": "Life" }, { "paragraph_id": 23, "text": "The First World War took its toll on the Canadian Geological Survey, cutting funding for anthropology and making the academic climate less agreeable. Sapir continued work on Athabascan, working with two speakers of the Alaskan languages Kutchin and Ingalik. Sapir was now more preoccupied with testing hypotheses about historical relationships between the Na-Dene languages than with documenting endangered languages, in effect becoming a theoretician. He was also growing to feel isolated from his American colleagues. From 1912 Florence's health deteriorated due to a lung abscess, and a resulting depression. The Sapir household was largely run by Eva Sapir, who did not get along well with Florence, and this added to the strain on both Florence and Edward. Sapir's parents had by now divorced and his father seemed to develop psychosis, which made it necessary for him to leave Canada for Philadelphia, where Edward continued to support him financially. Florence was hospitalized for long periods both for her depressions and for the lung abscess, and she died in 1924 due to an infection following surgery, providing the final incentive for Sapir to leave Canada. When the University of Chicago offered him a position, he happily accepted.", "title": "Life" }, { "paragraph_id": 24, "text": "During his period in Canada, Sapir came into his own as the leading figure in linguistics in North America. Among his substantial publications from this period were his book on Time Perspective in the Aboriginal American Culture (1916), in which he laid out an approach to using historical linguistics to study the prehistory of Native American cultures. Particularly important for establishing him in the field was his seminal book Language: An Introduction to the Study of Speech (1921), which was a layman's introduction to the discipline of linguistics as Sapir envisioned it. He also participated in the formulation of a report to the American Anthropological Association regarding the standardization of orthographic principles for writing Indigenous languages.", "title": "Life" }, { "paragraph_id": 25, "text": "While in Ottawa, he also collected and published French Canadian Folk Songs, and wrote a volume of his own poetry. His interest in poetry led him to form a close friendship with another Boasian anthropologist and poet, Ruth Benedict. Sapir initially wrote to Benedict to commend her for her dissertation on \"The Guardian Spirit\", but soon realized that Benedict had published poetry pseudonymously. In their correspondence the two critiqued each other's work, both submitting to the same publishers, and both being rejected. They also were both interested in psychology and the relation between individual personalities and cultural patterns, and in their correspondences they frequently psychoanalyzed each other. However, Sapir often showed little understanding for Benedict's private thoughts and feelings, and particularly his conservative gender ideology jarred with Benedict's struggles as a female professional academic. Though they were very close friends for a while, it was ultimately the differences in worldview and personality that led their friendship to fray.", "title": "Life" }, { "paragraph_id": 26, "text": "Before departing Canada, Sapir had a short affair with Margaret Mead, Benedict's protégé at Columbia. But Sapir's conservative ideas about marriage and the woman's role were anathema to Mead, as they had been to Benedict, and as Mead left to do field work in Samoa, the two separated permanently. Mead received news of Sapir's remarriage while still in Samoa, and burned their correspondence there on the beach.", "title": "Life" }, { "paragraph_id": 27, "text": "Settling in Chicago reinvigorated Sapir intellectually and personally. He socialized with intellectuals, gave lectures, participated in poetry and music clubs. His first graduate student at Chicago was Li Fang-Kuei. The Sapir household continued to be managed largely by Grandmother Eva, until Sapir remarried in 1926. Sapir's second wife, Jean Victoria McClenaghan, was sixteen years younger than he. She had first met Sapir when a student in Ottawa, but had since also come to work at the University of Chicago's department of Juvenile Research. Their son Paul Edward Sapir was born in 1928. Their other son J. David Sapir became a linguist and anthropologist specializing in West African Languages, especially Jola languages. Sapir also exerted influence through his membership in the Chicago School of Sociology, and his friendship with psychologist Harry Stack Sullivan.", "title": "Life" }, { "paragraph_id": 28, "text": "From 1931 until his death in 1939, Sapir taught at Yale University, where he became the head of the Department of Anthropology. He was invited to Yale to found an interdisciplinary program combining anthropology, linguistics and psychology, aimed at studying \"the impact of culture on personality\". While Sapir was explicitly given the task of founding a distinct anthropology department, this was not well received by the department of sociology who worked by William Graham Sumner's \"Evolutionary sociology\", which was anathema to Sapir's Boasian approach, nor by the two anthropologists of the Institute for Human Relations Clark Wissler and G. P. Murdock. Sapir never thrived at Yale, where as one of only four Jewish faculty members out of 569 he was denied membership to the faculty club where the senior faculty discussed academic business.", "title": "Life" }, { "paragraph_id": 29, "text": "At Yale, Sapir's graduate students included Morris Swadesh, Benjamin Lee Whorf, Mary Haas, Charles Hockett, and Harry Hoijer, several of whom he brought with him from Chicago. Sapir came to regard a young Semiticist named Zellig Harris as his intellectual heir, although Harris was never a formal student of Sapir. (For a time he dated Sapir's daughter.) In 1936 Sapir clashed with the Institute for Human Relations over the research proposal by anthropologist Hortense Powdermaker, who proposed a study of the black community of Indianola, Mississippi. Sapir argued that her research should be funded instead of the more sociological work of John Dollard. Sapir eventually lost the discussion and Powdermaker had to leave Yale.", "title": "Life" }, { "paragraph_id": 30, "text": "During his tenure at Yale, Sapir was elected to the American Academy of Arts and Sciences, the United States National Academy of Sciences, and the American Philosophical Society.", "title": "Life" }, { "paragraph_id": 31, "text": "In the summer of 1937 while teaching at the Linguistic Institute of the Linguistic Society of America in Ann Arbor, Sapir began having problems with a heart condition that had initially been diagnosed a couple of years earlier. In 1938, he had to take a leave from Yale, during which Benjamin Lee Whorf taught his courses and G. P. Murdock advised some of his students. After Sapir's death in 1939, G. P. Murdock became the chair of the anthropology department. Murdock, who despised the Boasian paradigm of cultural anthropology, dismantled most of Sapir's efforts to integrate anthropology, psychology, and linguistics.", "title": "Life" }, { "paragraph_id": 32, "text": "Sapir's anthropological thought has been described as isolated within the field of anthropology in his own days. Instead of searching for the ways in which culture influences human behavior, Sapir was interested in understanding how cultural patterns themselves were shaped by the composition of individual personalities that make up a society. This made Sapir cultivate an interest in individual psychology and his view of culture was more psychological than many of his contemporaries. It has been suggested that there is a close relation between Sapir's literary interests and his anthropological thought. His literary theory saw individual aesthetic sensibilities and creativity to interact with learned cultural traditions to produce unique and new poetic forms, echoing the way that he also saw individuals and cultural patterns to dialectically influence each other.", "title": "Anthropological thought" }, { "paragraph_id": 33, "text": "Sapir's special focus among American languages was in the Athabaskan languages, a family which especially fascinated him. In a private letter, he wrote: \"Dene is probably the son-of-a-bitchiest language in America to actually know...most fascinating of all languages ever invented.\" Sapir also studied the languages and cultures of Wishram Chinook, Navajo, Nootka, Colorado River Numic, Takelma, and Yana. His research on Southern Paiute, in collaboration with consultant Tony Tillohash, led to a 1933 article which would become influential in the characterization of the phoneme.", "title": "Breadth of languages studied" }, { "paragraph_id": 34, "text": "Although noted for his work on American linguistics, Sapir wrote prolifically in linguistics in general. His book Language provides everything from a grammar-typological classification of languages (with examples ranging from Chinese to Nootka) to speculation on the phenomenon of language drift, and the arbitrariness of associations between language, race, and culture. Sapir was also a pioneer in Yiddish studies (his first language) in the United States (cf. Notes on Judeo-German phonology, 1915).", "title": "Breadth of languages studied" }, { "paragraph_id": 35, "text": "Sapir was active in the international auxiliary language movement. In his paper \"The Function of an International Auxiliary Language\", he argued for the benefits of a regular grammar and advocated a critical focus on the fundamentals of language, unbiased by the idiosyncrasies of national languages, in the choice of an international auxiliary language.", "title": "Breadth of languages studied" }, { "paragraph_id": 36, "text": "He was the first Research Director of the International Auxiliary Language Association (IALA), which presented the Interlingua conference in 1951. He directed the Association from 1930 to 1931, and was a member of its Consultative Counsel for Linguistic Research from 1927 to 1938. Sapir consulted with Alice Vanderbilt Morris to develop the research program of IALA.", "title": "Breadth of languages studied" } ]
Edward Sapir was an American anthropologist-linguist, who is widely considered to be one of the most important figures in the development of the discipline of linguistics in the United States. Sapir was born in German Pomerania, in what is now northern Poland. His family emigrated to the United States of America when he was a child. He studied Germanic linguistics at Columbia, where he came under the influence of Franz Boas, who inspired him to work on Native American languages. While finishing his Ph.D. he went to California to work with Alfred Kroeber documenting the indigenous languages there. He was employed by the Geological Survey of Canada for fifteen years, where he came into his own as one of the most significant linguists in North America, the other being Leonard Bloomfield. He was offered a professorship at the University of Chicago, and stayed for several years continuing to work for the professionalization of the discipline of linguistics. By the end of his life he was professor of anthropology at Yale. Among his many students were the linguists Mary Haas and Morris Swadesh, and anthropologists such as Fred Eggan and Hortense Powdermaker. With his linguistic background, Sapir became the one student of Boas to develop most completely the relationship between linguistics and anthropology. Sapir studied the ways in which language and culture influence each other, and he was interested in the relation between linguistic differences, and differences in cultural world views. This part of his thinking was developed by his student Benjamin Lee Whorf into the principle of linguistic relativity or the "Sapir–Whorf" hypothesis. In anthropology Sapir is known as an early proponent of the importance of psychology to anthropology, maintaining that studying the nature of relationships between different individual personalities is important for the ways in which culture and society develop. Among his major contributions to linguistics is his classification of Indigenous languages of the Americas, upon which he elaborated for most of his professional life. He played an important role in developing the modern concept of the phoneme, greatly advancing the understanding of phonology. Before Sapir it was generally considered impossible to apply the methods of historical linguistics to languages of indigenous peoples because they were believed to be more primitive than the Indo-European languages. Sapir was the first to prove that the methods of comparative linguistics were equally valid when applied to indigenous languages. In the 1929 edition of Encyclopædia Britannica he published what was then the most authoritative classification of Native American languages, and the first based on evidence from modern comparative linguistics. He was the first to produce evidence for the classification of the Algic, Uto-Aztecan, and Na-Dene languages. He proposed some language families that are not considered to have been adequately demonstrated, but which continue to generate investigation such as Hokan and Penutian. He specialized in the study of Athabascan languages, Chinookan languages, and Uto-Aztecan languages, producing important grammatical descriptions of Takelma, Wishram, Southern Paiute. Later in his career he also worked with Yiddish, Hebrew, and Chinese, as well as Germanic languages, and he also was invested in the development of an International Auxiliary Language.
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English
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Easter egg
Easter eggs, also called Paschal eggs, are eggs that are decorated for the Christian feast of Easter, which celebrates the resurrection of Jesus. As such, Easter eggs are common during the season of Eastertide (Easter season). The oldest tradition, which continues to be used in Central and Eastern Europe, is to use dye and paint chicken eggs. Although eggs, in general, were a traditional symbol of fertility and rebirth, in Christianity, for the celebration of Eastertide, Easter eggs symbolize the empty tomb of Jesus, from which Jesus was resurrected. In addition, one ancient tradition was the staining of Easter eggs with the colour red "in memory of the blood of Christ, shed as at that time of his crucifixion." This custom of the Easter egg, according to many sources, can be traced to early Christians of Mesopotamia, and from there it spread into Eastern Europe and Siberia through the Orthodox Churches, and later into Europe through the Catholic and Protestant Churches. Additionally, the widespread usage of Easter eggs, according to mediaevalist scholars, is due to the prohibition of eggs during Lent after which, on Easter, they have been blessed for the occasion. A modern custom in some places is to substitute chocolate eggs wrapped in coloured foil, hand-carved wooden eggs, or plastic eggs filled with confectionery such as chocolate. The practice of decorating eggshells is quite ancient, with decorated, engraved ostrich eggs found in Africa which are 60,000 years old. In the pre-dynastic period of Egypt and the early cultures of Mesopotamia and Crete, eggs were associated with death and rebirth, as well as with kingship, with decorated ostrich eggs, and representations of ostrich eggs in gold and silver, were commonly placed in graves of the ancient Sumerians and Egyptians as early as 5,000 years ago. These cultural relationships may have influenced early Christian and Islamic cultures in those areas, as well as through mercantile, religious, and political links from those areas around the Mediterranean. Eggs in Christianity carry a Trinitarian symbolism as shell, yolk, and albumen are three parts of one egg. According to many sources, the Christian custom of Easter eggs was adopted from Persian Nowruz tradition into the early Christians of Mesopotamia, who stained them with red colouring "in memory of the blood of Christ, shed at His crucifixion". The Christian Church officially adopted the custom, regarding the eggs as a symbol of the resurrection of Jesus, with the Roman Ritual, the first edition of which was published in 1610 but which has texts of much older date, containing among the Easter Blessings of Food, one for eggs, along with those for lamb, bread, and new produce. Lord, let the grace of your blessing + come upon these eggs, that they be healthful food for your faithful who eat them in thanksgiving for the resurrection of our Lord Jesus Christ, who lives and reigns with you forever and ever. Sociology professor Kenneth Thompson discusses the spread of the Easter egg throughout Christendom, writing that "use of eggs at Easter seems to have come from Persia into the Greek Christian Churches of Mesopotamia, thence to Russia and Siberia through the medium of Orthodox Christianity. From the Greek Church the custom was adopted by either the Roman Catholics or the Protestants and then spread through Europe." Both Thompson, as well as British orientalist Thomas Hyde state that in addition to dyeing the eggs red, the early Christians of Mesopotamia also stained Easter eggs green and yellow. Peter Gainsford maintains that the association between eggs and Easter most likely arose in western Europe during the Middle Ages as a result of the fact that Catholic Christians were prohibited from eating eggs during Lent, but were allowed to eat them when Easter arrived. Influential 19th century folklorist and philologist Jacob Grimm speculates, in the second volume of his Deutsche Mythologie, that the folk custom of Easter eggs among the continental Germanic peoples may have stemmed from springtime festivities of a Germanic goddess known in Old English as Ēostre (namesake of modern English Easter) and possibly known in Old High German as *Ostara (and thus namesake of Modern German Ostern 'Easter'). However, despite Grimm's speculation, there is no evidence to connect eggs with a speculative deity named Ostara. The use of eggs as favors or treats at Easter originated when they were prohibited during Lent. A common practice in England in the medieval period was for children to go door-to-door begging for eggs on the Saturday before Lent began. People handed out eggs as special treats for children prior to their fast. Although one of the Christian traditions are to use dyed or painted chicken eggs, a modern custom is to substitute chocolate eggs, or plastic eggs filled with candy such as jelly beans; as many people give up sweets as their Lenten sacrifice, individuals enjoy them at Easter after having abstained from them during the preceding forty days of Lent. These eggs can be hidden for children to find on Easter morning, which may be left by the Easter Bunny. They may also be put in a basket filled with real or artificial straw to resemble a bird's nest. The Easter egg tradition may also have merged into the celebration of the end of the privations of Lent. Traditionally, eggs are among the foods forbidden fast days, including all of Lent, an observance which continues among the Eastern Christian Churches but has fallen into disuse in Western Christianity (although something similar has recently been instituted by a few as the "Daniel Fast"). Historically, it has been traditional to use up all of the household's eggs before Lent began. This established the tradition of Pancake Day being celebrated on Shrove Tuesday. This day, the Tuesday before Ash Wednesday when Lent begins, is also known as Mardi Gras, a French phrase which translates as "Fat Tuesday" to mark the last consumption of eggs and dairy before Lent begins. In the Orthodox Church, Great Lent begins on Clean Monday, rather than Wednesday, so the household's dairy products would be used up in the preceding week, called Cheesefare Week. During Lent, since chickens would not stop producing eggs during this time, a larger than usual store might be available at the end of the fast. This surplus, if any, had to be eaten quickly to prevent spoiling. Then, with the coming of Easter, the eating of eggs resumes. Some families cook a special meatloaf with eggs in it to be eaten with the Easter dinner. One would have been forced to hard boil the eggs that the chickens produced so as not to waste food, and for this reason the Spanish dish hornazo (traditionally eaten on and around Easter) contains hard-boiled eggs as a primary ingredient. In Spain it is common for godparents to give a Easter mona to their godchildren during Easter period. In Hungary, eggs are used sliced in potato casseroles around the Easter period. Some Christians symbolically link the cracking open of Easter eggs with the empty tomb of Jesus. In the Orthodox churches, Easter eggs are blessed by the priest at the end of the Paschal Vigil (which is equivalent to Holy Saturday), and distributed to the faithful. The egg is seen by followers of Christianity as a symbol of resurrection: while being dormant it contains a new life sealed within it. Similarly, in the Roman Catholic Church in Poland, the so-called święconka, i.e. blessing of decorative baskets with a sampling of Easter eggs and other symbolic foods, is one of the most enduring and beloved Polish traditions on Holy Saturday. During Paschaltide, in some traditions the Pascal greeting with the Easter egg is even extended to the deceased. On either the second Monday or Tuesday of Pascha, after a memorial service people bring blessed eggs to the cemetery and bring the joyous paschal greeting, "Christ has risen", to their beloved departed (see Radonitza). In Greece, women traditionally dye the eggs with onion skins and vinegar on Thursday (also the day of Communion). These ceremonial eggs are known as kokkina avga. They also bake tsoureki for the Easter Sunday feast. Red Easter eggs are sometimes served along the centerline of tsoureki (braided loaf of bread). In Egypt, it is a tradition to decorate boiled eggs during Sham el-Nessim holiday, which falls every year after the Eastern Christian Easter. Coincidentally, every Passover, Jews place a hard-boiled egg on the Passover ceremonial plate, and the celebrants also eat hard-boiled eggs dipped in salt water as part of the ceremony. The dyeing of Easter eggs in different colours is commonplace, with colour being achieved through boiling the egg in natural substances (such as, onion peel (brown colour), oak or alder bark or walnut nutshell (black), beet juice (pink) etc.), or using artificial colourings. A greater variety of colour was often provided by tying on the onion skin with different coloured woollen yarn. In the North of England these are called pace-eggs or paste-eggs, from a dialectal form of Middle English pasche. King Edward I's household accounts in 1290 list an item of 'one shilling and sixpence for the decoration and distribution of 450 Pace-eggs!', which were to be coloured or gilded and given to members of the royal household. Traditionally in England, eggs were wrapped in onion skins and boiled to make their shells look like mottled gold, or wrapped in flowers and leaves first in order to leave a pattern, which parallels a custom practised in traditional Scandinavian culture. Eggs could also be drawn on with a wax candle before staining, often with a person's name and date on the egg. Pace Eggs were generally eaten for breakfast on Easter Sunday breakfast. Alternatively, they could be kept as decorations, used in egg-jarping (egg tapping) games, or given to Pace Eggers. In more recent centuries in England, eggs have been stained with coffee grains or simply boiled and painted in their shells. In the Orthodox and Eastern Catholic Churches, Easter eggs are dyed red to represent the blood of Christ, with further symbolism being found in the hard shell of the egg symbolizing the sealed Tomb of Christ—the cracking of which symbolized his resurrection from the dead. The tradition of red easter eggs was used by the Russian Orthodox Church. The tradition to dyeing the easter eggs in an Onion tone exists in the cultures of Armenia, Georgia, Lithuania, Ukraine, Belarus, Russia, Czechia, Romania, Serbia, Slovenia, and Israel. The colour is made by boiling onion peel in water. When boiling them with onion skins, leaves can be attached prior to dyeing to create leaf patterns. The leaves are attached to the eggs before they are dyed with a transparent cloth to wrap the eggs with like inexpensive muslin or nylon stockings, leaving patterns once the leaves are removed after the dyeing process. These eggs are part of Easter custom in many areas and often accompany other traditional Easter foods. Passover haminados are prepared with similar methods. Pysanky are Ukrainian Easter eggs, decorated using a wax-resist (batik) method. The word comes from the verb pysaty, "to write", as the designs are not painted on, but written with beeswax. Lithuanians create intricately detailed margučiai using a hot wax application and dipping method, and also by dipping the eggs first and then etching designs into the shells. Decorating eggs for Easter using wax resistant batik is a popular method in some other eastern European countries. In some Mediterranean countries, especially in Lebanon, chicken eggs are boiled and decorated by dye and/or painting and used as decoration around the house. Then, on Easter Day, young kids would duel with them saying "Christ is resurrected, Indeed, He is", breaking and eating them. This also happens in Georgia, Bulgaria, Cyprus, Greece, North Macedonia, Romania, Russia, Serbia and Ukraine. In Easter Sunday friends and family hit each other's egg with their own. The one whose egg does not break is believed to be in for good luck in the future. In Germany, eggs decorate trees and bushes as Easter egg trees, and in several areas public wells as Osterbrunnen. There used to be a custom in Ukraine, during Easter celebrations to have krashanky on a table in a bowl with wheatgrass. The number of the krashanky equalled the number of departed family members. An egg hunt is a game in which decorated eggs, which may be hard-boiled chicken eggs, chocolate eggs, or artificial eggs containing candies, are hidden for children to find. The eggs often vary in size, and may be hidden both indoors and outdoors. When the hunt is over, prizes may be given for the largest number of eggs collected, or for the largest or the smallest egg. Some central European nations (Czechs and Slovaks etc.) have a tradition of gathering eggs by gaining them from the females in return of whipping them with a pony-tail shaped whip made out of fresh willow branches and splashing them with water, by the Ruthenians called polivanja, which is supposed to give them health and beauty. Cascarones, a Latin American tradition now shared by many US States with high Hispanic demographics, are emptied and dried chicken eggs stuffed with confetti and sealed with a piece of tissue paper. The eggs are hidden in a similar tradition to the American Easter egg hunt and when found the children (and adults) break them over each other's heads. In order to enable children to take part in egg hunts despite visual impairment, eggs have been created that emit various clicks, beeps, noises, or music so that visually impaired children can easily hunt for Easter eggs. Egg rolling is also a traditional Easter egg game played with eggs at Easter. In the United Kingdom, Germany, and other countries children traditionally rolled eggs down hillsides at Easter. This tradition was taken to the New World by European settlers, and continues to this day each Easter with an Easter egg roll on the White House lawn. Rutherford B. Hayes started the tradition of the Easter Egg Roll at the White House. The Easter Monday Egg Roll was normally held at the United States Capitol, however, by the mid-1870s, Congress passed a law forbidding the Capitol's grounds to be used for the activity due to the toll it was taking on the landscape. The law was enforced in 1877, but the rain that year canceled all outdoor activities. In 1878, Hayes was approached by many young easter egg rollers who asked for the event to be held at the White House. He invited any children who wanted to roll eggs to come to the White House in order to do so. The tradition still occurs every year on the South Lawn of the White House. Now, there are many other games and activities that take place such as "Egg Picking" and "Egg Ball". Different nations have different versions of the Easter Egg roll game. In the North of England, during Eastertide, a traditional game is played where hard boiled pace eggs are distributed and each player hits the other player's egg with their own. This is known as "egg tapping", "egg dumping", or "egg jarping". The winner is the holder of the last intact egg. The annual egg jarping world championship is held every year over Easter in Peterlee, Durham. It is also practiced in Italy (where it is called scuccetta), Bulgaria, Hungary, Croatia, Latvia, Lithuania, Lebanon, North Macedonia, Romania, Serbia, Slovenia (where it is called turčanje or trkanje), Ukraine, Russia, and other countries. In parts of Austria, Bavaria and German-speaking Switzerland it is called Ostereiertitschen or Eierpecken. In parts of Europe it is also called epper, presumably from the German name Opfer, meaning "offering" and in Greece it is known as tsougrisma. In South Louisiana, this practice is called pocking eggs and is slightly different. The Louisiana Creoles hold that the winner eats the eggs of the losers in each round. In the Greek Orthodox tradition, red eggs are also cracked together when people exchange Easter greetings. Egg dance is a traditional Easter game in which eggs are laid on the ground or floor and the goal is to dance among them without damaging any eggs which originated in Germany. The Pace Egg plays are traditional village plays, with a rebirth theme. The drama takes the form of a combat between the hero and villain, in which the hero is killed and brought back to life. The plays take place in England during Easter. Chocolate eggs first appeared at the court of Louis XIV in Versailles and in 1725 the widow Giambone in Turin started producing chocolate eggs by filling empty chicken egg shells with molten chocolate. In 1873, J.S. Fry & Sons produced the first hollow chocolate egg using egg moulds. Manufacturing their first Easter egg in 1875, Cadbury created the modern chocolate Easter egg after developing a pure cocoa butter that could be moulded into smooth shapes. In Western cultures, the giving of chocolate eggs is now commonplace, with 80 million Easter eggs sold in the UK alone. Formerly, the containers Easter eggs were sold in contained large amounts of plastic, although in the United Kingdom this has gradually been replaced with recyclable paper and cardboard. In the Indian state of Goa, the Goan Catholic version of marzipan is used to make easter eggs. In the Philippines, mazapán de pili (Spanish for "pili marzipan") is made from pili nuts. The jewelled Easter eggs made by the Fabergé firm for the two last Russian Tsars are regarded as masterpieces of decorative arts. Most of these creations themselves contained hidden surprises such as clock-work birds, or miniature ships. In Bulgaria, Poland, Romania, Russia, Ukraine, and other Central European countries' folk traditions, Easter eggs are carved from wood and hand-painted, and making artificial eggs out of porcelain for ladies is common. Easter eggs are frequently depicted in sculpture, including a 8-metre (27 ft) sculpture of a pysanka standing in Vegreville, Alberta. While the origin of Easter eggs can be explained in the symbolic terms described above, among followers of Eastern Christianity the legend says that Mary Magdalene was bringing cooked eggs to share with the other women at the tomb of Jesus, and the eggs in her basket miraculously turned bright red when she saw the risen Christ. A different, but not necessarily conflicting legend concerns Mary Magdalene's efforts to spread the Gospel. According to this tradition, after the Ascension of Jesus, Mary went to the Emperor of Rome and greeted him with "Christ has risen," whereupon he pointed to an egg on his table and stated, "Christ has no more risen than that egg is red." After making this statement it is said the egg immediately turned blood red. Red Easter eggs, known as kokkina avga (κόκκινα αυγά) in Greece and krashanki in Ukraine, are an Easter tradition and a distinct type of Easter egg prepared by various Orthodox Christian peoples. The red eggs are part of Easter custom in many areas and often accompany other traditional Easter foods. Passover haminados are prepared with similar methods. Dark red eggs are a tradition in Greece and represent the blood of Christ shed on the cross. The practice dates to the early Christian church in Mesopotamia. In Greece, superstitions of the past included the custom of placing the first-dyed red egg at the home's iconostasis (place where icons are displayed) to ward off evil. The heads and backs of small lambs were also marked with the red dye to protect them. The egg is widely used as a symbol of the start of new life, just as new life emerges from an egg when the chick hatches out. Painted eggs are used at the Iranian spring holidays, the Nowruz that marks the first day of spring or Equinox, and the beginning of the year in the Persian calendar. It is celebrated on the day of the astronomical Northward equinox, which usually occurs on March 21 or the previous/following day depending on where it is observed. The painted eggs symbolize fertility and are displayed on the Nowruz table, called Haft-Seen together with various other symbolic objects. There are sometimes one egg for each member of the family. The ancient Zoroastrians painted eggs for Nowruz, their New Year celebration, which falls on the Spring equinox. The tradition continues among Persians of Islamic, Zoroastrian, and other faiths today. The Nowruz tradition has existed for at least 2,500 years. The sculptures on the walls of Persepolis show people carrying eggs for Nowruz to the king. The Neopagan holiday of Ostara occurs at roughly the same time as Easter. While it is often claimed that the use of painted eggs is an ancient, pre-Christian component of the celebration of Ostara, there are no historical accounts that ancient celebrations included this practice, apart from the Old High German lullaby which is believed by most to be a modern fabrication. Rather, the use of painted eggs has been adopted under the assumption that it might be a pre-Christian survival. In fact, modern scholarship has been unable to trace any association between eggs and a supposed goddess named Ostara before the 19th century, when early folklorists began to speculate about the possibility. There are good grounds for the association between hares (later termed Easter bunnies) and bird eggs, through folklore confusion between hares' forms (where they raise their young) and plovers' nests. In Judaism, a hard-boiled egg is an element of the Passover Seder, representing festival sacrifice. The children's game of hunting for the afikomen (a half-piece of matzo) has similarities to the Easter egg hunt tradition, by which the child who finds the hidden matzah will be awarded a prize. In other homes, the children hide the afikoman and a parent must look for it; when the parents give up, the children demand a prize for revealing its location.
[ { "paragraph_id": 0, "text": "Easter eggs, also called Paschal eggs, are eggs that are decorated for the Christian feast of Easter, which celebrates the resurrection of Jesus. As such, Easter eggs are common during the season of Eastertide (Easter season). The oldest tradition, which continues to be used in Central and Eastern Europe, is to use dye and paint chicken eggs.", "title": "" }, { "paragraph_id": 1, "text": "Although eggs, in general, were a traditional symbol of fertility and rebirth, in Christianity, for the celebration of Eastertide, Easter eggs symbolize the empty tomb of Jesus, from which Jesus was resurrected. In addition, one ancient tradition was the staining of Easter eggs with the colour red \"in memory of the blood of Christ, shed as at that time of his crucifixion.\"", "title": "" }, { "paragraph_id": 2, "text": "This custom of the Easter egg, according to many sources, can be traced to early Christians of Mesopotamia, and from there it spread into Eastern Europe and Siberia through the Orthodox Churches, and later into Europe through the Catholic and Protestant Churches. Additionally, the widespread usage of Easter eggs, according to mediaevalist scholars, is due to the prohibition of eggs during Lent after which, on Easter, they have been blessed for the occasion.", "title": "" }, { "paragraph_id": 3, "text": "A modern custom in some places is to substitute chocolate eggs wrapped in coloured foil, hand-carved wooden eggs, or plastic eggs filled with confectionery such as chocolate.", "title": "" }, { "paragraph_id": 4, "text": "The practice of decorating eggshells is quite ancient, with decorated, engraved ostrich eggs found in Africa which are 60,000 years old. In the pre-dynastic period of Egypt and the early cultures of Mesopotamia and Crete, eggs were associated with death and rebirth, as well as with kingship, with decorated ostrich eggs, and representations of ostrich eggs in gold and silver, were commonly placed in graves of the ancient Sumerians and Egyptians as early as 5,000 years ago. These cultural relationships may have influenced early Christian and Islamic cultures in those areas, as well as through mercantile, religious, and political links from those areas around the Mediterranean.", "title": "History" }, { "paragraph_id": 5, "text": "Eggs in Christianity carry a Trinitarian symbolism as shell, yolk, and albumen are three parts of one egg. According to many sources, the Christian custom of Easter eggs was adopted from Persian Nowruz tradition into the early Christians of Mesopotamia, who stained them with red colouring \"in memory of the blood of Christ, shed at His crucifixion\". The Christian Church officially adopted the custom, regarding the eggs as a symbol of the resurrection of Jesus, with the Roman Ritual, the first edition of which was published in 1610 but which has texts of much older date, containing among the Easter Blessings of Food, one for eggs, along with those for lamb, bread, and new produce.", "title": "History" }, { "paragraph_id": 6, "text": "Lord, let the grace of your blessing + come upon these eggs, that they be healthful food for your faithful who eat them in thanksgiving for the resurrection of our Lord Jesus Christ, who lives and reigns with you forever and ever.", "title": "History" }, { "paragraph_id": 7, "text": "Sociology professor Kenneth Thompson discusses the spread of the Easter egg throughout Christendom, writing that \"use of eggs at Easter seems to have come from Persia into the Greek Christian Churches of Mesopotamia, thence to Russia and Siberia through the medium of Orthodox Christianity. From the Greek Church the custom was adopted by either the Roman Catholics or the Protestants and then spread through Europe.\" Both Thompson, as well as British orientalist Thomas Hyde state that in addition to dyeing the eggs red, the early Christians of Mesopotamia also stained Easter eggs green and yellow.", "title": "History" }, { "paragraph_id": 8, "text": "Peter Gainsford maintains that the association between eggs and Easter most likely arose in western Europe during the Middle Ages as a result of the fact that Catholic Christians were prohibited from eating eggs during Lent, but were allowed to eat them when Easter arrived.", "title": "History" }, { "paragraph_id": 9, "text": "Influential 19th century folklorist and philologist Jacob Grimm speculates, in the second volume of his Deutsche Mythologie, that the folk custom of Easter eggs among the continental Germanic peoples may have stemmed from springtime festivities of a Germanic goddess known in Old English as Ēostre (namesake of modern English Easter) and possibly known in Old High German as *Ostara (and thus namesake of Modern German Ostern 'Easter'). However, despite Grimm's speculation, there is no evidence to connect eggs with a speculative deity named Ostara. The use of eggs as favors or treats at Easter originated when they were prohibited during Lent. A common practice in England in the medieval period was for children to go door-to-door begging for eggs on the Saturday before Lent began. People handed out eggs as special treats for children prior to their fast.", "title": "History" }, { "paragraph_id": 10, "text": "Although one of the Christian traditions are to use dyed or painted chicken eggs, a modern custom is to substitute chocolate eggs, or plastic eggs filled with candy such as jelly beans; as many people give up sweets as their Lenten sacrifice, individuals enjoy them at Easter after having abstained from them during the preceding forty days of Lent. These eggs can be hidden for children to find on Easter morning, which may be left by the Easter Bunny. They may also be put in a basket filled with real or artificial straw to resemble a bird's nest.", "title": "History" }, { "paragraph_id": 11, "text": "The Easter egg tradition may also have merged into the celebration of the end of the privations of Lent. Traditionally, eggs are among the foods forbidden fast days, including all of Lent, an observance which continues among the Eastern Christian Churches but has fallen into disuse in Western Christianity (although something similar has recently been instituted by a few as the \"Daniel Fast\").", "title": "Traditions and customs" }, { "paragraph_id": 12, "text": "Historically, it has been traditional to use up all of the household's eggs before Lent began.", "title": "Traditions and customs" }, { "paragraph_id": 13, "text": "This established the tradition of Pancake Day being celebrated on Shrove Tuesday. This day, the Tuesday before Ash Wednesday when Lent begins, is also known as Mardi Gras, a French phrase which translates as \"Fat Tuesday\" to mark the last consumption of eggs and dairy before Lent begins.", "title": "Traditions and customs" }, { "paragraph_id": 14, "text": "In the Orthodox Church, Great Lent begins on Clean Monday, rather than Wednesday, so the household's dairy products would be used up in the preceding week, called Cheesefare Week.", "title": "Traditions and customs" }, { "paragraph_id": 15, "text": "During Lent, since chickens would not stop producing eggs during this time, a larger than usual store might be available at the end of the fast. This surplus, if any, had to be eaten quickly to prevent spoiling. Then, with the coming of Easter, the eating of eggs resumes. Some families cook a special meatloaf with eggs in it to be eaten with the Easter dinner.", "title": "Traditions and customs" }, { "paragraph_id": 16, "text": "One would have been forced to hard boil the eggs that the chickens produced so as not to waste food, and for this reason the Spanish dish hornazo (traditionally eaten on and around Easter) contains hard-boiled eggs as a primary ingredient. In Spain it is common for godparents to give a Easter mona to their godchildren during Easter period. In Hungary, eggs are used sliced in potato casseroles around the Easter period.", "title": "Traditions and customs" }, { "paragraph_id": 17, "text": "Some Christians symbolically link the cracking open of Easter eggs with the empty tomb of Jesus.", "title": "Traditions and customs" }, { "paragraph_id": 18, "text": "In the Orthodox churches, Easter eggs are blessed by the priest at the end of the Paschal Vigil (which is equivalent to Holy Saturday), and distributed to the faithful. The egg is seen by followers of Christianity as a symbol of resurrection: while being dormant it contains a new life sealed within it.", "title": "Traditions and customs" }, { "paragraph_id": 19, "text": "Similarly, in the Roman Catholic Church in Poland, the so-called święconka, i.e. blessing of decorative baskets with a sampling of Easter eggs and other symbolic foods, is one of the most enduring and beloved Polish traditions on Holy Saturday.", "title": "Traditions and customs" }, { "paragraph_id": 20, "text": "During Paschaltide, in some traditions the Pascal greeting with the Easter egg is even extended to the deceased. On either the second Monday or Tuesday of Pascha, after a memorial service people bring blessed eggs to the cemetery and bring the joyous paschal greeting, \"Christ has risen\", to their beloved departed (see Radonitza).", "title": "Traditions and customs" }, { "paragraph_id": 21, "text": "In Greece, women traditionally dye the eggs with onion skins and vinegar on Thursday (also the day of Communion). These ceremonial eggs are known as kokkina avga. They also bake tsoureki for the Easter Sunday feast. Red Easter eggs are sometimes served along the centerline of tsoureki (braided loaf of bread).", "title": "Traditions and customs" }, { "paragraph_id": 22, "text": "In Egypt, it is a tradition to decorate boiled eggs during Sham el-Nessim holiday, which falls every year after the Eastern Christian Easter.", "title": "Traditions and customs" }, { "paragraph_id": 23, "text": "Coincidentally, every Passover, Jews place a hard-boiled egg on the Passover ceremonial plate, and the celebrants also eat hard-boiled eggs dipped in salt water as part of the ceremony.", "title": "Traditions and customs" }, { "paragraph_id": 24, "text": "The dyeing of Easter eggs in different colours is commonplace, with colour being achieved through boiling the egg in natural substances (such as, onion peel (brown colour), oak or alder bark or walnut nutshell (black), beet juice (pink) etc.), or using artificial colourings.", "title": "Traditions and customs" }, { "paragraph_id": 25, "text": "A greater variety of colour was often provided by tying on the onion skin with different coloured woollen yarn. In the North of England these are called pace-eggs or paste-eggs, from a dialectal form of Middle English pasche. King Edward I's household accounts in 1290 list an item of 'one shilling and sixpence for the decoration and distribution of 450 Pace-eggs!', which were to be coloured or gilded and given to members of the royal household. Traditionally in England, eggs were wrapped in onion skins and boiled to make their shells look like mottled gold, or wrapped in flowers and leaves first in order to leave a pattern, which parallels a custom practised in traditional Scandinavian culture. Eggs could also be drawn on with a wax candle before staining, often with a person's name and date on the egg. Pace Eggs were generally eaten for breakfast on Easter Sunday breakfast. Alternatively, they could be kept as decorations, used in egg-jarping (egg tapping) games, or given to Pace Eggers. In more recent centuries in England, eggs have been stained with coffee grains or simply boiled and painted in their shells.", "title": "Traditions and customs" }, { "paragraph_id": 26, "text": "In the Orthodox and Eastern Catholic Churches, Easter eggs are dyed red to represent the blood of Christ, with further symbolism being found in the hard shell of the egg symbolizing the sealed Tomb of Christ—the cracking of which symbolized his resurrection from the dead. The tradition of red easter eggs was used by the Russian Orthodox Church. The tradition to dyeing the easter eggs in an Onion tone exists in the cultures of Armenia, Georgia, Lithuania, Ukraine, Belarus, Russia, Czechia, Romania, Serbia, Slovenia, and Israel. The colour is made by boiling onion peel in water.", "title": "Traditions and customs" }, { "paragraph_id": 27, "text": "When boiling them with onion skins, leaves can be attached prior to dyeing to create leaf patterns. The leaves are attached to the eggs before they are dyed with a transparent cloth to wrap the eggs with like inexpensive muslin or nylon stockings, leaving patterns once the leaves are removed after the dyeing process. These eggs are part of Easter custom in many areas and often accompany other traditional Easter foods. Passover haminados are prepared with similar methods.", "title": "Traditions and customs" }, { "paragraph_id": 28, "text": "Pysanky are Ukrainian Easter eggs, decorated using a wax-resist (batik) method. The word comes from the verb pysaty, \"to write\", as the designs are not painted on, but written with beeswax. Lithuanians create intricately detailed margučiai using a hot wax application and dipping method, and also by dipping the eggs first and then etching designs into the shells.", "title": "Traditions and customs" }, { "paragraph_id": 29, "text": "Decorating eggs for Easter using wax resistant batik is a popular method in some other eastern European countries.", "title": "Traditions and customs" }, { "paragraph_id": 30, "text": "In some Mediterranean countries, especially in Lebanon, chicken eggs are boiled and decorated by dye and/or painting and used as decoration around the house. Then, on Easter Day, young kids would duel with them saying \"Christ is resurrected, Indeed, He is\", breaking and eating them. This also happens in Georgia, Bulgaria, Cyprus, Greece, North Macedonia, Romania, Russia, Serbia and Ukraine. In Easter Sunday friends and family hit each other's egg with their own. The one whose egg does not break is believed to be in for good luck in the future.", "title": "Traditions and customs" }, { "paragraph_id": 31, "text": "In Germany, eggs decorate trees and bushes as Easter egg trees, and in several areas public wells as Osterbrunnen.", "title": "Traditions and customs" }, { "paragraph_id": 32, "text": "There used to be a custom in Ukraine, during Easter celebrations to have krashanky on a table in a bowl with wheatgrass. The number of the krashanky equalled the number of departed family members.", "title": "Traditions and customs" }, { "paragraph_id": 33, "text": "An egg hunt is a game in which decorated eggs, which may be hard-boiled chicken eggs, chocolate eggs, or artificial eggs containing candies, are hidden for children to find. The eggs often vary in size, and may be hidden both indoors and outdoors. When the hunt is over, prizes may be given for the largest number of eggs collected, or for the largest or the smallest egg.", "title": "Easter egg games" }, { "paragraph_id": 34, "text": "Some central European nations (Czechs and Slovaks etc.) have a tradition of gathering eggs by gaining them from the females in return of whipping them with a pony-tail shaped whip made out of fresh willow branches and splashing them with water, by the Ruthenians called polivanja, which is supposed to give them health and beauty.", "title": "Easter egg games" }, { "paragraph_id": 35, "text": "Cascarones, a Latin American tradition now shared by many US States with high Hispanic demographics, are emptied and dried chicken eggs stuffed with confetti and sealed with a piece of tissue paper. The eggs are hidden in a similar tradition to the American Easter egg hunt and when found the children (and adults) break them over each other's heads.", "title": "Easter egg games" }, { "paragraph_id": 36, "text": "In order to enable children to take part in egg hunts despite visual impairment, eggs have been created that emit various clicks, beeps, noises, or music so that visually impaired children can easily hunt for Easter eggs.", "title": "Easter egg games" }, { "paragraph_id": 37, "text": "Egg rolling is also a traditional Easter egg game played with eggs at Easter. In the United Kingdom, Germany, and other countries children traditionally rolled eggs down hillsides at Easter. This tradition was taken to the New World by European settlers, and continues to this day each Easter with an Easter egg roll on the White House lawn. Rutherford B. Hayes started the tradition of the Easter Egg Roll at the White House. The Easter Monday Egg Roll was normally held at the United States Capitol, however, by the mid-1870s, Congress passed a law forbidding the Capitol's grounds to be used for the activity due to the toll it was taking on the landscape. The law was enforced in 1877, but the rain that year canceled all outdoor activities. In 1878, Hayes was approached by many young easter egg rollers who asked for the event to be held at the White House. He invited any children who wanted to roll eggs to come to the White House in order to do so. The tradition still occurs every year on the South Lawn of the White House. Now, there are many other games and activities that take place such as \"Egg Picking\" and \"Egg Ball\". Different nations have different versions of the Easter Egg roll game.", "title": "Easter egg games" }, { "paragraph_id": 38, "text": "In the North of England, during Eastertide, a traditional game is played where hard boiled pace eggs are distributed and each player hits the other player's egg with their own. This is known as \"egg tapping\", \"egg dumping\", or \"egg jarping\". The winner is the holder of the last intact egg. The annual egg jarping world championship is held every year over Easter in Peterlee, Durham.", "title": "Easter egg games" }, { "paragraph_id": 39, "text": "It is also practiced in Italy (where it is called scuccetta), Bulgaria, Hungary, Croatia, Latvia, Lithuania, Lebanon, North Macedonia, Romania, Serbia, Slovenia (where it is called turčanje or trkanje), Ukraine, Russia, and other countries. In parts of Austria, Bavaria and German-speaking Switzerland it is called Ostereiertitschen or Eierpecken. In parts of Europe it is also called epper, presumably from the German name Opfer, meaning \"offering\" and in Greece it is known as tsougrisma. In South Louisiana, this practice is called pocking eggs and is slightly different. The Louisiana Creoles hold that the winner eats the eggs of the losers in each round.", "title": "Easter egg games" }, { "paragraph_id": 40, "text": "In the Greek Orthodox tradition, red eggs are also cracked together when people exchange Easter greetings.", "title": "Easter egg games" }, { "paragraph_id": 41, "text": "Egg dance is a traditional Easter game in which eggs are laid on the ground or floor and the goal is to dance among them without damaging any eggs which originated in Germany.", "title": "Easter egg games" }, { "paragraph_id": 42, "text": "The Pace Egg plays are traditional village plays, with a rebirth theme. The drama takes the form of a combat between the hero and villain, in which the hero is killed and brought back to life. The plays take place in England during Easter.", "title": "Easter egg games" }, { "paragraph_id": 43, "text": "Chocolate eggs first appeared at the court of Louis XIV in Versailles and in 1725 the widow Giambone in Turin started producing chocolate eggs by filling empty chicken egg shells with molten chocolate. In 1873, J.S. Fry & Sons produced the first hollow chocolate egg using egg moulds. Manufacturing their first Easter egg in 1875, Cadbury created the modern chocolate Easter egg after developing a pure cocoa butter that could be moulded into smooth shapes.", "title": "Variants" }, { "paragraph_id": 44, "text": "In Western cultures, the giving of chocolate eggs is now commonplace, with 80 million Easter eggs sold in the UK alone. Formerly, the containers Easter eggs were sold in contained large amounts of plastic, although in the United Kingdom this has gradually been replaced with recyclable paper and cardboard.", "title": "Variants" }, { "paragraph_id": 45, "text": "In the Indian state of Goa, the Goan Catholic version of marzipan is used to make easter eggs. In the Philippines, mazapán de pili (Spanish for \"pili marzipan\") is made from pili nuts.", "title": "Variants" }, { "paragraph_id": 46, "text": "The jewelled Easter eggs made by the Fabergé firm for the two last Russian Tsars are regarded as masterpieces of decorative arts. Most of these creations themselves contained hidden surprises such as clock-work birds, or miniature ships.", "title": "Variants" }, { "paragraph_id": 47, "text": "In Bulgaria, Poland, Romania, Russia, Ukraine, and other Central European countries' folk traditions, Easter eggs are carved from wood and hand-painted, and making artificial eggs out of porcelain for ladies is common.", "title": "Variants" }, { "paragraph_id": 48, "text": "Easter eggs are frequently depicted in sculpture, including a 8-metre (27 ft) sculpture of a pysanka standing in Vegreville, Alberta.", "title": "Variants" }, { "paragraph_id": 49, "text": "While the origin of Easter eggs can be explained in the symbolic terms described above, among followers of Eastern Christianity the legend says that Mary Magdalene was bringing cooked eggs to share with the other women at the tomb of Jesus, and the eggs in her basket miraculously turned bright red when she saw the risen Christ.", "title": "Legends" }, { "paragraph_id": 50, "text": "A different, but not necessarily conflicting legend concerns Mary Magdalene's efforts to spread the Gospel. According to this tradition, after the Ascension of Jesus, Mary went to the Emperor of Rome and greeted him with \"Christ has risen,\" whereupon he pointed to an egg on his table and stated, \"Christ has no more risen than that egg is red.\" After making this statement it is said the egg immediately turned blood red.", "title": "Legends" }, { "paragraph_id": 51, "text": "Red Easter eggs, known as kokkina avga (κόκκινα αυγά) in Greece and krashanki in Ukraine, are an Easter tradition and a distinct type of Easter egg prepared by various Orthodox Christian peoples. The red eggs are part of Easter custom in many areas and often accompany other traditional Easter foods. Passover haminados are prepared with similar methods. Dark red eggs are a tradition in Greece and represent the blood of Christ shed on the cross. The practice dates to the early Christian church in Mesopotamia. In Greece, superstitions of the past included the custom of placing the first-dyed red egg at the home's iconostasis (place where icons are displayed) to ward off evil. The heads and backs of small lambs were also marked with the red dye to protect them.", "title": "Legends" }, { "paragraph_id": 52, "text": "The egg is widely used as a symbol of the start of new life, just as new life emerges from an egg when the chick hatches out.", "title": "Legends" }, { "paragraph_id": 53, "text": "Painted eggs are used at the Iranian spring holidays, the Nowruz that marks the first day of spring or Equinox, and the beginning of the year in the Persian calendar. It is celebrated on the day of the astronomical Northward equinox, which usually occurs on March 21 or the previous/following day depending on where it is observed. The painted eggs symbolize fertility and are displayed on the Nowruz table, called Haft-Seen together with various other symbolic objects. There are sometimes one egg for each member of the family. The ancient Zoroastrians painted eggs for Nowruz, their New Year celebration, which falls on the Spring equinox. The tradition continues among Persians of Islamic, Zoroastrian, and other faiths today. The Nowruz tradition has existed for at least 2,500 years. The sculptures on the walls of Persepolis show people carrying eggs for Nowruz to the king.", "title": "Legends" }, { "paragraph_id": 54, "text": "The Neopagan holiday of Ostara occurs at roughly the same time as Easter. While it is often claimed that the use of painted eggs is an ancient, pre-Christian component of the celebration of Ostara, there are no historical accounts that ancient celebrations included this practice, apart from the Old High German lullaby which is believed by most to be a modern fabrication. Rather, the use of painted eggs has been adopted under the assumption that it might be a pre-Christian survival. In fact, modern scholarship has been unable to trace any association between eggs and a supposed goddess named Ostara before the 19th century, when early folklorists began to speculate about the possibility.", "title": "Legends" }, { "paragraph_id": 55, "text": "There are good grounds for the association between hares (later termed Easter bunnies) and bird eggs, through folklore confusion between hares' forms (where they raise their young) and plovers' nests.", "title": "Legends" }, { "paragraph_id": 56, "text": "In Judaism, a hard-boiled egg is an element of the Passover Seder, representing festival sacrifice. The children's game of hunting for the afikomen (a half-piece of matzo) has similarities to the Easter egg hunt tradition, by which the child who finds the hidden matzah will be awarded a prize. In other homes, the children hide the afikoman and a parent must look for it; when the parents give up, the children demand a prize for revealing its location.", "title": "Legends" } ]
Easter eggs, also called Paschal eggs, are eggs that are decorated for the Christian feast of Easter, which celebrates the resurrection of Jesus. As such, Easter eggs are common during the season of Eastertide. The oldest tradition, which continues to be used in Central and Eastern Europe, is to use dye and paint chicken eggs. Although eggs, in general, were a traditional symbol of fertility and rebirth, in Christianity, for the celebration of Eastertide, Easter eggs symbolize the empty tomb of Jesus, from which Jesus was resurrected. In addition, one ancient tradition was the staining of Easter eggs with the colour red "in memory of the blood of Christ, shed as at that time of his crucifixion." This custom of the Easter egg, according to many sources, can be traced to early Christians of Mesopotamia, and from there it spread into Eastern Europe and Siberia through the Orthodox Churches, and later into Europe through the Catholic and Protestant Churches. Additionally, the widespread usage of Easter eggs, according to mediaevalist scholars, is due to the prohibition of eggs during Lent after which, on Easter, they have been blessed for the occasion. A modern custom in some places is to substitute chocolate eggs wrapped in coloured foil, hand-carved wooden eggs, or plastic eggs filled with confectionery such as chocolate.
2001-04-16T15:36:49Z
2023-12-24T04:17:35Z
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https://en.wikipedia.org/wiki/Easter_egg
9,325
Easter
Easter, also called Pascha (Aramaic, Greek, Latin) or Resurrection Sunday, is a Christian festival and cultural holiday commemorating the resurrection of Jesus from the dead, described in the New Testament as having occurred on the third day of his burial following his crucifixion by the Romans at Calvary c. 30 AD. It is the culmination of the Passion of Jesus Christ, preceded by Lent (or Great Lent), a 40-day period of fasting, prayer, and penance. Easter-observing Christians commonly refer to the week before Easter as Holy Week, which in Western Christianity begins on Palm Sunday (marking the entrance of Jesus in Jerusalem), includes Spy Wednesday (on which the betrayal of Jesus is mourned), and contains the days of the Easter Triduum including Maundy Thursday, commemorating the Maundy and Last Supper, as well as Good Friday, commemorating the crucifixion and death of Jesus. In Eastern Christianity, the same days and events are commemorated with the names of days all starting with "Holy" or "Holy and Great"; and Easter itself might be called "Great and Holy Pascha", "Easter Sunday", "Pascha" or "Sunday of Pascha". In Western Christianity, Eastertide, or the Easter Season, begins on Easter Sunday and lasts seven weeks, ending with the coming of the 50th day, Pentecost Sunday. In Eastern Christianity, the Paschal season ends with Pentecost as well, but the leave-taking of the Great Feast of Pascha is on the 39th day, the day before the Feast of the Ascension. Easter and its related holidays are moveable feasts, not falling on a fixed date; its date is computed based on a lunisolar calendar (solar year plus Moon phase) similar to the Hebrew calendar. The First Council of Nicaea (325) established only two rules, namely independence from the Hebrew calendar and worldwide uniformity. No details for the computation were specified; these were worked out in practice, a process that took centuries and generated a number of controversies. It has come to be the first Sunday after the ecclesiastical full moon that occurs on or soonest after 21 March. Even if calculated on the basis of the Gregorian calendar, the date of that full moon sometimes differs from that of the astronomical first full moon after the March equinox. The English term is derived from the Saxon spring festival Ēostre; Easter is linked to the Jewish Passover by its name (Hebrew: פֶּסַח pesach, Aramaic: פָּסחָא pascha are the basis of the term Pascha), by its origin (according to the synoptic Gospels, both the crucifixion and the resurrection took place during the week of Passover) and by much of its symbolism, as well as by its position in the calendar. In most European languages, both the Christian Easter and the Jewish Passover are called by the same name; and in the older English versions of the Bible, as well, the term Easter was used to translate Passover. Easter traditions vary across the Christian world, and include sunrise services or late-night vigils, exclamations and exchanges of Paschal greetings, flowering the cross, the wearing of Easter bonnets by women, clipping the church, and the decoration and the communal breaking of Easter eggs (a symbol of the empty tomb). The Easter lily, a symbol of the resurrection in Western Christianity, traditionally decorates the chancel area of churches on this day and for the rest of Eastertide. Additional customs that have become associated with Easter and are observed by both Christians and some non-Christians include Easter parades, communal dancing (Eastern Europe), the Easter Bunny and egg hunting. There are also traditional Easter foods that vary by region and culture. The modern English term Easter, cognate with modern Dutch ooster and German Ostern, developed from an Old English word that usually appears in the form Ēastrun, Ēastron, or Ēastran; but also as Ēastru, Ēastro; and Ēastre or Ēostre. Bede provides the only documentary source for the etymology of the word, in his eighth-century The Reckoning of Time. He wrote that Ēosturmōnaþ (Old English for 'Month of Ēostre', translated in Bede's time as "Paschal month") was an English month, corresponding to April, which he says "was once called after a goddess of theirs named Ēostre, in whose honour feasts were celebrated in that month". In Latin and Greek, the Christian celebration was, and still is, called Pascha (Greek: Πάσχα), a word derived from Aramaic פסחא (Paskha), cognate to the Hebrew פֶּסַח (Pesach). The word originally denoted the Jewish festival known in English as Passover, commemorating the Jewish Exodus from slavery in Egypt. As early as the 50s of the 1st century, Paul the Apostle, writing from Ephesus to the Christians in Corinth, applied the term to Christ, and it is unlikely that the Ephesian and Corinthian Christians were the first to hear Exodus 12 interpreted as speaking about the death of Jesus, not just about the Jewish Passover ritual. In most languages, Germanic languages such as English being exceptions, the feast is known by names derived from the Greek and Latin Pascha. Pascha is also a name by which Jesus himself is remembered in the Orthodox Church, especially in connection with his resurrection and with the season of its celebration. Others call the holiday "Resurrection Sunday" or "Resurrection Day", after the Greek Ἀνάστασις, Anastasis, 'Resurrection' day. Easter celebrates Jesus' supernatural resurrection from the dead, which is one of the chief tenets of the Christian faith. Paul writes that, for those who trust in Jesus's death and resurrection, "death is swallowed up in victory." The First Epistle of Peter declares that God has given believers "a new birth into a living hope through the resurrection of Jesus Christ from the dead". Christian theology holds that, through faith in the working of God, those who follow Jesus are spiritually resurrected with him so that they may walk in a new way of life and receive eternal salvation, and can hope to be physically resurrected to dwell with him in the Kingdom of Heaven. Easter is linked to Passover and the Exodus from Egypt recorded in the Old Testament through the Last Supper, sufferings, and crucifixion of Jesus that preceded the resurrection. According to the three Synoptic Gospels, Jesus gave the Passover meal a new meaning, as in the upper room during the Last Supper he prepared himself and his disciples for his death. He identified the bread and cup of wine as his body, soon to be sacrificed, and his blood, soon to be shed. The Apostle Paul states, in his First Epistle to the Corinthians, "Get rid of the old yeast that you may be a new batch without yeast—as you really are. For Christ, our Passover lamb, has been sacrificed." This refers to the requirement in Jewish law that Jews eliminate all chametz, or leavening, from their homes in advance of Passover, and to the allegory of Jesus as the Paschal lamb. As the Gospels assert that both the crucifixion and resurrection of Jesus during the week of Passover, the first Christians timed the observance of the annual celebration of the resurrections in relation to Passover. Direct evidence for a more fully formed Christian festival of Pascha (Easter) begins to appear in the mid-2nd century. Perhaps the earliest extant primary source referring to Easter is a mid-2nd-century Paschal homily attributed to Melito of Sardis, which characterizes the celebration as a well-established one. Evidence for another kind of annually recurring Christian festival, those commemorating the martyrs, began to appear at about the same time as the above homily. While martyrs' days (usually the individual dates of martyrdom) were celebrated on fixed dates in the local solar calendar, the date of Easter was fixed by means of the local Jewish lunisolar calendar. This is consistent with the celebration of Easter having entered Christianity during its earliest, Jewish, period, but does not leave the question free of doubt. The ecclesiastical historian Socrates Scholasticus attributes the observance of Easter by the church to the perpetuation of pre-Christian custom, "just as many other customs have been established", stating that neither Jesus nor his Apostles enjoined the keeping of this or any other festival. Although he describes the details of the Easter celebration as deriving from local custom, he insists the feast itself is universally observed. Easter and the holidays that are related to it are moveable feasts, in that they do not fall on a fixed date in the Gregorian or Julian calendars (both of which follow the cycle of the sun and the seasons). Instead, the date for Easter is determined on a lunisolar calendar similar to the Hebrew calendar. The First Council of Nicaea (325) established two rules, independence of the Jewish calendar and worldwide uniformity, which were the only rules for Easter explicitly laid down by the Council. No details for the computation were specified; these were worked out in practice, a process that took centuries and generated a number of controversies. (See also Computus and Reform of the date of Easter.) In particular, the Council did not decree that Easter must fall on Sunday, but this was already the practice almost everywhere. In Western Christianity, using the Gregorian calendar, Easter always falls on a Sunday between 22 March and 25 April, within about seven days after the astronomical full moon. The following day, Easter Monday, is a legal holiday in many countries with predominantly Christian traditions. Eastern Orthodox Christians base Paschal date calculations on the Julian calendar. Because of the thirteen-day difference between the calendars between 1900 and 2099, 21 March corresponds, during the 21st century, to 3 April in the Gregorian calendar. Since the Julian calendar is no longer used as the civil calendar of the countries where Eastern Christian traditions predominate, Easter varies between 4 April and 8 May in the Gregorian calendar. Because the Julian "full moon" is always several days after the astronomical full moon, the Eastern Easter is also often later, relative to the visible lunar phases, than Western Easter. Among the Oriental Orthodox, some churches have changed from the Julian to the Gregorian calendar and the date for Easter, as for other fixed and moveable feasts, is the same as in the Western church. In 725, Bede succinctly wrote, "The Sunday following the full Moon which falls on or after the equinox will give the lawful Easter." However, this does not precisely reflect the ecclesiastical rules. The full moon referred to (called the Paschal full moon) is not an astronomical full moon, but the 14th day of a lunar month. Another difference is that the astronomical equinox is a natural astronomical phenomenon, which can fall on 19, 20 or 21 March, while the ecclesiastical date is fixed by convention on 21 March. In addition, the lunar tables of the Julian calendar are currently five days behind those of the Gregorian calendar. Therefore, the Julian computation of the Paschal full moon is a full five days later than the astronomical full moon. The result of this combination of solar and lunar discrepancies is divergence in the date of Easter in most years (see table). Easter is determined on the basis of lunisolar cycles. The lunar year consists of 30-day and 29-day lunar months, generally alternating, with an embolismic month added periodically to bring the lunar cycle into line with the solar cycle. In each solar year (1 January to 31 December inclusive), the lunar month beginning with an ecclesiastical new moon falling in the 29-day period from 8 March to 5 April inclusive is designated as the paschal lunar month for that year. Easter is the third Sunday in the paschal lunar month, or, in other words, the Sunday after the paschal lunar month's 14th day. The 14th of the paschal lunar month is designated by convention as the Paschal full moon, although the 14th of the lunar month may differ from the date of the astronomical full moon by up to two days. Since the ecclesiastical new moon falls on a date from 8 March to 5 April inclusive, the paschal full moon (the 14th of that lunar month) must fall on a date from 22 March to 18 April inclusive. The Gregorian calculation of Easter was based on a method devised by the Calabrian doctor Aloysius Lilius (or Lilio) for adjusting the epacts of the Moon, and has been adopted by almost all Western Christians and by Western countries which celebrate national holidays at Easter. For the British Empire and colonies, a determination of the date of Easter Sunday using Golden Numbers and Sunday letters was defined by the Calendar (New Style) Act 1750 with its Annexe. This was designed to match exactly the Gregorian calculation. The precise date of Easter has at times been a matter of contention. By the later 2nd century, it was widely accepted that the celebration of the holiday was a practice of the disciples and an undisputed tradition. The Quartodeciman controversy, the first of several Easter controversies, arose concerning the date on which the holiday should be celebrated. The term "Quartodeciman" refers to the practice of ending the Lenten fast on Nisan 14 of the Hebrew calendar, "the LORD's passover". According to the church historian Eusebius, the Quartodeciman Polycarp (bishop of Smyrna, by tradition a disciple of John the Apostle) debated the question with Anicetus (bishop of Rome). The Roman province of Asia was Quartodeciman, while the Roman and Alexandrian churches continued the fast until the Sunday following (the Sunday of Unleavened Bread), wishing to associate Easter with Sunday. Neither Polycarp nor Anicetus persuaded the other, but they did not consider the matter schismatic either, parting in peace and leaving the question unsettled. Controversy arose when Victor, bishop of Rome a generation after Anicetus, attempted to excommunicate Polycrates of Ephesus and all other bishops of Asia for their Quartodecimanism. According to Eusebius, a number of synods were convened to deal with the controversy, which he regarded as all ruling in support of Easter on Sunday. Polycrates (c. 190), however, wrote to Victor defending the antiquity of Asian Quartodecimanism. Victor's attempted excommunication was apparently rescinded, and the two sides reconciled upon the intervention of bishop Irenaeus and others, who reminded Victor of the tolerant precedent of Anicetus. Quartodecimanism seems to have lingered into the 4th century, when Socrates of Constantinople recorded that some Quartodecimans were deprived of their churches by John Chrysostom and that some were harassed by Nestorius. It is not known how long the Nisan 14 practice continued. But both those who followed the Nisan 14 custom, and those who set Easter to the following Sunday, had in common the custom of consulting their Jewish neighbors to learn when the month of Nisan would fall, and setting their festival accordingly. By the later 3rd century, however, some Christians began to express dissatisfaction with the custom of relying on the Jewish community to determine the date of Easter. The chief complaint was that the Jewish communities sometimes erred in setting Passover to fall before the Northern Hemisphere spring equinox. The Sardica paschal table confirms these complaints, for it indicates that the Jews of some eastern Mediterranean city (possibly Antioch) fixed Nisan 14 on dates well before the spring equinox on multiple occasions. Because of this dissatisfaction with reliance on the Jewish calendar, some Christians began to experiment with independent computations. Others, however, believed that the customary practice of consulting Jews should continue, even if the Jewish computations were in error. This controversy between those who advocated independent computations, and those who wished to continue the custom of relying on the Jewish calendar, was formally resolved by the First Council of Nicaea in 325, which endorsed changing to an independent computation by the Christian community in order to celebrate in common. This effectively required the abandonment of the old custom of consulting the Jewish community in those places where it was still used. Epiphanius of Salamis wrote in the mid-4th century: [T]he emperor [...] convened a council of 318 bishops [...] in the city of Nicaea [...] They passed certain ecclesiastical canons at the council besides, and at the same time decreed in regard to the Passover [i.e., Easter] that there must be one unanimous concord on the celebration of God's holy and supremely excellent day. For it was variously observed by people; some kept it early, some between [the disputed dates], but others late. And in a word, there was a great deal of controversy at that time. Canons and sermons condemning the custom of computing Easter's date based on the Jewish calendar indicate that this custom (called "protopaschite" by historians) did not die out at once, but persisted for a time after the Council of Nicaea. Dionysius Exiguus, and others following him, maintained that the 318 bishops assembled at Nicaea had specified a particular method of determining the date of Easter; subsequent scholarship has refuted this tradition. In any case, in the years following the council, the computational system that was worked out by the church of Alexandria came to be normative. The Alexandrian system, however, was not immediately adopted throughout Christian Europe. Following Augustalis' treatise De ratione Paschae (On the Measurement of Easter), Rome retired the earlier 8-year cycle in favor of Augustalis' 84-year lunisolar calendar cycle, which it used until 457. It then switched to Victorius of Aquitaine's adaptation of the Alexandrian system. Because this Victorian cycle differed from the unmodified Alexandrian cycle in the dates of some of the Paschal full moons, and because it tried to respect the Roman custom of fixing Easter to the Sunday in the week of the 16th to the 22nd of the lunar month (rather than the 15th to the 21st as at Alexandria), by providing alternative "Latin" and "Greek" dates in some years, occasional differences in the date of Easter as fixed by Alexandrian rules continued. The Alexandrian rules were adopted in the West following the tables of Dionysius Exiguus in 525. Early Christians in Britain and Ireland also used an 84-year cycle. From the 5th century onward this cycle set its equinox to 25 March and fixed Easter to the Sunday falling in the 14th to the 20th of the lunar month inclusive. This 84-year cycle was replaced by the Alexandrian method in the course of the 7th and 8th centuries. Churches in western continental Europe used a late Roman method until the late 8th century during the reign of Charlemagne, when they finally adopted the Alexandrian method. Since 1582, when the Roman Catholic Church adopted the Gregorian calendar while most of Europe used the Julian calendar, the date on which Easter is celebrated has again differed. The Greek island of Syros, whose population is divided almost equally between Catholics and Orthodox, is one of the few places where the two Churches share a common date for Easter, with the Catholics accepting the Orthodox date—a practice helping considerably in maintaining good relations between the two communities. Conversely, Orthodox Christians in Finland celebrate Easter according to the Western Christian date. In the 20th and 21st centuries, some individuals and institutions have propounded changing the method of calculating the date for Easter, the most prominent proposal being the Sunday after the second Saturday in April. Despite having some support, proposals to reform the date have not been implemented. An Orthodox congress of Eastern Orthodox bishops, which included representatives mostly from the Patriarch of Constantinople and the Serbian Patriarch, met in Constantinople in 1923, where the bishops agreed to the Revised Julian calendar. The original form of this calendar would have determined Easter using precise astronomical calculations based on the meridian of Jerusalem. However, all the Eastern Orthodox countries that subsequently adopted the Revised Julian calendar adopted only that part of the revised calendar that applied to festivals falling on fixed dates in the Julian calendar. The revised Easter computation that had been part of the original 1923 agreement was never permanently implemented in any Orthodox diocese. In the United Kingdom, Parliament passed the Easter Act 1928 to change the date of Easter to be the first Sunday after the second Saturday in April (or, in other words, the Sunday in the period from 9 to 15 April). However, the legislation has not been implemented, although it remains on the Statute book and could be implemented, subject to approval by the various Christian churches. At a summit in Aleppo, Syria, in 1997, the World Council of Churches (WCC) proposed a reform in the calculation of Easter which would have replaced the present divergent practices of calculating Easter with modern scientific knowledge taking into account actual astronomical instances of the spring equinox and full moon based on the meridian of Jerusalem, while also following the tradition of Easter being on the Sunday following the full moon. The recommended World Council of Churches changes would have sidestepped the calendar issues and eliminated the difference in date between the Eastern and Western churches. The reform was proposed for implementation starting in 2001, and despite repeated calls for reform, it was not ultimately adopted by any member body. In January 2016, the Anglican Communion, Coptic Orthodox Church, Greek Orthodox Church, and Roman Catholic Church again considered agreeing on a common, universal date for Easter, while also simplifying the calculation of that date, with either the second or third Sunday in April being popular choices. In November 2022, the Patriarch of Constantinople said that conversations between the Roman Catholic Church and the Orthodox Churches had begun to determine a common date for the celebration of Easter. The agreement is expected to be reached for the 1700th anniversary of the Council of Nicaea in 2025. The WCC presented comparative data of the relationships: In most branches of Western Christianity, Easter is preceded by Lent, a period of penitence that begins on Ash Wednesday, lasts 40 days (not counting Sundays), and is often marked with fasting. The week before Easter, known as Holy Week, is an important time for observers to commemorate the final week of Jesus' life on earth. The Sunday before Easter is Palm Sunday, with the Wednesday before Easter being known as Spy Wednesday (or Holy Wednesday). The last three days before Easter are Maundy Thursday, Good Friday and Holy Saturday (sometimes referred to as Silent Saturday). Palm Sunday, Maundy Thursday and Good Friday respectively commemorate Jesus's entry in Jerusalem, the Last Supper and the crucifixion. Maundy Thursday, Good Friday, and Holy Saturday are sometimes referred to as the Easter Triduum (Latin for "Three Days"). Many churches begin celebrating Easter late in the evening of Holy Saturday at a service called the Easter Vigil. The week beginning with Easter Sunday is called Easter Week or the Octave of Easter, and each day is prefaced with "Easter", e.g. Easter Monday (a public holiday in many countries), Easter Tuesday (a much less widespread public holiday), etc. Easter Saturday is therefore the Saturday after Easter Sunday. The day before Easter is properly called Holy Saturday. Eastertide, or Paschaltide, the season of Easter, begins on Easter Sunday and lasts until the day of Pentecost, seven weeks later. In Eastern Christianity, the spiritual preparation for Easter/Pascha begins with Great Lent, which starts on Clean Monday and lasts for 40 continuous days (including Sundays). Great Lent ends on a Friday, and the next day is Lazarus Saturday. The Vespers which begins Lazarus Saturday officially brings Great Lent to a close, although the fast continues through the following week. The Paschal Vigil begins with the Midnight Office, which is the last service of the Lenten Triodion and is timed so that it ends a little before midnight on Holy Saturday night. At the stroke of midnight the Paschal celebration itself begins, consisting of Paschal Matins, Paschal Hours, and Paschal Divine Liturgy. The liturgical season from Easter to the Sunday of All Saints (the Sunday after Pentecost) is known as the Pentecostarion (the "50 days"). The week which begins on Easter Sunday is called Bright Week, during which there is no fasting, even on Wednesday and Friday. The Afterfeast of Easter lasts 39 days, with its Apodosis (leave-taking) on the day before the Feast of the Ascension. Pentecost Sunday is the 50th day from Easter (counted inclusively). In the Pentecostarion published by Apostoliki Diakonia of the Church of Greece, the Great Feast Pentecost is noted in the synaxarion portion of Matins to be the 8th Sunday of Pascha. However, the Paschal greeting of "Christ is risen!" is no longer exchanged among the faithful after the Apodosis of Pascha. The Easter festival is kept in many different ways among Western Christians. The traditional, liturgical observation of Easter, as practised among Roman Catholics, Lutherans, and some Anglicans begins on the night of Holy Saturday with the Easter Vigil which follows an ancient liturgy involving symbols of light, candles and water and numerous readings form the Old and New Testament. Services continue on Easter Sunday and in a number of countries on Easter Monday. In parishes of the Moravian Church, as well as some other denominations such as the Methodist Churches, there is a tradition of Easter Sunrise Services often starting in cemeteries in remembrance of the biblical narrative in the Gospels, or other places in the open where the sunrise is visible. In some traditions, Easter services typically begin with the Paschal greeting: "Christ is risen!" The response is: "He is risen indeed. Alleluia!" Eastern Orthodox, Eastern Catholics and Byzantine Rite Lutherans have a similar emphasis on Easter in their calendars, and many of their liturgical customs are very similar. Preparation for Easter begins with the season of Great Lent, which begins on Clean Monday. While the end of Lent is Lazarus Saturday, fasting does not end until Easter Sunday. The Orthodox service begins late Saturday evening, observing the Jewish tradition that evening is the start of liturgical holy days. The church is darkened, then the priest lights a candle at midnight, representing the resurrection of Jesus Christ. Altar servers light additional candles, with a procession which moves three times around the church to represent the three days in the tomb. The service continues early into Sunday morning, with a feast to end the fasting. An additional service is held later that day on Easter Sunday. Many Puritans saw traditional feasts of the established Anglican Church, such as All Saints' Day and Easter, as abominations because the Bible does not mention them. Conservative Reformed denominations such as the Free Presbyterian Church of Scotland and the Reformed Presbyterian Church of North America likewise reject the celebration of Easter as a violation of the regulative principle of worship and what they see as its non-Scriptural origin. Members of the Religious Society of Friends (Quakers), as part of their historic testimony against times and seasons, do not celebrate or observe Easter or any traditional feast days of the established Church, believing instead that "every day is the Lord's Day," and that elevation of one day above others suggests that it is acceptable to do un-Christian acts on other days. During the 17th and 18th centuries, Quakers were persecuted for this non-observance of Holy Days. Groups such as the Restored Church of God reject the celebration of Easter, seeing it as originating in a pagan spring festival adopted by the Roman Catholic Church. Jehovah's Witnesses maintain a similar view, observing a yearly commemorative service of the Last Supper and the subsequent execution of Christ on the evening of Nisan 14 (as they calculate the dates derived from the lunar Hebrew calendar). It is commonly referred to by many Witnesses as simply "The Memorial". Jehovah's Witnesses believe that such verses as Luke 22:19–20 and 1 Corinthians 11:26 constitute a commandment to remember the death of Christ though not the resurrection. In countries where Christianity is a state religion, or those with large Christian populations, Easter is often a public holiday. As Easter always falls on a Sunday, many countries in the world also recognize Easter Monday as a public holiday. Some retail stores, shopping malls, and restaurants are closed on Easter Sunday. Good Friday, which occurs two days before Easter Sunday, is also a public holiday in many countries, as well as in 12 U.S. states. Even in states where Good Friday is not a holiday, many financial institutions, stock markets, and public schools are closed – the few banks that are normally open on regular Sundays are closed on Easter. In the Nordic countries Good Friday, Easter Sunday, and Easter Monday are public holidays, and Good Friday and Easter Monday are bank holidays. In Denmark, Iceland and Norway Maundy Thursday is also a public holiday. It is a holiday for most workers, except those operating some shopping malls which keep open for a half-day. Many businesses give their employees almost a week off, called Easter break. Schools are closed between Palm Sunday and Easter Monday. According to a 2014 poll, 6 of 10 Norwegians travel during Easter, often to a countryside cottage; 3 of 10 said their typical Easter included skiing. In the Netherlands both Easter Sunday and Easter Monday are national holidays. Like first and second Christmas Day, they are both considered Sundays, which results in a first and a second Easter Sunday, after which the week continues to a Tuesday. In Greece Good Friday and Saturday as well as Easter Sunday and Monday are traditionally observed public holidays. It is custom for employees of the public sector to receive Easter bonuses as a gift from the state. In Commonwealth nations Easter Day is rarely a public holiday, as is the case for celebrations which fall on a Sunday. In the United Kingdom both Good Friday and Easter Monday are bank holidays, except for Scotland, where only Good Friday is a bank holiday. In Canada, Easter Monday is a statutory holiday for federal employees. In the Canadian province of Quebec, either Good Friday or Easter Monday are statutory holidays (although most companies give both). In Australia, Easter is associated with harvest time. Good Friday and Easter Monday are public holidays across all states and territories. "Easter Saturday" (the Saturday before Easter Sunday) is a public holiday in every state except Tasmania and Western Australia, while Easter Sunday itself is a public holiday only in New South Wales. Easter Tuesday is additionally a conditional public holiday in Tasmania, varying between award, and was also a public holiday in Victoria until 1994. In the United States, because Easter falls on a Sunday, which is already a non-working day for federal and state employees, it has not been designated as a federal or state holiday. Easter parades are held in many American cities, involving festive strolling processions. The egg is an ancient symbol of new life and rebirth. In Christianity it became associated with Jesus's crucifixion and resurrection. The custom of the Easter egg originated in the early Christian community of Mesopotamia, who stained eggs red in memory of the blood of Christ, shed at his crucifixion. As such, for Christians, the Easter egg is a symbol of the empty tomb. The oldest tradition is to use dyed chicken eggs. In the Eastern Orthodox Church Easter eggs are blessed by a priest both in families' baskets together with other foods forbidden during Great Lent and alone for distribution or in church or elsewhere. Easter eggs are a widely popular symbol of new life among the Eastern Orthodox but also in folk traditions in Slavic countries and elsewhere. A batik-like decorating process known as pisanka produces intricate, brilliantly colored eggs. The celebrated House of Fabergé workshops created exquisite jewelled Easter eggs for the Russian Imperial family from 1885 to 1916. A modern custom in the Western world is to substitute decorated chocolate, or plastic eggs filled with candy such as jellybeans; as many people give up sweets as their Lenten sacrifice, individuals enjoy them at Easter after having abstained from them during the preceding forty days of Lent. Manufacturing their first Easter egg in 1875, British chocolate company Cadbury sponsors the annual Easter egg hunt which takes place in over 250 National Trust locations in the United Kingdom. On Easter Monday, the President of the United States holds an annual Easter egg roll on the White House lawn for young children. In some traditions, the children put out their empty baskets for the Easter bunny to fill while they sleep. They wake to find their baskets filled with candy eggs and other treats. A custom originating in Germany, the Easter Bunny is a popular legendary anthropomorphic Easter gift-giving character analogous to Santa Claus in American culture. Many children around the world follow the tradition of coloring hard-boiled eggs and giving baskets of candy. Historically, foxes, cranes and storks were also sometimes named as the mystical creatures. Since the rabbit is a pest in Australia, the Easter Bilby is available as an alternative.
[ { "paragraph_id": 0, "text": "Easter, also called Pascha (Aramaic, Greek, Latin) or Resurrection Sunday, is a Christian festival and cultural holiday commemorating the resurrection of Jesus from the dead, described in the New Testament as having occurred on the third day of his burial following his crucifixion by the Romans at Calvary c. 30 AD. It is the culmination of the Passion of Jesus Christ, preceded by Lent (or Great Lent), a 40-day period of fasting, prayer, and penance.", "title": "" }, { "paragraph_id": 1, "text": "Easter-observing Christians commonly refer to the week before Easter as Holy Week, which in Western Christianity begins on Palm Sunday (marking the entrance of Jesus in Jerusalem), includes Spy Wednesday (on which the betrayal of Jesus is mourned), and contains the days of the Easter Triduum including Maundy Thursday, commemorating the Maundy and Last Supper, as well as Good Friday, commemorating the crucifixion and death of Jesus. In Eastern Christianity, the same days and events are commemorated with the names of days all starting with \"Holy\" or \"Holy and Great\"; and Easter itself might be called \"Great and Holy Pascha\", \"Easter Sunday\", \"Pascha\" or \"Sunday of Pascha\". In Western Christianity, Eastertide, or the Easter Season, begins on Easter Sunday and lasts seven weeks, ending with the coming of the 50th day, Pentecost Sunday. In Eastern Christianity, the Paschal season ends with Pentecost as well, but the leave-taking of the Great Feast of Pascha is on the 39th day, the day before the Feast of the Ascension.", "title": "" }, { "paragraph_id": 2, "text": "Easter and its related holidays are moveable feasts, not falling on a fixed date; its date is computed based on a lunisolar calendar (solar year plus Moon phase) similar to the Hebrew calendar. The First Council of Nicaea (325) established only two rules, namely independence from the Hebrew calendar and worldwide uniformity. No details for the computation were specified; these were worked out in practice, a process that took centuries and generated a number of controversies. It has come to be the first Sunday after the ecclesiastical full moon that occurs on or soonest after 21 March. Even if calculated on the basis of the Gregorian calendar, the date of that full moon sometimes differs from that of the astronomical first full moon after the March equinox.", "title": "" }, { "paragraph_id": 3, "text": "The English term is derived from the Saxon spring festival Ēostre; Easter is linked to the Jewish Passover by its name (Hebrew: פֶּסַח pesach, Aramaic: פָּסחָא pascha are the basis of the term Pascha), by its origin (according to the synoptic Gospels, both the crucifixion and the resurrection took place during the week of Passover) and by much of its symbolism, as well as by its position in the calendar. In most European languages, both the Christian Easter and the Jewish Passover are called by the same name; and in the older English versions of the Bible, as well, the term Easter was used to translate Passover.", "title": "" }, { "paragraph_id": 4, "text": "Easter traditions vary across the Christian world, and include sunrise services or late-night vigils, exclamations and exchanges of Paschal greetings, flowering the cross, the wearing of Easter bonnets by women, clipping the church, and the decoration and the communal breaking of Easter eggs (a symbol of the empty tomb). The Easter lily, a symbol of the resurrection in Western Christianity, traditionally decorates the chancel area of churches on this day and for the rest of Eastertide. Additional customs that have become associated with Easter and are observed by both Christians and some non-Christians include Easter parades, communal dancing (Eastern Europe), the Easter Bunny and egg hunting. There are also traditional Easter foods that vary by region and culture.", "title": "" }, { "paragraph_id": 5, "text": "The modern English term Easter, cognate with modern Dutch ooster and German Ostern, developed from an Old English word that usually appears in the form Ēastrun, Ēastron, or Ēastran; but also as Ēastru, Ēastro; and Ēastre or Ēostre. Bede provides the only documentary source for the etymology of the word, in his eighth-century The Reckoning of Time. He wrote that Ēosturmōnaþ (Old English for 'Month of Ēostre', translated in Bede's time as \"Paschal month\") was an English month, corresponding to April, which he says \"was once called after a goddess of theirs named Ēostre, in whose honour feasts were celebrated in that month\".", "title": "Etymology" }, { "paragraph_id": 6, "text": "In Latin and Greek, the Christian celebration was, and still is, called Pascha (Greek: Πάσχα), a word derived from Aramaic פסחא (Paskha), cognate to the Hebrew פֶּסַח (Pesach). The word originally denoted the Jewish festival known in English as Passover, commemorating the Jewish Exodus from slavery in Egypt. As early as the 50s of the 1st century, Paul the Apostle, writing from Ephesus to the Christians in Corinth, applied the term to Christ, and it is unlikely that the Ephesian and Corinthian Christians were the first to hear Exodus 12 interpreted as speaking about the death of Jesus, not just about the Jewish Passover ritual. In most languages, Germanic languages such as English being exceptions, the feast is known by names derived from the Greek and Latin Pascha. Pascha is also a name by which Jesus himself is remembered in the Orthodox Church, especially in connection with his resurrection and with the season of its celebration. Others call the holiday \"Resurrection Sunday\" or \"Resurrection Day\", after the Greek Ἀνάστασις, Anastasis, 'Resurrection' day.", "title": "Etymology" }, { "paragraph_id": 7, "text": "Easter celebrates Jesus' supernatural resurrection from the dead, which is one of the chief tenets of the Christian faith. Paul writes that, for those who trust in Jesus's death and resurrection, \"death is swallowed up in victory.\" The First Epistle of Peter declares that God has given believers \"a new birth into a living hope through the resurrection of Jesus Christ from the dead\". Christian theology holds that, through faith in the working of God, those who follow Jesus are spiritually resurrected with him so that they may walk in a new way of life and receive eternal salvation, and can hope to be physically resurrected to dwell with him in the Kingdom of Heaven.", "title": "Theological significance" }, { "paragraph_id": 8, "text": "Easter is linked to Passover and the Exodus from Egypt recorded in the Old Testament through the Last Supper, sufferings, and crucifixion of Jesus that preceded the resurrection. According to the three Synoptic Gospels, Jesus gave the Passover meal a new meaning, as in the upper room during the Last Supper he prepared himself and his disciples for his death. He identified the bread and cup of wine as his body, soon to be sacrificed, and his blood, soon to be shed. The Apostle Paul states, in his First Epistle to the Corinthians, \"Get rid of the old yeast that you may be a new batch without yeast—as you really are. For Christ, our Passover lamb, has been sacrificed.\" This refers to the requirement in Jewish law that Jews eliminate all chametz, or leavening, from their homes in advance of Passover, and to the allegory of Jesus as the Paschal lamb.", "title": "Theological significance" }, { "paragraph_id": 9, "text": "As the Gospels assert that both the crucifixion and resurrection of Jesus during the week of Passover, the first Christians timed the observance of the annual celebration of the resurrections in relation to Passover. Direct evidence for a more fully formed Christian festival of Pascha (Easter) begins to appear in the mid-2nd century. Perhaps the earliest extant primary source referring to Easter is a mid-2nd-century Paschal homily attributed to Melito of Sardis, which characterizes the celebration as a well-established one. Evidence for another kind of annually recurring Christian festival, those commemorating the martyrs, began to appear at about the same time as the above homily.", "title": "Early Christianity" }, { "paragraph_id": 10, "text": "While martyrs' days (usually the individual dates of martyrdom) were celebrated on fixed dates in the local solar calendar, the date of Easter was fixed by means of the local Jewish lunisolar calendar. This is consistent with the celebration of Easter having entered Christianity during its earliest, Jewish, period, but does not leave the question free of doubt.", "title": "Early Christianity" }, { "paragraph_id": 11, "text": "The ecclesiastical historian Socrates Scholasticus attributes the observance of Easter by the church to the perpetuation of pre-Christian custom, \"just as many other customs have been established\", stating that neither Jesus nor his Apostles enjoined the keeping of this or any other festival. Although he describes the details of the Easter celebration as deriving from local custom, he insists the feast itself is universally observed.", "title": "Early Christianity" }, { "paragraph_id": 12, "text": "Easter and the holidays that are related to it are moveable feasts, in that they do not fall on a fixed date in the Gregorian or Julian calendars (both of which follow the cycle of the sun and the seasons). Instead, the date for Easter is determined on a lunisolar calendar similar to the Hebrew calendar. The First Council of Nicaea (325) established two rules, independence of the Jewish calendar and worldwide uniformity, which were the only rules for Easter explicitly laid down by the Council. No details for the computation were specified; these were worked out in practice, a process that took centuries and generated a number of controversies. (See also Computus and Reform of the date of Easter.) In particular, the Council did not decree that Easter must fall on Sunday, but this was already the practice almost everywhere.", "title": "Date" }, { "paragraph_id": 13, "text": "In Western Christianity, using the Gregorian calendar, Easter always falls on a Sunday between 22 March and 25 April, within about seven days after the astronomical full moon. The following day, Easter Monday, is a legal holiday in many countries with predominantly Christian traditions.", "title": "Date" }, { "paragraph_id": 14, "text": "Eastern Orthodox Christians base Paschal date calculations on the Julian calendar. Because of the thirteen-day difference between the calendars between 1900 and 2099, 21 March corresponds, during the 21st century, to 3 April in the Gregorian calendar. Since the Julian calendar is no longer used as the civil calendar of the countries where Eastern Christian traditions predominate, Easter varies between 4 April and 8 May in the Gregorian calendar. Because the Julian \"full moon\" is always several days after the astronomical full moon, the Eastern Easter is also often later, relative to the visible lunar phases, than Western Easter.", "title": "Date" }, { "paragraph_id": 15, "text": "Among the Oriental Orthodox, some churches have changed from the Julian to the Gregorian calendar and the date for Easter, as for other fixed and moveable feasts, is the same as in the Western church.", "title": "Date" }, { "paragraph_id": 16, "text": "In 725, Bede succinctly wrote, \"The Sunday following the full Moon which falls on or after the equinox will give the lawful Easter.\" However, this does not precisely reflect the ecclesiastical rules. The full moon referred to (called the Paschal full moon) is not an astronomical full moon, but the 14th day of a lunar month. Another difference is that the astronomical equinox is a natural astronomical phenomenon, which can fall on 19, 20 or 21 March, while the ecclesiastical date is fixed by convention on 21 March.", "title": "Date" }, { "paragraph_id": 17, "text": "In addition, the lunar tables of the Julian calendar are currently five days behind those of the Gregorian calendar. Therefore, the Julian computation of the Paschal full moon is a full five days later than the astronomical full moon. The result of this combination of solar and lunar discrepancies is divergence in the date of Easter in most years (see table).", "title": "Date" }, { "paragraph_id": 18, "text": "Easter is determined on the basis of lunisolar cycles. The lunar year consists of 30-day and 29-day lunar months, generally alternating, with an embolismic month added periodically to bring the lunar cycle into line with the solar cycle. In each solar year (1 January to 31 December inclusive), the lunar month beginning with an ecclesiastical new moon falling in the 29-day period from 8 March to 5 April inclusive is designated as the paschal lunar month for that year.", "title": "Date" }, { "paragraph_id": 19, "text": "Easter is the third Sunday in the paschal lunar month, or, in other words, the Sunday after the paschal lunar month's 14th day. The 14th of the paschal lunar month is designated by convention as the Paschal full moon, although the 14th of the lunar month may differ from the date of the astronomical full moon by up to two days. Since the ecclesiastical new moon falls on a date from 8 March to 5 April inclusive, the paschal full moon (the 14th of that lunar month) must fall on a date from 22 March to 18 April inclusive.", "title": "Date" }, { "paragraph_id": 20, "text": "The Gregorian calculation of Easter was based on a method devised by the Calabrian doctor Aloysius Lilius (or Lilio) for adjusting the epacts of the Moon, and has been adopted by almost all Western Christians and by Western countries which celebrate national holidays at Easter. For the British Empire and colonies, a determination of the date of Easter Sunday using Golden Numbers and Sunday letters was defined by the Calendar (New Style) Act 1750 with its Annexe. This was designed to match exactly the Gregorian calculation.", "title": "Date" }, { "paragraph_id": 21, "text": "The precise date of Easter has at times been a matter of contention. By the later 2nd century, it was widely accepted that the celebration of the holiday was a practice of the disciples and an undisputed tradition. The Quartodeciman controversy, the first of several Easter controversies, arose concerning the date on which the holiday should be celebrated.", "title": "Date" }, { "paragraph_id": 22, "text": "The term \"Quartodeciman\" refers to the practice of ending the Lenten fast on Nisan 14 of the Hebrew calendar, \"the LORD's passover\". According to the church historian Eusebius, the Quartodeciman Polycarp (bishop of Smyrna, by tradition a disciple of John the Apostle) debated the question with Anicetus (bishop of Rome). The Roman province of Asia was Quartodeciman, while the Roman and Alexandrian churches continued the fast until the Sunday following (the Sunday of Unleavened Bread), wishing to associate Easter with Sunday. Neither Polycarp nor Anicetus persuaded the other, but they did not consider the matter schismatic either, parting in peace and leaving the question unsettled.", "title": "Date" }, { "paragraph_id": 23, "text": "Controversy arose when Victor, bishop of Rome a generation after Anicetus, attempted to excommunicate Polycrates of Ephesus and all other bishops of Asia for their Quartodecimanism. According to Eusebius, a number of synods were convened to deal with the controversy, which he regarded as all ruling in support of Easter on Sunday. Polycrates (c. 190), however, wrote to Victor defending the antiquity of Asian Quartodecimanism. Victor's attempted excommunication was apparently rescinded, and the two sides reconciled upon the intervention of bishop Irenaeus and others, who reminded Victor of the tolerant precedent of Anicetus.", "title": "Date" }, { "paragraph_id": 24, "text": "Quartodecimanism seems to have lingered into the 4th century, when Socrates of Constantinople recorded that some Quartodecimans were deprived of their churches by John Chrysostom and that some were harassed by Nestorius.", "title": "Date" }, { "paragraph_id": 25, "text": "It is not known how long the Nisan 14 practice continued. But both those who followed the Nisan 14 custom, and those who set Easter to the following Sunday, had in common the custom of consulting their Jewish neighbors to learn when the month of Nisan would fall, and setting their festival accordingly. By the later 3rd century, however, some Christians began to express dissatisfaction with the custom of relying on the Jewish community to determine the date of Easter. The chief complaint was that the Jewish communities sometimes erred in setting Passover to fall before the Northern Hemisphere spring equinox. The Sardica paschal table confirms these complaints, for it indicates that the Jews of some eastern Mediterranean city (possibly Antioch) fixed Nisan 14 on dates well before the spring equinox on multiple occasions.", "title": "Date" }, { "paragraph_id": 26, "text": "Because of this dissatisfaction with reliance on the Jewish calendar, some Christians began to experiment with independent computations. Others, however, believed that the customary practice of consulting Jews should continue, even if the Jewish computations were in error.", "title": "Date" }, { "paragraph_id": 27, "text": "This controversy between those who advocated independent computations, and those who wished to continue the custom of relying on the Jewish calendar, was formally resolved by the First Council of Nicaea in 325, which endorsed changing to an independent computation by the Christian community in order to celebrate in common. This effectively required the abandonment of the old custom of consulting the Jewish community in those places where it was still used. Epiphanius of Salamis wrote in the mid-4th century:", "title": "Date" }, { "paragraph_id": 28, "text": "[T]he emperor [...] convened a council of 318 bishops [...] in the city of Nicaea [...] They passed certain ecclesiastical canons at the council besides, and at the same time decreed in regard to the Passover [i.e., Easter] that there must be one unanimous concord on the celebration of God's holy and supremely excellent day. For it was variously observed by people; some kept it early, some between [the disputed dates], but others late. And in a word, there was a great deal of controversy at that time.", "title": "Date" }, { "paragraph_id": 29, "text": "Canons and sermons condemning the custom of computing Easter's date based on the Jewish calendar indicate that this custom (called \"protopaschite\" by historians) did not die out at once, but persisted for a time after the Council of Nicaea.", "title": "Date" }, { "paragraph_id": 30, "text": "Dionysius Exiguus, and others following him, maintained that the 318 bishops assembled at Nicaea had specified a particular method of determining the date of Easter; subsequent scholarship has refuted this tradition. In any case, in the years following the council, the computational system that was worked out by the church of Alexandria came to be normative. The Alexandrian system, however, was not immediately adopted throughout Christian Europe. Following Augustalis' treatise De ratione Paschae (On the Measurement of Easter), Rome retired the earlier 8-year cycle in favor of Augustalis' 84-year lunisolar calendar cycle, which it used until 457. It then switched to Victorius of Aquitaine's adaptation of the Alexandrian system.", "title": "Date" }, { "paragraph_id": 31, "text": "Because this Victorian cycle differed from the unmodified Alexandrian cycle in the dates of some of the Paschal full moons, and because it tried to respect the Roman custom of fixing Easter to the Sunday in the week of the 16th to the 22nd of the lunar month (rather than the 15th to the 21st as at Alexandria), by providing alternative \"Latin\" and \"Greek\" dates in some years, occasional differences in the date of Easter as fixed by Alexandrian rules continued. The Alexandrian rules were adopted in the West following the tables of Dionysius Exiguus in 525.", "title": "Date" }, { "paragraph_id": 32, "text": "Early Christians in Britain and Ireland also used an 84-year cycle. From the 5th century onward this cycle set its equinox to 25 March and fixed Easter to the Sunday falling in the 14th to the 20th of the lunar month inclusive. This 84-year cycle was replaced by the Alexandrian method in the course of the 7th and 8th centuries. Churches in western continental Europe used a late Roman method until the late 8th century during the reign of Charlemagne, when they finally adopted the Alexandrian method. Since 1582, when the Roman Catholic Church adopted the Gregorian calendar while most of Europe used the Julian calendar, the date on which Easter is celebrated has again differed.", "title": "Date" }, { "paragraph_id": 33, "text": "The Greek island of Syros, whose population is divided almost equally between Catholics and Orthodox, is one of the few places where the two Churches share a common date for Easter, with the Catholics accepting the Orthodox date—a practice helping considerably in maintaining good relations between the two communities. Conversely, Orthodox Christians in Finland celebrate Easter according to the Western Christian date.", "title": "Date" }, { "paragraph_id": 34, "text": "In the 20th and 21st centuries, some individuals and institutions have propounded changing the method of calculating the date for Easter, the most prominent proposal being the Sunday after the second Saturday in April. Despite having some support, proposals to reform the date have not been implemented. An Orthodox congress of Eastern Orthodox bishops, which included representatives mostly from the Patriarch of Constantinople and the Serbian Patriarch, met in Constantinople in 1923, where the bishops agreed to the Revised Julian calendar.", "title": "Date" }, { "paragraph_id": 35, "text": "The original form of this calendar would have determined Easter using precise astronomical calculations based on the meridian of Jerusalem. However, all the Eastern Orthodox countries that subsequently adopted the Revised Julian calendar adopted only that part of the revised calendar that applied to festivals falling on fixed dates in the Julian calendar. The revised Easter computation that had been part of the original 1923 agreement was never permanently implemented in any Orthodox diocese.", "title": "Date" }, { "paragraph_id": 36, "text": "In the United Kingdom, Parliament passed the Easter Act 1928 to change the date of Easter to be the first Sunday after the second Saturday in April (or, in other words, the Sunday in the period from 9 to 15 April). However, the legislation has not been implemented, although it remains on the Statute book and could be implemented, subject to approval by the various Christian churches.", "title": "Date" }, { "paragraph_id": 37, "text": "At a summit in Aleppo, Syria, in 1997, the World Council of Churches (WCC) proposed a reform in the calculation of Easter which would have replaced the present divergent practices of calculating Easter with modern scientific knowledge taking into account actual astronomical instances of the spring equinox and full moon based on the meridian of Jerusalem, while also following the tradition of Easter being on the Sunday following the full moon. The recommended World Council of Churches changes would have sidestepped the calendar issues and eliminated the difference in date between the Eastern and Western churches. The reform was proposed for implementation starting in 2001, and despite repeated calls for reform, it was not ultimately adopted by any member body.", "title": "Date" }, { "paragraph_id": 38, "text": "In January 2016, the Anglican Communion, Coptic Orthodox Church, Greek Orthodox Church, and Roman Catholic Church again considered agreeing on a common, universal date for Easter, while also simplifying the calculation of that date, with either the second or third Sunday in April being popular choices.", "title": "Date" }, { "paragraph_id": 39, "text": "In November 2022, the Patriarch of Constantinople said that conversations between the Roman Catholic Church and the Orthodox Churches had begun to determine a common date for the celebration of Easter. The agreement is expected to be reached for the 1700th anniversary of the Council of Nicaea in 2025.", "title": "Date" }, { "paragraph_id": 40, "text": "The WCC presented comparative data of the relationships:", "title": "Date" }, { "paragraph_id": 41, "text": "In most branches of Western Christianity, Easter is preceded by Lent, a period of penitence that begins on Ash Wednesday, lasts 40 days (not counting Sundays), and is often marked with fasting. The week before Easter, known as Holy Week, is an important time for observers to commemorate the final week of Jesus' life on earth. The Sunday before Easter is Palm Sunday, with the Wednesday before Easter being known as Spy Wednesday (or Holy Wednesday). The last three days before Easter are Maundy Thursday, Good Friday and Holy Saturday (sometimes referred to as Silent Saturday).", "title": "Position in the church year" }, { "paragraph_id": 42, "text": "Palm Sunday, Maundy Thursday and Good Friday respectively commemorate Jesus's entry in Jerusalem, the Last Supper and the crucifixion. Maundy Thursday, Good Friday, and Holy Saturday are sometimes referred to as the Easter Triduum (Latin for \"Three Days\"). Many churches begin celebrating Easter late in the evening of Holy Saturday at a service called the Easter Vigil.", "title": "Position in the church year" }, { "paragraph_id": 43, "text": "The week beginning with Easter Sunday is called Easter Week or the Octave of Easter, and each day is prefaced with \"Easter\", e.g. Easter Monday (a public holiday in many countries), Easter Tuesday (a much less widespread public holiday), etc. Easter Saturday is therefore the Saturday after Easter Sunday. The day before Easter is properly called Holy Saturday. Eastertide, or Paschaltide, the season of Easter, begins on Easter Sunday and lasts until the day of Pentecost, seven weeks later.", "title": "Position in the church year" }, { "paragraph_id": 44, "text": "In Eastern Christianity, the spiritual preparation for Easter/Pascha begins with Great Lent, which starts on Clean Monday and lasts for 40 continuous days (including Sundays). Great Lent ends on a Friday, and the next day is Lazarus Saturday. The Vespers which begins Lazarus Saturday officially brings Great Lent to a close, although the fast continues through the following week.", "title": "Position in the church year" }, { "paragraph_id": 45, "text": "The Paschal Vigil begins with the Midnight Office, which is the last service of the Lenten Triodion and is timed so that it ends a little before midnight on Holy Saturday night. At the stroke of midnight the Paschal celebration itself begins, consisting of Paschal Matins, Paschal Hours, and Paschal Divine Liturgy.", "title": "Position in the church year" }, { "paragraph_id": 46, "text": "The liturgical season from Easter to the Sunday of All Saints (the Sunday after Pentecost) is known as the Pentecostarion (the \"50 days\"). The week which begins on Easter Sunday is called Bright Week, during which there is no fasting, even on Wednesday and Friday. The Afterfeast of Easter lasts 39 days, with its Apodosis (leave-taking) on the day before the Feast of the Ascension. Pentecost Sunday is the 50th day from Easter (counted inclusively). In the Pentecostarion published by Apostoliki Diakonia of the Church of Greece, the Great Feast Pentecost is noted in the synaxarion portion of Matins to be the 8th Sunday of Pascha. However, the Paschal greeting of \"Christ is risen!\" is no longer exchanged among the faithful after the Apodosis of Pascha.", "title": "Position in the church year" }, { "paragraph_id": 47, "text": "The Easter festival is kept in many different ways among Western Christians. The traditional, liturgical observation of Easter, as practised among Roman Catholics, Lutherans, and some Anglicans begins on the night of Holy Saturday with the Easter Vigil which follows an ancient liturgy involving symbols of light, candles and water and numerous readings form the Old and New Testament.", "title": "Liturgical observance" }, { "paragraph_id": 48, "text": "Services continue on Easter Sunday and in a number of countries on Easter Monday. In parishes of the Moravian Church, as well as some other denominations such as the Methodist Churches, there is a tradition of Easter Sunrise Services often starting in cemeteries in remembrance of the biblical narrative in the Gospels, or other places in the open where the sunrise is visible.", "title": "Liturgical observance" }, { "paragraph_id": 49, "text": "In some traditions, Easter services typically begin with the Paschal greeting: \"Christ is risen!\" The response is: \"He is risen indeed. Alleluia!\"", "title": "Liturgical observance" }, { "paragraph_id": 50, "text": "Eastern Orthodox, Eastern Catholics and Byzantine Rite Lutherans have a similar emphasis on Easter in their calendars, and many of their liturgical customs are very similar.", "title": "Liturgical observance" }, { "paragraph_id": 51, "text": "Preparation for Easter begins with the season of Great Lent, which begins on Clean Monday. While the end of Lent is Lazarus Saturday, fasting does not end until Easter Sunday. The Orthodox service begins late Saturday evening, observing the Jewish tradition that evening is the start of liturgical holy days.", "title": "Liturgical observance" }, { "paragraph_id": 52, "text": "The church is darkened, then the priest lights a candle at midnight, representing the resurrection of Jesus Christ. Altar servers light additional candles, with a procession which moves three times around the church to represent the three days in the tomb. The service continues early into Sunday morning, with a feast to end the fasting. An additional service is held later that day on Easter Sunday.", "title": "Liturgical observance" }, { "paragraph_id": 53, "text": "Many Puritans saw traditional feasts of the established Anglican Church, such as All Saints' Day and Easter, as abominations because the Bible does not mention them. Conservative Reformed denominations such as the Free Presbyterian Church of Scotland and the Reformed Presbyterian Church of North America likewise reject the celebration of Easter as a violation of the regulative principle of worship and what they see as its non-Scriptural origin.", "title": "Liturgical observance" }, { "paragraph_id": 54, "text": "Members of the Religious Society of Friends (Quakers), as part of their historic testimony against times and seasons, do not celebrate or observe Easter or any traditional feast days of the established Church, believing instead that \"every day is the Lord's Day,\" and that elevation of one day above others suggests that it is acceptable to do un-Christian acts on other days. During the 17th and 18th centuries, Quakers were persecuted for this non-observance of Holy Days.", "title": "Liturgical observance" }, { "paragraph_id": 55, "text": "Groups such as the Restored Church of God reject the celebration of Easter, seeing it as originating in a pagan spring festival adopted by the Roman Catholic Church.", "title": "Liturgical observance" }, { "paragraph_id": 56, "text": "Jehovah's Witnesses maintain a similar view, observing a yearly commemorative service of the Last Supper and the subsequent execution of Christ on the evening of Nisan 14 (as they calculate the dates derived from the lunar Hebrew calendar). It is commonly referred to by many Witnesses as simply \"The Memorial\". Jehovah's Witnesses believe that such verses as Luke 22:19–20 and 1 Corinthians 11:26 constitute a commandment to remember the death of Christ though not the resurrection.", "title": "Liturgical observance" }, { "paragraph_id": 57, "text": "In countries where Christianity is a state religion, or those with large Christian populations, Easter is often a public holiday. As Easter always falls on a Sunday, many countries in the world also recognize Easter Monday as a public holiday. Some retail stores, shopping malls, and restaurants are closed on Easter Sunday. Good Friday, which occurs two days before Easter Sunday, is also a public holiday in many countries, as well as in 12 U.S. states. Even in states where Good Friday is not a holiday, many financial institutions, stock markets, and public schools are closed – the few banks that are normally open on regular Sundays are closed on Easter.", "title": "Easter celebrations around the world" }, { "paragraph_id": 58, "text": "In the Nordic countries Good Friday, Easter Sunday, and Easter Monday are public holidays, and Good Friday and Easter Monday are bank holidays. In Denmark, Iceland and Norway Maundy Thursday is also a public holiday. It is a holiday for most workers, except those operating some shopping malls which keep open for a half-day. Many businesses give their employees almost a week off, called Easter break. Schools are closed between Palm Sunday and Easter Monday. According to a 2014 poll, 6 of 10 Norwegians travel during Easter, often to a countryside cottage; 3 of 10 said their typical Easter included skiing.", "title": "Easter celebrations around the world" }, { "paragraph_id": 59, "text": "In the Netherlands both Easter Sunday and Easter Monday are national holidays. Like first and second Christmas Day, they are both considered Sundays, which results in a first and a second Easter Sunday, after which the week continues to a Tuesday.", "title": "Easter celebrations around the world" }, { "paragraph_id": 60, "text": "In Greece Good Friday and Saturday as well as Easter Sunday and Monday are traditionally observed public holidays. It is custom for employees of the public sector to receive Easter bonuses as a gift from the state.", "title": "Easter celebrations around the world" }, { "paragraph_id": 61, "text": "In Commonwealth nations Easter Day is rarely a public holiday, as is the case for celebrations which fall on a Sunday. In the United Kingdom both Good Friday and Easter Monday are bank holidays, except for Scotland, where only Good Friday is a bank holiday. In Canada, Easter Monday is a statutory holiday for federal employees. In the Canadian province of Quebec, either Good Friday or Easter Monday are statutory holidays (although most companies give both).", "title": "Easter celebrations around the world" }, { "paragraph_id": 62, "text": "In Australia, Easter is associated with harvest time. Good Friday and Easter Monday are public holidays across all states and territories. \"Easter Saturday\" (the Saturday before Easter Sunday) is a public holiday in every state except Tasmania and Western Australia, while Easter Sunday itself is a public holiday only in New South Wales. Easter Tuesday is additionally a conditional public holiday in Tasmania, varying between award, and was also a public holiday in Victoria until 1994.", "title": "Easter celebrations around the world" }, { "paragraph_id": 63, "text": "In the United States, because Easter falls on a Sunday, which is already a non-working day for federal and state employees, it has not been designated as a federal or state holiday. Easter parades are held in many American cities, involving festive strolling processions.", "title": "Easter celebrations around the world" }, { "paragraph_id": 64, "text": "The egg is an ancient symbol of new life and rebirth. In Christianity it became associated with Jesus's crucifixion and resurrection. The custom of the Easter egg originated in the early Christian community of Mesopotamia, who stained eggs red in memory of the blood of Christ, shed at his crucifixion. As such, for Christians, the Easter egg is a symbol of the empty tomb. The oldest tradition is to use dyed chicken eggs.", "title": "Easter celebrations around the world" }, { "paragraph_id": 65, "text": "In the Eastern Orthodox Church Easter eggs are blessed by a priest both in families' baskets together with other foods forbidden during Great Lent and alone for distribution or in church or elsewhere.", "title": "Easter celebrations around the world" }, { "paragraph_id": 66, "text": "Easter eggs are a widely popular symbol of new life among the Eastern Orthodox but also in folk traditions in Slavic countries and elsewhere. A batik-like decorating process known as pisanka produces intricate, brilliantly colored eggs. The celebrated House of Fabergé workshops created exquisite jewelled Easter eggs for the Russian Imperial family from 1885 to 1916.", "title": "Easter celebrations around the world" }, { "paragraph_id": 67, "text": "A modern custom in the Western world is to substitute decorated chocolate, or plastic eggs filled with candy such as jellybeans; as many people give up sweets as their Lenten sacrifice, individuals enjoy them at Easter after having abstained from them during the preceding forty days of Lent.", "title": "Easter celebrations around the world" }, { "paragraph_id": 68, "text": "Manufacturing their first Easter egg in 1875, British chocolate company Cadbury sponsors the annual Easter egg hunt which takes place in over 250 National Trust locations in the United Kingdom. On Easter Monday, the President of the United States holds an annual Easter egg roll on the White House lawn for young children.", "title": "Easter celebrations around the world" }, { "paragraph_id": 69, "text": "In some traditions, the children put out their empty baskets for the Easter bunny to fill while they sleep. They wake to find their baskets filled with candy eggs and other treats. A custom originating in Germany, the Easter Bunny is a popular legendary anthropomorphic Easter gift-giving character analogous to Santa Claus in American culture. Many children around the world follow the tradition of coloring hard-boiled eggs and giving baskets of candy. Historically, foxes, cranes and storks were also sometimes named as the mystical creatures. Since the rabbit is a pest in Australia, the Easter Bilby is available as an alternative.", "title": "Easter celebrations around the world" } ]
Easter, also called Pascha or Resurrection Sunday, is a Christian festival and cultural holiday commemorating the resurrection of Jesus from the dead, described in the New Testament as having occurred on the third day of his burial following his crucifixion by the Romans at Calvary c. 30 AD. It is the culmination of the Passion of Jesus Christ, preceded by Lent, a 40-day period of fasting, prayer, and penance. Easter-observing Christians commonly refer to the week before Easter as Holy Week, which in Western Christianity begins on Palm Sunday, includes Spy Wednesday, and contains the days of the Easter Triduum including Maundy Thursday, commemorating the Maundy and Last Supper, as well as Good Friday, commemorating the crucifixion and death of Jesus. In Eastern Christianity, the same days and events are commemorated with the names of days all starting with "Holy" or "Holy and Great"; and Easter itself might be called "Great and Holy Pascha", "Easter Sunday", "Pascha" or "Sunday of Pascha". In Western Christianity, Eastertide, or the Easter Season, begins on Easter Sunday and lasts seven weeks, ending with the coming of the 50th day, Pentecost Sunday. In Eastern Christianity, the Paschal season ends with Pentecost as well, but the leave-taking of the Great Feast of Pascha is on the 39th day, the day before the Feast of the Ascension. Easter and its related holidays are moveable feasts, not falling on a fixed date; its date is computed based on a lunisolar calendar similar to the Hebrew calendar. The First Council of Nicaea (325) established only two rules, namely independence from the Hebrew calendar and worldwide uniformity. No details for the computation were specified; these were worked out in practice, a process that took centuries and generated a number of controversies. It has come to be the first Sunday after the ecclesiastical full moon that occurs on or soonest after 21 March. Even if calculated on the basis of the Gregorian calendar, the date of that full moon sometimes differs from that of the astronomical first full moon after the March equinox. The English term is derived from the Saxon spring festival Ēostre; Easter is linked to the Jewish Passover by its name, by its origin and by much of its symbolism, as well as by its position in the calendar. In most European languages, both the Christian Easter and the Jewish Passover are called by the same name; and in the older English versions of the Bible, as well, the term Easter was used to translate Passover. Easter traditions vary across the Christian world, and include sunrise services or late-night vigils, exclamations and exchanges of Paschal greetings, flowering the cross, the wearing of Easter bonnets by women, clipping the church, and the decoration and the communal breaking of Easter eggs. The Easter lily, a symbol of the resurrection in Western Christianity, traditionally decorates the chancel area of churches on this day and for the rest of Eastertide. Additional customs that have become associated with Easter and are observed by both Christians and some non-Christians include Easter parades, communal dancing, the Easter Bunny and egg hunting. There are also traditional Easter foods that vary by region and culture.
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https://en.wikipedia.org/wiki/Easter
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Euphoria (disambiguation)
Euphoria is an emotional and mental state defined as a sense of great happiness and well-being. Euphoria may also refer to:
[ { "paragraph_id": 0, "text": "Euphoria is an emotional and mental state defined as a sense of great happiness and well-being.", "title": "" }, { "paragraph_id": 1, "text": "Euphoria may also refer to:", "title": "" } ]
Euphoria is an emotional and mental state defined as a sense of great happiness and well-being. Euphoria may also refer to:
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https://en.wikipedia.org/wiki/Euphoria_(disambiguation)
9,331
Euclid
Euclid (/ˈjuːklɪd/; Greek: Εὐκλείδης; fl. 300 BC) was an ancient Greek mathematician active as a geometer and logician. Considered the "father of geometry", he is chiefly known for the Elements treatise, which established the foundations of geometry that largely dominated the field until the early 19th century. His system, now referred to as Euclidean geometry, involved new innovations in combination with a synthesis of theories from earlier Greek mathematicians, including Eudoxus of Cnidus, Hippocrates of Chios, and Theaetetus. With Archimedes and Apollonius of Perga, Euclid is generally considered among the greatest mathematicians of antiquity, and one of the most influential in the history of mathematics. Very little is known of Euclid's life, and most information comes from the scholars Proclus and Pappus of Alexandria many centuries later. Medieval Islamic mathematicians invented a fanciful biography, and medieval Byzantine and early Renaissance scholars mistook him for the earlier philosopher Euclid of Megara. It is now generally accepted that he spent his career in Alexandria and lived around 300 BC, after Plato's students and before Archimedes. There is some speculation that Euclid studied at the Platonic Academy and later taught at the Musaeum; he is regarded as bridging the earlier Platonic tradition in Athens with the later tradition of Alexandria. In the Elements, Euclid deduced the theorems from a small set of axioms. He also wrote works on perspective, conic sections, spherical geometry, number theory, and mathematical rigour. In addition to the Elements, Euclid wrote a central early text in the optics field, Optics, and lesser-known works including Data and Phaenomena. Euclid's authorship of two other texts—On Divisions of Figures, Catoptrics—has been questioned. He is thought to have written many now lost works. The English name 'Euclid' is the anglicized version of the Ancient Greek name Eukleídes (Εὐκλείδης). It is derived from 'eu-' (εὖ; 'well') and 'klês' (-κλῆς; 'fame'), meaning "renowned, glorious". In English, by metonymy, 'Euclid' can mean his most well-known work, Euclid's Elements, or a copy thereof, and is sometimes synonymous with 'geometry'. Like many ancient Greek mathematicians, the details of Euclid's life are mostly unknown. He is accepted as the author of four mostly extant treatises—the Elements, Optics, Data, Phaenomena—but besides this, there is nothing known for certain of him. The traditional narrative mainly follows the 5th century AD account by Proclus in his Commentary on the First Book of Euclid's Elements, as well as a few anecdotes from Pappus of Alexandria in the early 4th century. According to Proclus, Euclid lived shortly after several of Plato's (d. 347 BC) followers and before the mathematician Archimedes (c. 287 – c. 212 BC); specifically, Proclus placed Euclid during the rule of Ptolemy I (r. 305/304–282 BC). Euclid's birthdate is unknown; some scholars estimate around 330 or 325 BC, but others refrain from speculating. It is presumed that he was of Greek descent, but his birthplace is unknown. Proclus held that Euclid followed the Platonic tradition, but there is no definitive confirmation for this. It is unlikely he was contemporary with Plato, so it is often presumed that he was educated by Plato's disciples at the Platonic Academy in Athens. Historian Thomas Heath supported this theory, noting that most capable geometers lived in Athens, including many of those whose work Euclid built on; Sialaros considers this a mere conjecture. In any event, the contents of Euclid's work demonstrate familiarity with the Platonic geometry tradition. In his Collection, Pappus mentions that Apollonius studied with Euclid's students in Alexandria, and this has been taken to imply that Euclid worked and founded a mathematical tradition there. The city was founded by Alexander the Great in 331 BC, and the rule of Ptolemy I from 306 BC onwards gave it a stability which was relatively unique amid the chaotic wars over dividing Alexander's empire. Ptolemy began a process of hellenization and commissioned numerous constructions, building the massive Musaeum institution, which was a leading center of education. Euclid is speculated to have been among the Musaeum's first scholars. Euclid's date of death is unknown; it has been speculated that he died c. 270 BC. Euclid is often referred to as 'Euclid of Alexandria' to differentiate him from the earlier philosopher Euclid of Megara, a pupil of Socrates included in dialogues of Plato with whom he was historically conflated. Valerius Maximus, the 1st century AD Roman compiler of anecdotes, mistakenly substituted Euclid's name for Eudoxus (4th century BC) as the mathematician to whom Plato sent those asking how to double the cube. Perhaps on the basis of this mention of a mathematical Euclid roughly a century early, Euclid became mixed up with Euclid of Megara in medieval Byzantine sources (now lost), eventually leading Euclid the mathematician to be ascribed details of both men's biographies and described as Megarensis (lit. 'of Megara'). The Byzantine scholar Theodore Metochites (c. 1300) explicitly conflated the two Euclids, as did printer Erhard Ratdolt's 1482 editio princeps of Campanus of Novara's Latin translation of the Elements. After the mathematician Bartolomeo Zamberti [fr; de] appended most of the extant biographical fragments about either Euclid to the preface of his 1505 translation of the Elements, subsequent publications passed on this identification. Later Renaissance scholars, particularly Peter Ramus, reevaluated this claim, proving it false via issues in chronology and contradiction in early sources. Medieval Arabic sources give vast amounts of information concerning Euclid's life, but are completely unverifiable. Most scholars consider them of dubious authenticity; Heath in particular contends that the fictionalization was done to strengthen the connection between a revered mathematician and the Arab world. There are also numerous anecdotal stories concerning to Euclid, all of uncertain historicity, which "picture him as a kindly and gentle old man". The best known of these is Proclus' story about Ptolemy asking Euclid if there was a quicker path to learning geometry than reading his Elements, which Euclid replied with "there is no royal road to geometry". This anecdote is questionable since a very similar interaction between Menaechmus and Alexander the Great is recorded from Stobaeus. Both the accounts were written in the 5th century AD, neither indicate their source, and neither story appears in ancient Greek literature. Any firm dating of Euclid's activity c. 300 BC is called into question by a lack of contemporary references. The earliest original reference to Euclid is in Apollonius' prefatory letter to the Conics (early 2nd century BC): "The third book of the Conics contains many astonishing theorems that are useful for both the syntheses and the determinations of number of solutions of solid loci. Most of these, and the finest of them, are novel. And when we discovered them we realized that Euclid had not made the synthesis of the locus on three and four lines but only an accidental fragment of it, and even that was not felicitously done." The Elements is speculated to have been at least partly in circulation by the 3rd century BC, as Archimedes and Apollonius take several of its propositions for granted; however, Archimedes employs an older variant of the theory of proportions than the one found in the Elements. The oldest physical copies of material included in the Elements, dating from roughly 100 AD, can be found on papyrus fragments unearthed in an ancient rubbish heap from Oxyrhynchus, Roman Egypt. The oldest extant direct citations to the Elements in works whose dates are firmly known are not until the 2nd century AD, by Galen and Alexander of Aphrodisias; by this time it was a standard school text. Some ancient Greek mathematicians mention Euclid by name, but he is usually referred to as "ὁ στοιχειώτης" ("the author of Elements"). In the Middle Ages, some scholars contended Euclid was not a historical personage and that his name arose from a corruption of Greek mathematical terms. Euclid is best known for his thirteen-book treatise, the Elements (Greek: Στοιχεῖα; Stoicheia), considered his magnum opus. Much of its content originates from earlier mathematicians, including Eudoxus, Hippocrates of Chios, Thales and Theaetetus, while other theorems are mentioned by Plato and Aristotle. It is difficult to differentiate the work of Euclid from that of his predecessors, especially because the Elements essentially superseded much earlier and now-lost Greek mathematics. The classicist Markus Asper concludes that "apparently Euclid's achievement consists of assembling accepted mathematical knowledge into a cogent order and adding new proofs to fill in the gaps" and the mathematician Serafina Cuomo described it as a "reservoir of results". Despite this, Sialaros furthers that "the remarkably tight structure of the Elements reveals authorial control beyond the limits of a mere editor". The Elements does not exclusively discuss geometry as is sometimes believed. It is traditionally divided into three topics: plane geometry (books 1–6), basic number theory (books 7–10:) and solid geometry (books 11–13)—though book 5 (on proportions) and 10 (on irrational lines) do not exactly fit this scheme. The heart of the text is the theorems scattered throughout. Using Aristotle's terminology, these may be generally separated into two categories: "first principles" and "second principles". The first group includes statements labeled as a "definition" (Greek: ὅρος or ὁρισμός), "postulate" (αἴτημα), or a "common notion" (κοινὴ ἔννοια); only the first book includes postulates—later known as axioms—and common notions. The second group consists of propositions, presented alongside mathematical proofs and diagrams. It is unknown if Euclid intended the Elements as a textbook, but its method of presentation makes it a natural fit. As a whole, the authorial voice remains general and impersonal. Book 1 of the Elements is foundational for the entire text. It begins with a series of 20 definitions for basic geometric concepts such as lines, angles and various regular polygons. Euclid then presents 10 assumptions (see table, right), grouped into five postulates (axioms) and five common notions. These assumptions are intended to provide the logical basis for every subsequent theorem, i.e. serve as an axiomatic system. The common notions exclusively concern the comparison of magnitudes. While postulates 1 through 4 are relatively straight forward, the 5th is known as the parallel postulate and particularly famous. Book 1 also includes 48 propositions, which can be loosely divided into those concerning basic theorems and constructions of plane geometry and triangle congruence (1–26); parallel lines (27–34); the area of triangles and parallelograms (35–45); and the Pythagorean theorem (46–48). The last of these includes the earliest surviving proof of the Pythagorean theorem, described by Sialaros as "remarkably delicate". Book 2 is traditionally understood as concerning "geometric algebra", though this interpretation has been heavily debated since the 1970s; critics describe the characterization as anachronistic, since the foundations of even nascent algebra occurred many centuries later. The second book has a more focused scope and mostly provides algebraic theorems to accompany various geometric shapes. It focuses on the area of rectangles and squares (see Quadrature), and leads up to a geometric precursor of the law of cosines. Book 3 focuses on circles, while the 4th discusses regular polygons, especially the pentagon. Book 5 is among the work's most important sections and presents what is usually termed as the "general theory of proportion". Book 6 utilizes the "theory of ratios" in the context of plane geometry. It is built almost entirely of its first proposition: "Triangles and parallelograms which are under the same height are to one another as their bases". From Book 7 onwards, the mathematician Benno Artmann [de] notes that "Euclid starts afresh. Nothing from the preceding books is used". Number theory is covered by books 7 to 10, the former beginning with a set of 22 definitions for parity, prime numbers and other arithmetic-related concepts. Book 7 includes the Euclidean algorithm, a method for finding the greatest common divisor of two numbers. The 8th book discusses geometric progressions, while book 9 includes the proposition, now called Euclid's theorem, that there are infinitely many prime numbers. Of the Elements, book 10 is by far the largest and most complex, dealing with irrational numbers in the context of magnitudes. The final three books (11–13) primarily discuss solid geometry. By introducing a list of 37 definitions, Book 11 contextualizes the next two. Although its foundational character resembles Book 1, unlike the latter it features no axiomatic system or postulates. The three sections of Book 11 include content on solid geometry (1–19), solid angles (20–23) and parallelepipedal solids (24–37). In addition to the Elements, at least five works of Euclid have survived to the present day. They follow the same logical structure as Elements, with definitions and proved propositions. Four other works are credibly attributed to Euclid, but have been lost. Euclid's works can be found in cultural institutions across the world. Many of these editions are digitised and available for public consultation. Euclid is generally considered with Archimedes and Apollonius of Perga as among the greatest mathematicians of antiquity. Many commentators cite him as one of the most influential figures in the history of mathematics. The geometrical system established by the Elements long dominated the field; however, today that system is often referred to as 'Euclidean geometry' to distinguish it from other non-Euclidean geometries discovered in the early 19th century. Among Euclid's many namesakes are the European Space Agency's (ESA) Euclid spacecraft, the lunar crater Euclides, and the minor planet 4354 Euclides. The Elements is often considered after the Bible as the most frequently translated, published, and studied book in the Western World's history. With Aristotle's Metaphysics, the Elements is perhaps the most successful ancient Greek text, and was the dominant mathematical textbook in the Medieval Arab and Latin worlds. The first English edition of the Elements was published in 1570 by Henry Billingsley and John Dee. The mathematician Oliver Byrne published a well-known version of the Elements in 1847 entitled The First Six Books of the Elements of Euclid in Which Coloured Diagrams and Symbols Are Used Instead of Letters for the Greater Ease of Learners, which included colored diagrams intended to increase its pedagogical effect. David Hilbert authored a modern axiomatization of the Elements.
[ { "paragraph_id": 0, "text": "Euclid (/ˈjuːklɪd/; Greek: Εὐκλείδης; fl. 300 BC) was an ancient Greek mathematician active as a geometer and logician. Considered the \"father of geometry\", he is chiefly known for the Elements treatise, which established the foundations of geometry that largely dominated the field until the early 19th century. His system, now referred to as Euclidean geometry, involved new innovations in combination with a synthesis of theories from earlier Greek mathematicians, including Eudoxus of Cnidus, Hippocrates of Chios, and Theaetetus. With Archimedes and Apollonius of Perga, Euclid is generally considered among the greatest mathematicians of antiquity, and one of the most influential in the history of mathematics.", "title": "" }, { "paragraph_id": 1, "text": "Very little is known of Euclid's life, and most information comes from the scholars Proclus and Pappus of Alexandria many centuries later. Medieval Islamic mathematicians invented a fanciful biography, and medieval Byzantine and early Renaissance scholars mistook him for the earlier philosopher Euclid of Megara. It is now generally accepted that he spent his career in Alexandria and lived around 300 BC, after Plato's students and before Archimedes. There is some speculation that Euclid studied at the Platonic Academy and later taught at the Musaeum; he is regarded as bridging the earlier Platonic tradition in Athens with the later tradition of Alexandria.", "title": "" }, { "paragraph_id": 2, "text": "In the Elements, Euclid deduced the theorems from a small set of axioms. He also wrote works on perspective, conic sections, spherical geometry, number theory, and mathematical rigour. In addition to the Elements, Euclid wrote a central early text in the optics field, Optics, and lesser-known works including Data and Phaenomena. Euclid's authorship of two other texts—On Divisions of Figures, Catoptrics—has been questioned. He is thought to have written many now lost works.", "title": "" }, { "paragraph_id": 3, "text": "The English name 'Euclid' is the anglicized version of the Ancient Greek name Eukleídes (Εὐκλείδης). It is derived from 'eu-' (εὖ; 'well') and 'klês' (-κλῆς; 'fame'), meaning \"renowned, glorious\". In English, by metonymy, 'Euclid' can mean his most well-known work, Euclid's Elements, or a copy thereof, and is sometimes synonymous with 'geometry'.", "title": "Life" }, { "paragraph_id": 4, "text": "Like many ancient Greek mathematicians, the details of Euclid's life are mostly unknown. He is accepted as the author of four mostly extant treatises—the Elements, Optics, Data, Phaenomena—but besides this, there is nothing known for certain of him. The traditional narrative mainly follows the 5th century AD account by Proclus in his Commentary on the First Book of Euclid's Elements, as well as a few anecdotes from Pappus of Alexandria in the early 4th century.", "title": "Life" }, { "paragraph_id": 5, "text": "According to Proclus, Euclid lived shortly after several of Plato's (d. 347 BC) followers and before the mathematician Archimedes (c. 287 – c. 212 BC); specifically, Proclus placed Euclid during the rule of Ptolemy I (r. 305/304–282 BC). Euclid's birthdate is unknown; some scholars estimate around 330 or 325 BC, but others refrain from speculating. It is presumed that he was of Greek descent, but his birthplace is unknown.", "title": "Life" }, { "paragraph_id": 6, "text": "Proclus held that Euclid followed the Platonic tradition, but there is no definitive confirmation for this. It is unlikely he was contemporary with Plato, so it is often presumed that he was educated by Plato's disciples at the Platonic Academy in Athens. Historian Thomas Heath supported this theory, noting that most capable geometers lived in Athens, including many of those whose work Euclid built on; Sialaros considers this a mere conjecture. In any event, the contents of Euclid's work demonstrate familiarity with the Platonic geometry tradition.", "title": "Life" }, { "paragraph_id": 7, "text": "In his Collection, Pappus mentions that Apollonius studied with Euclid's students in Alexandria, and this has been taken to imply that Euclid worked and founded a mathematical tradition there. The city was founded by Alexander the Great in 331 BC, and the rule of Ptolemy I from 306 BC onwards gave it a stability which was relatively unique amid the chaotic wars over dividing Alexander's empire. Ptolemy began a process of hellenization and commissioned numerous constructions, building the massive Musaeum institution, which was a leading center of education. Euclid is speculated to have been among the Musaeum's first scholars.", "title": "Life" }, { "paragraph_id": 8, "text": "Euclid's date of death is unknown; it has been speculated that he died c. 270 BC.", "title": "Life" }, { "paragraph_id": 9, "text": "Euclid is often referred to as 'Euclid of Alexandria' to differentiate him from the earlier philosopher Euclid of Megara, a pupil of Socrates included in dialogues of Plato with whom he was historically conflated. Valerius Maximus, the 1st century AD Roman compiler of anecdotes, mistakenly substituted Euclid's name for Eudoxus (4th century BC) as the mathematician to whom Plato sent those asking how to double the cube. Perhaps on the basis of this mention of a mathematical Euclid roughly a century early, Euclid became mixed up with Euclid of Megara in medieval Byzantine sources (now lost), eventually leading Euclid the mathematician to be ascribed details of both men's biographies and described as Megarensis (lit. 'of Megara'). The Byzantine scholar Theodore Metochites (c. 1300) explicitly conflated the two Euclids, as did printer Erhard Ratdolt's 1482 editio princeps of Campanus of Novara's Latin translation of the Elements. After the mathematician Bartolomeo Zamberti [fr; de] appended most of the extant biographical fragments about either Euclid to the preface of his 1505 translation of the Elements, subsequent publications passed on this identification. Later Renaissance scholars, particularly Peter Ramus, reevaluated this claim, proving it false via issues in chronology and contradiction in early sources.", "title": "Life" }, { "paragraph_id": 10, "text": "Medieval Arabic sources give vast amounts of information concerning Euclid's life, but are completely unverifiable. Most scholars consider them of dubious authenticity; Heath in particular contends that the fictionalization was done to strengthen the connection between a revered mathematician and the Arab world. There are also numerous anecdotal stories concerning to Euclid, all of uncertain historicity, which \"picture him as a kindly and gentle old man\". The best known of these is Proclus' story about Ptolemy asking Euclid if there was a quicker path to learning geometry than reading his Elements, which Euclid replied with \"there is no royal road to geometry\". This anecdote is questionable since a very similar interaction between Menaechmus and Alexander the Great is recorded from Stobaeus. Both the accounts were written in the 5th century AD, neither indicate their source, and neither story appears in ancient Greek literature.", "title": "Life" }, { "paragraph_id": 11, "text": "Any firm dating of Euclid's activity c. 300 BC is called into question by a lack of contemporary references. The earliest original reference to Euclid is in Apollonius' prefatory letter to the Conics (early 2nd century BC): \"The third book of the Conics contains many astonishing theorems that are useful for both the syntheses and the determinations of number of solutions of solid loci. Most of these, and the finest of them, are novel. And when we discovered them we realized that Euclid had not made the synthesis of the locus on three and four lines but only an accidental fragment of it, and even that was not felicitously done.\" The Elements is speculated to have been at least partly in circulation by the 3rd century BC, as Archimedes and Apollonius take several of its propositions for granted; however, Archimedes employs an older variant of the theory of proportions than the one found in the Elements. The oldest physical copies of material included in the Elements, dating from roughly 100 AD, can be found on papyrus fragments unearthed in an ancient rubbish heap from Oxyrhynchus, Roman Egypt. The oldest extant direct citations to the Elements in works whose dates are firmly known are not until the 2nd century AD, by Galen and Alexander of Aphrodisias; by this time it was a standard school text. Some ancient Greek mathematicians mention Euclid by name, but he is usually referred to as \"ὁ στοιχειώτης\" (\"the author of Elements\"). In the Middle Ages, some scholars contended Euclid was not a historical personage and that his name arose from a corruption of Greek mathematical terms.", "title": "Life" }, { "paragraph_id": 12, "text": "", "title": "Works" }, { "paragraph_id": 13, "text": "Euclid is best known for his thirteen-book treatise, the Elements (Greek: Στοιχεῖα; Stoicheia), considered his magnum opus. Much of its content originates from earlier mathematicians, including Eudoxus, Hippocrates of Chios, Thales and Theaetetus, while other theorems are mentioned by Plato and Aristotle. It is difficult to differentiate the work of Euclid from that of his predecessors, especially because the Elements essentially superseded much earlier and now-lost Greek mathematics. The classicist Markus Asper concludes that \"apparently Euclid's achievement consists of assembling accepted mathematical knowledge into a cogent order and adding new proofs to fill in the gaps\" and the mathematician Serafina Cuomo described it as a \"reservoir of results\". Despite this, Sialaros furthers that \"the remarkably tight structure of the Elements reveals authorial control beyond the limits of a mere editor\".", "title": "Works" }, { "paragraph_id": 14, "text": "The Elements does not exclusively discuss geometry as is sometimes believed. It is traditionally divided into three topics: plane geometry (books 1–6), basic number theory (books 7–10:) and solid geometry (books 11–13)—though book 5 (on proportions) and 10 (on irrational lines) do not exactly fit this scheme. The heart of the text is the theorems scattered throughout. Using Aristotle's terminology, these may be generally separated into two categories: \"first principles\" and \"second principles\". The first group includes statements labeled as a \"definition\" (Greek: ὅρος or ὁρισμός), \"postulate\" (αἴτημα), or a \"common notion\" (κοινὴ ἔννοια); only the first book includes postulates—later known as axioms—and common notions. The second group consists of propositions, presented alongside mathematical proofs and diagrams. It is unknown if Euclid intended the Elements as a textbook, but its method of presentation makes it a natural fit. As a whole, the authorial voice remains general and impersonal.", "title": "Works" }, { "paragraph_id": 15, "text": "Book 1 of the Elements is foundational for the entire text. It begins with a series of 20 definitions for basic geometric concepts such as lines, angles and various regular polygons. Euclid then presents 10 assumptions (see table, right), grouped into five postulates (axioms) and five common notions. These assumptions are intended to provide the logical basis for every subsequent theorem, i.e. serve as an axiomatic system. The common notions exclusively concern the comparison of magnitudes. While postulates 1 through 4 are relatively straight forward, the 5th is known as the parallel postulate and particularly famous.", "title": "Works" }, { "paragraph_id": 16, "text": "Book 1 also includes 48 propositions, which can be loosely divided into those concerning basic theorems and constructions of plane geometry and triangle congruence (1–26); parallel lines (27–34); the area of triangles and parallelograms (35–45); and the Pythagorean theorem (46–48). The last of these includes the earliest surviving proof of the Pythagorean theorem, described by Sialaros as \"remarkably delicate\".", "title": "Works" }, { "paragraph_id": 17, "text": "Book 2 is traditionally understood as concerning \"geometric algebra\", though this interpretation has been heavily debated since the 1970s; critics describe the characterization as anachronistic, since the foundations of even nascent algebra occurred many centuries later. The second book has a more focused scope and mostly provides algebraic theorems to accompany various geometric shapes. It focuses on the area of rectangles and squares (see Quadrature), and leads up to a geometric precursor of the law of cosines.", "title": "Works" }, { "paragraph_id": 18, "text": "Book 3 focuses on circles, while the 4th discusses regular polygons, especially the pentagon. Book 5 is among the work's most important sections and presents what is usually termed as the \"general theory of proportion\". Book 6 utilizes the \"theory of ratios\" in the context of plane geometry. It is built almost entirely of its first proposition: \"Triangles and parallelograms which are under the same height are to one another as their bases\".", "title": "Works" }, { "paragraph_id": 19, "text": "From Book 7 onwards, the mathematician Benno Artmann [de] notes that \"Euclid starts afresh. Nothing from the preceding books is used\". Number theory is covered by books 7 to 10, the former beginning with a set of 22 definitions for parity, prime numbers and other arithmetic-related concepts. Book 7 includes the Euclidean algorithm, a method for finding the greatest common divisor of two numbers. The 8th book discusses geometric progressions, while book 9 includes the proposition, now called Euclid's theorem, that there are infinitely many prime numbers.", "title": "Works" }, { "paragraph_id": 20, "text": "Of the Elements, book 10 is by far the largest and most complex, dealing with irrational numbers in the context of magnitudes.", "title": "Works" }, { "paragraph_id": 21, "text": "The final three books (11–13) primarily discuss solid geometry. By introducing a list of 37 definitions, Book 11 contextualizes the next two. Although its foundational character resembles Book 1, unlike the latter it features no axiomatic system or postulates. The three sections of Book 11 include content on solid geometry (1–19), solid angles (20–23) and parallelepipedal solids (24–37).", "title": "Works" }, { "paragraph_id": 22, "text": "In addition to the Elements, at least five works of Euclid have survived to the present day. They follow the same logical structure as Elements, with definitions and proved propositions.", "title": "Works" }, { "paragraph_id": 23, "text": "Four other works are credibly attributed to Euclid, but have been lost.", "title": "Works" }, { "paragraph_id": 24, "text": "Euclid's works can be found in cultural institutions across the world. Many of these editions are digitised and available for public consultation.", "title": "Works" }, { "paragraph_id": 25, "text": "Euclid is generally considered with Archimedes and Apollonius of Perga as among the greatest mathematicians of antiquity. Many commentators cite him as one of the most influential figures in the history of mathematics. The geometrical system established by the Elements long dominated the field; however, today that system is often referred to as 'Euclidean geometry' to distinguish it from other non-Euclidean geometries discovered in the early 19th century. Among Euclid's many namesakes are the European Space Agency's (ESA) Euclid spacecraft, the lunar crater Euclides, and the minor planet 4354 Euclides.", "title": "Legacy" }, { "paragraph_id": 26, "text": "The Elements is often considered after the Bible as the most frequently translated, published, and studied book in the Western World's history. With Aristotle's Metaphysics, the Elements is perhaps the most successful ancient Greek text, and was the dominant mathematical textbook in the Medieval Arab and Latin worlds.", "title": "Legacy" }, { "paragraph_id": 27, "text": "The first English edition of the Elements was published in 1570 by Henry Billingsley and John Dee. The mathematician Oliver Byrne published a well-known version of the Elements in 1847 entitled The First Six Books of the Elements of Euclid in Which Coloured Diagrams and Symbols Are Used Instead of Letters for the Greater Ease of Learners, which included colored diagrams intended to increase its pedagogical effect. David Hilbert authored a modern axiomatization of the Elements.", "title": "Legacy" } ]
Euclid was an ancient Greek mathematician active as a geometer and logician. Considered the "father of geometry", he is chiefly known for the Elements treatise, which established the foundations of geometry that largely dominated the field until the early 19th century. His system, now referred to as Euclidean geometry, involved new innovations in combination with a synthesis of theories from earlier Greek mathematicians, including Eudoxus of Cnidus, Hippocrates of Chios, and Theaetetus. With Archimedes and Apollonius of Perga, Euclid is generally considered among the greatest mathematicians of antiquity, and one of the most influential in the history of mathematics. Very little is known of Euclid's life, and most information comes from the scholars Proclus and Pappus of Alexandria many centuries later. Medieval Islamic mathematicians invented a fanciful biography, and medieval Byzantine and early Renaissance scholars mistook him for the earlier philosopher Euclid of Megara. It is now generally accepted that he spent his career in Alexandria and lived around 300 BC, after Plato's students and before Archimedes. There is some speculation that Euclid studied at the Platonic Academy and later taught at the Musaeum; he is regarded as bridging the earlier Platonic tradition in Athens with the later tradition of Alexandria. In the Elements, Euclid deduced the theorems from a small set of axioms. He also wrote works on perspective, conic sections, spherical geometry, number theory, and mathematical rigour. In addition to the Elements, Euclid wrote a central early text in the optics field, Optics, and lesser-known works including Data and Phaenomena. Euclid's authorship of two other texts—On Divisions of Figures, Catoptrics—has been questioned. He is thought to have written many now lost works.
2001-08-18T02:40:50Z
2023-12-27T20:28:59Z
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https://en.wikipedia.org/wiki/Euclid
9,332
Errol Morris
Errol Mark Morris (born February 5, 1948) is an American film director known for documentaries that interrogate the epistemology of its subjects. 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. His film The Thin Blue Line placed fifth on a Sight & Sound poll of the greatest documentaries ever made. Morris is known for making films about unusual subjects; Fast, Cheap & Out of Control interweaves the stories of a wild animal trainer, a topiary gardener, a robot scientist and a naked mole rat specialist. 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." 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. 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." Inspired by Hitchcock's Psycho, Morris visited Plainfield, Wisconsin in 1975, where 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. Despite this, his plans to either write a book or make a film (which he would call Digging up the Past) were left unfinished at the time. In an October 2023 interview with Letterboxd, Morris mentioned that he has since returned to the project, saying "I started rewatching Psycho, because I’m making a movie about Ed Gein." In the fall of 1976, Herzog visited Plainfield again, this time to shoot part of his film Stroszek. 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." 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. It was the first of Morris's films to be scored by Philip Glass. Morris wanted to make a film about what happened to Albert Einstein's brain and approached Steven Spielberg's Amblin Entertainment about it. Gordon Freeman had acquired the rights to Stephen Hawking's bestseller A Brief History of Time and Spielberg suggested Morris direct it. After reading Hawking's book, Morris agreed to direct a documentary adaptation of it, as he had studied the philosophy of science at Princeton. Morris's film A Brief History of Time is less an adaptation of Hawking's book than a portrait of the scientist. It combines interviews with Hawking, his colleagues and his family with computer animations and clips from movies like Disney's The Black Hole. Morris said he was "very moved by Hawking as a man", calling him "immensely likable, perverse, funny...and yes, he's a genius." Morris's Fast, Cheap & Out of Control interweaves interviews with a wild animal trainer, a topiary gardener, a robot scientist and a naked mole rat specialist with stock footage, cartoons and clips from film serials. In a profile of Morris, Roger Ebert said of the film "If I had to describe it, I'd say it's about people who are trying to control things - to take upon themselves the mantle of God." Morris agreed there was a "Frankenstein element", adding "They're all involved in some very odd inquiry about life. It sounds horribly pretentious laid out that way, but there's something mysterious in each of the stories, something melancholy as well as funny. And there's an edge of mortality. For the end of the movie I showed the gardener clipping the top of his camel, clipping in a heavenly light, and then walking away in the rain. You know that this garden is not going to last much longer than the gardener's lifetime." The film was scored by Caleb Sampson of the Alloy Orchestra and photographed by Robert Richardson. Morris dedicated the film to his mother and stepfather, who had recently died. It was named by several critics as one of the best films of 1997. 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 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, 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. 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. 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 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. In 2015, Morris made commercials for medical technology firm Theranos, and interviewed its founder, Elizabeth Holmes. After the company fell in disgrace, Morris was criticized by The Telegraph for seeming "captivated" by Holmes, and for contributing to Holmes' mythical persona as a visionary. 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." 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. 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: Teleprompters are used to project an image on a two-way mirror. Politicians and newscasters use them so that they can read text and look into the lens of the camera at the same time. What interests me is that nobody thought of using them for anything other than to display text: read a speech or read the news and look into the lens of the camera. I changed that. I put my face on the Teleprompter or, strictly speaking, my live video image. For the first time, I could be talking to someone, and they could be talking to me and at the same time looking directly into the lens of the camera. Now, there was no looking off slightly to the side. No more faux first person. This was the true first person. 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.
[ { "paragraph_id": 0, "text": "Errol Mark Morris (born February 5, 1948) is an American film director known for documentaries that interrogate the epistemology of its subjects. 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. His film The Thin Blue Line placed fifth on a Sight & Sound poll of the greatest documentaries ever made. Morris is known for making films about unusual subjects; Fast, Cheap & Out of Control interweaves the stories of a wild animal trainer, a topiary gardener, a robot scientist and a naked mole rat specialist.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "Early life and education" }, { "paragraph_id": 2, "text": "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.\"", "title": "Early life and education" }, { "paragraph_id": 3, "text": "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.", "title": "Early life and education" }, { "paragraph_id": 4, "text": "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.", "title": "Early life and education" }, { "paragraph_id": 5, "text": "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.\"", "title": "Career" }, { "paragraph_id": 6, "text": "Inspired by Hitchcock's Psycho, Morris visited Plainfield, Wisconsin in 1975, where 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. Despite this, his plans to either write a book or make a film (which he would call Digging up the Past) were left unfinished at the time. In an October 2023 interview with Letterboxd, Morris mentioned that he has since returned to the project, saying \"I started rewatching Psycho, because I’m making a movie about Ed Gein.\"", "title": "Career" }, { "paragraph_id": 7, "text": "In the fall of 1976, Herzog visited Plainfield again, this time to shoot part of his film Stroszek.", "title": "Career" }, { "paragraph_id": 8, "text": "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.", "title": "Career" }, { "paragraph_id": 9, "text": "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.", "title": "Career" }, { "paragraph_id": 10, "text": "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.", "title": "Career" }, { "paragraph_id": 11, "text": "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.", "title": "Career" }, { "paragraph_id": 12, "text": "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.\"", "title": "Career" }, { "paragraph_id": 13, "text": "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.", "title": "Career" }, { "paragraph_id": 14, "text": "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.", "title": "Career" }, { "paragraph_id": 15, "text": "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.", "title": "Career" }, { "paragraph_id": 16, "text": "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.\"", "title": "Career" }, { "paragraph_id": 17, "text": "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. It was the first of Morris's films to be scored by Philip Glass.", "title": "Career" }, { "paragraph_id": 18, "text": "Morris wanted to make a film about what happened to Albert Einstein's brain and approached Steven Spielberg's Amblin Entertainment about it. Gordon Freeman had acquired the rights to Stephen Hawking's bestseller A Brief History of Time and Spielberg suggested Morris direct it. After reading Hawking's book, Morris agreed to direct a documentary adaptation of it, as he had studied the philosophy of science at Princeton. Morris's film A Brief History of Time is less an adaptation of Hawking's book than a portrait of the scientist. It combines interviews with Hawking, his colleagues and his family with computer animations and clips from movies like Disney's The Black Hole. Morris said he was \"very moved by Hawking as a man\", calling him \"immensely likable, perverse, funny...and yes, he's a genius.\"", "title": "Career" }, { "paragraph_id": 19, "text": "Morris's Fast, Cheap & Out of Control interweaves interviews with a wild animal trainer, a topiary gardener, a robot scientist and a naked mole rat specialist with stock footage, cartoons and clips from film serials. In a profile of Morris, Roger Ebert said of the film \"If I had to describe it, I'd say it's about people who are trying to control things - to take upon themselves the mantle of God.\" Morris agreed there was a \"Frankenstein element\", adding \"They're all involved in some very odd inquiry about life. It sounds horribly pretentious laid out that way, but there's something mysterious in each of the stories, something melancholy as well as funny. And there's an edge of mortality. For the end of the movie I showed the gardener clipping the top of his camel, clipping in a heavenly light, and then walking away in the rain. You know that this garden is not going to last much longer than the gardener's lifetime.\" The film was scored by Caleb Sampson of the Alloy Orchestra and photographed by Robert Richardson. Morris dedicated the film to his mother and stepfather, who had recently died. It was named by several critics as one of the best films of 1997.", "title": "Career" }, { "paragraph_id": 20, "text": "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.", "title": "Career" }, { "paragraph_id": 21, "text": "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, 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.", "title": "Career" }, { "paragraph_id": 22, "text": "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.", "title": "Career" }, { "paragraph_id": 23, "text": "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.", "title": "Career" }, { "paragraph_id": 24, "text": "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.", "title": "Career" }, { "paragraph_id": 25, "text": "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.", "title": "Career" }, { "paragraph_id": 26, "text": "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.", "title": "Career" }, { "paragraph_id": 27, "text": "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.", "title": "Career" }, { "paragraph_id": 28, "text": "In 2015, Morris made commercials for medical technology firm Theranos, and interviewed its founder, Elizabeth Holmes. After the company fell in disgrace, Morris was criticized by The Telegraph for seeming \"captivated\" by Holmes, and for contributing to Holmes' mythical persona as a visionary. 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.\"", "title": "Career" }, { "paragraph_id": 29, "text": "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.", "title": "Career" }, { "paragraph_id": 30, "text": "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.", "title": "Career" }, { "paragraph_id": 31, "text": "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:", "title": "Style and legacy" }, { "paragraph_id": 32, "text": "Teleprompters are used to project an image on a two-way mirror. Politicians and newscasters use them so that they can read text and look into the lens of the camera at the same time. What interests me is that nobody thought of using them for anything other than to display text: read a speech or read the news and look into the lens of the camera. I changed that. I put my face on the Teleprompter or, strictly speaking, my live video image. For the first time, I could be talking to someone, and they could be talking to me and at the same time looking directly into the lens of the camera. Now, there was no looking off slightly to the side. No more faux first person. This was the true first person.", "title": "Style and legacy" }, { "paragraph_id": 33, "text": "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.", "title": "Style and legacy" }, { "paragraph_id": 34, "text": "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.", "title": "Style and legacy" }, { "paragraph_id": 35, "text": "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.", "title": "Style and legacy" }, { "paragraph_id": 36, "text": "His style has been spoofed in the mockumentary series Documentary Now.", "title": "Style and legacy" }, { "paragraph_id": 37, "text": "Even when interviewing controversial figures, Morris does not generally believe in adversarial interviews:", "title": "Style and legacy" }, { "paragraph_id": 38, "text": "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.", "title": "Style and legacy" } ]
Errol Mark Morris is an American film director known for documentaries that interrogate the epistemology of its subjects. 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. His film The Thin Blue Line placed fifth on a Sight & Sound poll of the greatest documentaries ever made. Morris is known for making films about unusual subjects; Fast, Cheap & Out of Control interweaves the stories of a wild animal trainer, a topiary gardener, a robot scientist and a naked mole rat specialist.
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https://en.wikipedia.org/wiki/Errol_Morris
9,333
Ethan Allen
Ethan Allen (January 21, 1738 [O.S. January 10, 1737] – February 12, 1789) was an American farmer, businessman, land speculator, philosopher, writer, lay theologian, American Revolutionary War patriot, and politician. He is best known as one of the founders of Vermont and for the capture of Fort Ticonderoga early in the Revolutionary War. He was the brother of Ira Allen and the father of Frances Allen. Allen was born in rural Connecticut and had a frontier upbringing, but he also received an education that included some philosophical teachings. In the late 1760s, he became interested in the New Hampshire Grants, buying land there and becoming embroiled in the legal disputes surrounding the territory. Legal setbacks led to the formation of the Green Mountain Boys, whom Allen led in a campaign of intimidation and property destruction to drive New York settlers from the Grants. He and the Green Mountain Boys seized the initiative early in the Revolutionary War and captured Fort Ticonderoga in May 1775. In September 1775, Allen led a failed attempt on Montreal which resulted in his capture by British authorities. He was imprisoned aboard Royal Navy ships, then paroled in New York City, and finally released in a prisoner exchange in 1778. Upon his release, Allen returned to the New Hampshire Grants which had declared independence in 1777, and he resumed political activity in the territory, continuing resistance to New York's attempts to assert control over the territory. Allen lobbied Congress for Vermont's official state recognition, and he participated in controversial negotiations with the British over the possibility of Vermont becoming a separate British province. Allen wrote accounts of his exploits in the war that were widely read in the 19th century, as well as philosophical treatises and documents relating to the politics of Vermont's formation. His business dealings included successful farming operations, one of Connecticut's early iron works, and land speculation in the Vermont territory. Allen and his brothers purchased tracts of land that became Burlington, Vermont. He was married twice, fathering eight children. Allen was born in Litchfield, Connecticut Colony, the first child of Joseph and Mary Baker Allen, both descended from English Puritans. The family moved to the town of Cornwall shortly after his birth due to his father's quest for freedom of religion during the Great Awakening. As a boy, Allen already excelled at quoting the Bible and was known for disputing the meaning of passages. He had five brothers (Heman, Heber, Levi, Zimri, and Ira) and two sisters (Lydia and Lucy). His brothers Ira and Heman were also prominent figures in the early history of Vermont. The town of Cornwall was frontier territory in the 1740s, but it began to resemble a town by the time that Allen was a teenager, with wood-frame houses beginning to replace the rough cabins of the early settlers. Joseph Allen was one of the wealthier landowners in the area by the time of his death in 1755. He ran a successful farm and had served as town selectman. Allen began studies under a minister in the nearby town of Salisbury with the goal of gaining admission to Yale College. Allen was forced to end his studies upon his father's death. He volunteered for militia service in 1757 in response to the French siege of Fort William Henry, but his unit received word that the fort had fallen while they were en route, and they turned back. The French and Indian War continued over the next several years, but Allen did not participate in any further military activities and is presumed to have tended his farm. In 1762, he became part owner of an iron furnace in Salisbury. He also married Mary Brownson from Roxbury in July 1762, who was five years his senior. They first settled in Cornwall, but moved the following year to Salisbury with their infant daughter Loraine. They bought a small farm and proceeded to develop the iron works. The expansion of the iron works was apparently costly to Allen; he was forced to sell off portions of the Cornwall property to raise funds, and eventually sold half of his interest in the works to his brother Heman. The Allen brothers sold their interest in the iron works in October 1765. By most accounts, Allen's first marriage was unhappy. His wife was rigidly religious, prone to criticizing him, and barely able to read and write. In contrast, his behavior was sometimes quite flamboyant, and he maintained an interest in learning. Nevertheless, they remained together until Mary's death in 1783. They had five children together, only two of whom reached adulthood. Allen and his brother Heman went to the farm of a neighbor whose pigs had escaped onto their land, and they seized the pigs. The neighbor sued to have the animals returned to him; Allen pleaded his own case and lost. Allen and Heman were fined ten shillings, and the neighbor was awarded another five shillings in damages. He was also called to court in Salisbury for inoculating himself against smallpox, a procedure that required the sanction of the town selectmen. Allen met Thomas Young when he moved to Salisbury, a doctor living and practicing just across the provincial boundary in New York. Young taught him a great deal about philosophy and political theory, while Allen shared his appreciation of nature and life on the frontier with Young. They eventually decided to collaborate on a book intended as an attack on organized religion, as Young had convinced Allen to become a Deist. They worked on the manuscript until 1764, when Young moved away from the area taking the manuscript with him. Allen recovered the manuscript many years later, after Young's death. He expanded and reworked the material, and eventually published it as Reason: the Only Oracle of Man. Heman remained in Salisbury where he ran a general store until his death in 1778, but Allen's movements are poorly documented over the next few years. He lived in Northampton, Massachusetts in the spring of 1766, where his son Joseph was born and where he invested in a lead mine. The authorities asked him to leave Northampton in July 1767, though no official reason is known. Biographer Michael Bellesiles suggests that religious differences and Allen's tendency to be disruptive may have played a role in his departure. Allen briefly returned to Salisbury before settling in Sheffield, Massachusetts with his younger brother Zimri. It is likely that his first visits to the New Hampshire Grants occurred during these years. Sheffield was the family home for ten years, although Allen was often absent for extended periods. New Hampshire Governor Benning Wentworth was selling land grants west of the Connecticut River as early as 1749, an area to which New Hampshire had always laid claim. Many of these grants were sold at relatively low prices to land speculators, with Wentworth also reserving for himself a share of each grant. In 1764, King George issued an order resolving the competing claims of New York and New Hampshire in favor of New York. New York had issued land grants that overlapped some of those sold by Wentworth, and authorities there insisted that holders of the Wentworth grants pay a fee to New York to have their grants validated. This fee approached the original purchase price, and many of the holders were land-rich and cash-poor, so there was a great deal of resistance to the demand. By 1769, the situation had deteriorated to the point that surveyors and other figures of New York authority were being physically threatened and driven from the area. A few of the holders of Wentworth grants were from northwestern Connecticut, and some of them were related to Allen, including Remember Baker and Seth Warner. In 1770, a group of them asked him to defend their case before New York's Supreme Court. Allen hired Jared Ingersoll to represent the grant-holder interest in the trial, which began in July 1770 and pitted Allen against politically powerful New York grant-holders, including New York's Lieutenant Governor Colden, James Duane who was prosecuting the case, and Robert Livingston, the Chief Justice of the Supreme Court who was presiding over the case. The trial was brief and the outcome unsurprising, as the court refused to allow the introduction of Wentworth's grants as evidence, citing their fraudulently issued nature. Duane visited Allen and offered him payments "for going among the people to quiet them". Allen denied taking any money and claimed that Duane was outraged and left with veiled threats, indicating that attempts to enforce the judgment would be met with resistance. Many historians believe that Allen took these actions because he already held Wentworth grants of his own, although there is no evidence that he was issued any such grants until after he had been asked to take up the defense at the trial. He acquired grants from Wentworth to about 1,000 acres (400 ha) in Poultney and Castleton prior to the trial. On Allen's return to Bennington, the settlers met at the Catamount Tavern to discuss their options. These discussions resulted in the formation of the Green Mountain Boys in 1770, with local militia companies in each of the surrounding towns. Allen was named their Colonel Commandant, and cousins Seth Warner and Remember Baker were captains of two of the companies. Further meetings resulted in creating committees of safety; they also laid down rules to resist New York's attempts to establish its authority. These included not allowing New York's surveyors to survey any land in the Grants, not just land owned through the Wentworth grants. Allen participated in some of the actions to drive away surveyors, and he also spent much time exploring the territory. He sold some of his Connecticut properties and began buying land farther north in the territory, which he sold at a profit as the southern settlements grew and people began to move farther north. Friction increased with the provincial government in October 1771, when Allen and a company of Green Mountain Boys drove off a group of Scottish settlers near Rupert. Allen detained two of the settlers and forced them to watch them burn their newly constructed cabins. Allen then ordered them to "go your way now, and complain to that damned scoundrel your Governor, God damn your Governor, Laws, King, Council, and Assembly". The settlers protested his language but Allen continued the tirade, threatening to send any troops from New York to Hell. In response, New York Governor William Tryon issued warrants for the arrests of those responsible, and eventually put a price of £20 (around £3.3k today, or $4.4k) on the heads of six participants, including Allen. Allen and his comrades countered by issuing offers of their own. £25 REWARD—Whereas James Duane and John Kempe, of New York, have by their menaces and threats greatly disturbed the public peace and repose of the honest peasants of Bennington and the settlements to the northward, which are now and ever have been in the peace of God and the King, and are patriotic and liege subjects of Geo. the 3rd. Any person that will apprehend these common disturbers, viz: James Duane and John Kempe, and bring them to Landlord Fay's at Bennington shall have £15 reward James Duane and £10 reward for John Kempe, paid by Ethan Allen, Remember Baker, Robert Cochran The situation deteriorated further over the next few years. Governor Tryon and the Green Mountain Boys exchanged threats, truce offers, and other writings, frequently written by Allen in florid and didactic language while the Green Mountain Boys continued to drive away surveyors and incoming tenants. Most of these incidents did not involve bloodshed, although individuals were at times manhandled, and the Green Mountain Boys sometimes did extensive property damage when driving tenants out. By March 1774, the harsh treatment of settlers and their property prompted Tryon to increase some of the rewards to £100. Allen joined his cousin Remember Baker and his brothers Ira, Heman, and Zimri to form the Onion River Company in 1772, a land-speculation organization devoted to purchasing land around the Winooski River, which was known then as the Onion River. The success of this business depended on the defense of the Wentworth grants. Early purchases included about 40,000 acres (16,000 ha) from Edward Burling and his partners; they sold land at a profit to Thomas Chittenden, among others, and their land became the city of Burlington. The outrage of the Wentworth proprietors was renewed in 1774 when Governor Tryon passed a law containing harsh provisions clearly targeted at the actions of the "Bennington Mob". Vermont historian Samuel Williams called it "an act which for its savage barbarity is probably without parallel in the legislation of any civilized country". Its provisions included the death penalty for interfering with a magistrate, and outlawing meetings of more than three people "for unlawful purposes" in the Grants. The Green Mountain Boys countered with rules of their own, forbidding anyone in the Grants from holding "any office of honor or profit under the colony of N. York". Allen spent much of the summer of 1774 writing A Brief Narrative of the Proceedings of the Government of New York Relative to Their Obtaining the Jurisdiction of that Large District of Land to the Westward of the Connecticut River, a 200-page polemic arguing the position of the Wentworth proprietors. He had it printed in Connecticut and began selling and giving away copies in early 1775. Historian Charles Jellison describes it as "rebellion in print". Allen traveled into the northern parts of the Grants early in 1775 for solitude and to hunt for game and land opportunities. A few days after his return, news came that blood had finally been shed over the land disputes. Most of the resistance activity had taken place on the west side of the Green Mountains until then, but a small riot broke out in Westminster on March 13 and led to the deaths of two men. Allen and a troop of Green Mountain Boys traveled to Westminster where the town's convention adopted a resolution to draft a plea to the King to remove them "out of so oppressive a jurisdiction". It was assigned to a committee which included Allen. The American Revolutionary War began less than a week after the Westminster convention ended, while Allen and the committee worked on their petition. Allen received a message from members of an irregular Connecticut militia in late April, following the battles of Lexington and Concord, that they were planning to capture Fort Ticonderoga and requesting his assistance in the effort. Allen agreed to help and began rounding up the Green Mountain Boys, and 60 men from Massachusetts and Connecticut met with Allen in Bennington on May 2, where they discussed the logistics of the expedition. By May 7, these men joined Allen and 130 Green Mountain Boys at Castleton. They elected Allen to lead the expedition, and they planned a dawn raid for May 10. Two small companies were detached to procure boats, and Allen took the main contingent north to Hand's Cove in Shoreham to prepare for the crossing. On the afternoon of May 9, Benedict Arnold unexpectedly arrived, flourishing a commission from the Massachusetts Committee of Safety. He asserted his right to command the expedition, but the men refused to acknowledge his authority and insisted that they would follow only Allen's lead. Allen and Arnold reached an accommodation privately, the essence of which was that Arnold and Allen would both be at the front of the troops when they attacked the fort. The troops procured a few boats around 2 a.m. for the crossing, but only 83 men made it to the other side of the lake before Allen and Arnold decided to attack, concerned that dawn was approaching. The small force marched on the fort in the early dawn, surprising the lone sentry, and Allen went directly to the fort commander's quarters, seeking to force his surrender. Lieutenant Jocelyn Feltham was awakened by the noise, and called to wake the fort's commander Captain William Delaplace. He demanded to know by what authority the fort was being entered, and Allen said, "In the name of the Great Jehovah and the Continental Congress!" Delaplace finally emerged from his chambers and surrendered his sword, and the rest of the fort's garrison surrendered without firing a shot. The only casualty had been a British soldier who became concussed when Allen hit him with a cutlass, hitting the man's hair comb and saving his life. On the following day, a detachment of the Boys under Seth Warner's command went to nearby Fort Crown Point and captured the small garrison there. On May 14, following the arrival of 100 men recruited by Arnold's captains, and the arrival of a schooner and some bateaux that had been taken at Skenesboro, Arnold and 50 of his men sailed north to raid Fort St. John, on the Richelieu River downstream from the lake, where a small British warship was reported by the prisoners to be anchored. Arnold's raid was a success; he seized the sloop HMS Royal George, supplies, and a number of bateaux. Allen, shortly after Arnold's departure on the raid, decided, after his successes at the southern end of the lake, to take and hold Fort St. John himself. To that end, he and about 100 Boys climbed into four bateaux, and began rowing north. After two days without significant food (which they had forgotten to provision in the boats), Allen's small fleet met Arnold's on its way back to Ticonderoga near the foot of the lake. Arnold generously opened his stores to Allen's hungry men, and tried to dissuade Allen from his objective, noting that it was likely the alarm had been raised and troops were on their way to St. John. Allen, likely both stubborn in his determination, and envious of Arnold, persisted. When Allen and his men landed above St. John and scouted the situation, they learned that a column of 200 or more regulars was approaching. Rather than attempt an ambush on those troops, which significantly outnumbered his tired company, Allen withdrew to the other side of the river, where the men collapsed with exhaustion and slept without sentries through the night. They were awakened when British sentries discovered them and began firing grapeshot at them from across the river. The Boys, in a panic, piled into their bateaux and rowed with all speed upriver. When the expedition returned to Ticonderoga two days later, some of the men were greatly disappointed that they felt they had nothing to show for the effort and risks they took, but the capture of Fort Ticonderoga and Crown Point proved to be important in the Revolutionary War because it secured protection from the British to the North and provided vital cannon for the colonial army. Following Allen's failed attempt on St. John, many of his men drifted away, presumably drawn by the needs of home and farm. Arnold then began asserting his authority over Allen for control of Ticonderoga and Crown Point. Allen publicly announced that he was stepping down as commander, but remained hopeful that the Second Continental Congress was going to name "a commander for this department ... Undoubtedly, we shall be rewarded according to our merit". Congress, for its part, at first not really wanting any part of the affair, effectively voted to strip and then abandon the forts. Both Allen and Arnold protested these measures, pointing out that doing so would leave the northern border wide open. They both also made proposals to Congress and other provincial bodies for carrying out an invasion of Quebec. Allen, in one instance, wrote that "I will lay my life on it, that with fifteen hundred men, and a proper artillery, I will take Montreal". Allen also attempted correspondence with the people of Quebec and with the Indians living there in an attempt to sway their opinion toward the revolutionary cause. On June 22, Allen and Seth Warner appeared before Congress in Philadelphia, where they argued for the inclusion of the Green Mountain Boys in the Continental Army. After deliberation, Congress directed General Philip Schuyler, who had been appointed to lead the Army's Northern Department, to work with New York's provincial government to establish (and pay for) a regiment consisting of the Boys, and that they be paid Army rates for their service at Ticonderoga. On July 4, Allen and Warner made their case to New York's Provincial Congress, which, despite the fact that the Royal Governor had placed a price on their heads, agreed to the formation of a regiment. Following a brief visit to their families, they returned to Bennington to spread the news. Allen went to Ticonderoga to join Schuyler, while Warner and others raised the regiment. When the regimental companies in the Grants had been raised, they held a vote in Dorset to determine who would command the regiment. By a wide margin, Seth Warner was elected to lead the regiment. Brothers Ira and Heman were also given command positions, but Allen was not given any position at all in the regiment. The thorough rejection stung; Allen wrote to Connecticut Governor Jonathan Trumbull, "How the old men came to reject me I cannot conceive inasmuch as I saved them from the incroachments of New York." The rejection likely had several causes. The people of the Grants were tired of the disputes with New York, and they were tired of Allen's posturing and egotistic behavior, which the success at Ticonderoga had enhanced. Finally, the failure of the attempt on St. John's was widely seen as reckless and ill-advised, attributes they did not appreciate in a regimental leader. Warner was viewed as a more stable and quieter choice, and was someone who also commanded respect. The history of Warner's later actions in the revolution (notably at Hubbardton and Bennington) may be seen as a confirmation of the choice made by the Dorset meeting. In the end, Allen took the rejection in stride, and managed to convince Schuyler and Warner to permit him to accompany the regiment as a civilian scout. The American invasion of Quebec departed from Ticonderoga on August 28. On September 4, the army had occupied the Île aux Noix in the Richelieu River, a few miles above Fort St. John, which they then prepared to besiege. On September 8, Schuyler sent Allen and Massachusetts Major John Brown, who had also been involved in the capture of Ticonderoga, into the countryside between St. John and Montreal to spread the word of their arrival to the habitants and the Indians. They were successful enough in gaining support from the inhabitants that Quebec's governor, General Guy Carleton, reported that "they have injured us very much". When he returned from that expedition eight days later, Brigadier General Richard Montgomery had assumed command of the invasion due to Schuyler's illness. Montgomery, likely not wanting the troublemaker in his camp, again sent Allen out, this time to raise a regiment of French-speaking Canadiens. Accompanied by a small number of Americans, he again set out, traveling through the countryside to Sorel, before turning to follow the Saint Lawrence River up toward Montreal, recruiting upwards of 200 men. On September 24, he and Brown, whose company was guarding the road between St. John's and Montreal, met at Longueuil, and, according to Allen's account of the events, came up with a plan in which both he and Brown would lead their forces to attack Montreal. Allen and about 100 men crossed the Saint Lawrence that night, but Brown and his men, who were to cross the river at La Prairie, did not. General Carleton, alerted to Allen's presence, mustered every man he could, and, in the Battle of Longue-Pointe, scattered most of Allen's force, and captured him and about 30 men. His capture ended his participation in the revolution until 1778, as he was imprisoned by the British. General Schuyler, upon learning of Allen's capture, wrote, "I am very apprehensive of disagreeable consequences arising from Mr. Allen's imprudence. I always dreaded his impatience and imprudence." Much of what is known of Allen's captivity is known only from his own account of the time; where contemporary records are available, they tend to confirm those aspects of his story. Allen was first placed aboard HMS Gaspée, a brig anchored at Montreal. He was kept in solitary confinement and chains, and General Richard Prescott had, according to Allen, ordered him to be treated "with much severity". In October 1775, Gaspée went downriver, and her prisoners were transferred to the merchant vessel Adamant, which then sailed for England. Allen wrote of the voyage that he "was put under the power of an English Merchant from London, whose name was Brook Watson: a man of malicious and cruel disposition". On arrival at Falmouth, England, after a crossing under filthy conditions, Allen and the other prisoners were imprisoned in Pendennis Castle, Cornwall. At first his treatment was poor, but Allen wrote a letter, ostensibly to the Continental Congress, describing his conditions and suggesting that Congress treat the prisoners it held the same way. Unknown to Allen, British prisoners now included General Prescott, captured trying to escape from Montreal, and the letter came into the hands of the British cabinet. Also faced with opposition within the British establishment to the treatment of captives taken in North America, King George decreed that the men should be sent back to America and treated as prisoners of war. In January 1776, Allen and his men were put on board HMS Soledad, which sailed for Cork, Ireland. The people of Cork, when they learned that the famous Ethan Allen was in port, took up a collection to provide him and his men with clothing and other supplies. Much of the following year was spent on prison ships off the American coast. At one point, while aboard HMS Mercury, she anchored off New York, where, among other visitors, the captain entertained William Tryon; Allen reports that Tryon glanced at him without any sign of recognition, although it is likely the New York governor knew who he was. In August 1776, Allen and other prisoners were temporarily put ashore in Halifax, owing to extremely poor conditions aboard ship; due to food scarcity, both crew and prisoners were on short rations, and scurvy was rampant. By the end of October, Allen was again off New York, where the British, having secured the city, moved the prisoners on-shore, and, as he was considered an officer, gave Allen limited parole. With the financial assistance of his brother Ira, he lived comfortably, if out of action, until August 1777. Allen then learned of the death of his young son Joseph due to smallpox. His fortitude and firmness seem to have placed him out of reach of misfortune. There is an original something in him that commands admiration; and his long captivity and sufferings have only served to increase, if possible, his enthusiastic zeal George Washington's impression of Allen According to another prisoner's account, Allen wandered off after learning of his son's death. He was arrested for violating his parole, and placed in solitary confinement. There Allen remained while Vermont declared independence, and John Burgoyne's campaign for the Hudson River met a stumbling block near Bennington in August 1777. On May 3, 1778, he was transferred to Staten Island. Allen was admitted to General John Campbell's quarters, where he was invited to eat and drink with the general and several other British field officers. He stayed there for two days and was treated politely. On the third day Allen was exchanged for Colonel Archibald Campbell, who was conducted to the exchange by Colonel Elias Boudinot, the American commissary general of prisoners appointed by General George Washington. Following the exchange, Allen reported to Washington at Valley Forge. On May 14, he was breveted a colonel in the Continental Army in "reward of his fortitude, firmness and zeal in the cause of his country, manifested during his long and cruel captivity, as well as on former occasions," and given military pay of $75 per month. The brevet rank, however, meant that there was no active role, until called, for Allen. Allen's services were never requested, and eventually the payments stopped. Following his visit to Valley Forge, Allen traveled to Salisbury, arriving on May 25, 1778. There he learned that his brother Heman had died just the previous week and that his brother Zimri, who had been caring for Allen's family and farm, had died in the spring following his capture. The death of Heman, with whom Allen had been quite close, hit him quite hard. Allen then set out for Bennington, where news of his impending return preceded him, and he was met with all of the honor due to a military war hero. There he learned that the Vermont Republic had declared independence in 1777, that a constitution had been drawn up, and that election had been held. Allen wrote of this homecoming that "we passed the flowing bowl, and rural felicity, sweetened with friendship, glowed in every countenance". The next day he went to Arlington to see his family and his brother Ira, whose prominence in Vermont politics had risen considerably during Allen's captivity. Allen spent the next several years involved in Vermont's political and military matters. While his family remained in Arlington, he spent most of his time either in Bennington or on the road, where he could avoid his wife's nagging. Shortly after his arrival, Vermont's Assembly passed the Banishment Act, a sweeping measure allowing for the confiscation and auction by the republic of property owned by known Tories. Allen was appointed to be one of the judges responsible for deciding whose property was subject to seizure under the law. (This law was so successful at collecting revenue that Vermont did not impose any taxes until 1781.) Allen personally escorted some of those convicted under the law to Albany, where he turned them over to General John Stark for transportation to the British lines. Some of these supposed Tories protested to New York Governor George Clinton that they were actually dispossessed Yorkers. Clinton, who considered Vermont to still be a part of New York, did not want to honor the actions of the Vermont tribunals; Stark, who had custody of the men, disagreed with Clinton. Eventually the dispute made its way to George Washington, who essentially agreed with Stark since he desperately needed the general's services. The prisoners were eventually transported to West Point, where they remained in "easy imprisonment". While Allen's service as a judge in Vermont was brief, he continued to ferret out Tories and report them to local Boards of Confiscation for action. He was so zealous in these efforts that they also included naming his own brother Levi, who was apparently trying to swindle Allen and Ira out of land at the time. This action was somewhat surprising, as Levi had not only attempted to purchase Allen's release while he was in Halifax, but he had also traveled to New York while Allen was on parole there and furnished him with goods and money. Allen and Levi engaged in a war of words, many of which were printed in the Connecticut Courant, even after Levi crossed British lines. They would eventually reconcile in 1783. Early in 1779, Governor Clinton issued a proclamation stating that the state of New York would honor the Wentworth grants, if the settlers would recognize New York's political jurisdiction over the Vermont territory. Allen wrote another pamphlet in response, entitled An Animadversory [sic] Address to the Inhabitants of the State of Vermont; with Remarks on a Proclamation under the Hand of his Excellency George Clinton, Esq; Governor of the State of New York. In typical style, Allen castigated the governor for issuing "romantic proclamations ... calculated to deceive woods people", and for his "folly and stupidity". Clinton's response, once he recovered his temper, was to issue another proclamation little different from the first. Allen's pamphlet circulated widely, including among members of Congress, and was successful in casting the Vermonters' case in a positive light. In a dispatch to Clinton from Westminster, two prisoners from New York sentenced after Allen’s intervention pleaded with the governor to free them from being at “the disposal of Ethan Allin [sic] which is more to be dreaded than Death with all its Terrors.” In 1779, Allen published the account of his time in captivity, A Narrative of Colonel Ethan Allen's Captivity ... Containing His Voyages and Travels, With the most remarkable Occurrences respecting him and many other Continental Prisoners of Observations. Written by Himself and now published for the Information of the Curious in all Nations. First published as a serial by the Pennsylvania Packet, the book was an instant best-seller; it is still available today. While largely accurate, it notably omits Benedict Arnold from the capture of Ticonderoga, and Seth Warner as the leader of the Green Mountain Boys. Allen appeared before the Continental Congress as early as September 1778 on behalf of Vermont, seeking recognition as an independent state. He reported that due to Vermont's expansion to include border towns from New Hampshire, Congress was reluctant to grant independent statehood to Vermont. Between 1780 and 1783, Allen participated, along with his brother Ira, Vermont Governor Thomas Chittenden, and others, in negotiations with Frederick Haldimand, the governor of Quebec, that were ostensibly about prisoner exchanges, but were really about establishing Vermont as a new British province and gaining military protection for its residents. The negotiations, once details of them were published, were often described by opponents of Vermont statehood as treasonous, but no such formal charges were ever laid against anyone involved. As the war had ended with the 1783 Treaty of Paris, and the United States, operating under the Articles of Confederation, resisted any significant action with respect to Vermont, Allen's historic role as an agitator became less important, and his public role in Vermont's affairs declined. Vermont's government had also become more than a clique dominated by the Allen and Chittenden families due to the territory's rapid population growth. In 1782, Allen's brother Heber died at the relatively young age of 38. Allen's wife Mary died in June 1783 of consumption, to be followed several months later by their first-born daughter Loraine. While they had not always been close, and Allen's marriage had often been strained, Allen felt these losses deeply. A poem he wrote memorializing Mary was published in the Bennington Gazette. In these years, Allen recovered from Thomas Young's widow, who was living in Albany, the manuscript that he and Young had worked on in his youth and began to develop it into the work that was published in 1785 as Reason: the Only Oracle of Man. The work was a typical Allen polemic, but its target was religious, not political. Specifically targeted against Christianity, it was an unbridled attack against the Bible, established churches, and the powers of the priesthood. As a replacement for organized religion, he espoused a mixture of deism, Spinoza's naturalist views, and precursors of Transcendentalism, with man acting as a free agent within the natural world. While historians disagree over the exact authorship of the work, the writing contains clear indications of Allen's style. The book was a complete financial and critical failure. Allen's publisher had forced him to pay the publication costs up front, and only 200 of the 1,500 volumes printed were sold. (The rest were eventually destroyed by a fire at the publisher's house.) The theologically conservative future president of Yale, Timothy Dwight, opined that "the style was crude and vulgar, and the sentiments were coarser than the style. The arguments were flimsy and unmeaning, and the conclusions were fastened upon the premises by mere force." Allen took the financial loss and the criticism in stride, observing that most of the critics were clergymen, whose livelihood he was attacking. Allen met his second wife, a young widow named Frances "Fanny" Montresor Brush Buchanan, early in 1784; and after a brief courtship, they wed on February 16, 1784. Fanny came from a notably Loyalist background (including Crean Brush, notorious for acts during the Siege of Boston, from whom she inherited land in Vermont), but they were both smitten, and the marriage was a happy one. They had three children: Fanny (1784–1819), Hannibal Montresor (1786–1813), and Ethan Alphonso (1789–1855). Fanny had a settling effect on Allen; for the remainder of his years he did not embark on many great adventures. The notable exception to this was when land was claimed by the Connecticut-based owners of the Susquehanna Company, who had been granted titles to land claimed by Connecticut in the Wyoming Valley, in an area that is now Wilkes-Barre, Pennsylvania. The area was also claimed by Pennsylvania, which refused to recognize the Connecticut titles. Allen, after being promised land, traveled to the area and began stirring up not just Pennsylvania authorities but also his long-time nemesis, Governor Clinton of New York, by proposing that a new state be carved out of the disputed area and several counties of New York. The entire affair was more bluster than anything else, and was resolved amicably when Pennsylvania agreed to honor the Connecticut titles. Allen was also approached by Daniel Shays in 1786 for support in what became the Shays's Rebellion in western Massachusetts. He was unsupportive of the cause, in spite of Shays's offer to crown him "king of Massachusetts"; he felt that Shays was just trying to erase unpayable debts. In his later years, independent Vermont continued to experience rapid population growth, and Allen sold a great deal of his land, but also reinvested much the proceeds in more land. A lack of cash, complicated by Vermont's currency problems, placed a strain on Fanny's relatively free hand on spending, which was further exacerbated by the cost of publishing Reason, and of the construction of a new home near the mouth of the Onion River. He was threatened with debtors' prison on at least one occasion, and was at times reduced to borrowing money and calling in old debts to make ends meet. Allen and his family moved to Burlington in 1787, which was no longer a small frontier settlement but a small town, and much more to Allen's liking than the larger community that Bennington had become. He frequented the tavern there, and began work on An Essay on the Universal Plenitude of Being, which he characterized as an appendix to Reason. This essay was less polemic than many of his earlier writings. Allen affirmed the perfection of God and His creation, and credited intuition as well as reason as a way to bring Man closer to the universe. The work was not published until long after his death, and is primarily of interest to students of Transcendentalism, a movement the work foreshadows. On February 11, 1789, Allen traveled to South Hero, Vermont with one of his workers to visit his cousin, Ebenezer Allen, and to collect a load of hay. After an evening spent with friends and acquaintances, he spent the night there and set out the next morning for home. While accounts of the return journey are not entirely consistent, Allen apparently suffered an apoplectic fit en route and was unconscious by the time they returned home. Allen died at home several hours later, without ever regaining consciousness. He was buried four days later in the Green Mount Cemetery in Burlington. The funeral was attended by dignitaries from the Vermont government and by large numbers of common folk who turned out to pay respects to a man many considered their champion. Allen's death made nationwide headlines. The Bennington Gazette wrote of the local hero, "the patriotism and strong attachment which ever appeared uniform in the breast of this Great Man, was worth of his exalted character; the public have to lament the loss of a man who has rendered them great service". Although most obituaries were positive, a number of clergymen expressed different sentiments. "Allen was an ignorant and profane Deist, who died with a mind replete with horror and despair" was the opinion of Newark, New Jersey's Reverend Uzal Ogden. Yale's Timothy Dwight expressed satisfaction that the world no longer had to deal with a man of "peremptoriness and effrontery, rudeness and ribaldry". It is not recorded what New York Governor Clinton's reaction was to the news. Allen's widow Fanny gave birth to a son, Ethan Alphonso, on October 24, 1789. She eventually remarried. Allen's two youngest sons went on to graduate from West Point and serve in the United States Army. H.M. Allen was the 7th graduate, a member of the Class of 1804, and served until 1813. E.A. Allen was the 22nd graduate, a member of the Class of 1806, and served until 1821. His daughter Fanny achieved notice when she converted to Catholicism and entered a convent. Two of his grandsons were Henry Hitchcock, Attorney General of Alabama, and Ethan Allen Hitchcock, who served as a Union Army general in the American Civil War. Reportedly General Hitchcock strongly resembled his famous grandfather. Two of Henry Hitchcock's sons were Henry Hitchcock and Ethan Allan Hitchcock. Sometime in the early 1850s, the original plaque marking Allen's grave disappeared; its original text was preserved by early war historian Benson Lossing in the 1840s. The inscription read: TheCorporeal partofGeneral Ethan Allenrests beneath this stoneThe 12th Day of Feb., 1789Aged 50 years.His spirit tried the mercies of his God,in whom he alone believed and strongly trusted In 1858, the Vermont Legislature authorized the placement of a 42-foot (13 m) column of Vermont granite in the cemetery, with the following inscription: Vermont to Ethan Allen Born in Litchfield Ct 10th Jan AD 1737Died in Burlington Vt 12th Feb AD 1789and buried near the site of this monument The exact location within the cemetery of his remains is unknown. While there is a vault beneath the 1858 cenotaph, it contains a time capsule from the time of the monument's erection. According to the official 1858 report on the Ethan Allen monument, the funeral of Ethan Allen had taken place within Green Mount Cemetery; however the reason his remains had not been found at his memorial plaque {tablet} was because "... by the fact that some twenty years since, the dead of the Allen family had been arranged in a square enclosed by stone posts and chains, by Herman Allen, the nephew of Ethan Allen, and this tablet, then lying upon a dilapidated wall of brick work, was reconstructed with cut stone work, and it is presumed that, as a matter of convenience in giving a regular form to the enclosure, was removed some feet from its original position ..." It was thus apparent it was actually a cenotaph tomb reconstruction that Benson Lossing sketched and presumed to be the actual tomb of Ethan Allen in his 1850 The Pictorial Field-book of the Revolution. No likenesses of Allen made from life have been found, in spite of numerous attempts to locate them. Efforts by members of the Vermont Historical Society and other historical groups through the years have followed up on rumored likenesses, only to come up empty. Photographs of Allen's grandson, General Ethan Allen Hitchcock, are extant, and, Hitchcock's mother said that he bore a strong resemblance to her father. The nearest potential images included one claimed to be by noted Revolutionary War era engraver Pierre Eugene du Simitiere that turned out to be a forgery, and a reference to a portrait possibly by Ralph Earl that has not been found (as of Stewart Holbrook's writing in 1940). Alexander Graydon, with whom Allen was paroled during his captivity in New York, described him like this: His figure was that of a robust, large-framed man, worn down by confinement and hard fare; but he was now recovering his flesh and spirits; and a suit of blue clothes, with a gold laced hat that had been presented to him by the gentlement of Cork, enabled him to make a very passable appearance for a rebel colonel ... I have seldom met with a man, possessing, in my opinion, a stronger mind, or whose mode of expression was more vehement and oratorical. Notwithstanding that Allen might have had something of the insubordinate, lawless frontier spirit in his composition ... he appeared to me to be a man of generosity and honor. Allen's final home, on the Onion River (now called the Winooski River), is a part of the Ethan Allen Homestead and Museum. Situated in Burlington, Allen's homestead is open for viewing via guided tours. Two ships of the United States Navy were named USS Ethan Allen in his honor, as were two 19th-century fortifications: a Civil War fort in Arlington County, Virginia and a cavalry outpost in Colchester and Essex, Vermont. The Vermont Army National Guard's facility in Jericho, Vermont is called the Camp Ethan Allen Training Site. A statue of Allen represents Vermont in National Statuary Hall of the United States Capitol. A city park in the Montreal borough of Mercier–Hochelaga-Maisonneuve commemorating his capture bears his name. The Spirit of Ethan Allen III is a tour boat operating on Lake Champlain. Allen's name is the trademark of the furniture and housewares manufacturer, Ethan Allen Inc., which was founded in 1932 in Beecher Falls, Vermont. The Ethan Allen Express, an Amtrak train running from New York City to Burlington, Vermont, is also named after him. The Ethan Allen School was added to the National Register of Historic Places in 1988. Allen is known to have written the following publications:
[ { "paragraph_id": 0, "text": "Ethan Allen (January 21, 1738 [O.S. January 10, 1737] – February 12, 1789) was an American farmer, businessman, land speculator, philosopher, writer, lay theologian, American Revolutionary War patriot, and politician. He is best known as one of the founders of Vermont and for the capture of Fort Ticonderoga early in the Revolutionary War. He was the brother of Ira Allen and the father of Frances Allen.", "title": "" }, { "paragraph_id": 1, "text": "Allen was born in rural Connecticut and had a frontier upbringing, but he also received an education that included some philosophical teachings. In the late 1760s, he became interested in the New Hampshire Grants, buying land there and becoming embroiled in the legal disputes surrounding the territory. Legal setbacks led to the formation of the Green Mountain Boys, whom Allen led in a campaign of intimidation and property destruction to drive New York settlers from the Grants. He and the Green Mountain Boys seized the initiative early in the Revolutionary War and captured Fort Ticonderoga in May 1775. In September 1775, Allen led a failed attempt on Montreal which resulted in his capture by British authorities. He was imprisoned aboard Royal Navy ships, then paroled in New York City, and finally released in a prisoner exchange in 1778.", "title": "" }, { "paragraph_id": 2, "text": "Upon his release, Allen returned to the New Hampshire Grants which had declared independence in 1777, and he resumed political activity in the territory, continuing resistance to New York's attempts to assert control over the territory. Allen lobbied Congress for Vermont's official state recognition, and he participated in controversial negotiations with the British over the possibility of Vermont becoming a separate British province.", "title": "" }, { "paragraph_id": 3, "text": "Allen wrote accounts of his exploits in the war that were widely read in the 19th century, as well as philosophical treatises and documents relating to the politics of Vermont's formation. His business dealings included successful farming operations, one of Connecticut's early iron works, and land speculation in the Vermont territory. Allen and his brothers purchased tracts of land that became Burlington, Vermont. He was married twice, fathering eight children.", "title": "" }, { "paragraph_id": 4, "text": "Allen was born in Litchfield, Connecticut Colony, the first child of Joseph and Mary Baker Allen, both descended from English Puritans. The family moved to the town of Cornwall shortly after his birth due to his father's quest for freedom of religion during the Great Awakening. As a boy, Allen already excelled at quoting the Bible and was known for disputing the meaning of passages. He had five brothers (Heman, Heber, Levi, Zimri, and Ira) and two sisters (Lydia and Lucy). His brothers Ira and Heman were also prominent figures in the early history of Vermont.", "title": "Early life" }, { "paragraph_id": 5, "text": "The town of Cornwall was frontier territory in the 1740s, but it began to resemble a town by the time that Allen was a teenager, with wood-frame houses beginning to replace the rough cabins of the early settlers. Joseph Allen was one of the wealthier landowners in the area by the time of his death in 1755. He ran a successful farm and had served as town selectman. Allen began studies under a minister in the nearby town of Salisbury with the goal of gaining admission to Yale College.", "title": "Early life" }, { "paragraph_id": 6, "text": "Allen was forced to end his studies upon his father's death. He volunteered for militia service in 1757 in response to the French siege of Fort William Henry, but his unit received word that the fort had fallen while they were en route, and they turned back. The French and Indian War continued over the next several years, but Allen did not participate in any further military activities and is presumed to have tended his farm. In 1762, he became part owner of an iron furnace in Salisbury. He also married Mary Brownson from Roxbury in July 1762, who was five years his senior. They first settled in Cornwall, but moved the following year to Salisbury with their infant daughter Loraine. They bought a small farm and proceeded to develop the iron works. The expansion of the iron works was apparently costly to Allen; he was forced to sell off portions of the Cornwall property to raise funds, and eventually sold half of his interest in the works to his brother Heman. The Allen brothers sold their interest in the iron works in October 1765.", "title": "Early life" }, { "paragraph_id": 7, "text": "By most accounts, Allen's first marriage was unhappy. His wife was rigidly religious, prone to criticizing him, and barely able to read and write. In contrast, his behavior was sometimes quite flamboyant, and he maintained an interest in learning. Nevertheless, they remained together until Mary's death in 1783. They had five children together, only two of whom reached adulthood.", "title": "Early life" }, { "paragraph_id": 8, "text": "Allen and his brother Heman went to the farm of a neighbor whose pigs had escaped onto their land, and they seized the pigs. The neighbor sued to have the animals returned to him; Allen pleaded his own case and lost. Allen and Heman were fined ten shillings, and the neighbor was awarded another five shillings in damages. He was also called to court in Salisbury for inoculating himself against smallpox, a procedure that required the sanction of the town selectmen.", "title": "Early life" }, { "paragraph_id": 9, "text": "Allen met Thomas Young when he moved to Salisbury, a doctor living and practicing just across the provincial boundary in New York. Young taught him a great deal about philosophy and political theory, while Allen shared his appreciation of nature and life on the frontier with Young. They eventually decided to collaborate on a book intended as an attack on organized religion, as Young had convinced Allen to become a Deist. They worked on the manuscript until 1764, when Young moved away from the area taking the manuscript with him. Allen recovered the manuscript many years later, after Young's death. He expanded and reworked the material, and eventually published it as Reason: the Only Oracle of Man.", "title": "Early life" }, { "paragraph_id": 10, "text": "Heman remained in Salisbury where he ran a general store until his death in 1778, but Allen's movements are poorly documented over the next few years. He lived in Northampton, Massachusetts in the spring of 1766, where his son Joseph was born and where he invested in a lead mine. The authorities asked him to leave Northampton in July 1767, though no official reason is known. Biographer Michael Bellesiles suggests that religious differences and Allen's tendency to be disruptive may have played a role in his departure. Allen briefly returned to Salisbury before settling in Sheffield, Massachusetts with his younger brother Zimri. It is likely that his first visits to the New Hampshire Grants occurred during these years. Sheffield was the family home for ten years, although Allen was often absent for extended periods.", "title": "Early life" }, { "paragraph_id": 11, "text": "New Hampshire Governor Benning Wentworth was selling land grants west of the Connecticut River as early as 1749, an area to which New Hampshire had always laid claim. Many of these grants were sold at relatively low prices to land speculators, with Wentworth also reserving for himself a share of each grant. In 1764, King George issued an order resolving the competing claims of New York and New Hampshire in favor of New York. New York had issued land grants that overlapped some of those sold by Wentworth, and authorities there insisted that holders of the Wentworth grants pay a fee to New York to have their grants validated. This fee approached the original purchase price, and many of the holders were land-rich and cash-poor, so there was a great deal of resistance to the demand. By 1769, the situation had deteriorated to the point that surveyors and other figures of New York authority were being physically threatened and driven from the area.", "title": "New Hampshire Grants" }, { "paragraph_id": 12, "text": "A few of the holders of Wentworth grants were from northwestern Connecticut, and some of them were related to Allen, including Remember Baker and Seth Warner. In 1770, a group of them asked him to defend their case before New York's Supreme Court. Allen hired Jared Ingersoll to represent the grant-holder interest in the trial, which began in July 1770 and pitted Allen against politically powerful New York grant-holders, including New York's Lieutenant Governor Colden, James Duane who was prosecuting the case, and Robert Livingston, the Chief Justice of the Supreme Court who was presiding over the case. The trial was brief and the outcome unsurprising, as the court refused to allow the introduction of Wentworth's grants as evidence, citing their fraudulently issued nature. Duane visited Allen and offered him payments \"for going among the people to quiet them\". Allen denied taking any money and claimed that Duane was outraged and left with veiled threats, indicating that attempts to enforce the judgment would be met with resistance.", "title": "New Hampshire Grants" }, { "paragraph_id": 13, "text": "Many historians believe that Allen took these actions because he already held Wentworth grants of his own, although there is no evidence that he was issued any such grants until after he had been asked to take up the defense at the trial. He acquired grants from Wentworth to about 1,000 acres (400 ha) in Poultney and Castleton prior to the trial.", "title": "New Hampshire Grants" }, { "paragraph_id": 14, "text": "On Allen's return to Bennington, the settlers met at the Catamount Tavern to discuss their options. These discussions resulted in the formation of the Green Mountain Boys in 1770, with local militia companies in each of the surrounding towns. Allen was named their Colonel Commandant, and cousins Seth Warner and Remember Baker were captains of two of the companies. Further meetings resulted in creating committees of safety; they also laid down rules to resist New York's attempts to establish its authority. These included not allowing New York's surveyors to survey any land in the Grants, not just land owned through the Wentworth grants. Allen participated in some of the actions to drive away surveyors, and he also spent much time exploring the territory. He sold some of his Connecticut properties and began buying land farther north in the territory, which he sold at a profit as the southern settlements grew and people began to move farther north.", "title": "New Hampshire Grants" }, { "paragraph_id": 15, "text": "Friction increased with the provincial government in October 1771, when Allen and a company of Green Mountain Boys drove off a group of Scottish settlers near Rupert. Allen detained two of the settlers and forced them to watch them burn their newly constructed cabins. Allen then ordered them to \"go your way now, and complain to that damned scoundrel your Governor, God damn your Governor, Laws, King, Council, and Assembly\". The settlers protested his language but Allen continued the tirade, threatening to send any troops from New York to Hell. In response, New York Governor William Tryon issued warrants for the arrests of those responsible, and eventually put a price of £20 (around £3.3k today, or $4.4k) on the heads of six participants, including Allen. Allen and his comrades countered by issuing offers of their own.", "title": "New Hampshire Grants" }, { "paragraph_id": 16, "text": "£25 REWARD—Whereas James Duane and John Kempe, of New York, have by their menaces and threats greatly disturbed the public peace and repose of the honest peasants of Bennington and the settlements to the northward, which are now and ever have been in the peace of God and the King, and are patriotic and liege subjects of Geo. the 3rd. Any person that will apprehend these common disturbers, viz: James Duane and John Kempe, and bring them to Landlord Fay's at Bennington shall have £15 reward James Duane and £10 reward for John Kempe, paid by", "title": "New Hampshire Grants" }, { "paragraph_id": 17, "text": "Ethan Allen, Remember Baker, Robert Cochran", "title": "New Hampshire Grants" }, { "paragraph_id": 18, "text": "The situation deteriorated further over the next few years. Governor Tryon and the Green Mountain Boys exchanged threats, truce offers, and other writings, frequently written by Allen in florid and didactic language while the Green Mountain Boys continued to drive away surveyors and incoming tenants. Most of these incidents did not involve bloodshed, although individuals were at times manhandled, and the Green Mountain Boys sometimes did extensive property damage when driving tenants out. By March 1774, the harsh treatment of settlers and their property prompted Tryon to increase some of the rewards to £100.", "title": "New Hampshire Grants" }, { "paragraph_id": 19, "text": "Allen joined his cousin Remember Baker and his brothers Ira, Heman, and Zimri to form the Onion River Company in 1772, a land-speculation organization devoted to purchasing land around the Winooski River, which was known then as the Onion River. The success of this business depended on the defense of the Wentworth grants. Early purchases included about 40,000 acres (16,000 ha) from Edward Burling and his partners; they sold land at a profit to Thomas Chittenden, among others, and their land became the city of Burlington.", "title": "New Hampshire Grants" }, { "paragraph_id": 20, "text": "The outrage of the Wentworth proprietors was renewed in 1774 when Governor Tryon passed a law containing harsh provisions clearly targeted at the actions of the \"Bennington Mob\". Vermont historian Samuel Williams called it \"an act which for its savage barbarity is probably without parallel in the legislation of any civilized country\". Its provisions included the death penalty for interfering with a magistrate, and outlawing meetings of more than three people \"for unlawful purposes\" in the Grants. The Green Mountain Boys countered with rules of their own, forbidding anyone in the Grants from holding \"any office of honor or profit under the colony of N. York\".", "title": "New Hampshire Grants" }, { "paragraph_id": 21, "text": "Allen spent much of the summer of 1774 writing A Brief Narrative of the Proceedings of the Government of New York Relative to Their Obtaining the Jurisdiction of that Large District of Land to the Westward of the Connecticut River, a 200-page polemic arguing the position of the Wentworth proprietors. He had it printed in Connecticut and began selling and giving away copies in early 1775. Historian Charles Jellison describes it as \"rebellion in print\".", "title": "New Hampshire Grants" }, { "paragraph_id": 22, "text": "Allen traveled into the northern parts of the Grants early in 1775 for solitude and to hunt for game and land opportunities. A few days after his return, news came that blood had finally been shed over the land disputes. Most of the resistance activity had taken place on the west side of the Green Mountains until then, but a small riot broke out in Westminster on March 13 and led to the deaths of two men. Allen and a troop of Green Mountain Boys traveled to Westminster where the town's convention adopted a resolution to draft a plea to the King to remove them \"out of so oppressive a jurisdiction\". It was assigned to a committee which included Allen. The American Revolutionary War began less than a week after the Westminster convention ended, while Allen and the committee worked on their petition.", "title": "New Hampshire Grants" }, { "paragraph_id": 23, "text": "Allen received a message from members of an irregular Connecticut militia in late April, following the battles of Lexington and Concord, that they were planning to capture Fort Ticonderoga and requesting his assistance in the effort. Allen agreed to help and began rounding up the Green Mountain Boys, and 60 men from Massachusetts and Connecticut met with Allen in Bennington on May 2, where they discussed the logistics of the expedition. By May 7, these men joined Allen and 130 Green Mountain Boys at Castleton. They elected Allen to lead the expedition, and they planned a dawn raid for May 10. Two small companies were detached to procure boats, and Allen took the main contingent north to Hand's Cove in Shoreham to prepare for the crossing.", "title": "Revolutionary War" }, { "paragraph_id": 24, "text": "On the afternoon of May 9, Benedict Arnold unexpectedly arrived, flourishing a commission from the Massachusetts Committee of Safety. He asserted his right to command the expedition, but the men refused to acknowledge his authority and insisted that they would follow only Allen's lead. Allen and Arnold reached an accommodation privately, the essence of which was that Arnold and Allen would both be at the front of the troops when they attacked the fort.", "title": "Revolutionary War" }, { "paragraph_id": 25, "text": "The troops procured a few boats around 2 a.m. for the crossing, but only 83 men made it to the other side of the lake before Allen and Arnold decided to attack, concerned that dawn was approaching. The small force marched on the fort in the early dawn, surprising the lone sentry, and Allen went directly to the fort commander's quarters, seeking to force his surrender. Lieutenant Jocelyn Feltham was awakened by the noise, and called to wake the fort's commander Captain William Delaplace. He demanded to know by what authority the fort was being entered, and Allen said, \"In the name of the Great Jehovah and the Continental Congress!\" Delaplace finally emerged from his chambers and surrendered his sword, and the rest of the fort's garrison surrendered without firing a shot. The only casualty had been a British soldier who became concussed when Allen hit him with a cutlass, hitting the man's hair comb and saving his life.", "title": "Revolutionary War" }, { "paragraph_id": 26, "text": "On the following day, a detachment of the Boys under Seth Warner's command went to nearby Fort Crown Point and captured the small garrison there. On May 14, following the arrival of 100 men recruited by Arnold's captains, and the arrival of a schooner and some bateaux that had been taken at Skenesboro, Arnold and 50 of his men sailed north to raid Fort St. John, on the Richelieu River downstream from the lake, where a small British warship was reported by the prisoners to be anchored. Arnold's raid was a success; he seized the sloop HMS Royal George, supplies, and a number of bateaux.", "title": "Revolutionary War" }, { "paragraph_id": 27, "text": "Allen, shortly after Arnold's departure on the raid, decided, after his successes at the southern end of the lake, to take and hold Fort St. John himself. To that end, he and about 100 Boys climbed into four bateaux, and began rowing north. After two days without significant food (which they had forgotten to provision in the boats), Allen's small fleet met Arnold's on its way back to Ticonderoga near the foot of the lake. Arnold generously opened his stores to Allen's hungry men, and tried to dissuade Allen from his objective, noting that it was likely the alarm had been raised and troops were on their way to St. John. Allen, likely both stubborn in his determination, and envious of Arnold, persisted.", "title": "Revolutionary War" }, { "paragraph_id": 28, "text": "When Allen and his men landed above St. John and scouted the situation, they learned that a column of 200 or more regulars was approaching. Rather than attempt an ambush on those troops, which significantly outnumbered his tired company, Allen withdrew to the other side of the river, where the men collapsed with exhaustion and slept without sentries through the night. They were awakened when British sentries discovered them and began firing grapeshot at them from across the river. The Boys, in a panic, piled into their bateaux and rowed with all speed upriver. When the expedition returned to Ticonderoga two days later, some of the men were greatly disappointed that they felt they had nothing to show for the effort and risks they took, but the capture of Fort Ticonderoga and Crown Point proved to be important in the Revolutionary War because it secured protection from the British to the North and provided vital cannon for the colonial army.", "title": "Revolutionary War" }, { "paragraph_id": 29, "text": "Following Allen's failed attempt on St. John, many of his men drifted away, presumably drawn by the needs of home and farm. Arnold then began asserting his authority over Allen for control of Ticonderoga and Crown Point. Allen publicly announced that he was stepping down as commander, but remained hopeful that the Second Continental Congress was going to name \"a commander for this department ... Undoubtedly, we shall be rewarded according to our merit\". Congress, for its part, at first not really wanting any part of the affair, effectively voted to strip and then abandon the forts. Both Allen and Arnold protested these measures, pointing out that doing so would leave the northern border wide open. They both also made proposals to Congress and other provincial bodies for carrying out an invasion of Quebec. Allen, in one instance, wrote that \"I will lay my life on it, that with fifteen hundred men, and a proper artillery, I will take Montreal\". Allen also attempted correspondence with the people of Quebec and with the Indians living there in an attempt to sway their opinion toward the revolutionary cause.", "title": "Revolutionary War" }, { "paragraph_id": 30, "text": "On June 22, Allen and Seth Warner appeared before Congress in Philadelphia, where they argued for the inclusion of the Green Mountain Boys in the Continental Army. After deliberation, Congress directed General Philip Schuyler, who had been appointed to lead the Army's Northern Department, to work with New York's provincial government to establish (and pay for) a regiment consisting of the Boys, and that they be paid Army rates for their service at Ticonderoga. On July 4, Allen and Warner made their case to New York's Provincial Congress, which, despite the fact that the Royal Governor had placed a price on their heads, agreed to the formation of a regiment. Following a brief visit to their families, they returned to Bennington to spread the news. Allen went to Ticonderoga to join Schuyler, while Warner and others raised the regiment.", "title": "Revolutionary War" }, { "paragraph_id": 31, "text": "When the regimental companies in the Grants had been raised, they held a vote in Dorset to determine who would command the regiment. By a wide margin, Seth Warner was elected to lead the regiment. Brothers Ira and Heman were also given command positions, but Allen was not given any position at all in the regiment. The thorough rejection stung; Allen wrote to Connecticut Governor Jonathan Trumbull, \"How the old men came to reject me I cannot conceive inasmuch as I saved them from the incroachments of New York.\"", "title": "Revolutionary War" }, { "paragraph_id": 32, "text": "The rejection likely had several causes. The people of the Grants were tired of the disputes with New York, and they were tired of Allen's posturing and egotistic behavior, which the success at Ticonderoga had enhanced. Finally, the failure of the attempt on St. John's was widely seen as reckless and ill-advised, attributes they did not appreciate in a regimental leader. Warner was viewed as a more stable and quieter choice, and was someone who also commanded respect. The history of Warner's later actions in the revolution (notably at Hubbardton and Bennington) may be seen as a confirmation of the choice made by the Dorset meeting. In the end, Allen took the rejection in stride, and managed to convince Schuyler and Warner to permit him to accompany the regiment as a civilian scout.", "title": "Revolutionary War" }, { "paragraph_id": 33, "text": "The American invasion of Quebec departed from Ticonderoga on August 28. On September 4, the army had occupied the Île aux Noix in the Richelieu River, a few miles above Fort St. John, which they then prepared to besiege. On September 8, Schuyler sent Allen and Massachusetts Major John Brown, who had also been involved in the capture of Ticonderoga, into the countryside between St. John and Montreal to spread the word of their arrival to the habitants and the Indians. They were successful enough in gaining support from the inhabitants that Quebec's governor, General Guy Carleton, reported that \"they have injured us very much\".", "title": "Revolutionary War" }, { "paragraph_id": 34, "text": "When he returned from that expedition eight days later, Brigadier General Richard Montgomery had assumed command of the invasion due to Schuyler's illness. Montgomery, likely not wanting the troublemaker in his camp, again sent Allen out, this time to raise a regiment of French-speaking Canadiens. Accompanied by a small number of Americans, he again set out, traveling through the countryside to Sorel, before turning to follow the Saint Lawrence River up toward Montreal, recruiting upwards of 200 men.", "title": "Revolutionary War" }, { "paragraph_id": 35, "text": "On September 24, he and Brown, whose company was guarding the road between St. John's and Montreal, met at Longueuil, and, according to Allen's account of the events, came up with a plan in which both he and Brown would lead their forces to attack Montreal. Allen and about 100 men crossed the Saint Lawrence that night, but Brown and his men, who were to cross the river at La Prairie, did not. General Carleton, alerted to Allen's presence, mustered every man he could, and, in the Battle of Longue-Pointe, scattered most of Allen's force, and captured him and about 30 men. His capture ended his participation in the revolution until 1778, as he was imprisoned by the British. General Schuyler, upon learning of Allen's capture, wrote, \"I am very apprehensive of disagreeable consequences arising from Mr. Allen's imprudence. I always dreaded his impatience and imprudence.\"", "title": "Revolutionary War" }, { "paragraph_id": 36, "text": "Much of what is known of Allen's captivity is known only from his own account of the time; where contemporary records are available, they tend to confirm those aspects of his story.", "title": "Imprisonment" }, { "paragraph_id": 37, "text": "Allen was first placed aboard HMS Gaspée, a brig anchored at Montreal. He was kept in solitary confinement and chains, and General Richard Prescott had, according to Allen, ordered him to be treated \"with much severity\". In October 1775, Gaspée went downriver, and her prisoners were transferred to the merchant vessel Adamant, which then sailed for England. Allen wrote of the voyage that he \"was put under the power of an English Merchant from London, whose name was Brook Watson: a man of malicious and cruel disposition\".", "title": "Imprisonment" }, { "paragraph_id": 38, "text": "On arrival at Falmouth, England, after a crossing under filthy conditions, Allen and the other prisoners were imprisoned in Pendennis Castle, Cornwall. At first his treatment was poor, but Allen wrote a letter, ostensibly to the Continental Congress, describing his conditions and suggesting that Congress treat the prisoners it held the same way. Unknown to Allen, British prisoners now included General Prescott, captured trying to escape from Montreal, and the letter came into the hands of the British cabinet. Also faced with opposition within the British establishment to the treatment of captives taken in North America, King George decreed that the men should be sent back to America and treated as prisoners of war.", "title": "Imprisonment" }, { "paragraph_id": 39, "text": "In January 1776, Allen and his men were put on board HMS Soledad, which sailed for Cork, Ireland. The people of Cork, when they learned that the famous Ethan Allen was in port, took up a collection to provide him and his men with clothing and other supplies. Much of the following year was spent on prison ships off the American coast. At one point, while aboard HMS Mercury, she anchored off New York, where, among other visitors, the captain entertained William Tryon; Allen reports that Tryon glanced at him without any sign of recognition, although it is likely the New York governor knew who he was. In August 1776, Allen and other prisoners were temporarily put ashore in Halifax, owing to extremely poor conditions aboard ship; due to food scarcity, both crew and prisoners were on short rations, and scurvy was rampant. By the end of October, Allen was again off New York, where the British, having secured the city, moved the prisoners on-shore, and, as he was considered an officer, gave Allen limited parole. With the financial assistance of his brother Ira, he lived comfortably, if out of action, until August 1777. Allen then learned of the death of his young son Joseph due to smallpox.", "title": "Imprisonment" }, { "paragraph_id": 40, "text": "His fortitude and firmness seem to have placed him out of reach of misfortune. There is an original something in him that commands admiration; and his long captivity and sufferings have only served to increase, if possible, his enthusiastic zeal", "title": "Imprisonment" }, { "paragraph_id": 41, "text": "George Washington's impression of Allen", "title": "Imprisonment" }, { "paragraph_id": 42, "text": "According to another prisoner's account, Allen wandered off after learning of his son's death. He was arrested for violating his parole, and placed in solitary confinement. There Allen remained while Vermont declared independence, and John Burgoyne's campaign for the Hudson River met a stumbling block near Bennington in August 1777. On May 3, 1778, he was transferred to Staten Island. Allen was admitted to General John Campbell's quarters, where he was invited to eat and drink with the general and several other British field officers. He stayed there for two days and was treated politely. On the third day Allen was exchanged for Colonel Archibald Campbell, who was conducted to the exchange by Colonel Elias Boudinot, the American commissary general of prisoners appointed by General George Washington. Following the exchange, Allen reported to Washington at Valley Forge. On May 14, he was breveted a colonel in the Continental Army in \"reward of his fortitude, firmness and zeal in the cause of his country, manifested during his long and cruel captivity, as well as on former occasions,\" and given military pay of $75 per month. The brevet rank, however, meant that there was no active role, until called, for Allen. Allen's services were never requested, and eventually the payments stopped.", "title": "Imprisonment" }, { "paragraph_id": 43, "text": "Following his visit to Valley Forge, Allen traveled to Salisbury, arriving on May 25, 1778. There he learned that his brother Heman had died just the previous week and that his brother Zimri, who had been caring for Allen's family and farm, had died in the spring following his capture. The death of Heman, with whom Allen had been quite close, hit him quite hard.", "title": "Vermont Republic" }, { "paragraph_id": 44, "text": "Allen then set out for Bennington, where news of his impending return preceded him, and he was met with all of the honor due to a military war hero. There he learned that the Vermont Republic had declared independence in 1777, that a constitution had been drawn up, and that election had been held. Allen wrote of this homecoming that \"we passed the flowing bowl, and rural felicity, sweetened with friendship, glowed in every countenance\". The next day he went to Arlington to see his family and his brother Ira, whose prominence in Vermont politics had risen considerably during Allen's captivity.", "title": "Vermont Republic" }, { "paragraph_id": 45, "text": "Allen spent the next several years involved in Vermont's political and military matters. While his family remained in Arlington, he spent most of his time either in Bennington or on the road, where he could avoid his wife's nagging. Shortly after his arrival, Vermont's Assembly passed the Banishment Act, a sweeping measure allowing for the confiscation and auction by the republic of property owned by known Tories. Allen was appointed to be one of the judges responsible for deciding whose property was subject to seizure under the law. (This law was so successful at collecting revenue that Vermont did not impose any taxes until 1781.) Allen personally escorted some of those convicted under the law to Albany, where he turned them over to General John Stark for transportation to the British lines. Some of these supposed Tories protested to New York Governor George Clinton that they were actually dispossessed Yorkers. Clinton, who considered Vermont to still be a part of New York, did not want to honor the actions of the Vermont tribunals; Stark, who had custody of the men, disagreed with Clinton. Eventually the dispute made its way to George Washington, who essentially agreed with Stark since he desperately needed the general's services. The prisoners were eventually transported to West Point, where they remained in \"easy imprisonment\".", "title": "Vermont Republic" }, { "paragraph_id": 46, "text": "While Allen's service as a judge in Vermont was brief, he continued to ferret out Tories and report them to local Boards of Confiscation for action. He was so zealous in these efforts that they also included naming his own brother Levi, who was apparently trying to swindle Allen and Ira out of land at the time. This action was somewhat surprising, as Levi had not only attempted to purchase Allen's release while he was in Halifax, but he had also traveled to New York while Allen was on parole there and furnished him with goods and money. Allen and Levi engaged in a war of words, many of which were printed in the Connecticut Courant, even after Levi crossed British lines. They would eventually reconcile in 1783.", "title": "Vermont Republic" }, { "paragraph_id": 47, "text": "Early in 1779, Governor Clinton issued a proclamation stating that the state of New York would honor the Wentworth grants, if the settlers would recognize New York's political jurisdiction over the Vermont territory. Allen wrote another pamphlet in response, entitled An Animadversory [sic] Address to the Inhabitants of the State of Vermont; with Remarks on a Proclamation under the Hand of his Excellency George Clinton, Esq; Governor of the State of New York. In typical style, Allen castigated the governor for issuing \"romantic proclamations ... calculated to deceive woods people\", and for his \"folly and stupidity\". Clinton's response, once he recovered his temper, was to issue another proclamation little different from the first. Allen's pamphlet circulated widely, including among members of Congress, and was successful in casting the Vermonters' case in a positive light.", "title": "Vermont Republic" }, { "paragraph_id": 48, "text": "In a dispatch to Clinton from Westminster, two prisoners from New York sentenced after Allen’s intervention pleaded with the governor to free them from being at “the disposal of Ethan Allin [sic] which is more to be dreaded than Death with all its Terrors.”", "title": "Vermont Republic" }, { "paragraph_id": 49, "text": "In 1779, Allen published the account of his time in captivity, A Narrative of Colonel Ethan Allen's Captivity ... Containing His Voyages and Travels, With the most remarkable Occurrences respecting him and many other Continental Prisoners of Observations. Written by Himself and now published for the Information of the Curious in all Nations. First published as a serial by the Pennsylvania Packet, the book was an instant best-seller; it is still available today. While largely accurate, it notably omits Benedict Arnold from the capture of Ticonderoga, and Seth Warner as the leader of the Green Mountain Boys.", "title": "Vermont Republic" }, { "paragraph_id": 50, "text": "Allen appeared before the Continental Congress as early as September 1778 on behalf of Vermont, seeking recognition as an independent state. He reported that due to Vermont's expansion to include border towns from New Hampshire, Congress was reluctant to grant independent statehood to Vermont. Between 1780 and 1783, Allen participated, along with his brother Ira, Vermont Governor Thomas Chittenden, and others, in negotiations with Frederick Haldimand, the governor of Quebec, that were ostensibly about prisoner exchanges, but were really about establishing Vermont as a new British province and gaining military protection for its residents. The negotiations, once details of them were published, were often described by opponents of Vermont statehood as treasonous, but no such formal charges were ever laid against anyone involved.", "title": "Vermont Republic" }, { "paragraph_id": 51, "text": "As the war had ended with the 1783 Treaty of Paris, and the United States, operating under the Articles of Confederation, resisted any significant action with respect to Vermont, Allen's historic role as an agitator became less important, and his public role in Vermont's affairs declined. Vermont's government had also become more than a clique dominated by the Allen and Chittenden families due to the territory's rapid population growth.", "title": "Later years" }, { "paragraph_id": 52, "text": "In 1782, Allen's brother Heber died at the relatively young age of 38. Allen's wife Mary died in June 1783 of consumption, to be followed several months later by their first-born daughter Loraine. While they had not always been close, and Allen's marriage had often been strained, Allen felt these losses deeply. A poem he wrote memorializing Mary was published in the Bennington Gazette.", "title": "Later years" }, { "paragraph_id": 53, "text": "In these years, Allen recovered from Thomas Young's widow, who was living in Albany, the manuscript that he and Young had worked on in his youth and began to develop it into the work that was published in 1785 as Reason: the Only Oracle of Man. The work was a typical Allen polemic, but its target was religious, not political. Specifically targeted against Christianity, it was an unbridled attack against the Bible, established churches, and the powers of the priesthood. As a replacement for organized religion, he espoused a mixture of deism, Spinoza's naturalist views, and precursors of Transcendentalism, with man acting as a free agent within the natural world. While historians disagree over the exact authorship of the work, the writing contains clear indications of Allen's style.", "title": "Later years" }, { "paragraph_id": 54, "text": "The book was a complete financial and critical failure. Allen's publisher had forced him to pay the publication costs up front, and only 200 of the 1,500 volumes printed were sold. (The rest were eventually destroyed by a fire at the publisher's house.) The theologically conservative future president of Yale, Timothy Dwight, opined that \"the style was crude and vulgar, and the sentiments were coarser than the style. The arguments were flimsy and unmeaning, and the conclusions were fastened upon the premises by mere force.\" Allen took the financial loss and the criticism in stride, observing that most of the critics were clergymen, whose livelihood he was attacking.", "title": "Later years" }, { "paragraph_id": 55, "text": "Allen met his second wife, a young widow named Frances \"Fanny\" Montresor Brush Buchanan, early in 1784; and after a brief courtship, they wed on February 16, 1784. Fanny came from a notably Loyalist background (including Crean Brush, notorious for acts during the Siege of Boston, from whom she inherited land in Vermont), but they were both smitten, and the marriage was a happy one. They had three children: Fanny (1784–1819), Hannibal Montresor (1786–1813), and Ethan Alphonso (1789–1855). Fanny had a settling effect on Allen; for the remainder of his years he did not embark on many great adventures.", "title": "Later years" }, { "paragraph_id": 56, "text": "The notable exception to this was when land was claimed by the Connecticut-based owners of the Susquehanna Company, who had been granted titles to land claimed by Connecticut in the Wyoming Valley, in an area that is now Wilkes-Barre, Pennsylvania. The area was also claimed by Pennsylvania, which refused to recognize the Connecticut titles. Allen, after being promised land, traveled to the area and began stirring up not just Pennsylvania authorities but also his long-time nemesis, Governor Clinton of New York, by proposing that a new state be carved out of the disputed area and several counties of New York. The entire affair was more bluster than anything else, and was resolved amicably when Pennsylvania agreed to honor the Connecticut titles.", "title": "Later years" }, { "paragraph_id": 57, "text": "Allen was also approached by Daniel Shays in 1786 for support in what became the Shays's Rebellion in western Massachusetts. He was unsupportive of the cause, in spite of Shays's offer to crown him \"king of Massachusetts\"; he felt that Shays was just trying to erase unpayable debts.", "title": "Later years" }, { "paragraph_id": 58, "text": "In his later years, independent Vermont continued to experience rapid population growth, and Allen sold a great deal of his land, but also reinvested much the proceeds in more land. A lack of cash, complicated by Vermont's currency problems, placed a strain on Fanny's relatively free hand on spending, which was further exacerbated by the cost of publishing Reason, and of the construction of a new home near the mouth of the Onion River. He was threatened with debtors' prison on at least one occasion, and was at times reduced to borrowing money and calling in old debts to make ends meet.", "title": "Later years" }, { "paragraph_id": 59, "text": "Allen and his family moved to Burlington in 1787, which was no longer a small frontier settlement but a small town, and much more to Allen's liking than the larger community that Bennington had become. He frequented the tavern there, and began work on An Essay on the Universal Plenitude of Being, which he characterized as an appendix to Reason. This essay was less polemic than many of his earlier writings. Allen affirmed the perfection of God and His creation, and credited intuition as well as reason as a way to bring Man closer to the universe. The work was not published until long after his death, and is primarily of interest to students of Transcendentalism, a movement the work foreshadows.", "title": "Later years" }, { "paragraph_id": 60, "text": "On February 11, 1789, Allen traveled to South Hero, Vermont with one of his workers to visit his cousin, Ebenezer Allen, and to collect a load of hay. After an evening spent with friends and acquaintances, he spent the night there and set out the next morning for home. While accounts of the return journey are not entirely consistent, Allen apparently suffered an apoplectic fit en route and was unconscious by the time they returned home. Allen died at home several hours later, without ever regaining consciousness. He was buried four days later in the Green Mount Cemetery in Burlington. The funeral was attended by dignitaries from the Vermont government and by large numbers of common folk who turned out to pay respects to a man many considered their champion.", "title": "Later years" }, { "paragraph_id": 61, "text": "Allen's death made nationwide headlines. The Bennington Gazette wrote of the local hero, \"the patriotism and strong attachment which ever appeared uniform in the breast of this Great Man, was worth of his exalted character; the public have to lament the loss of a man who has rendered them great service\". Although most obituaries were positive, a number of clergymen expressed different sentiments. \"Allen was an ignorant and profane Deist, who died with a mind replete with horror and despair\" was the opinion of Newark, New Jersey's Reverend Uzal Ogden. Yale's Timothy Dwight expressed satisfaction that the world no longer had to deal with a man of \"peremptoriness and effrontery, rudeness and ribaldry\". It is not recorded what New York Governor Clinton's reaction was to the news.", "title": "Later years" }, { "paragraph_id": 62, "text": "Allen's widow Fanny gave birth to a son, Ethan Alphonso, on October 24, 1789. She eventually remarried. Allen's two youngest sons went on to graduate from West Point and serve in the United States Army. H.M. Allen was the 7th graduate, a member of the Class of 1804, and served until 1813. E.A. Allen was the 22nd graduate, a member of the Class of 1806, and served until 1821. His daughter Fanny achieved notice when she converted to Catholicism and entered a convent. Two of his grandsons were Henry Hitchcock, Attorney General of Alabama, and Ethan Allen Hitchcock, who served as a Union Army general in the American Civil War. Reportedly General Hitchcock strongly resembled his famous grandfather. Two of Henry Hitchcock's sons were Henry Hitchcock and Ethan Allan Hitchcock.", "title": "Family" }, { "paragraph_id": 63, "text": "Sometime in the early 1850s, the original plaque marking Allen's grave disappeared; its original text was preserved by early war historian Benson Lossing in the 1840s. The inscription read:", "title": "Disappearance of his grave marker" }, { "paragraph_id": 64, "text": "TheCorporeal partofGeneral Ethan Allenrests beneath this stoneThe 12th Day of Feb., 1789Aged 50 years.His spirit tried the mercies of his God,in whom he alone believed and strongly trusted", "title": "Disappearance of his grave marker" }, { "paragraph_id": 65, "text": "In 1858, the Vermont Legislature authorized the placement of a 42-foot (13 m) column of Vermont granite in the cemetery, with the following inscription:", "title": "Disappearance of his grave marker" }, { "paragraph_id": 66, "text": "Vermont to Ethan Allen Born in Litchfield Ct 10th Jan AD 1737Died in Burlington Vt 12th Feb AD 1789and buried near the site of this monument", "title": "Disappearance of his grave marker" }, { "paragraph_id": 67, "text": "The exact location within the cemetery of his remains is unknown. While there is a vault beneath the 1858 cenotaph, it contains a time capsule from the time of the monument's erection. According to the official 1858 report on the Ethan Allen monument, the funeral of Ethan Allen had taken place within Green Mount Cemetery; however the reason his remains had not been found at his memorial plaque {tablet} was because \"... by the fact that some twenty years since, the dead of the Allen family had been arranged in a square enclosed by stone posts and chains, by Herman Allen, the nephew of Ethan Allen, and this tablet, then lying upon a dilapidated wall of brick work, was reconstructed with cut stone work, and it is presumed that, as a matter of convenience in giving a regular form to the enclosure, was removed some feet from its original position ...\" It was thus apparent it was actually a cenotaph tomb reconstruction that Benson Lossing sketched and presumed to be the actual tomb of Ethan Allen in his 1850 The Pictorial Field-book of the Revolution.", "title": "Disappearance of his grave marker" }, { "paragraph_id": 68, "text": "No likenesses of Allen made from life have been found, in spite of numerous attempts to locate them. Efforts by members of the Vermont Historical Society and other historical groups through the years have followed up on rumored likenesses, only to come up empty. Photographs of Allen's grandson, General Ethan Allen Hitchcock, are extant, and, Hitchcock's mother said that he bore a strong resemblance to her father. The nearest potential images included one claimed to be by noted Revolutionary War era engraver Pierre Eugene du Simitiere that turned out to be a forgery, and a reference to a portrait possibly by Ralph Earl that has not been found (as of Stewart Holbrook's writing in 1940). Alexander Graydon, with whom Allen was paroled during his captivity in New York, described him like this:", "title": "Likenesses" }, { "paragraph_id": 69, "text": "His figure was that of a robust, large-framed man, worn down by confinement and hard fare; but he was now recovering his flesh and spirits; and a suit of blue clothes, with a gold laced hat that had been presented to him by the gentlement of Cork, enabled him to make a very passable appearance for a rebel colonel ... I have seldom met with a man, possessing, in my opinion, a stronger mind, or whose mode of expression was more vehement and oratorical. Notwithstanding that Allen might have had something of the insubordinate, lawless frontier spirit in his composition ... he appeared to me to be a man of generosity and honor.", "title": "Likenesses" }, { "paragraph_id": 70, "text": "Allen's final home, on the Onion River (now called the Winooski River), is a part of the Ethan Allen Homestead and Museum. Situated in Burlington, Allen's homestead is open for viewing via guided tours.", "title": "Memorials" }, { "paragraph_id": 71, "text": "Two ships of the United States Navy were named USS Ethan Allen in his honor, as were two 19th-century fortifications: a Civil War fort in Arlington County, Virginia and a cavalry outpost in Colchester and Essex, Vermont. The Vermont Army National Guard's facility in Jericho, Vermont is called the Camp Ethan Allen Training Site. A statue of Allen represents Vermont in National Statuary Hall of the United States Capitol. A city park in the Montreal borough of Mercier–Hochelaga-Maisonneuve commemorating his capture bears his name.", "title": "Memorials" }, { "paragraph_id": 72, "text": "The Spirit of Ethan Allen III is a tour boat operating on Lake Champlain. Allen's name is the trademark of the furniture and housewares manufacturer, Ethan Allen Inc., which was founded in 1932 in Beecher Falls, Vermont. The Ethan Allen Express, an Amtrak train running from New York City to Burlington, Vermont, is also named after him.", "title": "Memorials" }, { "paragraph_id": 73, "text": "The Ethan Allen School was added to the National Register of Historic Places in 1988.", "title": "Memorials" }, { "paragraph_id": 74, "text": "Allen is known to have written the following publications:", "title": "Publications" }, { "paragraph_id": 75, "text": "", "title": "External links" } ]
Ethan Allen was an American farmer, businessman, land speculator, philosopher, writer, lay theologian, American Revolutionary War patriot, and politician. He is best known as one of the founders of Vermont and for the capture of Fort Ticonderoga early in the Revolutionary War. He was the brother of Ira Allen and the father of Frances Allen. Allen was born in rural Connecticut and had a frontier upbringing, but he also received an education that included some philosophical teachings. In the late 1760s, he became interested in the New Hampshire Grants, buying land there and becoming embroiled in the legal disputes surrounding the territory. Legal setbacks led to the formation of the Green Mountain Boys, whom Allen led in a campaign of intimidation and property destruction to drive New York settlers from the Grants. He and the Green Mountain Boys seized the initiative early in the Revolutionary War and captured Fort Ticonderoga in May 1775. In September 1775, Allen led a failed attempt on Montreal which resulted in his capture by British authorities. He was imprisoned aboard Royal Navy ships, then paroled in New York City, and finally released in a prisoner exchange in 1778. Upon his release, Allen returned to the New Hampshire Grants which had declared independence in 1777, and he resumed political activity in the territory, continuing resistance to New York's attempts to assert control over the territory. Allen lobbied Congress for Vermont's official state recognition, and he participated in controversial negotiations with the British over the possibility of Vermont becoming a separate British province. Allen wrote accounts of his exploits in the war that were widely read in the 19th century, as well as philosophical treatises and documents relating to the politics of Vermont's formation. His business dealings included successful farming operations, one of Connecticut's early iron works, and land speculation in the Vermont territory. Allen and his brothers purchased tracts of land that became Burlington, Vermont. He was married twice, fathering eight children.
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https://en.wikipedia.org/wiki/Ethan_Allen
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Ecuador
Ecuador (/ˈɛkwədɔːr/ EK-wə-dor; Spanish pronunciation: [ekwaˈðoɾ] ; Quechua: Ikwayur; Shuar: Ecuador or Ekuatur), officially the Republic of Ecuador (Spanish: República del Ecuador, which literally translates as "Republic of the Equator"; Quechua: Ikwayur 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 1,000 kilometers (621 mi) west of the mainland. The country's capital is Quito and its largest city is Guayaquil. The territories of modern-day Ecuador were once home to a variety of Indigenous 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 17.8 million people being mestizos, followed by large minorities of Europeans, Native American, African, and Asian 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 representative democratic republic and a developing country whose economy is highly dependent on exports of 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. 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. 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. The country's name means "Equator" in Spanish, truncated from the Spanish official name, República del Ecuador (lit. "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 40 kilometers (25 mi), 1⁄4 of a degree, south of the equator. 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 combined agriculture with fishing, hunting, and gathering; the people of the highland Andes developed a sedentary agricultural way of life; and peoples of the Amazon basin relied on hunting and gathering, in some cases combined with agriculture and arboriculture. 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 civilization 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, groups of nations formed confederations. 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. People belonging to the 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 both Inca and Spanish domination, maintaining their languages and cultures 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 Cuyochi and the Emperor Huayna Capac, from a European disease that spread into Ecuador, created a power vacuum between two factions and led to a civil war. The army stationed north headed by 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 reached Cajamarca and lured Atahualpa into a trap (battle of Cajamarca). 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. 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 still remained small with a population of 10,000 people. 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. Today, 10 August is celebrated as Independence Day, a national holiday. On 9 October 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 24 May 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. Leaders who followed him included 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 in 1851. The descendants of enslaved Ecuadorians are among today's Afro-Ecuadorian population. 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. After Ecuador's separation from Colombia on 13 May 1830, its first President, General Juan José Flores, laid claim to the territory that had belonged to 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 Real Cedulas 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 16 February 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. 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 Martín 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 Martín 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 Martín'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. 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 17 December 1819, during the Congress of Angostura when the Republic of Gran Colombia was created. Tumbes declared itself independent from Spain on 17 January 1821, and Jaén de Bracamoros on 17 June 1821, without any outside help from revolutionary armies. However, that same year, 1821, Peruvian forces participating in the Trujillo revolution occupied both Jaén 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 28 July 1821, Peruvian independence was proclaimed in Lima by San Martín, and Tumbes and Jaén, 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. Gran Colombia had always protested Peru for the return of Jaén and Tumbes for almost a decade, then finally Bolivar after long and futile discussion over the return of Jaén, 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 28 November 1828. The war ended when a triumphant heavily outnumbered southern Gran Colombian army at Battle of Tarqui dated 27 February 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 22 September 1829, whereby Peru and its Congress recognized Gran Colombian rights over Tumbes, Jaén, 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 Jaén 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 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 13 May 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 20 December 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 25 June 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. When Ecuador seceded from the Gran Colombia, 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 missionary villages in the Mainas or Maynas region, which it began calling Loreto, with its capital in Iquitos. During its negotiations with Brazil, Peru claimed Amazonian Basin territories up to Caqueta River in the north and toward the Andes Mountain range. 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. 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 6 May 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 23 October 1851. Then after a few meetings with the Colombian government's representatives an agreement was reached and the Muñoz Vernaza-Suarez Treaty was signed 15 July 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 24 March 1922. Ecuador protested this secret treaty, since Colombia gave away Ecuadorian claimed land to Peru that Ecuador had given to Colombia in 1916. On 21 July 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 30 September 1935. The negotiations turned into intense arguments during the next 7 months and finally on 29 September 1937, the Peruvian representatives decided to break off the negotiations. 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, Jaén, 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 5 July 1941, when Peruvian forces crossed the Zarumilla river at several locations, testing the strength and resolve of the Ecuadorian border troops. Finally, on 23 July 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 29 January 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. In 1978, the city of Quito and the Galápagos Islands were inscribed as UNESCO World Heritage Sites, making the first two properties in the world to become listed sites. 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 26 October 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, 1 km (0.39 sq mi) 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 13 May 1999, and the multi-national MOMEP (Military Observer Mission for Ecuador and Peru) troop deployment withdrew on 17 June 1999. 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 Pintado. 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. Elections were held on 29 April 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 10 August, 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 24 May 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. A notable event was the Cenepa War fought between Ecuador and Peru in 1995. Ecuador adopted the United States dollar on 13 April 2000 as its national currency and on 11 September, the country eliminated the Ecuadorian sucre, in order to stabilize the country's economy. The US Dollar has been the only official currency of Ecuador since the year 2000. 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. On 15 January 2007, Rafael Correa was sworn in as the President of Ecuador. Several left-wing political leaders of Latin America, his future allies, attended the ceremony. The new socialist constitution, endorsed in 2008 referendum (2008 Constitution of Ecuador), implemented leftist reforms. 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. 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. 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 the government had plans to return to Quito. On 14 October 2019, the government restored fuel subsidies and withdrew an austerity package, meaning the end of nearly two weeks of protests. 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 and the indigenist Pachakutik to push through his legislative agenda. In October 2021, President Lasso declared a 60-day state of emergency with the intention to combat crime and drug-related violence. In Ecuador's state prisons there have been numerous bloody clashes between rival groups of prisoners. Lasso proposed a series of constitutional changes to enhance his government's ability to respond to rising, largely drug-related crime. In a referendum in February 2023, voters overwhelmingly rejected his proposed changes. This result weakened Lasso's political standing. On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González. On 23 November 2023, Daniel Noboa was sworn in as Ecuador's new president. 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 president of Ecuador 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. The executive branch is led by the president. The president 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. 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. 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. 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. 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. 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. Ecuador has maintained a research station in Antarctica for peaceful 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 lauded 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 March 2019, Ecuador withdrew from the Union of South American Nations. 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. 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. In October 2022, the United Nations expressed concerns about the dire situation in various detention centers and prisons, and the human rights of those deprived of liberty in Ecuador. Ecuador is divided into 24 provinces (Spanish: provincias), each with its own administrative capital: 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: Quito and Guayaquil are Metropolitan Districts. Galápagos, despite being included within Region 5, is also under a special unit. 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. 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 of graduating army officers. The Ecuadorian Navy Academy (c. 1837), located in Salinas graduates navy officers. The Air Academy "Cosme Rennella (c. 1920), also located in Salinas, graduates air force officers. According to the CIA,Ecuador has a total area of 283,571 km (109,487 sq mi), including the Galápagos Islands. Of this, 276,841 km (106,889 sq mi) is land and 6,720 km (2,595 sq mi) water. The total area, according to the Ecuadorian government's foreign ministry, is 256,370 km (98,985 sq mi). 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 2,337 km (1,452 mi) of coastline. It has 2,010 km (1,250 mi) of land boundaries, with Colombia in the north (with a 590 km (367 mi) border) and Peru in the east and south (with a 1,420 km (882 mi) border). It is the westernmost country that lies on the equator. The country has four main geographic regions: Ecuador's capital and second largest city is Quito, which is in the province of Pichincha in the Sierra region. It is the second-highest capital city with an elevation of 2,850 meters. Ecuador's 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. 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. 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. 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 km, 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. 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 about different industrial projects on their land. 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 third 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 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 as of 2011. In late 2021, Ecuador had to declare a Force majeure for oil exports due to erosion near key pipelines (privately owned OCP pipeline and state-owned SOTE pipeline) in the Amazon. It lasted about three weeks, totalling just over $500 million economic losses, before their production returned to its normal level of 435,000 barrels per day (69,200 m/d) in early 2022. 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 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 due to promotion programs from Government, highlighting 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), CAF – Development Bank of Latin America and the Caribbean 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. Ecuador was placed in 96th position of innovation in technology in a 2013 World Economic Forum study. Ecuador was ranked 104th in the Global Innovation Index in 2023. 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, a botanist and biologist of Andean flora; and José Aurelio Dueñas, 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. 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. 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 live in 26 protected areas by the state. 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: 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 8 March 2019. It has 20.4 kilometers (12.7 mi) 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. Ecuador's population is ethnically diverse and the 2021 estimates put Ecuador's population at 17,797,737. The largest ethnic group (as of 2010) 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 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. Spanish is the official language in Ecuador. It is spoken as a first (93%) or second language (6%) by the vast majority of its population. In 1991 Northern Kichwa (Quechua) and other pre-colonial American languages were spoken by 2,500,000. Ethnologues estimate that the country has about 24 living indigenous languages. Among the 24 are 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 is gradually diminishing and being replaced by Spanish. Most Ecuadorians speak Spanish as their first language, with its ubiquity permeating and dominating most of the country. Despite its small size the country has a marked diversity in Spanish accents that vary widely among regions. Ecuadorian Spanish idiosyncrasies reflect the ethnic and racial populations that originated and settled the distinct areas of the country. The three main regional variants are: 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 Catholic, 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 into a local form of folk Catholicism. 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 History of the Jews in Ecuador goes back to the 16th and 17th centuries. Until the 20th century the mayority were Sephardic with many Anusim (Crypto-Jews) among them. Ashkenazi Jews arrived mostly as refugees after the ascendance of National Socialism in Germany in 1933, with 3000 Jews in Ecuador in 1940. At its peak, in 1950, the Jewish population of Ecuador was estimated at 4,000, but then diminished to some 290 around 2020, forming one of the smallest Jewish communities in South America. Nevertheless, this number is declining because young people leave the country for the United States or Israel. Today the Jewish Community of Ecuador (Comunidad Judía del Ecuador) has its seat in Quito. 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. 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 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 American medical groups often conduct medical missions away from the big cities to provide medical health to poor communities. 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. 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. 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. 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. 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. 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. Migration from Lebanon to Ecuador started as early as 1875. Early impoverished migrants tended to work as independent sidewalk vendors, rather than as wage workers in agriculture or others' businesses. Though they emigrated to escape Ottoman Turkish religious oppression, they were called "Turks" by Ecuadorians because they carried Ottoman passports. There were further waves of immigration in the first half of the 20th century; by 1930, there were 577 Lebanese immigrants and 489 of their descendants residing in the country. A 1986 estimate from Lebanon's Ministry of Foreign Affairs stated 100,000 Lebanese descendants. They reside mostly in Quito and Guayaquil. They are predominantly Roman Catholics. In the early 1900s there was immigration from Italians, Germans, Portuguese, French, Britons, Irish and Greeks. The town of Ancón experienced of wave of immigration from the UK starting in 1911, when the Government of Ecuador conceded 98 mines, occupying an area of 38,842 hectares, to the British oil company Anglo Ecuadorian Oilfields. Today, the Anglo American Oilfields or Anglo American plc is the world's largest producer of platinum, with around 40% of world output, as well as being a major producer of diamonds, copper, nickel, iron ore and steelmaking coal. Alberto Spencer is one famed Briton that hailed from Ancon. The town has now become an attraction due to the austere British homes in "El Barrio Ingles" situated in a contrasting tropical setting. In the 1950s the Italians were the third largest national group in terms of numbers 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 Emergency Quota Act of 1921 that restricted immigration of Southern and Eastern Europeans as well as other "undesirables". Most of these communities and their descendants are located in the Guayas region of the country. Throughout the 20th century, immigration also came from other Latin American countries due to civil wars, economic crises, and dictatorships. The most notable are those coming from Argentina, Chile, and Uruguay. Starting from 2002, there has been an exponential and significant growth in Colombian and Venezuelan refugees. Colombians have historically found refuge in its neighboring country during times of civil unrest. Recently, Venezuelans have become a notable presence in Ecuadorian cities as many flee the economic and political Venezuelan crisis. Authorities argue that an estimated 350,000 to 400,000 Colombians live in Ecuador, porous borders and lack of formal registration disallow concrete numbers. From 2007, the Ecuador government created multiple initiatives to attract Ecuadorians abroad mostly from the United States, Italy, and Spain to return after many left during the 90s economic crisis or La Decada Perdida. These policies resulted in the rapid and significant rise in the flow of returning nationals, most notably during the 2008 economic crisis that affected Europe and North America. In recent years, Ecuador has grown in popularity among North American expatriates. 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. 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. 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 24 June, coincidentally the same date when Amerindian people celebrated their rituals of Inti Raymi. Ecuadorian cuisine is diverse, varying with the altitude, associated agricultural conditions, and ethnic / racial communities. 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 coastal region, seafood is very popular, with fish, shrimp, and ceviche being an integral part of the diet. Beef is also notably consumed in the coastal region, traditional dishes are churrasco and arroz con menestra y carne asada (rice with beans and grilled beef) served with fried plantain. The latter is an emblematic dish of the city of Guayaquil. Meat based dishes have their origins in the cattle ranching culture of the Montubio people. Ceviche is an indispensable coastal dish with pre-incan origins. It is often served with fried plantain (chifles or patacones), popcorn, or tostado. Plantain- and peanut-based dishes are quite frequent in the coastal region reflecting the West African roots of many of its citizens. Encocados (dishes that contain a coconut sauce) are also very popular in the northern coast centering around the city of Esmeraldas. The coast is also a leading producer of bananas, cocoa beans (to make chocolate), shrimp, tilapia, mango, and passion fruit, among other products. Pan de yuca, analogous with the Brazilian pão de queijo, is served with "yogur persa" and is often eaten as a snack in many coastal cities. Its origin comes from the Persian and Middle Eastern populations that settled the coast. In the highland region, various dishes of pork, chicken, and cuy (guinea pig) are popular and are served with a variety of grains (especially rice and mote) or potatoes. The consumption of "Cuy" or Guinea Pig, de rigueur in mostly indigenous communities, reflects the predominantly native character of the highlands. Considered a delicacy it is often characterized as having a mild pork flavor. 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. 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. 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. 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. The most popular sport in Ecuador, as in most South American countries, is soccer. 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 Estadio Monumental Isidro Romero Carbo is the tenth largest football stadium in South America. The Ecuador national football team has appeared at four FIFA World Cups. 2°00′S 77°30′W / 2.000°S 77.500°W / -2.000; -77.500
[ { "paragraph_id": 0, "text": "Ecuador (/ˈɛkwədɔːr/ EK-wə-dor; Spanish pronunciation: [ekwaˈðoɾ] ; Quechua: Ikwayur; Shuar: Ecuador or Ekuatur), officially the Republic of Ecuador (Spanish: República del Ecuador, which literally translates as \"Republic of the Equator\"; Quechua: Ikwayur 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 1,000 kilometers (621 mi) west of the mainland. The country's capital is Quito and its largest city is Guayaquil.", "title": "" }, { "paragraph_id": 1, "text": "The territories of modern-day Ecuador were once home to a variety of Indigenous 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 17.8 million people being mestizos, followed by large minorities of Europeans, Native American, African, and Asian 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.", "title": "" }, { "paragraph_id": 2, "text": "The sovereign state of Ecuador is a representative democratic republic and a developing country whose economy is highly dependent on exports of 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. 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.", "title": "" }, { "paragraph_id": 3, "text": "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.", "title": "" }, { "paragraph_id": 4, "text": "The country's name means \"Equator\" in Spanish, truncated from the Spanish official name, República del Ecuador (lit. \"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 40 kilometers (25 mi), 1⁄4 of a degree, south of the equator.", "title": "Etymology" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "Even though their languages were unrelated, these groups developed similar groups of cultures, each based in different environments. The people of the coast combined agriculture with fishing, hunting, and gathering; the people of the highland Andes developed a sedentary agricultural way of life; and peoples of the Amazon basin relied on hunting and gathering, in some cases combined with agriculture and arboriculture.", "title": "History" }, { "paragraph_id": 7, "text": "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 civilization developed its own distinctive architecture, pottery, and religious interests.", "title": "History" }, { "paragraph_id": 8, "text": "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, groups of nations formed confederations.", "title": "History" }, { "paragraph_id": 9, "text": "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. People belonging to the 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.", "title": "History" }, { "paragraph_id": 10, "text": "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 both Inca and Spanish domination, maintaining their languages and cultures well into the 21st century.", "title": "History" }, { "paragraph_id": 11, "text": "Before the arrival of the Spaniards, the Inca Empire was involved in a civil war. The untimely death of both the heir Ninan Cuyochi and the Emperor Huayna Capac, from a European disease that spread into Ecuador, created a power vacuum between two factions and led to a civil war. The army stationed north headed by 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 reached Cajamarca and lured Atahualpa into a trap (battle of Cajamarca). 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.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "After nearly 300 years of Spanish rule, Quito still remained small with a population of 10,000 people. 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. Today, 10 August is celebrated as Independence Day, a national holiday.", "title": "History" }, { "paragraph_id": 15, "text": "On 9 October 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 24 May 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.", "title": "History" }, { "paragraph_id": 16, "text": "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. Leaders who followed him included 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.", "title": "History" }, { "paragraph_id": 17, "text": "Ecuador abolished slavery in 1851. The descendants of enslaved Ecuadorians are among today's Afro-Ecuadorian population.", "title": "History" }, { "paragraph_id": 18, "text": "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.", "title": "History" }, { "paragraph_id": 19, "text": "After Ecuador's separation from Colombia on 13 May 1830, its first President, General Juan José Flores, laid claim to the territory that had belonged to 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 Real Cedulas 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 16 February 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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "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 Martín 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 Martín 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 Martín'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.", "title": "History" }, { "paragraph_id": 22, "text": "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 17 December 1819, during the Congress of Angostura when the Republic of Gran Colombia was created. Tumbes declared itself independent from Spain on 17 January 1821, and Jaén de Bracamoros on 17 June 1821, without any outside help from revolutionary armies. However, that same year, 1821, Peruvian forces participating in the Trujillo revolution occupied both Jaén 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.", "title": "History" }, { "paragraph_id": 23, "text": "On 28 July 1821, Peruvian independence was proclaimed in Lima by San Martín, and Tumbes and Jaén, 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. Gran Colombia had always protested Peru for the return of Jaén and Tumbes for almost a decade, then finally Bolivar after long and futile discussion over the return of Jaén, 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 28 November 1828.", "title": "History" }, { "paragraph_id": 24, "text": "The war ended when a triumphant heavily outnumbered southern Gran Colombian army at Battle of Tarqui dated 27 February 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 22 September 1829, whereby Peru and its Congress recognized Gran Colombian rights over Tumbes, Jaén, 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 Jaén 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.", "title": "History" }, { "paragraph_id": 25, "text": "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 13 May 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 20 December 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.", "title": "History" }, { "paragraph_id": 26, "text": "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 25 June 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.", "title": "History" }, { "paragraph_id": 27, "text": "When Ecuador seceded from the Gran Colombia, 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.", "title": "History" }, { "paragraph_id": 28, "text": "Peru began occupying the missionary villages in the Mainas or Maynas region, which it began calling Loreto, with its capital in Iquitos. During its negotiations with Brazil, Peru claimed Amazonian Basin territories up to Caqueta River in the north and toward the Andes Mountain range. 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. 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.", "title": "History" }, { "paragraph_id": 29, "text": "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 6 May 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 23 October 1851. Then after a few meetings with the Colombian government's representatives an agreement was reached and the Muñoz Vernaza-Suarez Treaty was signed 15 July 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 24 March 1922. Ecuador protested this secret treaty, since Colombia gave away Ecuadorian claimed land to Peru that Ecuador had given to Colombia in 1916.", "title": "History" }, { "paragraph_id": 30, "text": "On 21 July 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 30 September 1935. The negotiations turned into intense arguments during the next 7 months and finally on 29 September 1937, the Peruvian representatives decided to break off the negotiations.", "title": "History" }, { "paragraph_id": 31, "text": "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, Jaén, 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 5 July 1941, when Peruvian forces crossed the Zarumilla river at several locations, testing the strength and resolve of the Ecuadorian border troops. Finally, on 23 July 1941, the Peruvians launched a major invasion, crossing the Zarumilla river in force and advancing into the Ecuadorian province of El Oro.", "title": "History" }, { "paragraph_id": 32, "text": "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 29 January 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.", "title": "History" }, { "paragraph_id": 33, "text": "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.", "title": "History" }, { "paragraph_id": 34, "text": "In 1978, the city of Quito and the Galápagos Islands were inscribed as UNESCO World Heritage Sites, making the first two properties in the world to become listed sites.", "title": "History" }, { "paragraph_id": 35, "text": "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.", "title": "History" }, { "paragraph_id": 36, "text": "Ecuador and Peru signed the Brasilia Presidential Act peace agreement on 26 October 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, 1 km (0.39 sq mi) 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 13 May 1999, and the multi-national MOMEP (Military Observer Mission for Ecuador and Peru) troop deployment withdrew on 17 June 1999.", "title": "History" }, { "paragraph_id": 37, "text": "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 Pintado. 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.", "title": "History" }, { "paragraph_id": 38, "text": "Elections were held on 29 April 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 10 August, 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 24 May 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.", "title": "History" }, { "paragraph_id": 39, "text": "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.", "title": "History" }, { "paragraph_id": 40, "text": "A notable event was the Cenepa War fought between Ecuador and Peru in 1995.", "title": "History" }, { "paragraph_id": 41, "text": "Ecuador adopted the United States dollar on 13 April 2000 as its national currency and on 11 September, the country eliminated the Ecuadorian sucre, in order to stabilize the country's economy. The US Dollar has been the only official currency of Ecuador since the year 2000.", "title": "History" }, { "paragraph_id": 42, "text": "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. On 15 January 2007, Rafael Correa was sworn in as the President of Ecuador. Several left-wing political leaders of Latin America, his future allies, attended the ceremony.", "title": "History" }, { "paragraph_id": 43, "text": "The new socialist constitution, endorsed in 2008 referendum (2008 Constitution of Ecuador), implemented leftist reforms. 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.", "title": "History" }, { "paragraph_id": 44, "text": "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.", "title": "History" }, { "paragraph_id": 45, "text": "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 the government had plans to return to Quito. On 14 October 2019, the government restored fuel subsidies and withdrew an austerity package, meaning the end of nearly two weeks of protests.", "title": "History" }, { "paragraph_id": 46, "text": "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 and the indigenist Pachakutik to push through his legislative agenda.", "title": "History" }, { "paragraph_id": 47, "text": "In October 2021, President Lasso declared a 60-day state of emergency with the intention to combat crime and drug-related violence. In Ecuador's state prisons there have been numerous bloody clashes between rival groups of prisoners.", "title": "History" }, { "paragraph_id": 48, "text": "Lasso proposed a series of constitutional changes to enhance his government's ability to respond to rising, largely drug-related crime. In a referendum in February 2023, voters overwhelmingly rejected his proposed changes. This result weakened Lasso's political standing.", "title": "History" }, { "paragraph_id": 49, "text": "On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González. On 23 November 2023, Daniel Noboa was sworn in as Ecuador's new president.", "title": "History" }, { "paragraph_id": 50, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 51, "text": "Ecuador is governed by a democratically elected president for a four-year term. The president of Ecuador 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.", "title": "Government and politics" }, { "paragraph_id": 52, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 53, "text": "The executive branch is led by the president. The president 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.", "title": "Government and politics" }, { "paragraph_id": 54, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 55, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 56, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 57, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 58, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 59, "text": "Ecuador has maintained a research station in Antarctica for peaceful 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).", "title": "Government and politics" }, { "paragraph_id": 60, "text": "In 2017, the Ecuadorian parliament adopted a law on human mobility.", "title": "Government and politics" }, { "paragraph_id": 61, "text": "The International Organization for Migration lauded 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 March 2019, Ecuador withdrew from the Union of South American Nations.", "title": "Government and politics" }, { "paragraph_id": 62, "text": "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\".", "title": "Government and politics" }, { "paragraph_id": 63, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 64, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 65, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 66, "text": "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. 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.", "title": "Government and politics" }, { "paragraph_id": 67, "text": "According to Freedom House, restrictions on the media and civil society have decreased since 2017. In October 2022, the United Nations expressed concerns about the dire situation in various detention centers and prisons, and the human rights of those deprived of liberty in Ecuador.", "title": "Government and politics" }, { "paragraph_id": 68, "text": "Ecuador is divided into 24 provinces (Spanish: provincias), each with its own administrative capital:", "title": "Government and politics" }, { "paragraph_id": 69, "text": "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:", "title": "Government and politics" }, { "paragraph_id": 70, "text": "Quito and Guayaquil are Metropolitan Districts. Galápagos, despite being included within Region 5, is also under a special unit.", "title": "Government and politics" }, { "paragraph_id": 71, "text": "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.", "title": "Military" }, { "paragraph_id": 72, "text": "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%.", "title": "Military" }, { "paragraph_id": 73, "text": "The Military Academy General Eloy Alfaro (c. 1838) located in Quito is in charge of graduating army officers. The Ecuadorian Navy Academy (c. 1837), located in Salinas graduates navy officers. The Air Academy \"Cosme Rennella (c. 1920), also located in Salinas, graduates air force officers.", "title": "Military" }, { "paragraph_id": 74, "text": "According to the CIA,Ecuador has a total area of 283,571 km (109,487 sq mi), including the Galápagos Islands. Of this, 276,841 km (106,889 sq mi) is land and 6,720 km (2,595 sq mi) water. The total area, according to the Ecuadorian government's foreign ministry, is 256,370 km (98,985 sq mi). 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.", "title": "Geography" }, { "paragraph_id": 75, "text": "Ecuador lies between latitudes 2°N and 5°S, bounded on the west by the Pacific Ocean, and has 2,337 km (1,452 mi) of coastline. It has 2,010 km (1,250 mi) of land boundaries, with Colombia in the north (with a 590 km (367 mi) border) and Peru in the east and south (with a 1,420 km (882 mi) border). It is the westernmost country that lies on the equator.", "title": "Geography" }, { "paragraph_id": 76, "text": "The country has four main geographic regions:", "title": "Geography" }, { "paragraph_id": 77, "text": "Ecuador's capital and second largest city is Quito, which is in the province of Pichincha in the Sierra region. It is the second-highest capital city with an elevation of 2,850 meters. Ecuador's 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. 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.", "title": "Geography" }, { "paragraph_id": 78, "text": "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.", "title": "Geography" }, { "paragraph_id": 79, "text": "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.", "title": "Geography" }, { "paragraph_id": 80, "text": "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.", "title": "Geography" }, { "paragraph_id": 81, "text": "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.", "title": "Geography" }, { "paragraph_id": 82, "text": "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.", "title": "Geography" }, { "paragraph_id": 83, "text": "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\".", "title": "Geography" }, { "paragraph_id": 84, "text": "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 km, 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.", "title": "Geography" }, { "paragraph_id": 85, "text": "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. It is now known that these highly polluting and now obsolete technologies were used as a way to reduce expenses.", "title": "Geography" }, { "paragraph_id": 86, "text": "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 about different industrial projects on their land.", "title": "Geography" }, { "paragraph_id": 87, "text": "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 third 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.", "title": "Economy" }, { "paragraph_id": 88, "text": "The extreme poverty rate 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.", "title": "Economy" }, { "paragraph_id": 89, "text": "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 as of 2011. In late 2021, Ecuador had to declare a Force majeure for oil exports due to erosion near key pipelines (privately owned OCP pipeline and state-owned SOTE pipeline) in the Amazon. It lasted about three weeks, totalling just over $500 million economic losses, before their production returned to its normal level of 435,000 barrels per day (69,200 m/d) in early 2022.", "title": "Economy" }, { "paragraph_id": 90, "text": "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.", "title": "Economy" }, { "paragraph_id": 91, "text": "In the agricultural sector, Ecuador is a major exporter of bananas (first place worldwide in 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 due to promotion programs from Government, highlighting the variety of climates and the biodiversity of Ecuador.", "title": "Economy" }, { "paragraph_id": 92, "text": "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), CAF – Development Bank of Latin America and the Caribbean 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.", "title": "Economy" }, { "paragraph_id": 93, "text": "Ecuador was placed in 96th position of innovation in technology in a 2013 World Economic Forum study. Ecuador was ranked 104th in the Global Innovation Index in 2023. 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, a botanist and biologist of Andean flora; and José Aurelio Dueñas, a chemist and inventor of a method of textile serigraphy.", "title": "Economy" }, { "paragraph_id": 94, "text": "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.", "title": "Economy" }, { "paragraph_id": 95, "text": "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. 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 live in 26 protected areas by the state.", "title": "Economy" }, { "paragraph_id": 96, "text": "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.", "title": "Economy" }, { "paragraph_id": 97, "text": "Among the main tourist destinations are:", "title": "Economy" }, { "paragraph_id": 98, "text": "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.", "title": "Economy" }, { "paragraph_id": 99, "text": "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).", "title": "Economy" }, { "paragraph_id": 100, "text": "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.", "title": "Economy" }, { "paragraph_id": 101, "text": "Cuenca's tramway is the largest public transport system in the city and the first modern tramway in Ecuador. It was inaugurated on 8 March 2019. It has 20.4 kilometers (12.7 mi) 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.", "title": "Economy" }, { "paragraph_id": 102, "text": "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.", "title": "Economy" }, { "paragraph_id": 103, "text": "Ecuador's population is ethnically diverse and the 2021 estimates put Ecuador's population at 17,797,737. The largest ethnic group (as of 2010) 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%).", "title": "Demographics" }, { "paragraph_id": 104, "text": "The White Ecuadorians 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.", "title": "Demographics" }, { "paragraph_id": 105, "text": "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.", "title": "Demographics" }, { "paragraph_id": 106, "text": "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.", "title": "Demographics" }, { "paragraph_id": 107, "text": "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.", "title": "Demographics" }, { "paragraph_id": 108, "text": "Spanish is the official language in Ecuador. It is spoken as a first (93%) or second language (6%) by the vast majority of its population. In 1991 Northern Kichwa (Quechua) and other pre-colonial American languages were spoken by 2,500,000. Ethnologues estimate that the country has about 24 living indigenous languages. Among the 24 are 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 is gradually diminishing and being replaced by Spanish.", "title": "Demographics" }, { "paragraph_id": 109, "text": "Most Ecuadorians speak Spanish as their first language, with its ubiquity permeating and dominating most of the country. Despite its small size the country has a marked diversity in Spanish accents that vary widely among regions. Ecuadorian Spanish idiosyncrasies reflect the ethnic and racial populations that originated and settled the distinct areas of the country.", "title": "Demographics" }, { "paragraph_id": 110, "text": "The three main regional variants are:", "title": "Demographics" }, { "paragraph_id": 111, "text": "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 Catholic, 11.30% are Evangelical Protestants, 1.29% are Jehovah's Witnesses and 6.97% other (mainly Jewish, Buddhists and Latter-day Saints).", "title": "Demographics" }, { "paragraph_id": 112, "text": "In the rural parts of Ecuador, Amerindian beliefs and Catholicism are sometimes syncretized into a local form of folk Catholicism. Most festivals and annual parades are based on religious celebrations, many incorporating a mixture of rites and icons.", "title": "Demographics" }, { "paragraph_id": 113, "text": "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.", "title": "Demographics" }, { "paragraph_id": 114, "text": "The History of the Jews in Ecuador goes back to the 16th and 17th centuries. Until the 20th century the mayority were Sephardic with many Anusim (Crypto-Jews) among them. Ashkenazi Jews arrived mostly as refugees after the ascendance of National Socialism in Germany in 1933, with 3000 Jews in Ecuador in 1940. At its peak, in 1950, the Jewish population of Ecuador was estimated at 4,000, but then diminished to some 290 around 2020, forming one of the smallest Jewish communities in South America. Nevertheless, this number is declining because young people leave the country for the United States or Israel. Today the Jewish Community of Ecuador (Comunidad Judía del Ecuador) has its seat in Quito. 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.", "title": "Demographics" }, { "paragraph_id": 115, "text": "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.", "title": "Demographics" }, { "paragraph_id": 116, "text": "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 American medical groups often conduct medical missions away from the big cities to provide medical health to poor communities.", "title": "Demographics" }, { "paragraph_id": 117, "text": "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.", "title": "Demographics" }, { "paragraph_id": 118, "text": "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.", "title": "Demographics" }, { "paragraph_id": 119, "text": "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.", "title": "Demographics" }, { "paragraph_id": 120, "text": "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.", "title": "Demographics" }, { "paragraph_id": 121, "text": "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.", "title": "Demographics" }, { "paragraph_id": 122, "text": "Between 2008 and 2016, new public hospitals have been built. 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.", "title": "Demographics" }, { "paragraph_id": 123, "text": "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.", "title": "Demographics" }, { "paragraph_id": 124, "text": "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.", "title": "Demographics" }, { "paragraph_id": 125, "text": "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.", "title": "Demographics" }, { "paragraph_id": 126, "text": "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.", "title": "Demographics" }, { "paragraph_id": 127, "text": "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.", "title": "Demographics" }, { "paragraph_id": 128, "text": "Migration from Lebanon to Ecuador started as early as 1875. Early impoverished migrants tended to work as independent sidewalk vendors, rather than as wage workers in agriculture or others' businesses. Though they emigrated to escape Ottoman Turkish religious oppression, they were called \"Turks\" by Ecuadorians because they carried Ottoman passports. There were further waves of immigration in the first half of the 20th century; by 1930, there were 577 Lebanese immigrants and 489 of their descendants residing in the country. A 1986 estimate from Lebanon's Ministry of Foreign Affairs stated 100,000 Lebanese descendants. They reside mostly in Quito and Guayaquil. They are predominantly Roman Catholics.", "title": "Demographics" }, { "paragraph_id": 129, "text": "In the early 1900s there was immigration from Italians, Germans, Portuguese, French, Britons, Irish and Greeks. The town of Ancón experienced of wave of immigration from the UK starting in 1911, when the Government of Ecuador conceded 98 mines, occupying an area of 38,842 hectares, to the British oil company Anglo Ecuadorian Oilfields. Today, the Anglo American Oilfields or Anglo American plc is the world's largest producer of platinum, with around 40% of world output, as well as being a major producer of diamonds, copper, nickel, iron ore and steelmaking coal. Alberto Spencer is one famed Briton that hailed from Ancon. The town has now become an attraction due to the austere British homes in \"El Barrio Ingles\" situated in a contrasting tropical setting.", "title": "Demographics" }, { "paragraph_id": 130, "text": "In the 1950s the Italians were the third largest national group in terms of numbers 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 Emergency Quota Act of 1921 that restricted immigration of Southern and Eastern Europeans as well as other \"undesirables\".", "title": "Demographics" }, { "paragraph_id": 131, "text": "Most of these communities and their descendants are located in the Guayas region of the country.", "title": "Demographics" }, { "paragraph_id": 132, "text": "Throughout the 20th century, immigration also came from other Latin American countries due to civil wars, economic crises, and dictatorships. The most notable are those coming from Argentina, Chile, and Uruguay. Starting from 2002, there has been an exponential and significant growth in Colombian and Venezuelan refugees. Colombians have historically found refuge in its neighboring country during times of civil unrest. Recently, Venezuelans have become a notable presence in Ecuadorian cities as many flee the economic and political Venezuelan crisis. Authorities argue that an estimated 350,000 to 400,000 Colombians live in Ecuador, porous borders and lack of formal registration disallow concrete numbers.", "title": "Demographics" }, { "paragraph_id": 133, "text": "From 2007, the Ecuador government created multiple initiatives to attract Ecuadorians abroad mostly from the United States, Italy, and Spain to return after many left during the 90s economic crisis or La Decada Perdida. These policies resulted in the rapid and significant rise in the flow of returning nationals, most notably during the 2008 economic crisis that affected Europe and North America. In recent years, Ecuador has grown in popularity among North American expatriates.", "title": "Demographics" }, { "paragraph_id": 134, "text": "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.", "title": "Culture" }, { "paragraph_id": 135, "text": "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.", "title": "Culture" }, { "paragraph_id": 136, "text": "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 24 June, coincidentally the same date when Amerindian people celebrated their rituals of Inti Raymi.", "title": "Culture" }, { "paragraph_id": 137, "text": "Ecuadorian cuisine is diverse, varying with the altitude, associated agricultural conditions, and ethnic / racial communities. 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.", "title": "Culture" }, { "paragraph_id": 138, "text": "In the coastal region, seafood is very popular, with fish, shrimp, and ceviche being an integral part of the diet. Beef is also notably consumed in the coastal region, traditional dishes are churrasco and arroz con menestra y carne asada (rice with beans and grilled beef) served with fried plantain. The latter is an emblematic dish of the city of Guayaquil. Meat based dishes have their origins in the cattle ranching culture of the Montubio people.", "title": "Culture" }, { "paragraph_id": 139, "text": "Ceviche is an indispensable coastal dish with pre-incan origins. It is often served with fried plantain (chifles or patacones), popcorn, or tostado. Plantain- and peanut-based dishes are quite frequent in the coastal region reflecting the West African roots of many of its citizens. Encocados (dishes that contain a coconut sauce) are also very popular in the northern coast centering around the city of Esmeraldas. The coast is also a leading producer of bananas, cocoa beans (to make chocolate), shrimp, tilapia, mango, and passion fruit, among other products.", "title": "Culture" }, { "paragraph_id": 140, "text": "Pan de yuca, analogous with the Brazilian pão de queijo, is served with \"yogur persa\" and is often eaten as a snack in many coastal cities. Its origin comes from the Persian and Middle Eastern populations that settled the coast.", "title": "Culture" }, { "paragraph_id": 141, "text": "In the highland region, various dishes of pork, chicken, and cuy (guinea pig) are popular and are served with a variety of grains (especially rice and mote) or potatoes. The consumption of \"Cuy\" or Guinea Pig, de rigueur in mostly indigenous communities, reflects the predominantly native character of the highlands. Considered a delicacy it is often characterized as having a mild pork flavor.", "title": "Culture" }, { "paragraph_id": 142, "text": "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.", "title": "Culture" }, { "paragraph_id": 143, "text": "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.", "title": "Culture" }, { "paragraph_id": 144, "text": "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. 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.", "title": "Culture" }, { "paragraph_id": 145, "text": "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.", "title": "Culture" }, { "paragraph_id": 146, "text": "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.", "title": "Culture" }, { "paragraph_id": 147, "text": "The most popular sport in Ecuador, as in most South American countries, is soccer. 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 Estadio Monumental Isidro Romero Carbo is the tenth largest football stadium in South America. The Ecuador national football team has appeared at four FIFA World Cups.", "title": "Culture" }, { "paragraph_id": 148, "text": "2°00′S 77°30′W / 2.000°S 77.500°W / -2.000; -77.500", "title": "External links" } ]
Ecuador, officially the Republic of Ecuador, 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 1,000 kilometers (621 mi) west of the mainland. The country's capital is Quito and its largest city is Guayaquil. The territories of modern-day Ecuador were once home to a variety of Indigenous 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 17.8 million people being mestizos, followed by large minorities of Europeans, Native American, African, and Asian 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 representative democratic republic and a developing country whose economy is highly dependent on exports of 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. 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. At the same time, the country's Gini index of economic inequality decreased from 0.55 to 0.47. 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.
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https://en.wikipedia.org/wiki/Ecuador
9,335
History of Ecuador
The History of Ecuador covers human habitation in the region reaching back 8,000 years. During that period a diversity of cultures have influenced the people and the land that today make up the contemporary Republic of Ecuador. Indigenous tribes inhabited the area for millennia before being invaded and absorbed into the Inca Empire in the early fifteenth century. The Incas themselves were conquered shortly afterwards by the Spanish led by Francisco Pizarro in the early 16th century. The region fell under the Viceroyalty of Peru although it was granted certain autonomy through the Quito Audencia established in 1563. In 1720, it was joined to the Viceroyalty of New Granada. A rebellion in 1812 against the Quito Audencia was crushed early in the Spanish American wars of independence, but the struggle was revived in 1820 by a new rebellion originating in Guayaquil. The city was also the site of the Guayaquil Conference between Simon Bolivar and San Martin. Ecuador became independent initially as part of the Republic of Gran Colombia, before finally breaking away in 1830. Ecuador would endure a period of civil war until the mid nineteenth century after which it would be dominated by caudillos, alternatively conservative and liberal. In the twentieth and twenty first centuries Ecuador would continue to struggle in achieving both economic and political stability. 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. 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 culture, and the Chorrera culture in the coast; Cotocollao and the Chimba in the sierra; and Pastaza and 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 Santa Elena Peninsula, they were one of 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 was a farming culture that 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. 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. 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 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 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 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 along with the Quitu, occupants of the site of the modern capital; and the Cara in the Sierra north 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. 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. 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 Huáscar, whose mother was Coya (Empress) Mama Rahua Occillo, and Atahualpa, whose mother was according to most sources of the panaka of Pachacuti, and who was his father's favorite. Huascar was chosen as emperor by the Inca nobles, but Atahualpa was very popular with the Inca armies stationed in the north. Huayna Capac had named another one of his sons, Ninan Cuyochi, as his heir. But Ninan Cuyochi died shortly after his father from smallpox. 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. 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. 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. 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 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. 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. 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. 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. 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 two centuries 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. 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 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. During the 1920s, Ecuador's key export, cacao beans, were devastated by disease at the same time that its cacao producers faced increased competition from West Africa. The loss of export earnings seriously damaged the economy. 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, such as dealing with the failing economy, establishing the Central Bank as the unique authorized bank to distribute currency, and creating a new system of budget and customs. 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 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. Liberal 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. 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 agricultural exports of Ecuador, such as bananas, 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. 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. In 1976 the military triumvirate, pressured by internal and external public consensus, began a process of return to the constitutional system. The moment was seen by the ruling classes and sectors as the ideal moment to legitimize their power by restoring the traditional procedures of control of power. However, divisions among the Armed Forces, whose leaders included Colonel Richelieu Levoyer, René Vargas, and others, led to the drafting of alternative proposed constitutions. Through a referendum, a new Constitution was approved in January (1978). It increased representation for groups traditionally excluded from power, such as indigenous people, trade unions, and leftist political parties. In the elections of 1978-79 the progressive candidate, Jaime Roldós Aguilera, triumphed against the conservative Sixto Durán Ballén, who had the implicit backing of military leaders. 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 the 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. Real gross domestic product growth 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 his 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. 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. Mahuad faced a difficult economic situation, linked in particular to the Asian financial crisis. The currency was devalued by 15%, fuel and electricity prices increased fivefold, and public transport prices increased by 40%. The government was preparing to privatize several key sectors of the economy: oil, electricity, telecommunications, ports, airports, railways, and the post office. The repression of a first general strike caused three deaths. The social situation was critical: more than half of the population was unemployed, 60% lived below the extreme poverty line, and public employees had not been paid for three months. A further increase in VAT, combined with the abolition of subsidies for domestic gas, electricity and diesel, triggered a new social movement. In the provinces of Latacunga, the army shot the indigenous people who blocked 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 US 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 were a source of public concern. Former Vice President Alberto Dahik, architect of the neoliberal economic program, fled abroad after being indicted for "questionable use of reserved funds". Former President Fabián Alarcón was arrested on charges of paying salaries for more than a thousand fictitious jobs. President Mahuad was accused of receiving money from drug trafficking during his election campaign. Several major bankers were also cited in cases. Mahuad concluded a well-received peace with Peru on October 26, 1998. 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. The US dollar became the only official currency of Ecuador in 2000. 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 was withdrawing 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 focusing on poverty. The 2007-8 Ecuadorian Constituent Assembly drafted the 2008 Constitution of Ecuador, approved via the Ecuadorian constitutional referendum, 2008. The new socialist constitution implemented leftist reforms. 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. 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). 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 acts of corruption 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 the 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. At the same time, Lenín Moreno moved away from his predecessor's left-leaning foreign policy. 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. In October 2019, Lenín Moreno announced a package of economic measures as part of a deal with the International Monetary Fund (IMF) to obtain US$4.2 billion 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, organized by the CONAIE confederation, 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. 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 US president in 17 years. The April 2021 election run-off vote ended in a win for conservative former banker, Guillermo Lasso, who took 52.4% of the vote compared to 47.6% for left-wing economist Andrés Arauz, supported by the exiled former president, Rafael Correa. Previously, President-elect Lasso had 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. In October 2021, President Lasso declared a 60-day state of emergency aiming to combat crime and drug-related violence. In October 2022, a bloody riot among inmates at a prison in central Ecuador caused 16 deaths, among whom was the drug crime boss Leonardo Norero, alias “El Patron.” In Ecuador's state prisons there were numerous bloody clashes between rival groups of prisoners. A series of protests against the economic policies of Ecuadorian president Guillermo Lasso, triggered by increasing fuel and food prices, took place in June 2022. Initiated by and primarily attended by Indigenous activists, in particular CONAIE, the protests were later joined by students and workers who were also affected by the price increases. Lasso condemned the protests and labelled them as an attempted "coup d'état" against his government. As a result of the protests, Lasso declared a state of emergency. When the protests blocked roads and ports in Quito and Guayaquil, there were food and fuel shortages across the country as a result. Lasso was criticized for allowing violent and deadly responses towards protestors. The President narrowly escaped impeachment in a vote in Congress. At the end of June, protesters agreed to end their protests and blockades in return for an agreement by the government to discuss and try to address their demands. Lasso proposed a series of constitutional changes to enhance his government's ability to respond to rising, largely drug-related crime. In a referendum in February 2023, voters overwhelmingly rejected his proposed changes. This result weakened Lasso's political standing. Meanwhile, Lasso's government faced accusations of corruption. Citing those accusations and claiming that the government had failed to meet its demands from June 2022, CONAIE called on Lasso to resign and declared itself in a state of "permanent mobilization", threatening additional protests. In a bid to avoid impeachment after the opposition-controlled accused him of impeachment, Lasso triggered a provision in the Ecuadorian constitution, called "Muertaza Cruzada", which triggered both presidential and parliamentary elections. He moved to rule by decree and promised to hold fresh elections within six months. Military leadership of the country promised to back him. Lasso's move was condemned by opposition figures, including ex-president Rafael Correa and Leonidas Iza It was initially thought that Lasso would be a contender in the elections, but he later informed that he was not going to be a candidate. On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González. On 23 November 2023, Daniel Noboa was sworn in as Ecuador’s new president.
[ { "paragraph_id": 0, "text": "The History of Ecuador covers human habitation in the region reaching back 8,000 years.", "title": "" }, { "paragraph_id": 1, "text": "During that period a diversity of cultures have influenced the people and the land that today make up the contemporary Republic of Ecuador. Indigenous tribes inhabited the area for millennia before being invaded and absorbed into the Inca Empire in the early fifteenth century.", "title": "" }, { "paragraph_id": 2, "text": "The Incas themselves were conquered shortly afterwards by the Spanish led by Francisco Pizarro in the early 16th century. The region fell under the Viceroyalty of Peru although it was granted certain autonomy through the Quito Audencia established in 1563. In 1720, it was joined to the Viceroyalty of New Granada.", "title": "" }, { "paragraph_id": 3, "text": "A rebellion in 1812 against the Quito Audencia was crushed early in the Spanish American wars of independence, but the struggle was revived in 1820 by a new rebellion originating in Guayaquil. The city was also the site of the Guayaquil Conference between Simon Bolivar and San Martin. Ecuador became independent initially as part of the Republic of Gran Colombia, before finally breaking away in 1830.", "title": "" }, { "paragraph_id": 4, "text": "Ecuador would endure a period of civil war until the mid nineteenth century after which it would be dominated by caudillos, alternatively conservative and liberal. In the twentieth and twenty first centuries Ecuador would continue to struggle in achieving both economic and political stability.", "title": "" }, { "paragraph_id": 5, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 6, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 7, "text": "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 culture, and the Chorrera culture in the coast; Cotocollao and the Chimba in the sierra; and Pastaza and 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 Santa Elena Peninsula, they were one of the first Americans to use pottery. They navigated the seas and established a trade network with tribes in the Andes and the Amazon.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 8, "text": "Succeeding the Valdivia, the Machalilla culture was a farming culture that 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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 9, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 10, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 11, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 12, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 13, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 14, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 15, "text": "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 along with the Quitu, occupants of the site of the modern capital; and the Cara in the Sierra north 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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 16, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 17, "text": "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. 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. 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 Huáscar, whose mother was Coya (Empress) Mama Rahua Occillo, and Atahualpa, whose mother was according to most sources of the panaka of Pachacuti, and who was his father's favorite. Huascar was chosen as emperor by the Inca nobles, but Atahualpa was very popular with the Inca armies stationed in the north. Huayna Capac had named another one of his sons, Ninan Cuyochi, as his heir. But Ninan Cuyochi died shortly after his father from smallpox. 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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 18, "text": "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.", "title": "Pre-Columbian Ecuador" }, { "paragraph_id": 19, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 20, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 21, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 22, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 23, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 24, "text": "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.", "title": "Spanish discovery and conquest" }, { "paragraph_id": 25, "text": "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).", "title": "Spanish colonial era" }, { "paragraph_id": 26, "text": "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 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.", "title": "Spanish colonial era" }, { "paragraph_id": 27, "text": "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.", "title": "Spanish colonial era" }, { "paragraph_id": 28, "text": "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.", "title": "Spanish colonial era" }, { "paragraph_id": 29, "text": "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.", "title": "Spanish colonial era" }, { "paragraph_id": 30, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 31, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 32, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 33, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 34, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 35, "text": "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.", "title": "Jesuits of Quito during the Colonial era" }, { "paragraph_id": 36, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 37, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 38, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 39, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 40, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 41, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 42, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 43, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 44, "text": "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.", "title": "Struggle for independence and birth of the republic" }, { "paragraph_id": 45, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 46, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 47, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 48, "text": "The next fifteen years constituted one of the most turbulent periods in Ecuador's two centuries 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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 49, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 50, "text": "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!\"", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 51, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 52, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 53, "text": "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. During the 1920s, Ecuador's key export, cacao beans, were devastated by disease at the same time that its cacao producers faced increased competition from West Africa. The loss of export earnings seriously damaged the economy.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 54, "text": "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, such as dealing with the failing economy, establishing the Central Bank as the unique authorized bank to distribute currency, and creating a new system of budget and customs.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 55, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 56, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 57, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 58, "text": "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. Liberal 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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 59, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 60, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 61, "text": "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 agricultural exports of Ecuador, such as bananas, 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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 62, "text": "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.", "title": "Liberal and conservative elites in an agrarian republic" }, { "paragraph_id": 63, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 64, "text": "In 1976 the military triumvirate, pressured by internal and external public consensus, began a process of return to the constitutional system. The moment was seen by the ruling classes and sectors as the ideal moment to legitimize their power by restoring the traditional procedures of control of power. However, divisions among the Armed Forces, whose leaders included Colonel Richelieu Levoyer, René Vargas, and others, led to the drafting of alternative proposed constitutions. Through a referendum, a new Constitution was approved in January (1978). It increased representation for groups traditionally excluded from power, such as indigenous people, trade unions, and leftist political parties. In the elections of 1978-79 the progressive candidate, Jaime Roldós Aguilera, triumphed against the conservative Sixto Durán Ballén, who had the implicit backing of military leaders.", "title": "The modern republic develops" }, { "paragraph_id": 65, "text": "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).", "title": "The modern republic develops" }, { "paragraph_id": 66, "text": "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 the 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.", "title": "The modern republic develops" }, { "paragraph_id": 67, "text": "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. Real gross domestic product growth 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.", "title": "The modern republic develops" }, { "paragraph_id": 68, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 69, "text": "During the first years of his 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.", "title": "The modern republic develops" }, { "paragraph_id": 70, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 71, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 72, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 73, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 74, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 75, "text": "Mahuad faced a difficult economic situation, linked in particular to the Asian financial crisis. The currency was devalued by 15%, fuel and electricity prices increased fivefold, and public transport prices increased by 40%. The government was preparing to privatize several key sectors of the economy: oil, electricity, telecommunications, ports, airports, railways, and the post office. The repression of a first general strike caused three deaths. The social situation was critical: more than half of the population was unemployed, 60% lived below the extreme poverty line, and public employees had not been paid for three months. A further increase in VAT, combined with the abolition of subsidies for domestic gas, electricity and diesel, triggered a new social movement. In the provinces of Latacunga, the army shot the indigenous people who blocked the Pan-American Highway, injuring 17 people with bullets.", "title": "The modern republic develops" }, { "paragraph_id": 76, "text": "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 US 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.", "title": "The modern republic develops" }, { "paragraph_id": 77, "text": "In addition, corruption scandals were a source of public concern. Former Vice President Alberto Dahik, architect of the neoliberal economic program, fled abroad after being indicted for \"questionable use of reserved funds\". Former President Fabián Alarcón was arrested on charges of paying salaries for more than a thousand fictitious jobs. President Mahuad was accused of receiving money from drug trafficking during his election campaign. Several major bankers were also cited in cases. Mahuad concluded a well-received peace with Peru on October 26, 1998.", "title": "The modern republic develops" }, { "paragraph_id": 78, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 79, "text": "The US dollar became the only official currency of Ecuador in 2000. 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.", "title": "The modern republic develops" }, { "paragraph_id": 80, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 81, "text": "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 was withdrawing 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.", "title": "The modern republic develops" }, { "paragraph_id": 82, "text": "On January 15, 2007, the social democrat Rafael Correa succeeded Palacio as President of Ecuador, with the promise of summoning a constituent assembly and focusing on poverty. The 2007-8 Ecuadorian Constituent Assembly drafted the 2008 Constitution of Ecuador, approved via the Ecuadorian constitutional referendum, 2008. The new socialist constitution implemented leftist reforms.", "title": "The modern republic develops" }, { "paragraph_id": 83, "text": "In November 2009, Ecuador faced an energy crisis that led to power rationing across the country.", "title": "The modern republic develops" }, { "paragraph_id": 84, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 85, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 86, "text": "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.", "title": "The modern republic develops" }, { "paragraph_id": 87, "text": "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). 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 acts of corruption while he was in office.", "title": "The modern republic develops" }, { "paragraph_id": 88, "text": "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 the 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.", "title": "The modern republic develops" }, { "paragraph_id": 89, "text": "At the same time, Lenín Moreno moved away from his predecessor's left-leaning foreign policy. 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.", "title": "The modern republic develops" }, { "paragraph_id": 90, "text": "In October 2019, Lenín Moreno announced a package of economic measures as part of a deal with the International Monetary Fund (IMF) to obtain US$4.2 billion 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, organized by the CONAIE confederation, 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.", "title": "The modern republic develops" }, { "paragraph_id": 91, "text": "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 US president in 17 years.", "title": "The modern republic develops" }, { "paragraph_id": 92, "text": "The April 2021 election run-off vote ended in a win for conservative former banker, Guillermo Lasso, who took 52.4% of the vote compared to 47.6% for left-wing economist Andrés Arauz, supported by the exiled former president, Rafael Correa. Previously, President-elect Lasso had 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.", "title": "The modern republic develops" }, { "paragraph_id": 93, "text": "In October 2021, President Lasso declared a 60-day state of emergency aiming to combat crime and drug-related violence. In October 2022, a bloody riot among inmates at a prison in central Ecuador caused 16 deaths, among whom was the drug crime boss Leonardo Norero, alias “El Patron.” In Ecuador's state prisons there were numerous bloody clashes between rival groups of prisoners.", "title": "The modern republic develops" }, { "paragraph_id": 94, "text": "A series of protests against the economic policies of Ecuadorian president Guillermo Lasso, triggered by increasing fuel and food prices, took place in June 2022. Initiated by and primarily attended by Indigenous activists, in particular CONAIE, the protests were later joined by students and workers who were also affected by the price increases. Lasso condemned the protests and labelled them as an attempted \"coup d'état\" against his government.", "title": "The modern republic develops" }, { "paragraph_id": 95, "text": "As a result of the protests, Lasso declared a state of emergency. When the protests blocked roads and ports in Quito and Guayaquil, there were food and fuel shortages across the country as a result. Lasso was criticized for allowing violent and deadly responses towards protestors. The President narrowly escaped impeachment in a vote in Congress. At the end of June, protesters agreed to end their protests and blockades in return for an agreement by the government to discuss and try to address their demands.", "title": "The modern republic develops" }, { "paragraph_id": 96, "text": "Lasso proposed a series of constitutional changes to enhance his government's ability to respond to rising, largely drug-related crime. In a referendum in February 2023, voters overwhelmingly rejected his proposed changes. This result weakened Lasso's political standing. Meanwhile, Lasso's government faced accusations of corruption. Citing those accusations and claiming that the government had failed to meet its demands from June 2022, CONAIE called on Lasso to resign and declared itself in a state of \"permanent mobilization\", threatening additional protests.", "title": "The modern republic develops" }, { "paragraph_id": 97, "text": "In a bid to avoid impeachment after the opposition-controlled accused him of impeachment, Lasso triggered a provision in the Ecuadorian constitution, called \"Muertaza Cruzada\", which triggered both presidential and parliamentary elections. He moved to rule by decree and promised to hold fresh elections within six months. Military leadership of the country promised to back him. Lasso's move was condemned by opposition figures, including ex-president Rafael Correa and Leonidas Iza It was initially thought that Lasso would be a contender in the elections, but he later informed that he was not going to be a candidate.", "title": "The modern republic develops" }, { "paragraph_id": 98, "text": "On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González. On 23 November 2023, Daniel Noboa was sworn in as Ecuador’s new president.", "title": "The modern republic develops" } ]
The History of Ecuador covers human habitation in the region reaching back 8,000 years. During that period a diversity of cultures have influenced the people and the land that today make up the contemporary Republic of Ecuador. Indigenous tribes inhabited the area for millennia before being invaded and absorbed into the Inca Empire in the early fifteenth century. The Incas themselves were conquered shortly afterwards by the Spanish led by Francisco Pizarro in the early 16th century. The region fell under the Viceroyalty of Peru although it was granted certain autonomy through the Quito Audencia established in 1563. In 1720, it was joined to the Viceroyalty of New Granada. A rebellion in 1812 against the Quito Audencia was crushed early in the Spanish American wars of independence, but the struggle was revived in 1820 by a new rebellion originating in Guayaquil. The city was also the site of the Guayaquil Conference between Simon Bolivar and San Martin. Ecuador became independent initially as part of the Republic of Gran Colombia, before finally breaking away in 1830. Ecuador would endure a period of civil war until the mid nineteenth century after which it would be dominated by caudillos, alternatively conservative and liberal. In the twentieth and twenty first centuries Ecuador would continue to struggle in achieving both economic and political stability.
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https://en.wikipedia.org/wiki/History_of_Ecuador
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Geography of Ecuador
Ecuador is a country in western South America, bordering the Pacific Ocean at the Equator, for which the country is named. Ecuador encompasses a wide range of natural formations and climates, from the desert-like southern coast to the snowcapped peaks of the Andes mountain range to the plains of the Amazon Basin. Cotopaxi in Ecuador is one of the world's highest active volcanos. It also has a large series of rivers that follow the southern border and spill into the northwest area of Peru. 2°00′S 77°30′W / 2.000°S 77.500°W / -2.000; -77.500 Ecuador is located on the west by the Pacific Ocean, and has 2,237 km of coastline. It has 2237 km of land boundaries, with Colombia in the north (708 km border) and Peru in the east and south (1,529 km border). 283,561 km (109,484 sq mi) is land and 6,720 km (2,595 sq mi) water. Ecuador is one of the smallest countries in South America, but bigger than Uruguay, Guyana, Suriname and French Guiana. It has the 29th largest exclusive economic zone of 1,077,231 km (415,921 sq mi) which includes the Galápagos Islands. 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. Ecuador is divided into three continental regions—the Costa (coast), Sierra (mountains), and Oriente (east)—and one insular region, the Galápagos Islands (officially Archipiélago de Colón). The continental regions extend the length of the country from north to south and are separated by the Andes Mountains. The Galápagos are located 1,000 kilometres (621 mi) west of the Ecuadorian coast. They are noted for their association with Charles Darwin, whose observation of animals here during the voyage of the Beagle led to his formation of the theory of natural selection as a means of evolution. The islands have witnessed a large number of tourists and travelers over recent years. Special species that could be found here include blue footed boobies, iguanas and many more. Internal flight services from Ecuador to Galápagos are also available for tourists making it more convenient for guests from outside. The western coastal area of Ecuador borders the Pacific Ocean to the west, encompasses a broad coastal plain, and then rises to the foothills of the Andes Mountains to the east. It is estimated that 98% of the native forest of coastal Ecuador has been eliminated in favor of cattle ranching and other agricultural production, including banana, cacao and coffee plantations. The forest fragments that still survive are primarily found along the coastal mountain ranges of Mache-Chindul, Jama-Coaque, and Chongon-Colonche, and include tropical dry forest, tropical wet forest, tropical moist evergreen forest, premontane cloud forest, and mangrove forest. Collectively known as the Pacific Equatorial Forest, these forest remnants are considered the most endangered tropical forest in the world, and are part of the Tumbes-Choco-Magdalena biodiversity hotspot. Guayaquil, located on the southern part of the coast is the biggest city in the country. On the north coast of Ecuador the port of Balao in Esmeraldas is used for oil export and the port of Manta was formerly used by the United States Air Force as a control point for narcotics traffic control until 2009. A recent remote sensing analysis suggested that there were 635 km of tidal flats in Ecuador, making it the 41st ranked country in terms of tidal flat area. The central belt of Ecuador that includes the Andes Mountains, with volcanoes and mountain peaks that sport year-round snow on the equator. Many areas of the Sierra are deforested to make way for agriculture and a number of cut-flower growing operations. At a certain altitude, cloud forests may be found. The northern Ecuadorian Andes are divided into three parallel cordilleras which run in what is similar to an S-shape from north to south: the western, central (Cordillerra Real) and eastern (Cordillera Occidental) cordilleras. The cordilleras were formed earlier in the Cenozoic era (the current geological era), as the Nazca Plate has subducted underneath the South American Plate and has raised the mountain range. In the south, the cordilleras are not well defined. Quito, the capital city, is located in a high mountain valley on the foothills of the Pichincha (volcano). The town of Baños de Agua Santa features hot springs swimming pools on the foothills of the Tungurahua in the Central Cordillera. The road from Baños to Puyo has long been known for its narrowness, curves and sheer drops (only one lane in some places, on one area, actually cut into the side of a cliff so that the cliff roofs over it). The most important east–west road across the Andes is the road from Quito to Lago Agrio, which is paved for most of its length yet is heavily traveled by tractor-trailers—and the Trans-Ecuadorian Oil Pipeline serves as the guardrail for long stretches of this road. Partial, incomplete table of volcanoes in the north of the Ecuadorian Andes, from north to south: Much of the Oriente is tropical moist broadleaf forest (Spanish: la selva), on the east slopes of the Andes Mountains and descending into the Amazon Basin, with strikingly different upland rainforest with steep, rugged ridges and cascading streams (can be seen around Puyo) and lowland rainforest. The oil fields are located in the Amazon basin, headquartered at Lago Agrio; some of the rainforest has been seriously damaged in this region and environmental degradation is severe, with catastrophic oil pollution in some areas. Some 38% of Ecuador's land is forested, and despite a 1.5% annual deforestation rate remains one of the most biodiverse locations on the planet. The Oriente is also home to a large number of Ecuador's indigenous groups, notably the lowland Quechua, Siona, Secoya, Huaorani, and Cofán. Almost all of the rivers in Ecuador rise 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 region, the Costa Externa 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 Costa Externa from the Costa Internal and the Sierra on their way to the Pacific Ocean. The Costa Internal, by contrast, is crossed by perennial rivers that may flood during the rainy season, sometimes forming swamps. The Guayas River system, which flows southward to the Gulf of Guayaquil, constitutes the most important of the drainage systems in the Costa Internal. The Guayas River Basin, including land drained by its tributaries, is 40,000 square kilometers in area. The sixty-kilometer-long Guayas River forms just north of Guayaquil out of the confluence of the Babahoyo and Daule rivers. Briefly constricted at Guayaquil by hills, the Guayas widens south of the city and flows through a deltaic network of small islands and channels. At its mouth, the river forms a broad estuary with two channels around Puná Island, the deeper of which is used for navigation. The second major Costa river system —the Esmeraldas— rises in the Hoya de Quito in the Sierra as the Guayllabamba River and flows westward to empty into the Pacific Ocean near the city of Esmeraldas. The Esmeraldas River is 320 kilometers long and has a 20,000-square-kilometer drainage basin. 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 sixty-one meters (200 feet) 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 500 to 1,800 m (1,640 to 5,906 ft). 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. Each region has different factors that affect its climate. The Costa is influenced primarily by proximity to warm or cool ocean currents. By contrast, climate in the Sierra varies more as a function of altitude. The Oriente has a fairly uniform climate that varies only slightly between the two subregions. Climate in the Galápagos Islands is both moderated by the ocean currents and affected by altitude. Throughout Ecuador variation in rainfall primarily determines seasons. Temperature is determined by altitude. With each ascent of 200 meters (656 ft) in altitude, temperature drops 1 °C (1.8 °F). This phenomenon is particularly significant in the Sierra. Temperatures in the Sierra do not vary greatly on a seasonal basis; the hottest month averages 16 °C (60.8 °F) and the coolest month, 13 °C (55.4 °F) in the upper elevations. Diurnal temperatures, however, vary dramatically, from cold mornings to hot afternoons. The almost vertical sun and the rarefied air in the higher Sierra region allow the land to warm quickly during the day and lose heat quickly at night. Mornings typically are bright and sunny, whereas afternoons often are cloudy and rainy. In general, rainfall amounts are highest on exposed locations at lower altitudes. Rain can also vary on a local basis. Sheltered valleys normally receive 500 millimeters (19.7 in) per year, whereas annual rainfall is 1,500 millimeters (59.1 in) in Quito and can reach 2,500 millimeters (98.4 in) on exposed slopes that catch rain-bearing winds. On a seasonal basis, the driest months are June through September. The climate in the Sierra is divided into levels based on altitude. The tropical level—400 to 1,800 meters (1,312 to 5,906 ft)—has temperatures ranging from 20 to 25 °C (68.0 to 77.0 °F) and heavy precipitation. The subtropical level—1,800 to 2,500 meters (5,906 to 8,202 ft)—has temperatures from 15 to 20 °C (59 to 68 °F) and moderate precipitation. The temperate level—≤2,500 to 3,200 meters (8,202 to 10,499 ft)≥- -has a year-round temperature in the range of 10 to 15 °C (50 to 59 °F) and an annual rainfall of 1,000 millimeters (39.4 in). The temperate level experiences rainstorms, hailstorms, and fog. Winter, or the rainy season, lasts from January through June, and the dry season or summer from July through December. Most rain falls in April. There also is a short rainy period in early October caused by moisture penetrating the Sierra from the Oriente. Quito and most other populated areas in the Sierra are located at this temperate level. The cold level extends from the temperate zone to 4,650 meters (15,256 ft). Here, average temperatures are 3 to 9 °C (37.4 to 48.2 °F), and the precipitation often appears in the form of rain, hail, and thick fog. Above 4,650 meters (15,256 ft) is the frozen level, where peaks are constantly capped with snow and ice, and temperatures range from below 0 to 3 °C (32.0 to 37.4 °F). Precipitation frequently is in the form of snow, fog, and rain. The eastern lowlands in the Oriente experience abundant rainfall, especially in the Andean Piedmont, sometimes exceeding 5,000 millimeters (196.9 in) per year. Temperatures average 25 °C (77 °F) in the western parts of this region. The jungle-covered plains of the Eastern lowlands register high levels of rainfall and temperatures surpassing 28 °C (82.4 °F). Being located on the equator, the Galápagos Islands would have an equatorial climate were it not for the modifying effects of the Peruvian Current. Instead, climate on the islands follows a pattern more like that of the Sierra than the Costa. At sea level, the land is desertlike with temperatures of 21 °C (69.8 °F). The eight summer months experience no precipitation, whereas the winter months of January through April have some fog and drizzle. Above sea level to an altitude of 450 meters (1,476 ft), the islands have a mixture of tropical, subtropical, and temperate climates. In general, temperatures are around 17 °C (62.6 °F). There is constant fog and drizzle in the summer and rain in the winter. The cold level above 450 meters (1,476 ft) has temperatures below 14 °C (57.2 °F). It is cool along the tropical coast. Ecuador has land which is rich in petroleum. Main fishing products include herring and mackerel. Other natural resources include timber and hydropower. 8,534 km (2003) 424.4 km (2011) Natural hazards in Ecuador include frequent earthquakes, landslides, volcanic activity; periodic droughts and floods. deforestation; soil erosion; desertification; water pollution; pollution from oil production wastes in ecologically sensitive areas of the Amazon Basin and Galápagos Islands. mouth of Mataje River, Esmeraldas Province
[ { "paragraph_id": 0, "text": "Ecuador is a country in western South America, bordering the Pacific Ocean at the Equator, for which the country is named. Ecuador encompasses a wide range of natural formations and climates, from the desert-like southern coast to the snowcapped peaks of the Andes mountain range to the plains of the Amazon Basin. Cotopaxi in Ecuador is one of the world's highest active volcanos. It also has a large series of rivers that follow the southern border and spill into the northwest area of Peru.", "title": "" }, { "paragraph_id": 1, "text": "2°00′S 77°30′W / 2.000°S 77.500°W / -2.000; -77.500", "title": "Area and borders" }, { "paragraph_id": 2, "text": "Ecuador is located on the west by the Pacific Ocean, and has 2,237 km of coastline. It has 2237 km of land boundaries, with Colombia in the north (708 km border) and Peru in the east and south (1,529 km border). 283,561 km (109,484 sq mi) is land and 6,720 km (2,595 sq mi) water. Ecuador is one of the smallest countries in South America, but bigger than Uruguay, Guyana, Suriname and French Guiana. It has the 29th largest exclusive economic zone of 1,077,231 km (415,921 sq mi) which includes the Galápagos Islands.", "title": "Area and borders" }, { "paragraph_id": 3, "text": "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.", "title": "Cities" }, { "paragraph_id": 4, "text": "Ecuador is divided into three continental regions—the Costa (coast), Sierra (mountains), and Oriente (east)—and one insular region, the Galápagos Islands (officially Archipiélago de Colón). The continental regions extend the length of the country from north to south and are separated by the Andes Mountains.", "title": "Geographical regions" }, { "paragraph_id": 5, "text": "The Galápagos are located 1,000 kilometres (621 mi) west of the Ecuadorian coast. They are noted for their association with Charles Darwin, whose observation of animals here during the voyage of the Beagle led to his formation of the theory of natural selection as a means of evolution. The islands have witnessed a large number of tourists and travelers over recent years. Special species that could be found here include blue footed boobies, iguanas and many more. Internal flight services from Ecuador to Galápagos are also available for tourists making it more convenient for guests from outside.", "title": "Geographical regions" }, { "paragraph_id": 6, "text": "The western coastal area of Ecuador borders the Pacific Ocean to the west, encompasses a broad coastal plain, and then rises to the foothills of the Andes Mountains to the east. It is estimated that 98% of the native forest of coastal Ecuador has been eliminated in favor of cattle ranching and other agricultural production, including banana, cacao and coffee plantations. The forest fragments that still survive are primarily found along the coastal mountain ranges of Mache-Chindul, Jama-Coaque, and Chongon-Colonche, and include tropical dry forest, tropical wet forest, tropical moist evergreen forest, premontane cloud forest, and mangrove forest. Collectively known as the Pacific Equatorial Forest, these forest remnants are considered the most endangered tropical forest in the world, and are part of the Tumbes-Choco-Magdalena biodiversity hotspot. Guayaquil, located on the southern part of the coast is the biggest city in the country. On the north coast of Ecuador the port of Balao in Esmeraldas is used for oil export and the port of Manta was formerly used by the United States Air Force as a control point for narcotics traffic control until 2009.", "title": "Geographical regions" }, { "paragraph_id": 7, "text": "A recent remote sensing analysis suggested that there were 635 km of tidal flats in Ecuador, making it the 41st ranked country in terms of tidal flat area.", "title": "Geographical regions" }, { "paragraph_id": 8, "text": "The central belt of Ecuador that includes the Andes Mountains, with volcanoes and mountain peaks that sport year-round snow on the equator. Many areas of the Sierra are deforested to make way for agriculture and a number of cut-flower growing operations. At a certain altitude, cloud forests may be found.", "title": "Geographical regions" }, { "paragraph_id": 9, "text": "The northern Ecuadorian Andes are divided into three parallel cordilleras which run in what is similar to an S-shape from north to south: the western, central (Cordillerra Real) and eastern (Cordillera Occidental) cordilleras. The cordilleras were formed earlier in the Cenozoic era (the current geological era), as the Nazca Plate has subducted underneath the South American Plate and has raised the mountain range. In the south, the cordilleras are not well defined.", "title": "Geographical regions" }, { "paragraph_id": 10, "text": "Quito, the capital city, is located in a high mountain valley on the foothills of the Pichincha (volcano). The town of Baños de Agua Santa features hot springs swimming pools on the foothills of the Tungurahua in the Central Cordillera. The road from Baños to Puyo has long been known for its narrowness, curves and sheer drops (only one lane in some places, on one area, actually cut into the side of a cliff so that the cliff roofs over it). The most important east–west road across the Andes is the road from Quito to Lago Agrio, which is paved for most of its length yet is heavily traveled by tractor-trailers—and the Trans-Ecuadorian Oil Pipeline serves as the guardrail for long stretches of this road.", "title": "Geographical regions" }, { "paragraph_id": 11, "text": "Partial, incomplete table of volcanoes in the north of the Ecuadorian Andes, from north to south:", "title": "Geographical regions" }, { "paragraph_id": 12, "text": "Much of the Oriente is tropical moist broadleaf forest (Spanish: la selva), on the east slopes of the Andes Mountains and descending into the Amazon Basin, with strikingly different upland rainforest with steep, rugged ridges and cascading streams (can be seen around Puyo) and lowland rainforest. The oil fields are located in the Amazon basin, headquartered at Lago Agrio; some of the rainforest has been seriously damaged in this region and environmental degradation is severe, with catastrophic oil pollution in some areas. Some 38% of Ecuador's land is forested, and despite a 1.5% annual deforestation rate remains one of the most biodiverse locations on the planet. The Oriente is also home to a large number of Ecuador's indigenous groups, notably the lowland Quechua, Siona, Secoya, Huaorani, and Cofán.", "title": "Geographical regions" }, { "paragraph_id": 13, "text": "Almost all of the rivers in Ecuador rise 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.", "title": "Drainage" }, { "paragraph_id": 14, "text": "In the Costa region, the Costa Externa 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 Costa Externa from the Costa Internal and the Sierra on their way to the Pacific Ocean. The Costa Internal, by contrast, is crossed by perennial rivers that may flood during the rainy season, sometimes forming swamps.", "title": "Drainage" }, { "paragraph_id": 15, "text": "The Guayas River system, which flows southward to the Gulf of Guayaquil, constitutes the most important of the drainage systems in the Costa Internal. The Guayas River Basin, including land drained by its tributaries, is 40,000 square kilometers in area. The sixty-kilometer-long Guayas River forms just north of Guayaquil out of the confluence of the Babahoyo and Daule rivers. Briefly constricted at Guayaquil by hills, the Guayas widens south of the city and flows through a deltaic network of small islands and channels. At its mouth, the river forms a broad estuary with two channels around Puná Island, the deeper of which is used for navigation.", "title": "Drainage" }, { "paragraph_id": 16, "text": "The second major Costa river system —the Esmeraldas— rises in the Hoya de Quito in the Sierra as the Guayllabamba River and flows westward to empty into the Pacific Ocean near the city of Esmeraldas. The Esmeraldas River is 320 kilometers long and has a 20,000-square-kilometer drainage basin.", "title": "Drainage" }, { "paragraph_id": 17, "text": "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 sixty-one meters (200 feet) 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 500 to 1,800 m (1,640 to 5,906 ft). 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.", "title": "Drainage" }, { "paragraph_id": 18, "text": "Each region has different factors that affect its climate. The Costa is influenced primarily by proximity to warm or cool ocean currents. By contrast, climate in the Sierra varies more as a function of altitude. The Oriente has a fairly uniform climate that varies only slightly between the two subregions. Climate in the Galápagos Islands is both moderated by the ocean currents and affected by altitude. Throughout Ecuador variation in rainfall primarily determines seasons. Temperature is determined by altitude. With each ascent of 200 meters (656 ft) in altitude, temperature drops 1 °C (1.8 °F). This phenomenon is particularly significant in the Sierra.", "title": "Climate" }, { "paragraph_id": 19, "text": "Temperatures in the Sierra do not vary greatly on a seasonal basis; the hottest month averages 16 °C (60.8 °F) and the coolest month, 13 °C (55.4 °F) in the upper elevations. Diurnal temperatures, however, vary dramatically, from cold mornings to hot afternoons. The almost vertical sun and the rarefied air in the higher Sierra region allow the land to warm quickly during the day and lose heat quickly at night. Mornings typically are bright and sunny, whereas afternoons often are cloudy and rainy. In general, rainfall amounts are highest on exposed locations at lower altitudes. Rain can also vary on a local basis. Sheltered valleys normally receive 500 millimeters (19.7 in) per year, whereas annual rainfall is 1,500 millimeters (59.1 in) in Quito and can reach 2,500 millimeters (98.4 in) on exposed slopes that catch rain-bearing winds. On a seasonal basis, the driest months are June through September.", "title": "Climate" }, { "paragraph_id": 20, "text": "The climate in the Sierra is divided into levels based on altitude. The tropical level—400 to 1,800 meters (1,312 to 5,906 ft)—has temperatures ranging from 20 to 25 °C (68.0 to 77.0 °F) and heavy precipitation. The subtropical level—1,800 to 2,500 meters (5,906 to 8,202 ft)—has temperatures from 15 to 20 °C (59 to 68 °F) and moderate precipitation. The temperate level—≤2,500 to 3,200 meters (8,202 to 10,499 ft)≥- -has a year-round temperature in the range of 10 to 15 °C (50 to 59 °F) and an annual rainfall of 1,000 millimeters (39.4 in). The temperate level experiences rainstorms, hailstorms, and fog. Winter, or the rainy season, lasts from January through June, and the dry season or summer from July through December. Most rain falls in April. There also is a short rainy period in early October caused by moisture penetrating the Sierra from the Oriente. Quito and most other populated areas in the Sierra are located at this temperate level. The cold level extends from the temperate zone to 4,650 meters (15,256 ft). Here, average temperatures are 3 to 9 °C (37.4 to 48.2 °F), and the precipitation often appears in the form of rain, hail, and thick fog. Above 4,650 meters (15,256 ft) is the frozen level, where peaks are constantly capped with snow and ice, and temperatures range from below 0 to 3 °C (32.0 to 37.4 °F). Precipitation frequently is in the form of snow, fog, and rain.", "title": "Climate" }, { "paragraph_id": 21, "text": "The eastern lowlands in the Oriente experience abundant rainfall, especially in the Andean Piedmont, sometimes exceeding 5,000 millimeters (196.9 in) per year. Temperatures average 25 °C (77 °F) in the western parts of this region. The jungle-covered plains of the Eastern lowlands register high levels of rainfall and temperatures surpassing 28 °C (82.4 °F).", "title": "Climate" }, { "paragraph_id": 22, "text": "Being located on the equator, the Galápagos Islands would have an equatorial climate were it not for the modifying effects of the Peruvian Current. Instead, climate on the islands follows a pattern more like that of the Sierra than the Costa. At sea level, the land is desertlike with temperatures of 21 °C (69.8 °F). The eight summer months experience no precipitation, whereas the winter months of January through April have some fog and drizzle. Above sea level to an altitude of 450 meters (1,476 ft), the islands have a mixture of tropical, subtropical, and temperate climates. In general, temperatures are around 17 °C (62.6 °F). There is constant fog and drizzle in the summer and rain in the winter. The cold level above 450 meters (1,476 ft) has temperatures below 14 °C (57.2 °F). It is cool along the tropical coast.", "title": "Climate" }, { "paragraph_id": 23, "text": "Ecuador has land which is rich in petroleum. Main fishing products include herring and mackerel. Other natural resources include timber and hydropower.", "title": "Natural resources" }, { "paragraph_id": 24, "text": "8,534 km (2003)", "title": "Land use" }, { "paragraph_id": 25, "text": "424.4 km (2011)", "title": "Land use" }, { "paragraph_id": 26, "text": "Natural hazards in Ecuador include frequent earthquakes, landslides, volcanic activity; periodic droughts and floods.", "title": "Natural hazards" }, { "paragraph_id": 27, "text": "deforestation; soil erosion; desertification; water pollution; pollution from oil production wastes in ecologically sensitive areas of the Amazon Basin and Galápagos Islands.", "title": "Environment - current issues" }, { "paragraph_id": 28, "text": "mouth of Mataje River, Esmeraldas Province", "title": "Extreme points" } ]
Ecuador is a country in western South America, bordering the Pacific Ocean at the Equator, for which the country is named. Ecuador encompasses a wide range of natural formations and climates, from the desert-like southern coast to the snowcapped peaks of the Andes mountain range to the plains of the Amazon Basin. Cotopaxi in Ecuador is one of the world's highest active volcanos. It also has a large series of rivers that follow the southern border and spill into the northwest area of Peru.
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https://en.wikipedia.org/wiki/Geography_of_Ecuador
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Demographics of Ecuador
Demographic features of the population of Ecuador include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population. Ecuador experienced rapid population growth like most countries, but four decades of an armed conflict pushed millions of Ecuadorians out of the country. However, a rebound economy in the 2000s in urban centres improved the situation of living standards for Ecuadorians in a traditional class stratified economy. As of 2010, 77.4% of the population identified as "Mestizos", a mix of Spanish and Indigenous American ancestry, up from 71.9% in 2000. The percentage of the population which identifies as "white" has fallen from 10.5% in 2000 to 6.1% in 2010. Amerindians account for approximately 7.0% of the population and 7.2% of the population consists of Afro-Ecuadorians. Other statistics put the Mestizo population at 55% to 65% and the indigenous population at 25%. Genetic research indicates that the ancestry of Ecuadorian Mestizos is predominantly Indigenous. The Ecuadorian census is conducted by the governmental institution known as INEC, Instituto Nacional de Estadisticas y Censos (National Institute of Statistics and Census). The census in Ecuador is conducted every ten years, and its objective is to obtain the number of people residing within its borders. The current census now includes household information. The most recent census (as of 2011) emphasized reaching rural and remote areas to map the most accurate population count in the country. The 2010 census was conducted in November and December, and its results were published 27 January 2011. The following table shows the dates the most recent censuses were made, and the total population number: The census is a false count due to racism against its large Amerindian population. Index of growth: According to the 2022 revision of the World Population Prospects the total population was 17,797,737 in 2021, compared to only 3,470,000 in 1950. The proportion of children below the age of 15 in 2015 was 29.0%, 63.4% was between 15 and 65 years of age, while 6.7% was 65 years or older. Registration of vital events is in Ecuador not complete. The Population Department of the United Nations prepared the following estimates. (c) = Census results. The following demographic statistics are from the CIA World Factbook, unless otherwise indicated. Population: 15,007,343 (July 2011 est.) Median Age Population growth rate Net migration rate Sex ratio HIV/AIDS – adult prevalence rate HIV/AIDS – people living with HIV/AIDS HIV/AIDS – deaths Nationality Religions Languages: Spanish (official), Amerindian languages (especially Quechua). Achuar-Shiwiar – 2,000 Pastaza province. Alternate names: Achuar, Achual, Achuara, Achuale. Chachi – 3,450 Esmeraldas Province, Cayapas River system. Alternate names: Cayapa, Cha' Palaachi. Colorado – 2,300 Santo Domingo de los Colorados province. Alternate names: Tsachila, Tsafiki. Quechua – 9 separate dialects are spoken in as many areas in the country with a combined population of 1,460,000. Shuar – 46,669 (2000 WCD). Morona-Santiago Province. Alternate names: Jivaro, Xivaro, Jibaro, Chiwaro, Shuara. Waorani – 1,650 (2004). Napo and Morona-Santiago provinces. Alternate names: Huaorani, Waodani, Huao. Literacy Due to the prevalence of malaria and yellow fever in the coastal region until the end of the 19th century, the Ecuadorian population was most heavily concentrated in the highlands and valleys of the "Sierra" region. Today's population is distributed more evenly between the "Sierra" and the "Costa" (the coastal lowlands) region. Migration towards the cities—particularly larger cities—in all regions has increased the urban population to about 55 percent. The "Oriente" region, consisting of Amazonian lowlands to the east of the Andes and covering about half the country's land area, remains sparsely populated and contains only about 3% of the country's population, that for the most are indigenous peoples who maintain a wary distance from the recent Mestizo and white settlers. The territories of the "Oriente" are home to as many as nine indigenous groups: Quichua, Shuar, Achuar, Huaorani, Siona, Secoya, Shiwiar, and Cofan, all represented politically by the Confederation of Indigenous Nationalities of the Ecuadorian Amazon, CONFENIAE. As a result of the oil exploration and the development of the infrastructure required for the exploitation of the oil fields in the eastern jungles during the seventies and early eighties, there was a wave of settlement in the region. The Majority of these wave of internal immigration came from the southern province of Loja as a result of a drought that lasted three years and affected the southern provinces of the country. This boom of the petroleum industry has led to a mushrooming of the town of Lago Agrio (Nueva Loja) as well as substantial deforestation and pollution of wetlands and lakes. The Ecuadorian constitution recognizes the pluri-nationality of those who want to exercise their affiliation with their native ethnic groups. There are five major ethnic groups in Ecuador: Mestizo, European, Afroecuadorian, Amerindian, and Montubio. Mestizos constitute more than 70% of the population. 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. Ecuador's population descends from Spanish immigrants and South American Amerindians, admixed with descendants of black slaves who arrived to work on coastal plantations in the sixteenth century. The mix of these groups is described as Mestizo or Cholo. Censuses do not record ethnic affiliation, which in any event remains fluid; thus, estimates of the numbers of each group should be taken only as approximations. In the 1980s, Amerindians and Mestizos represented the bulk of the population, with each group accounting for roughly 40 percent of total population. Whites represented 10 to 15 percent and blacks the remaining 5 percent. According to Kluck, writing in 1989, ethnic groups in Ecuador have had a traditional hierarchy of white, Mestizo, blacks, and then others. Her review depicts this hierarchy as a consequence of colonial attitudes and of the terminology of colonial legal distinctions. Spanish-born persons residing in the New World (peninsulares) were at the top of the social hierarchy, followed by criollos, born of two Spanish parents in the colonies. The 19th century usage of Mestizo was to denote a person whose parents were an Amerindian and a white; a Cholo had one Amerindian and one Mestizo parent. By the 20th century, Mestizo and Cholo were frequently used interchangeably. Kluck suggested that societal relationships, occupation, manners, and clothing all derived from ethnic affiliation. Nonetheless, according to Kluck, individuals could potentially switch ethnic affiliation if they had culturally adapted to the recipient group; such switches were made without resort to subterfuge. Moreover, the precise criteria for defining ethnic groups varies considerably. The vocabulary that more prosperous Mestizos and whites used in describing ethnic groups mixes social and biological characteristics. Ethnic affiliation thus is dynamic; Indians often become Mestizos, and prosperous Mestizos seek to improve their status sufficiently to be considered whites. Ethnic identity reflects numerous characteristics, only one of which is physical appearance; others include dress, language, community membership, and self-identification. A geography of ethnicity remained well-defined until the surge in migration that began in the 1950s. Whites resided primarily in larger cities. Mestizos lived in small towns scattered throughout the countryside. Indians formed the bulk of the Sierra rural populace, although Mestizos filled this role in the areas with few Indians. Most blacks lived in Esmeraldas Province, with small enclaves found in the Carchi and Imbabura provinces. Pressure on Sierra land resources and the dissolution of the traditional hacienda, however, increased the numbers of Indians migrating to the Costa, the Oriente, and the cities. By the 1980s, Sierra Indians—or Indians in the process of switching their ethnic identity to that of Mestizos—lived on Costa plantations, in Quito, Guayaquil, and other cities, and in colonization areas in the Oriente and the Costa. Indeed, Sierra Amerindians residing in the coastal region substantially outnumbered the remaining original Costa inhabitants, the Cayapa and Colorado Indians. In the late 1980s, analysts estimated that there were only about 4,000 Cayapas and Colorados. Some blacks had migrated from the remote region of the Ecuadorian-Colombian border to the towns and cities of Esmeraldas. Afro-Ecuadorians are an ethnic group in Ecuador who are descendants of black African slaves brought by the Spanish during their conquest of Ecuador from the Incas. They make up from 3% to 5% of Ecuador's population. Ecuador has a population of about 1,120,000 descendants from African people. The Afro-Ecuadorian culture is found primarily in the country's northwest coastal region. Africans form a majority (70%) in the province of Esmeraldas and also have an important concentration in the Valle del Chota in the Imbabura Province. They can be also found in important numbers in Quito and Guayaquil. Sierra Indigenous had an estimated population of 1.5 to 2 million in the early 1980s and live in the intermontane valleys of the Andes. Prolonged contact with Hispanic culture, which dates back to the conquest, has had a homogenizing effect, reducing the variation among the indigenous Sierra tribes. The Indigenous people of the Sierra are separated from whites and Mestizos by a caste-like gulf. They are marked as a disadvantaged group; to be an Indigenous person in Ecuador is to be stigmatized. Poverty rates are higher and literacy rates are lower among Indigenous than the general population. They enjoy limited participation in national institutions and are often excluded from social and economic opportunities available to more privileged groups. However, some groups of Indigenous, such as the Otavalo people, have increased their socioeconomic status to extent that they enjoy a higher standard of living than many other Indigenous groups in Ecuador and many Mestizos of their area. Visible markers of ethnic affiliation, especially hairstyle, dress, and language, separate Indigenous from the rest of the populace. Indigenous wore more manufactured items by the late 1970s than previously; their clothing, nonetheless, was distinct from that of other rural inhabitants. Indigenous in communities relying extensively on wage labor sometimes assumed Western-style dress while still maintaining their Indigenous identity. Indigenous speak Spanish and, Quichua—a Quechua dialect—although most are bilingual, speaking Spanish as a second language with varying degrees of facility. By the late 1980s, some younger Indigenous no longer learned Quichua. Although the Amerindians of the Oriente first came into contact with Europeans in the 16th century, the encounters were more sporadic than those of most of the country's indigenous population. Until the 19th century, most non-Amerindians entering the region were either traders or missionaries. Beginning in the 1950s, however, the government built roads and encouraged settlers from the Sierra to colonize the Amazon River Basin. Virtually all remaining Indians were brought into increasing contact with national society. The interaction between Indians and outsiders had a profound impact on the indigenous way of life. In the late 1970s, roughly 30,000 Quichua speakers and 15,000 Jívaros lived in Oriente Indigenous communities. Quichua speakers (sometimes referred to as the Yumbos) grew out of the detribalization of members of many different groups after the Spanish conquest. Subject to the influence of Quichua-speaking missionaries and traders, various elements of the Yumbos adopted the tongue as a lingua franca and gradually lost their previous languages and tribal origins. Yumbos were scattered throughout the Oriente, whereas the Jívaros—subdivided into the Shuar and the Achuar—were concentrated in southeastern Ecuador. Some also lived in northeastern Peru. Traditionally, both groups relied on migration to resolve intracommunity conflict and to limit the ecological damage to the tropical forest caused by slash-and-burn agriculture. Both the Yumbos and the Jívaros depended on agriculture as their primary means of subsistence. Manioc, the main staple, was grown in conjunction with a wide variety of other fruits and vegetables. Yumbo men also resorted to wage labor to obtain cash for the few purchases deemed necessary. By the mid-1970s, increasing numbers of Quichua speakers settled around some of the towns and missions of the Oriente. Indians themselves had begun to make a distinction between Christian and jungle Indians. The former engaged in trade with townspeople. The Jívaros, in contrast to the Christian Quichua speakers, lived in more remote areas. Their mode of horticulture was similar to that of the non-Christian Yumbos, although they supplemented crop production with hunting and some livestock raising. Shamans (curanderos) played a pivotal role in social relations in both groups. As the main leaders and the focus of local conflicts, shamans were believed to both cure and kill through magical means. In the 1980s group conflicts between rival shamans still erupted into full-scale feuds with loss of life. The Oriente Indigenous population dropped precipitously during the initial period of intensive contact with outsiders. The destruction of their crops by Mestizos laying claim to indigenous lands, the rapid exposure to diseases to which Indians lacked immunity, and the extreme social disorganization all contributed to increased mortality and decreased birth rates. One study of the Shuar in the 1950s found that the group between ten and nineteen years of age was smaller than expected. This was the group that had been youngest and most vulnerable during the initial contact with national society. Normal population growth rates began to reestablish themselves after approximately the first decade of such contact. Ecuador's mainstream culture is defined by its Hispanic 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 of South America, given the subjugation of the indigenous people through evangelism and encomiendas, the minority population of African descent is mostly found in the coastal northern province of Esmeraldas. According to local fables, this is largely owing to the 17th century shipwreck of a slave-trading galleon off the northern coast of Ecuador. Ecuador's indigenous communities are integrated into the mainstream culture to varying degrees, but some may also practice their own indigenous cultures, particularly the more remote indigenous 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. Most Ecuadorians speak Spanish, though many speak Amerindian languages such as Kichwa. People that identify as Mestizo, in general, speak Spanish as their native language. 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). Though most features of Ecuadorian Spanish are those universal to the Spanish-speaking world, there are several idiosyncrasies. 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 those with a religion, 80.44% are Roman Catholic, 11.30% are Protestants, and 8.26% other (mainly Jewish, Buddhists and Latter-day Saints). In the rural parts of Ecuador, indigenous 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, indigenous religions, Muslims (see Islam in Ecuador), Buddhists and Baháʼís. There are about 185,000 members of the Church of Jesus Christ of Latter-day Saints (LDS Church), and over 80,000 Jehovah's Witnesses in the country. The "Jewish Community of Ecuador" (Comunidad Judía del Ecuador) has its seat in Quito and has approximately 300 members. Nevertheless, this number is declining because young people leave the country towards the United States of America 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. Since 2004, there has also been a Chabad house in Quito. There are very small communities in Cuenca and Ambato. The "Comunidad de Culto Israelita" reunites the Jews of Guayaquil. This community works independently from the "Jewish Community of Ecuador". Jewish visitors to Ecuador can also take advantage of Jewish resources as they travel and keep kosher there, even in the Amazon Rainforest. The city has also synagogue of Messianic Judaism. 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 influenced to establish 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 society like Esmeraldas, and so on. Tecnocumbia and Rockola are clear examples of foreign cultures' influence. One of the most traditional forms of dancing in Ecuador is Sanjuanito. It is originally from the north of Ecuador (Otavalo-Imbabura). Sanjuanito is a danceable music used in the festivities of the Mestizo and Indigenous culture. According to the Ecuadorian musicologist Segundo Luis Moreno, Sanjuanito was danced by Indigenous people during San Juan Bautista's birthday. This important date was established by the Spaniards on 24 June, coincidentally the same date when Indigenous people celebrated their rituals of Inti Raymi. 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 second course which includes rice and a protein such as meat or fish, and then dessert and coffee to finish. Supper is usually lighter, and sometimes consists only of coffee or herbal tea with bread. In the highland region, pork, chicken, beef, and cuy (guinea pig) are popular and are served with a variety of grains (especially rice and corn) 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 y 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, cacao beans (to make chocolate), shrimp, tilapia, mangos 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. 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 indigenous 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 the 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 indigenous 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 La 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; Luis A. Martínez 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; the novelist Enrique Gil Gilbert; the novelist Jorge Icaza (author of the novel Huasipungo, translated to many languages); the short story author Pablo Palacio; the novelist Alicia Yanez Cossio; U.S. based Ecuadorian poet Emanuel Xavier. The best known art styles from Ecuador belonged to the Escuela Quiteña, 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 Constante, León Ricaurte and Estuardo Maldonado from the Informalist Movement; and Luis Burgos Flor with his abstract, Futuristic style. The indigenous people of Tigua, Ecuador are also world-renowned for their traditional paintings. The most popular sport in Ecuador, as in most South American countries, is football (soccer). Its best known professional teams include Barcelona and Emelec from Guayaquil; LDU Quito, Deportivo Quito, and El Nacional from Quito; Olmedo from Riobamba; and Deportivo Cuenca from Cuenca. Currently the most successful football club in Ecuador is LDU Quito, and it is the only Ecuadorian club that have 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 Ecuador national team are the most-watched sporting events in the country. Ecuador qualified for the final rounds of the 2002, 2006, and 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 on the qualifiers behind Argentina and above the team that would become World Champion, Brazil. In the 2006 FIFA World Cup, Ecuador finished ahead of Poland and Costa Rica to come in second to Germany in Group A in the 2006 World Cup. Futsal, often referred to as índor, is particularly popular for mass participation. There is considerable interest in tennis in the middle and upper classes of Ecuadorian society, and several Ecuadorian professional players have attained international fame. Basketball has a high profile, while Ecuador's specialties include Ecuavolley, a three-person variation of volleyball. Bullfighting is practiced at a professional level in Quito, during the annual festivities that commemorate the Spanish founding of the city, and it also features in festivals in many smaller towns. Rugby union is found to some extent in Ecuador, with teams in Guayaquil, Quito and Cuenca. Ecuador has won three medals in the Olympic Games. 20 km racewalker Jefferson Pérez took gold in the 1996 games, and silver 12 years later. Pérez also set a world best in the 2003 World Championships of 1:17:21 for the 20 km distance. Cyclist Richard Carapaz, the winner of 2019 Giro d'Italia, won a gold medal at the road cycling race of the 2020 Summer Olympics. In recent decades, there has been a high rate of emigration due to the economic crisis that seriously affected the economy of the country in the 1990s, over 400,000 Ecuadorians left for Spain and Italy, and around 100,000 for the United Kingdom while several hundred thousand Ecuadorians live in the US, (500,000 by some estimates) mostly in the cities of the Northeastern corridor. Many other Ecuadorians have emigrated across Latin America, thousands have gone to Japan and Australia. One famous American of Ecuadorian descent is pop music vocalist Christina Aguilera. In Ecuador there are about 100,000 Americans and over 30,000 European Union expatriates. They move to Ecuador for business opportunities and as cheaper place for retirement. As a result of the political conflict in Colombia and of the criminal gangs that had appeared in the areas of power vacuum a constant flow of refugees and asylum seekers as well as economic migrants of Colombian origin had moved into Ecuadorian territory. Over the last decade at least 45,000 displaced people are now residents in Ecuador, the Ecuadorian government and international organizations are assisting them. According to the UNHCR 2009 report as many as 167,189 refugees and asylum seekers are temporary residents in Ecuador. Following the migratory trend to Europe many of the jobs that those that left held in the country had been taken over by Peruvian economic migrants. Those jobs are mostly in agriculture and unskilled labor. There are no official statistics but some press reports estimate their number into the tens of thousands. There is a diverse community of Middle Eastern Ecuadorians, numbering in the tens of thousands, mostly from Lebanese, Syrian and Palestinian descent; prominent in commerce and industry, and concentrated in the coastal cities of Guayaquil, Quevedo and Machala. They are well assimilated into the local culture and are referred commonly as "turcos" since the early migrants of these communities arrived with passports issued by the Ottoman Empire in the beginning of the century. Ecuador is also home to communities of Spaniards, Italians, Germans, Portuguese, French, Britons and Greek-Ecuadorians. Ecuadorian Jews, who number around 450 are mostly of German or Italian descent. There are 225,000 English speakers and 112,000 German speakers in Ecuador of which the great majority reside in Quito, mainly all descendants of immigrants who arrived in the late 19th century and of retired emigrees that returned to their terroir. Most of the descendants of European immigrants strive for the preservation of their heritage. Therefore, some groups even have their own schools (e.g. German School Guayaquil and German School Quito), Liceé La Condamine (French Heritage), Alberto Einstein (Jewish Heritage) and The British School of Quito (Anglo-British), cultural and social organizations, churches and country clubs. Their contribution for the social, political and economical development of the country is immense, specially in relation to their percentage in the total population. Most of the families of European heritage belong to the Ecuadorian upper class and had married into the wealthiest families of the country. There is also a small Asian-Ecuadorian (see Asian Latino) community estimated in a range from 2,500 to 25,000, mainly consists of those having any amount of Chinese Han descent, and possibly 10,000 being Japanese whose ancestors arrived as miners, farm hands and fishermen in the late 19th century. Guayaquil has an East Asian community, mostly Chinese including Taiwanese, and Japanese, as well as a Southeast Asian community, mostly Filipinos.
[ { "paragraph_id": 0, "text": "Demographic features of the population of Ecuador include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.", "title": "" }, { "paragraph_id": 1, "text": "Ecuador experienced rapid population growth like most countries, but four decades of an armed conflict pushed millions of Ecuadorians out of the country. However, a rebound economy in the 2000s in urban centres improved the situation of living standards for Ecuadorians in a traditional class stratified economy.", "title": "" }, { "paragraph_id": 2, "text": "As of 2010, 77.4% of the population identified as \"Mestizos\", a mix of Spanish and Indigenous American ancestry, up from 71.9% in 2000. The percentage of the population which identifies as \"white\" has fallen from 10.5% in 2000 to 6.1% in 2010. Amerindians account for approximately 7.0% of the population and 7.2% of the population consists of Afro-Ecuadorians. Other statistics put the Mestizo population at 55% to 65% and the indigenous population at 25%. Genetic research indicates that the ancestry of Ecuadorian Mestizos is predominantly Indigenous.", "title": "" }, { "paragraph_id": 3, "text": "The Ecuadorian census is conducted by the governmental institution known as INEC, Instituto Nacional de Estadisticas y Censos (National Institute of Statistics and Census). The census in Ecuador is conducted every ten years, and its objective is to obtain the number of people residing within its borders. The current census now includes household information.", "title": "Population" }, { "paragraph_id": 4, "text": "The most recent census (as of 2011) emphasized reaching rural and remote areas to map the most accurate population count in the country. The 2010 census was conducted in November and December, and its results were published 27 January 2011.", "title": "Population" }, { "paragraph_id": 5, "text": "The following table shows the dates the most recent censuses were made, and the total population number: The census is a false count due to racism against its large Amerindian population.", "title": "Population" }, { "paragraph_id": 6, "text": "Index of growth:", "title": "Population" }, { "paragraph_id": 7, "text": "According to the 2022 revision of the World Population Prospects the total population was 17,797,737 in 2021, compared to only 3,470,000 in 1950. The proportion of children below the age of 15 in 2015 was 29.0%, 63.4% was between 15 and 65 years of age, while 6.7% was 65 years or older.", "title": "Population" }, { "paragraph_id": 8, "text": "Registration of vital events is in Ecuador not complete. The Population Department of the United Nations prepared the following estimates.", "title": "Population" }, { "paragraph_id": 9, "text": "(c) = Census results.", "title": "Population" }, { "paragraph_id": 10, "text": "The following demographic statistics are from the CIA World Factbook, unless otherwise indicated. Population: 15,007,343 (July 2011 est.)", "title": "Population" }, { "paragraph_id": 11, "text": "Median Age", "title": "Population" }, { "paragraph_id": 12, "text": "Population growth rate", "title": "Population" }, { "paragraph_id": 13, "text": "Net migration rate", "title": "Population" }, { "paragraph_id": 14, "text": "Sex ratio", "title": "Population" }, { "paragraph_id": 15, "text": "HIV/AIDS – adult prevalence rate", "title": "Population" }, { "paragraph_id": 16, "text": "HIV/AIDS – people living with HIV/AIDS", "title": "Population" }, { "paragraph_id": 17, "text": "HIV/AIDS – deaths", "title": "Population" }, { "paragraph_id": 18, "text": "Nationality", "title": "Population" }, { "paragraph_id": 19, "text": "Religions", "title": "Population" }, { "paragraph_id": 20, "text": "Languages: Spanish (official), Amerindian languages (especially Quechua).", "title": "Population" }, { "paragraph_id": 21, "text": "Achuar-Shiwiar – 2,000 Pastaza province. Alternate names: Achuar, Achual, Achuara, Achuale.", "title": "Population" }, { "paragraph_id": 22, "text": "Chachi – 3,450 Esmeraldas Province, Cayapas River system. Alternate names: Cayapa, Cha' Palaachi.", "title": "Population" }, { "paragraph_id": 23, "text": "Colorado – 2,300 Santo Domingo de los Colorados province. Alternate names: Tsachila, Tsafiki.", "title": "Population" }, { "paragraph_id": 24, "text": "Quechua – 9 separate dialects are spoken in as many areas in the country with a combined population of 1,460,000.", "title": "Population" }, { "paragraph_id": 25, "text": "Shuar – 46,669 (2000 WCD). Morona-Santiago Province. Alternate names: Jivaro, Xivaro, Jibaro, Chiwaro, Shuara.", "title": "Population" }, { "paragraph_id": 26, "text": "Waorani – 1,650 (2004). Napo and Morona-Santiago provinces. Alternate names: Huaorani, Waodani, Huao.", "title": "Population" }, { "paragraph_id": 27, "text": "Literacy", "title": "Population" }, { "paragraph_id": 28, "text": "Due to the prevalence of malaria and yellow fever in the coastal region until the end of the 19th century, the Ecuadorian population was most heavily concentrated in the highlands and valleys of the \"Sierra\" region. Today's population is distributed more evenly between the \"Sierra\" and the \"Costa\" (the coastal lowlands) region. Migration towards the cities—particularly larger cities—in all regions has increased the urban population to about 55 percent.", "title": "Population" }, { "paragraph_id": 29, "text": "The \"Oriente\" region, consisting of Amazonian lowlands to the east of the Andes and covering about half the country's land area, remains sparsely populated and contains only about 3% of the country's population, that for the most are indigenous peoples who maintain a wary distance from the recent Mestizo and white settlers. The territories of the \"Oriente\" are home to as many as nine indigenous groups: Quichua, Shuar, Achuar, Huaorani, Siona, Secoya, Shiwiar, and Cofan, all represented politically by the Confederation of Indigenous Nationalities of the Ecuadorian Amazon, CONFENIAE.", "title": "Population" }, { "paragraph_id": 30, "text": "As a result of the oil exploration and the development of the infrastructure required for the exploitation of the oil fields in the eastern jungles during the seventies and early eighties, there was a wave of settlement in the region. The Majority of these wave of internal immigration came from the southern province of Loja as a result of a drought that lasted three years and affected the southern provinces of the country. This boom of the petroleum industry has led to a mushrooming of the town of Lago Agrio (Nueva Loja) as well as substantial deforestation and pollution of wetlands and lakes.", "title": "Population" }, { "paragraph_id": 31, "text": "The Ecuadorian constitution recognizes the pluri-nationality of those who want to exercise their affiliation with their native ethnic groups. There are five major ethnic groups in Ecuador: Mestizo, European, Afroecuadorian, Amerindian, and Montubio. Mestizos constitute more than 70% of the population. 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.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 32, "text": "Ecuador's population descends from Spanish immigrants and South American Amerindians, admixed with descendants of black slaves who arrived to work on coastal plantations in the sixteenth century. The mix of these groups is described as Mestizo or Cholo. Censuses do not record ethnic affiliation, which in any event remains fluid; thus, estimates of the numbers of each group should be taken only as approximations. In the 1980s, Amerindians and Mestizos represented the bulk of the population, with each group accounting for roughly 40 percent of total population. Whites represented 10 to 15 percent and blacks the remaining 5 percent.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 33, "text": "According to Kluck, writing in 1989, ethnic groups in Ecuador have had a traditional hierarchy of white, Mestizo, blacks, and then others. Her review depicts this hierarchy as a consequence of colonial attitudes and of the terminology of colonial legal distinctions. Spanish-born persons residing in the New World (peninsulares) were at the top of the social hierarchy, followed by criollos, born of two Spanish parents in the colonies. The 19th century usage of Mestizo was to denote a person whose parents were an Amerindian and a white; a Cholo had one Amerindian and one Mestizo parent. By the 20th century, Mestizo and Cholo were frequently used interchangeably. Kluck suggested that societal relationships, occupation, manners, and clothing all derived from ethnic affiliation.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 34, "text": "Nonetheless, according to Kluck, individuals could potentially switch ethnic affiliation if they had culturally adapted to the recipient group; such switches were made without resort to subterfuge. Moreover, the precise criteria for defining ethnic groups varies considerably. The vocabulary that more prosperous Mestizos and whites used in describing ethnic groups mixes social and biological characteristics. Ethnic affiliation thus is dynamic; Indians often become Mestizos, and prosperous Mestizos seek to improve their status sufficiently to be considered whites. Ethnic identity reflects numerous characteristics, only one of which is physical appearance; others include dress, language, community membership, and self-identification.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 35, "text": "A geography of ethnicity remained well-defined until the surge in migration that began in the 1950s. Whites resided primarily in larger cities. Mestizos lived in small towns scattered throughout the countryside. Indians formed the bulk of the Sierra rural populace, although Mestizos filled this role in the areas with few Indians. Most blacks lived in Esmeraldas Province, with small enclaves found in the Carchi and Imbabura provinces. Pressure on Sierra land resources and the dissolution of the traditional hacienda, however, increased the numbers of Indians migrating to the Costa, the Oriente, and the cities. By the 1980s, Sierra Indians—or Indians in the process of switching their ethnic identity to that of Mestizos—lived on Costa plantations, in Quito, Guayaquil, and other cities, and in colonization areas in the Oriente and the Costa. Indeed, Sierra Amerindians residing in the coastal region substantially outnumbered the remaining original Costa inhabitants, the Cayapa and Colorado Indians. In the late 1980s, analysts estimated that there were only about 4,000 Cayapas and Colorados. Some blacks had migrated from the remote region of the Ecuadorian-Colombian border to the towns and cities of Esmeraldas.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 36, "text": "Afro-Ecuadorians are an ethnic group in Ecuador who are descendants of black African slaves brought by the Spanish during their conquest of Ecuador from the Incas. They make up from 3% to 5% of Ecuador's population.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 37, "text": "Ecuador has a population of about 1,120,000 descendants from African people. The Afro-Ecuadorian culture is found primarily in the country's northwest coastal region. Africans form a majority (70%) in the province of Esmeraldas and also have an important concentration in the Valle del Chota in the Imbabura Province. They can be also found in important numbers in Quito and Guayaquil.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 38, "text": "Sierra Indigenous had an estimated population of 1.5 to 2 million in the early 1980s and live in the intermontane valleys of the Andes. Prolonged contact with Hispanic culture, which dates back to the conquest, has had a homogenizing effect, reducing the variation among the indigenous Sierra tribes.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 39, "text": "The Indigenous people of the Sierra are separated from whites and Mestizos by a caste-like gulf. They are marked as a disadvantaged group; to be an Indigenous person in Ecuador is to be stigmatized. Poverty rates are higher and literacy rates are lower among Indigenous than the general population. They enjoy limited participation in national institutions and are often excluded from social and economic opportunities available to more privileged groups. However, some groups of Indigenous, such as the Otavalo people, have increased their socioeconomic status to extent that they enjoy a higher standard of living than many other Indigenous groups in Ecuador and many Mestizos of their area.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 40, "text": "Visible markers of ethnic affiliation, especially hairstyle, dress, and language, separate Indigenous from the rest of the populace. Indigenous wore more manufactured items by the late 1970s than previously; their clothing, nonetheless, was distinct from that of other rural inhabitants. Indigenous in communities relying extensively on wage labor sometimes assumed Western-style dress while still maintaining their Indigenous identity. Indigenous speak Spanish and, Quichua—a Quechua dialect—although most are bilingual, speaking Spanish as a second language with varying degrees of facility. By the late 1980s, some younger Indigenous no longer learned Quichua.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 41, "text": "Although the Amerindians of the Oriente first came into contact with Europeans in the 16th century, the encounters were more sporadic than those of most of the country's indigenous population. Until the 19th century, most non-Amerindians entering the region were either traders or missionaries. Beginning in the 1950s, however, the government built roads and encouraged settlers from the Sierra to colonize the Amazon River Basin. Virtually all remaining Indians were brought into increasing contact with national society. The interaction between Indians and outsiders had a profound impact on the indigenous way of life.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 42, "text": "In the late 1970s, roughly 30,000 Quichua speakers and 15,000 Jívaros lived in Oriente Indigenous communities. Quichua speakers (sometimes referred to as the Yumbos) grew out of the detribalization of members of many different groups after the Spanish conquest. Subject to the influence of Quichua-speaking missionaries and traders, various elements of the Yumbos adopted the tongue as a lingua franca and gradually lost their previous languages and tribal origins. Yumbos were scattered throughout the Oriente, whereas the Jívaros—subdivided into the Shuar and the Achuar—were concentrated in southeastern Ecuador. Some also lived in northeastern Peru. Traditionally, both groups relied on migration to resolve intracommunity conflict and to limit the ecological damage to the tropical forest caused by slash-and-burn agriculture.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 43, "text": "Both the Yumbos and the Jívaros depended on agriculture as their primary means of subsistence. Manioc, the main staple, was grown in conjunction with a wide variety of other fruits and vegetables. Yumbo men also resorted to wage labor to obtain cash for the few purchases deemed necessary. By the mid-1970s, increasing numbers of Quichua speakers settled around some of the towns and missions of the Oriente. Indians themselves had begun to make a distinction between Christian and jungle Indians. The former engaged in trade with townspeople. The Jívaros, in contrast to the Christian Quichua speakers, lived in more remote areas. Their mode of horticulture was similar to that of the non-Christian Yumbos, although they supplemented crop production with hunting and some livestock raising.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 44, "text": "Shamans (curanderos) played a pivotal role in social relations in both groups. As the main leaders and the focus of local conflicts, shamans were believed to both cure and kill through magical means. In the 1980s group conflicts between rival shamans still erupted into full-scale feuds with loss of life.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 45, "text": "The Oriente Indigenous population dropped precipitously during the initial period of intensive contact with outsiders. The destruction of their crops by Mestizos laying claim to indigenous lands, the rapid exposure to diseases to which Indians lacked immunity, and the extreme social disorganization all contributed to increased mortality and decreased birth rates. One study of the Shuar in the 1950s found that the group between ten and nineteen years of age was smaller than expected. This was the group that had been youngest and most vulnerable during the initial contact with national society. Normal population growth rates began to reestablish themselves after approximately the first decade of such contact.", "title": "Nationality, ethnicity, and race" }, { "paragraph_id": 46, "text": "Ecuador's mainstream culture is defined by its Hispanic 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.", "title": "Culture" }, { "paragraph_id": 47, "text": "Since African slavery was not the workforce of the Spanish colonies in the Andes Mountains of South America, given the subjugation of the indigenous people through evangelism and encomiendas, the minority population of African descent is mostly found in the coastal northern province of Esmeraldas. According to local fables, this is largely owing to the 17th century shipwreck of a slave-trading galleon off the northern coast of Ecuador.", "title": "Culture" }, { "paragraph_id": 48, "text": "Ecuador's indigenous communities are integrated into the mainstream culture to varying degrees, but some may also practice their own indigenous cultures, particularly the more remote indigenous 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.", "title": "Culture" }, { "paragraph_id": 49, "text": "Most Ecuadorians speak Spanish, though many speak Amerindian languages such as Kichwa. People that identify as Mestizo, in general, speak Spanish as their native language. 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). Though most features of Ecuadorian Spanish are those universal to the Spanish-speaking world, there are several idiosyncrasies.", "title": "Culture" }, { "paragraph_id": 50, "text": "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 those with a religion, 80.44% are Roman Catholic, 11.30% are Protestants, and 8.26% other (mainly Jewish, Buddhists and Latter-day Saints).", "title": "Culture" }, { "paragraph_id": 51, "text": "In the rural parts of Ecuador, indigenous beliefs and Catholicism are sometimes syncretized. Most festivals and annual parades are based on religious celebrations, many incorporating a mixture of rites and icons.", "title": "Culture" }, { "paragraph_id": 52, "text": "There is a small number of Eastern Orthodox Christians, indigenous religions, Muslims (see Islam in Ecuador), Buddhists and Baháʼís. There are about 185,000 members of the Church of Jesus Christ of Latter-day Saints (LDS Church), and over 80,000 Jehovah's Witnesses in the country.", "title": "Culture" }, { "paragraph_id": 53, "text": "The \"Jewish Community of Ecuador\" (Comunidad Judía del Ecuador) has its seat in Quito and has approximately 300 members. Nevertheless, this number is declining because young people leave the country towards the United States of America 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. Since 2004, there has also been a Chabad house in Quito.", "title": "Culture" }, { "paragraph_id": 54, "text": "There are very small communities in Cuenca and Ambato. The \"Comunidad de Culto Israelita\" reunites the Jews of Guayaquil. This community works independently from the \"Jewish Community of Ecuador\". Jewish visitors to Ecuador can also take advantage of Jewish resources as they travel and keep kosher there, even in the Amazon Rainforest. The city has also synagogue of Messianic Judaism.", "title": "Culture" }, { "paragraph_id": 55, "text": "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 influenced to establish 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 society like Esmeraldas, and so on.", "title": "Culture" }, { "paragraph_id": 56, "text": "Tecnocumbia and Rockola are clear examples of foreign cultures' influence. One of the most traditional forms of dancing in Ecuador is Sanjuanito. It is originally from the north of Ecuador (Otavalo-Imbabura). Sanjuanito is a danceable music used in the festivities of the Mestizo and Indigenous culture. According to the Ecuadorian musicologist Segundo Luis Moreno, Sanjuanito was danced by Indigenous people during San Juan Bautista's birthday. This important date was established by the Spaniards on 24 June, coincidentally the same date when Indigenous people celebrated their rituals of Inti Raymi.", "title": "Culture" }, { "paragraph_id": 57, "text": "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 second course which includes rice and a protein such as meat or fish, and then dessert and coffee to finish. Supper is usually lighter, and sometimes consists only of coffee or herbal tea with bread.", "title": "Culture" }, { "paragraph_id": 58, "text": "In the highland region, pork, chicken, beef, and cuy (guinea pig) are popular and are served with a variety of grains (especially rice and corn) or potatoes.", "title": "Culture" }, { "paragraph_id": 59, "text": "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 y 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, cacao beans (to make chocolate), shrimp, tilapia, mangos and passion fruit, among other products.", "title": "Culture" }, { "paragraph_id": 60, "text": "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.", "title": "Culture" }, { "paragraph_id": 61, "text": "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 indigenous 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 the 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 indigenous 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.", "title": "Culture" }, { "paragraph_id": 62, "text": "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.", "title": "Culture" }, { "paragraph_id": 63, "text": "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 La 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; Luis A. Martínez with A la Costa, Dolores Veintimilla, and others.", "title": "Culture" }, { "paragraph_id": 64, "text": "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; the novelist Enrique Gil Gilbert; the novelist Jorge Icaza (author of the novel Huasipungo, translated to many languages); the short story author Pablo Palacio; the novelist Alicia Yanez Cossio; U.S. based Ecuadorian poet Emanuel Xavier.", "title": "Culture" }, { "paragraph_id": 65, "text": "The best known art styles from Ecuador belonged to the Escuela Quiteña, 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 Constante, León Ricaurte and Estuardo Maldonado from the Informalist Movement; and Luis Burgos Flor with his abstract, Futuristic style. The indigenous people of Tigua, Ecuador are also world-renowned for their traditional paintings.", "title": "Culture" }, { "paragraph_id": 66, "text": "The most popular sport in Ecuador, as in most South American countries, is football (soccer). Its best known professional teams include Barcelona and Emelec from Guayaquil; LDU Quito, Deportivo Quito, and El Nacional from Quito; Olmedo from Riobamba; and Deportivo Cuenca from Cuenca. Currently the most successful football club in Ecuador is LDU Quito, and it is the only Ecuadorian club that have 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 Ecuador national team are the most-watched sporting events in the country. Ecuador qualified for the final rounds of the 2002, 2006, and 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 on the qualifiers behind Argentina and above the team that would become World Champion, Brazil. In the 2006 FIFA World Cup, Ecuador finished ahead of Poland and Costa Rica to come in second to Germany in Group A in the 2006 World Cup. Futsal, often referred to as índor, is particularly popular for mass participation.", "title": "Culture" }, { "paragraph_id": 67, "text": "There is considerable interest in tennis in the middle and upper classes of Ecuadorian society, and several Ecuadorian professional players have attained international fame. Basketball has a high profile, while Ecuador's specialties include Ecuavolley, a three-person variation of volleyball. Bullfighting is practiced at a professional level in Quito, during the annual festivities that commemorate the Spanish founding of the city, and it also features in festivals in many smaller towns. Rugby union is found to some extent in Ecuador, with teams in Guayaquil, Quito and Cuenca.", "title": "Culture" }, { "paragraph_id": 68, "text": "Ecuador has won three medals in the Olympic Games. 20 km racewalker Jefferson Pérez took gold in the 1996 games, and silver 12 years later. Pérez also set a world best in the 2003 World Championships of 1:17:21 for the 20 km distance. Cyclist Richard Carapaz, the winner of 2019 Giro d'Italia, won a gold medal at the road cycling race of the 2020 Summer Olympics.", "title": "Culture" }, { "paragraph_id": 69, "text": "In recent decades, there has been a high rate of emigration due to the economic crisis that seriously affected the economy of the country in the 1990s, over 400,000 Ecuadorians left for Spain and Italy, and around 100,000 for the United Kingdom while several hundred thousand Ecuadorians live in the US, (500,000 by some estimates) mostly in the cities of the Northeastern corridor. Many other Ecuadorians have emigrated across Latin America, thousands have gone to Japan and Australia. One famous American of Ecuadorian descent is pop music vocalist Christina Aguilera.", "title": "Migration trends" }, { "paragraph_id": 70, "text": "In Ecuador there are about 100,000 Americans and over 30,000 European Union expatriates. They move to Ecuador for business opportunities and as cheaper place for retirement.", "title": "Migration trends" }, { "paragraph_id": 71, "text": "As a result of the political conflict in Colombia and of the criminal gangs that had appeared in the areas of power vacuum a constant flow of refugees and asylum seekers as well as economic migrants of Colombian origin had moved into Ecuadorian territory. Over the last decade at least 45,000 displaced people are now residents in Ecuador, the Ecuadorian government and international organizations are assisting them. According to the UNHCR 2009 report as many as 167,189 refugees and asylum seekers are temporary residents in Ecuador.", "title": "Migration trends" }, { "paragraph_id": 72, "text": "Following the migratory trend to Europe many of the jobs that those that left held in the country had been taken over by Peruvian economic migrants. Those jobs are mostly in agriculture and unskilled labor. There are no official statistics but some press reports estimate their number into the tens of thousands.", "title": "Migration trends" }, { "paragraph_id": 73, "text": "There is a diverse community of Middle Eastern Ecuadorians, numbering in the tens of thousands, mostly from Lebanese, Syrian and Palestinian descent; prominent in commerce and industry, and concentrated in the coastal cities of Guayaquil, Quevedo and Machala. They are well assimilated into the local culture and are referred commonly as \"turcos\" since the early migrants of these communities arrived with passports issued by the Ottoman Empire in the beginning of the century.", "title": "Migration trends" }, { "paragraph_id": 74, "text": "Ecuador is also home to communities of Spaniards, Italians, Germans, Portuguese, French, Britons and Greek-Ecuadorians. Ecuadorian Jews, who number around 450 are mostly of German or Italian descent. There are 225,000 English speakers and 112,000 German speakers in Ecuador of which the great majority reside in Quito, mainly all descendants of immigrants who arrived in the late 19th century and of retired emigrees that returned to their terroir. Most of the descendants of European immigrants strive for the preservation of their heritage. Therefore, some groups even have their own schools (e.g. German School Guayaquil and German School Quito), Liceé La Condamine (French Heritage), Alberto Einstein (Jewish Heritage) and The British School of Quito (Anglo-British), cultural and social organizations, churches and country clubs. Their contribution for the social, political and economical development of the country is immense, specially in relation to their percentage in the total population. Most of the families of European heritage belong to the Ecuadorian upper class and had married into the wealthiest families of the country.", "title": "Migration trends" }, { "paragraph_id": 75, "text": "There is also a small Asian-Ecuadorian (see Asian Latino) community estimated in a range from 2,500 to 25,000, mainly consists of those having any amount of Chinese Han descent, and possibly 10,000 being Japanese whose ancestors arrived as miners, farm hands and fishermen in the late 19th century. Guayaquil has an East Asian community, mostly Chinese including Taiwanese, and Japanese, as well as a Southeast Asian community, mostly Filipinos.", "title": "Migration trends" } ]
Demographic features of the population of Ecuador include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population. Ecuador experienced rapid population growth like most countries, but four decades of an armed conflict pushed millions of Ecuadorians out of the country. However, a rebound economy in the 2000s in urban centres improved the situation of living standards for Ecuadorians in a traditional class stratified economy. As of 2010, 77.4% of the population identified as "Mestizos", a mix of Spanish and Indigenous American ancestry, up from 71.9% in 2000. The percentage of the population which identifies as "white" has fallen from 10.5% in 2000 to 6.1% in 2010. Amerindians account for approximately 7.0% of the population and 7.2% of the population consists of Afro-Ecuadorians. Other statistics put the Mestizo population at 55% to 65% and the indigenous population at 25%. Genetic research indicates that the ancestry of Ecuadorian Mestizos is predominantly Indigenous.
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https://en.wikipedia.org/wiki/Demographics_of_Ecuador
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Politics of Ecuador
The politics of Ecuador are multi-party. The central government polity is a quadrennially elected presidential, unicameral representative democracy. The President of Ecuador is head of state and head of the army on a multi-party system, and leads a cabinet with further executive power. Legislative power is not limited to the National Assembly, as it may to a lesser degree be exercised by the executive which consists of the President convening an appointed executive cabinet. Subsequent acts of the National Assembly are supreme over Executive Orders where sufficient votes have been cast by the legislators. The judiciary is independent of the executive and the legislature. Ecuador is also considered a constitutional republic. The Constitution of Ecuador provides for a four-year term of office for the President, Vice-President, and members of the National Assembly with concurrent elections. Presidents and legislators may be re-elected immediately. Citizens must be at least 16 years of age to vote: suffrage is universal and compulsory for literate persons aged 18 to 65 and optional for 16 and 17 years of age and other eligible voters. The Economist Intelligence Unit rated Ecuador a "hybrid regime" in 2022. Ecuador's political parties have historically been small, loose organizations that depended more on populist, often charismatic, leaders to retain support than on programs or ideology. Frequent internal splits have produced extreme factionalism. However, a pattern has emerged in which administrations from the center-left alternate with those from the center-right. Although Ecuador's political elite is highly factionalized along regional, ideological, and personal lines, a strong desire for consensus on major issues often leads to compromise. Opposition forces in Congress are loosely organized, but historically they often unite to block the administration's initiatives and to remove cabinet ministers. Constitutional changes enacted by a specially elected National Constitutional Assembly in 1998 took effect on 10 August 1998. The new constitution strengthens the executive branch by eliminating mid-term congressional elections and by circumscribing Congress' power to challenge cabinet ministers. Party discipline is traditionally weak, and routinely many deputies switch allegiance during each Congress. However, after the new Constitution took effect, the Congress passed a Code of Ethics which imposes penalties on members who defy their party leadership on key votes. Beginning with the 1996 election, the more indigenous, less Spanish-rooted, ethnic groups abandoned their traditional policy of shunning the official political system and participated actively. The indigenous population has established itself as a significant force in Ecuadorian politics, as shown by the selection of indigenous representative Nina Pacari, who led the indigenous political party, Pachakutik, as Second Vice-President of the 1998 Congress. New justices of the Supreme Court of Ecuador were elected by the sitting members of the court. A bare majority of Congress, acting in a special session called by former President Lucio Gutiérrez in December 2004, ousted 27 of the 31 justices and replaced them with new members chosen by Congress; notwithstanding, the lack of any provisions permitting impeachment of Supreme Court justices by Congress and the specific provisions giving the Court the power to select new members. Earlier, in November 2004, Congress replaced the majority of judges on the country's Electoral Court and Constitutional Court by a similar process. After the adoption of a new Constitution in 2008, the judicial branch of the country was completely renewed to provide a cooperative leadership by having a judicial and an administrative head. As such, the bodies of Ecuador's judicial branch now consisted of the National Court of Justice, provincial courts (created by the National Court), tribunals and judges, National Council of the Judicature, Public Defendants' Office, and State Attorneys' Office. The 2008 Constitution also led to the creation of the Constitutional Court of Ecuador. The National Court of Justice seats 21 judges elected for a period of 9 years. They are elected by the Judiciary Council based on a merits contest held by that office. They are the final stage of any judicial process serving as a Court of Cassation and create binding precedent based on Triple Reiterative Rulings from the Chambers of the Court. The President of the Court is elected among the members of the Court for a Period of three years, representing the Judicial Branch before the State. The administrative branch of the judicial power consists of the Judiciary Council. The Council is formed by 9 Vocals who are elected by the Branch of Transparency and Social Control, which is formed by the Control Authorities of the State. The Vocals are elected also by a merits contest and it shall be formed by six experts in law and 3 experts in management, economics and other related areas. However, after the National Referendum that took place on 5 May 2011 led to the passing of a proposition impulsed by the government, the Judiciary Council changed its formation by making a constitutional amendment. Currently, a Tri-Party Commission is serving as a Transitional Council with delegates from the Legislative, Executive and Transparency Branch, in order to reform the broken judicial system of the country. The Constitutional Court of Ecuador does not exercise legal revision, but rather constitutional control of situations where constitutional rights are violated. Also they are the sole body in the State to interpret what the Constitution says. As of 2019, the court has the following members: The executive branch includes 28 ministries. Provincial governors and councilors, like mayors and aldermen and parish boards, are directly elected. Congress meets throughout the year except for recess in July and December. There are 20 seven-member congressional committees. The President and Vice-President are elected on the same ticket by popular vote for a four-year term. On 20 April 2005, by an act of Congress, Lucio Gutiérrez was dramatically removed from office. The last election was held on 20 October 2002 and a runoff election on 24 November 2002 (with the next one to be held in 2006 per the four-year term limits). Former Vice-President Alfredo Palacio assumed the presidency on 20 April 2005 after Congress removed Lucio Gutiérrez amid escalating street protests precipitated by growing criticism of Gutiérrez's Supreme Court appointments. A presidential election was held on 15 October and 26 November 2006. Rafael Correa defeated Alvaro Noboa in a run-off election, or second and final round. Correa won with 56.8% of the vote. There was an attempted coup against President Rafael Correa in 2010. The Economist described Correa as "a left-wing populist", while The Washington Post has characterized Correa's ideological approach as being "economically populist, socially conservative, [and] quasi-authoritarian". Rafael Correa's three consecutive terms (from 2007 to 2017) were followed by Lenín Moreno's four years as president (2017–21). 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. On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González. Ecuador has a unicameral National Assembly (Asamblea Nacional in Spanish), and it has 137 primary (seat-holding) members (all of whom are elected by popular vote to serve four-year terms). It is based on provincial constituencies, but it also has members coming from a national list and it has members representing the emigrant community. On 29 November 2007, the Ecuadorian Constituent Assembly dismissed Congress on charges of corruption and then assumed legislative powers for itself. The Constituent Assembly then proposed a new National Assembly, which is the current institution. Ecuador is divided into 24 provinces: Azuay, Bolívar, Cañar, Carchi, Chimborazo, Cotopaxi, El Oro, Esmeraldas, Galápagos Islands, Guayas, Imbabura, Loja, Los Ríos, Manabí, Morona-Santiago, Napo, Orellana, Pastaza, Pichincha, Santa Elena, Santo Domingo de los Tsáchilas, Sucumbíos, Tungurahua, Zamora-Chinchipe Santa Elena Province. Ecuador's legal system is based on the civil law system. Ecuador recently accepted compulsory International Court of Justice jurisdiction. In 1979, there was no female representation. By 1984, there was only 4.2% of female representation with three deputies. In 1986, the number was reduced to one female parliamentarian. Between 1988 and 1996, the average percentage of female representation was around of 5%. The following trends occurred: In 2017, the leadership was led by three women: Gabriela Rivadeneira (President), Rosana Alvarado (First Vice-President) and Marcela Aguiñaga (Second Vice-President). Ecuador or Ecuadorian organizations participate in the following international organizations:
[ { "paragraph_id": 0, "text": "The politics of Ecuador are multi-party. The central government polity is a quadrennially elected presidential, unicameral representative democracy. The President of Ecuador is head of state and head of the army on a multi-party system, and leads a cabinet with further executive power. Legislative power is not limited to the National Assembly, as it may to a lesser degree be exercised by the executive which consists of the President convening an appointed executive cabinet. Subsequent acts of the National Assembly are supreme over Executive Orders where sufficient votes have been cast by the legislators. The judiciary is independent of the executive and the legislature. Ecuador is also considered a constitutional republic.", "title": "" }, { "paragraph_id": 1, "text": "The Constitution of Ecuador provides for a four-year term of office for the President, Vice-President, and members of the National Assembly with concurrent elections. Presidents and legislators may be re-elected immediately. Citizens must be at least 16 years of age to vote: suffrage is universal and compulsory for literate persons aged 18 to 65 and optional for 16 and 17 years of age and other eligible voters.", "title": "" }, { "paragraph_id": 2, "text": "The Economist Intelligence Unit rated Ecuador a \"hybrid regime\" in 2022.", "title": "" }, { "paragraph_id": 3, "text": "Ecuador's political parties have historically been small, loose organizations that depended more on populist, often charismatic, leaders to retain support than on programs or ideology. Frequent internal splits have produced extreme factionalism. However, a pattern has emerged in which administrations from the center-left alternate with those from the center-right. Although Ecuador's political elite is highly factionalized along regional, ideological, and personal lines, a strong desire for consensus on major issues often leads to compromise. Opposition forces in Congress are loosely organized, but historically they often unite to block the administration's initiatives and to remove cabinet ministers.", "title": "Political conditions" }, { "paragraph_id": 4, "text": "Constitutional changes enacted by a specially elected National Constitutional Assembly in 1998 took effect on 10 August 1998. The new constitution strengthens the executive branch by eliminating mid-term congressional elections and by circumscribing Congress' power to challenge cabinet ministers. Party discipline is traditionally weak, and routinely many deputies switch allegiance during each Congress. However, after the new Constitution took effect, the Congress passed a Code of Ethics which imposes penalties on members who defy their party leadership on key votes.", "title": "Political conditions" }, { "paragraph_id": 5, "text": "Beginning with the 1996 election, the more indigenous, less Spanish-rooted, ethnic groups abandoned their traditional policy of shunning the official political system and participated actively. The indigenous population has established itself as a significant force in Ecuadorian politics, as shown by the selection of indigenous representative Nina Pacari, who led the indigenous political party, Pachakutik, as Second Vice-President of the 1998 Congress.", "title": "Political conditions" }, { "paragraph_id": 6, "text": "New justices of the Supreme Court of Ecuador were elected by the sitting members of the court. A bare majority of Congress, acting in a special session called by former President Lucio Gutiérrez in December 2004, ousted 27 of the 31 justices and replaced them with new members chosen by Congress; notwithstanding, the lack of any provisions permitting impeachment of Supreme Court justices by Congress and the specific provisions giving the Court the power to select new members. Earlier, in November 2004, Congress replaced the majority of judges on the country's Electoral Court and Constitutional Court by a similar process.", "title": "Judicial branch" }, { "paragraph_id": 7, "text": "After the adoption of a new Constitution in 2008, the judicial branch of the country was completely renewed to provide a cooperative leadership by having a judicial and an administrative head. As such, the bodies of Ecuador's judicial branch now consisted of the National Court of Justice, provincial courts (created by the National Court), tribunals and judges, National Council of the Judicature, Public Defendants' Office, and State Attorneys' Office. The 2008 Constitution also led to the creation of the Constitutional Court of Ecuador.", "title": "Judicial branch" }, { "paragraph_id": 8, "text": "The National Court of Justice seats 21 judges elected for a period of 9 years. They are elected by the Judiciary Council based on a merits contest held by that office. They are the final stage of any judicial process serving as a Court of Cassation and create binding precedent based on Triple Reiterative Rulings from the Chambers of the Court. The President of the Court is elected among the members of the Court for a Period of three years, representing the Judicial Branch before the State.", "title": "Judicial branch" }, { "paragraph_id": 9, "text": "The administrative branch of the judicial power consists of the Judiciary Council. The Council is formed by 9 Vocals who are elected by the Branch of Transparency and Social Control, which is formed by the Control Authorities of the State. The Vocals are elected also by a merits contest and it shall be formed by six experts in law and 3 experts in management, economics and other related areas. However, after the National Referendum that took place on 5 May 2011 led to the passing of a proposition impulsed by the government, the Judiciary Council changed its formation by making a constitutional amendment. Currently, a Tri-Party Commission is serving as a Transitional Council with delegates from the Legislative, Executive and Transparency Branch, in order to reform the broken judicial system of the country.", "title": "Judicial branch" }, { "paragraph_id": 10, "text": "The Constitutional Court of Ecuador does not exercise legal revision, but rather constitutional control of situations where constitutional rights are violated. Also they are the sole body in the State to interpret what the Constitution says.", "title": "Judicial branch" }, { "paragraph_id": 11, "text": "As of 2019, the court has the following members:", "title": "Judicial branch" }, { "paragraph_id": 12, "text": "The executive branch includes 28 ministries. Provincial governors and councilors, like mayors and aldermen and parish boards, are directly elected. Congress meets throughout the year except for recess in July and December. There are 20 seven-member congressional committees.", "title": "Executive branch" }, { "paragraph_id": 13, "text": "The President and Vice-President are elected on the same ticket by popular vote for a four-year term.", "title": "Executive branch" }, { "paragraph_id": 14, "text": "On 20 April 2005, by an act of Congress, Lucio Gutiérrez was dramatically removed from office. The last election was held on 20 October 2002 and a runoff election on 24 November 2002 (with the next one to be held in 2006 per the four-year term limits).", "title": "Executive branch" }, { "paragraph_id": 15, "text": "Former Vice-President Alfredo Palacio assumed the presidency on 20 April 2005 after Congress removed Lucio Gutiérrez amid escalating street protests precipitated by growing criticism of Gutiérrez's Supreme Court appointments.", "title": "Executive branch" }, { "paragraph_id": 16, "text": "A presidential election was held on 15 October and 26 November 2006. Rafael Correa defeated Alvaro Noboa in a run-off election, or second and final round. Correa won with 56.8% of the vote. There was an attempted coup against President Rafael Correa in 2010. The Economist described Correa as \"a left-wing populist\", while The Washington Post has characterized Correa's ideological approach as being \"economically populist, socially conservative, [and] quasi-authoritarian\".", "title": "Executive branch" }, { "paragraph_id": 17, "text": "Rafael Correa's three consecutive terms (from 2007 to 2017) were followed by Lenín Moreno's four years as president (2017–21).", "title": "Executive branch" }, { "paragraph_id": 18, "text": "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.", "title": "Executive branch" }, { "paragraph_id": 19, "text": "On 15 October 2023, center-right candidate Daniel Noboa won the run-off of the premature presidential election with 52.3% of the vote against leftist candidate Luisa González.", "title": "Executive branch" }, { "paragraph_id": 20, "text": "Ecuador has a unicameral National Assembly (Asamblea Nacional in Spanish), and it has 137 primary (seat-holding) members (all of whom are elected by popular vote to serve four-year terms). It is based on provincial constituencies, but it also has members coming from a national list and it has members representing the emigrant community.", "title": "Legislative branch" }, { "paragraph_id": 21, "text": "On 29 November 2007, the Ecuadorian Constituent Assembly dismissed Congress on charges of corruption and then assumed legislative powers for itself. The Constituent Assembly then proposed a new National Assembly, which is the current institution.", "title": "Legislative branch" }, { "paragraph_id": 22, "text": "Ecuador is divided into 24 provinces: Azuay, Bolívar, Cañar, Carchi, Chimborazo, Cotopaxi, El Oro, Esmeraldas, Galápagos Islands, Guayas, Imbabura, Loja, Los Ríos, Manabí, Morona-Santiago, Napo, Orellana, Pastaza, Pichincha, Santa Elena, Santo Domingo de los Tsáchilas, Sucumbíos, Tungurahua, Zamora-Chinchipe Santa Elena Province.", "title": "Administrative divisions" }, { "paragraph_id": 23, "text": "Ecuador's legal system is based on the civil law system. Ecuador recently accepted compulsory International Court of Justice jurisdiction.", "title": "Legal system" }, { "paragraph_id": 24, "text": "In 1979, there was no female representation. By 1984, there was only 4.2% of female representation with three deputies. In 1986, the number was reduced to one female parliamentarian.", "title": "Female representation in the Assembly" }, { "paragraph_id": 25, "text": "Between 1988 and 1996, the average percentage of female representation was around of 5%. The following trends occurred:", "title": "Female representation in the Assembly" }, { "paragraph_id": 26, "text": "In 2017, the leadership was led by three women: Gabriela Rivadeneira (President), Rosana Alvarado (First Vice-President) and Marcela Aguiñaga (Second Vice-President).", "title": "Female representation in the Assembly" }, { "paragraph_id": 27, "text": "Ecuador or Ecuadorian organizations participate in the following international organizations:", "title": "International organization participation" }, { "paragraph_id": 28, "text": "", "title": "External links" } ]
The politics of Ecuador are multi-party. The central government polity is a quadrennially elected presidential, unicameral representative democracy. The President of Ecuador is head of state and head of the army on a multi-party system, and leads a cabinet with further executive power. Legislative power is not limited to the National Assembly, as it may to a lesser degree be exercised by the executive which consists of the President convening an appointed executive cabinet. Subsequent acts of the National Assembly are supreme over Executive Orders where sufficient votes have been cast by the legislators. The judiciary is independent of the executive and the legislature. Ecuador is also considered a constitutional republic. The Constitution of Ecuador provides for a four-year term of office for the President, Vice-President, and members of the National Assembly with concurrent elections. Presidents and legislators may be re-elected immediately. Citizens must be at least 16 years of age to vote: suffrage is universal and compulsory for literate persons aged 18 to 65 and optional for 16 and 17 years of age and other eligible voters. The Economist Intelligence Unit rated Ecuador a "hybrid regime" in 2022.
2001-04-29T05:04:48Z
2023-11-24T11:06:00Z
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https://en.wikipedia.org/wiki/Politics_of_Ecuador
9,339
Economy of Ecuador
The economy of Ecuador is the eighth largest in Latin America and the 69th largest in the world by total GDP. Ecuador's economy is based on the export of oil, bananas, shrimp, gold, other primary agricultural products and money transfers from Ecuadorian emigrants employed abroad. In 2017, remittances constituted 2.7% of country's GDP. The total trade amounted to 42% of the Ecuador's GDP in 2017. The country is substantially dependent on its petroleum resources. In 2017, oil accounted for about one-third of public-sector revenue and 32% of export earnings. When Ecuador was part of OPEC, it was one of the smallest members and produced about 531,300 barrels per day of petroleum in 2017. It is the world's largest exporter of bananas ($3.38 billion in 2017) and a major exporter of shrimp ($3.06 billion in 2017). Exports of non-traditional products such as cut flowers ($846 million in 2017) and canned fish ($1.18 billion in 2017) have grown in recent years. In the past, Ecuador's economy depended largely on primary industries like agriculture, petroleum, and aquaculture. As a result of shifts in global market trends and development of technology, the country has experienced economic development in other sectors, such as textiles, processed food, metallurgy and the service sectors. Between 2006 and 2014, GDP growth averaged 4.3%, driven by high oil prices and external financing. From 2015 until 2018, GDP growth averaged just 0.6%. Ecuador's ex-president, Lenín Moreno, launched a radical transformation of Ecuador's economy after taking office in May 2017. The aim was to increase the private sector's weight, in particular the oil industry. Ecuador is one of the 10 largest producers in the world of banana, cocoa and palm oil. In 2018, the country produced 7.5 million tons of sugarcane, 6.5 million tons of banana (6th largest producer in the world), 2.7 million tons of palm oil (6th largest producer in the world), 1.3 million tons of maize, 1.3 million tons of rice, 269 thousand tons of potato, 235 thousand tons of cocoa (7th largest producer in the world), 149 thousand tons of pineapple, 103 thousand tons of orange, in addition to smaller productions of other agricultural products. In 2019, the country had an annual production of about 1 ton of antimony (14th largest producer in the world). In 2006, Ecuador had an annual production of about 5.3 tonnes of gold, being the 34th largest producer in the world at the time. Ecuador produced 8.6 tons of gold in 2013, which was the absolute record between 2006 and 2017. In 2017, production was 7.3 tons. In terms of silver production, Ecuador produced 1 ton in 2017, which is the country's usual average. In 2019, in the north of Ecuador, a large deposit of gold, silver and copper was discovered. Oil accounts for 40% of exports and contributes to maintaining a positive trade balance. Since the late '60s, the exploitation of oil increased production and reserves are estimated at 4.036 million barrels In the agricultural sector, Ecuador is a major exporter of bananas (the largest exporter of bananas in the world), cut flowers, cacao, coffee, shrimp, wood, and fish. It is also significant in shrimp production, sugar cane, rice, cotton, corn, palm and coffee. 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 the Sierra, walnuts and rosemary, and balsa wood, on Guayas River Basin. Ecuador's tobacco is prized in the cigar industry due to the prolonged cloud cover and rich volcanic soil creating ideal growing conditions, especially for shade tobacco and Ecuadorian Sumatra Tobacco cigar wrapper leaves; exports topped $70M in 2018. 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. Minor industrial activity is also concentrated in Cuenca. The dairy industry is represented by companies such as Tonicorp, which is owned by the Coca Cola Company. Ecuador was placed in 96th position of innovation in technology in a 2013 World Economic Forum study. Ecuador was ranked 91st in the Global Innovation Index in 2021 up from 99th in 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). The overall trade balance for August 2012 was a surplus of almost 390 million dollars 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. This circumstance was due to the fact that imports grew faster than exports. The oil trade balance positive had revenues of $3.295 million in 2008, while non-oil was negative amounting to 2.842 million dollars.. The trade balance was positive in 2019 and 2020 with 2.05 billion dollars and 6.4 billion dollars. In 2016, the trade balance was positive (608 million dollars) but negative in 2017 (-723 million dollars) and 2018 (1.41 billion dollars). The trade balance with Argentina, Colombia and Asia is negative. Ecuador has negotiated bilateral treaties with other countries, besides belonging to the Andean Community of Nations, and an associate member of Mercosur. It also belongs to the World Trade Organization (WTO), in addition to the Inter-American Development Bank (IDB), World Bank, International Monetary Fund (IMF), Development Bank of Latin America and the Caribbean (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, the National Finance Corporation, the Ecuadorian Housing Bank (BEV) and the Ecuadorian Educational Loans and Grants. Deteriorating economic performance in 1997–98 culminated in a severe financial crisis in 1999. The crisis was precipitated by a number of external shocks, including the El Niño weather phenomenon in 1997, a sharp drop in global oil prices in 1997–98, and international emerging market instability in 1997–98. These factors highlighted the Government of Ecuador's unsustainable economic policy mix of large fiscal deficits and expansionary money policy and resulted in a 7.3% contraction of GDP, annual year-on-year inflation of 52.2%, and a 65% devaluation of the national currency in 1999. On January 9, 2000, the administration of President Jamil Mahuad announced its intention to adopt the U.S. dollar as the official currency of Ecuador to address the ongoing economic crisis. Subsequent protest led to the 2000 Ecuadorean coup d'état which saw Mahuad's removal from office and the elevation of Vice President Gustavo Noboa to the presidency. US Dollar has been the only official currency of Ecuador since the year 2000. The Noboa government confirmed its commitment to convert to the dollar as the centerpiece of its economic recovery strategy, successfully completing the transition from sucres to dollars in 2001. Following the completion of a one-year stand-by program with the International Monetary Fund (IMF) in December 2001, Ecuador successfully negotiated a new $205 million stand-by agreement with the IMF in March 2003. Buoyed by higher oil prices, the Ecuadorian economy experienced a modest recovery in 2000–01, with GDP rising 2.3% in 2000 and 5.4% in 2001. GDP growth leveled off to 2.7% in 2002. Inflation fell from an annual rate of 96.1% in 2000 to an annual rate of 37.7% in 2001; 12.6% for 2002. The completion of the second Transandean Oil Pipeline (OCP in Spanish) in 2003 enabled Ecuador to expand oil exports. The OCP will double Ecuador's oil transport capacity. Ecuador's economy is the eighth largest in Latin America and experienced an average growth of 4.6% per year between 2000 and 2006. In January 2009, the Central Bank of Ecuador (BCE) put the 2010 growth forecast at 6.88%. GDP doubled between 1999 and 2007, reaching 65,490 million dollars according to BCE. Inflation rate up to January 2008 was located about 1.14%, the highest recorded in the last year, according to 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. Between 2006 and 2009, the government increased spending on social welfare and education from 2.6% to 5.2% of its GDP. Starting in 2007, when its economy was surpassed by the economic crisis, Ecuador was subject to a number of economic policy reforms by the government that have helped steer the Ecuadorian economy to a sustained, substantial, and focused achievement of financial stability and consistent social policy. Such policies were expansionary fiscal policies, of access to housing finance, stimulus packs, and limiting the amount of money reserves banks could keep abroad. The Ecuadorian government has made huge investments in education and infrastructure throughout the nation, which have improved the lives of the poor. On December 12, 2008, President Rafael Correa announced that Ecuador would not pay $30.6m in interest to lenders of a $510m loan, claiming that they were monsters. In addition it claimed that $3.8bn in foreign debt negotiated by previous administrations was illegitimate because it was authorized without executive decree. At the time of the announcement, the country had $5.65bn in cash reserves. In 2009, economic growth declined to 0.6% during the global recession, accompanied by falling oil prices and a decline in remittances provided by Ecuadorians living and working abroad (a major source of external revenues). Showing signs of recovery in 2010, the economy rebounded and grew by 2.8%. After growth of 7.4% in 2011, Ecuador's growth averaged 4.5% from 2012 to 2014. Some observers have attributed the high growth to a public investment boom that was fueled by high oil prices and lending from China. According to the U.S. Energy Information Administration, Ecuador was the third largest source of foreign oil to the western United States in 2014. However, in the middle of 2014 after the price of oil declined significantly, Ecuador's oil earnings fell. As a consequence, the Economist Intelligence Unit (EIU) forecast that Ecuador's economy would contract slightly in 2015, although the economy ultimately grew by less than half a percent. President Correa's plans to begin extracting crude oil from the Ishpingo, Tambochoa, and Tiputini field in Yasuní National Park in the Amazon to provide an economic boost did not salvage the economy from going into recession. In 2016, Ecuador's gross domestic product contracted by 1.6%. Ecuador's economic slowdown in 2016 and the country's need for external finance were exacerbated by a deadly April 2016 earthquake. Ecuador's estimated $3 billion costs for reconstruction and humanitarian assistance for 720,000 people in the affected region remain a burden that the government and private sector have sought to address. In response, the U.S. Office of Foreign Disaster Assistance provided more than $3 million in assistance, including provisions airlifted in for 50,000 people in the earthquake-prone region and assistance with water and sanitation systems in affected areas. A U.N. appeal by the Office of Coordination of Humanitarian Assistance sought to raise $73 million. However, as of July 2016, only one-fifth of this amount had been received from donor countries, including the United States. The Correa government increased a value-added tax and implemented a plan to further cut government expenditures after cutting capital expenditures by 30%. Despite President Correa's reluctance to ask for assistance from the International Monetary Fund (IMF), the IMF approved a request for $364 million in financial support under its Rapid Financing Instrument in early July 2016 for Ecuador. Additional loans from China and the World Bank to help ease the government's balance-of-payments needs were considered. Ecuador's access to global financial markets also had been limited by its 2008 default on $3.2 billion in debt to global lenders. Consequently, the Correa government turned to nontraditional allies, such as China, for external finance. From 2005 to 2014, Chinese banks provided almost $11 billion of financing to Ecuador. The Correa government also asked China for an additional $7.5 billion in financing in early 2015 as crude oil prices—the nation's biggest export—weakened further. China agreed to the financing request and began to disburse funding, including nearly $1 billion in May and June 2015. Ecuador successfully returned to the international capital market in June 2014 with a $2 billion bond issue followed by additional smaller bond issues in 2015. President Moreno later discovered loans made by China over the years currently require that Ecuador pay China back with almost 500 barrels of crude oil—or roughly three years of the country's oil production. According to press reports, some private sector analysts question whether Ecuador will be able to meet its debt obligations given two strains on the country's public finances: the slump in oil income due to the commodity's low price and the strong U.S. dollar, which, as a result of Ecuador's dollarized economy, makes the country's exports less globally competitive. Ecuador withdrew from efforts to develop a regional free trade agreement (FTA) between the United States and Bolivia, Colombia, Ecuador, and Peru in 2006. The United States subsequently signed bilateral FTAs with Peru and Colombia, but Ecuador showed no interest in pursuing an FTA with the United States. Following Venezuela's acceptance in 2012 to full membership in the South American customs union, Mercosur (Mercado Común del Sur or Common Market of the South), the leftist governments in Bolivia and Ecuador applied to move from observer status to full membership in the trade bloc originally composed of Argentina, Brazil, Paraguay, and Uruguay. According to some observers, out of a concern for Ecuador's struggling non-oil exporters, Correa embraced a trade agreement with the European Union (EU) as part of the EU-Andean Community Association agreement that went into effect in January 2017. The International Monetary Fund approved an agreement with Ecuador in March 2019. This arrangement would provide support ($10 billion) for the Ecuadorian government's economic policies over three years (2018–2021 Prosperity Plan). As of 2012, an estimated 9 million Ecuadorians have an economic occupation and about 1.01 million inhabitants are in unemployment condition. In 1998, 10% of the richest population had 42.5% of income, while 10% of the poor had only 0.6% of income. The rates of poverty were higher for populations of indigenous, afro-descendents, and rural sectors. During the same year, 7.6% of health spending went to the 20% of the poor, while 20% of the rich population received 38.1% of this expenditure. 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 largely by emigration and economic stability achieved after adopting the U.S. dollar as official means of transaction . Poverty rates were higher for indigenous peoples, Afro-descendants and rural areas, reaching 44% of the Native ancestry population. The industrial sector has had enormous difficulty to emerge significantly. The industrial sector's main problem is the deficit of energy, which the current government has tackled with the improvement of performance on existing hydro plants, and the creation of new ones. Such projects included negotiation of the Coca-Codo hydroplant. Incentives of financing, tributary incentives, tariffs, and others will be implemented, that is intended to benefit areas of tourism, food processing, renewable and alternative energy sources, bioenergies, pharmaceutical and chemical products, biochemical and environmental biomedecine, services, automotive metallurgical industry, footwear, and automotive parts and pieces, among others. A 500 kV transmission line increases national grid strength and electricity trade with Peru and Colombia. The following table shows the main economic indicators in 1980–2019 (with IMF staff stimtates in 2020–2025). Inflation below 5% is in green.
[ { "paragraph_id": 0, "text": "The economy of Ecuador is the eighth largest in Latin America and the 69th largest in the world by total GDP. Ecuador's economy is based on the export of oil, bananas, shrimp, gold, other primary agricultural products and money transfers from Ecuadorian emigrants employed abroad. In 2017, remittances constituted 2.7% of country's GDP. The total trade amounted to 42% of the Ecuador's GDP in 2017.", "title": "" }, { "paragraph_id": 1, "text": "The country is substantially dependent on its petroleum resources. In 2017, oil accounted for about one-third of public-sector revenue and 32% of export earnings. When Ecuador was part of OPEC, it was one of the smallest members and produced about 531,300 barrels per day of petroleum in 2017. It is the world's largest exporter of bananas ($3.38 billion in 2017) and a major exporter of shrimp ($3.06 billion in 2017). Exports of non-traditional products such as cut flowers ($846 million in 2017) and canned fish ($1.18 billion in 2017) have grown in recent years.", "title": "" }, { "paragraph_id": 2, "text": "In the past, Ecuador's economy depended largely on primary industries like agriculture, petroleum, and aquaculture. As a result of shifts in global market trends and development of technology, the country has experienced economic development in other sectors, such as textiles, processed food, metallurgy and the service sectors. Between 2006 and 2014, GDP growth averaged 4.3%, driven by high oil prices and external financing. From 2015 until 2018, GDP growth averaged just 0.6%. Ecuador's ex-president, Lenín Moreno, launched a radical transformation of Ecuador's economy after taking office in May 2017. The aim was to increase the private sector's weight, in particular the oil industry.", "title": "" }, { "paragraph_id": 3, "text": "Ecuador is one of the 10 largest producers in the world of banana, cocoa and palm oil.", "title": "Agriculture" }, { "paragraph_id": 4, "text": "In 2018, the country produced 7.5 million tons of sugarcane, 6.5 million tons of banana (6th largest producer in the world), 2.7 million tons of palm oil (6th largest producer in the world), 1.3 million tons of maize, 1.3 million tons of rice, 269 thousand tons of potato, 235 thousand tons of cocoa (7th largest producer in the world), 149 thousand tons of pineapple, 103 thousand tons of orange, in addition to smaller productions of other agricultural products.", "title": "Agriculture" }, { "paragraph_id": 5, "text": "In 2019, the country had an annual production of about 1 ton of antimony (14th largest producer in the world).", "title": "Mining" }, { "paragraph_id": 6, "text": "In 2006, Ecuador had an annual production of about 5.3 tonnes of gold, being the 34th largest producer in the world at the time. Ecuador produced 8.6 tons of gold in 2013, which was the absolute record between 2006 and 2017. In 2017, production was 7.3 tons.", "title": "Mining" }, { "paragraph_id": 7, "text": "In terms of silver production, Ecuador produced 1 ton in 2017, which is the country's usual average.", "title": "Mining" }, { "paragraph_id": 8, "text": "In 2019, in the north of Ecuador, a large deposit of gold, silver and copper was discovered.", "title": "Mining" }, { "paragraph_id": 9, "text": "Oil accounts for 40% of exports and contributes to maintaining a positive trade balance. Since the late '60s, the exploitation of oil increased production and reserves are estimated at 4.036 million barrels", "title": "Industries" }, { "paragraph_id": 10, "text": "In the agricultural sector, Ecuador is a major exporter of bananas (the largest exporter of bananas in the world), cut flowers, cacao, coffee, shrimp, wood, and fish. It is also significant in shrimp production, sugar cane, rice, cotton, corn, palm and coffee. 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 the Sierra, walnuts and rosemary, and balsa wood, on Guayas River Basin.", "title": "Industries" }, { "paragraph_id": 11, "text": "Ecuador's tobacco is prized in the cigar industry due to the prolonged cloud cover and rich volcanic soil creating ideal growing conditions, especially for shade tobacco and Ecuadorian Sumatra Tobacco cigar wrapper leaves; exports topped $70M in 2018.", "title": "Industries" }, { "paragraph_id": 12, "text": "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. Minor industrial activity is also concentrated in Cuenca.", "title": "Industries" }, { "paragraph_id": 13, "text": "The dairy industry is represented by companies such as Tonicorp, which is owned by the Coca Cola Company.", "title": "Industries" }, { "paragraph_id": 14, "text": "Ecuador was placed in 96th position of innovation in technology in a 2013 World Economic Forum study. Ecuador was ranked 91st in the Global Innovation Index in 2021 up from 99th in 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.", "title": "Sciences and research" }, { "paragraph_id": 15, "text": "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.", "title": "Sciences and research" }, { "paragraph_id": 16, "text": "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.", "title": "Sciences and research" }, { "paragraph_id": 17, "text": "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).", "title": "Sciences and research" }, { "paragraph_id": 18, "text": "The overall trade balance for August 2012 was a surplus of almost 390 million dollars 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. This circumstance was due to the fact that imports grew faster than exports. The oil trade balance positive had revenues of $3.295 million in 2008, while non-oil was negative amounting to 2.842 million dollars.. The trade balance was positive in 2019 and 2020 with 2.05 billion dollars and 6.4 billion dollars. In 2016, the trade balance was positive (608 million dollars) but negative in 2017 (-723 million dollars) and 2018 (1.41 billion dollars). The trade balance with Argentina, Colombia and Asia is negative.", "title": "Trade" }, { "paragraph_id": 19, "text": "Ecuador has negotiated bilateral treaties with other countries, besides belonging to the Andean Community of Nations, and an associate member of Mercosur. It also belongs to the World Trade Organization (WTO), in addition to the Inter-American Development Bank (IDB), World Bank, International Monetary Fund (IMF), Development Bank of Latin America and the Caribbean (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, the National Finance Corporation, the Ecuadorian Housing Bank (BEV) and the Ecuadorian Educational Loans and Grants.", "title": "Trade" }, { "paragraph_id": 20, "text": "Deteriorating economic performance in 1997–98 culminated in a severe financial crisis in 1999. The crisis was precipitated by a number of external shocks, including the El Niño weather phenomenon in 1997, a sharp drop in global oil prices in 1997–98, and international emerging market instability in 1997–98. These factors highlighted the Government of Ecuador's unsustainable economic policy mix of large fiscal deficits and expansionary money policy and resulted in a 7.3% contraction of GDP, annual year-on-year inflation of 52.2%, and a 65% devaluation of the national currency in 1999.", "title": "Economic history" }, { "paragraph_id": 21, "text": "On January 9, 2000, the administration of President Jamil Mahuad announced its intention to adopt the U.S. dollar as the official currency of Ecuador to address the ongoing economic crisis. Subsequent protest led to the 2000 Ecuadorean coup d'état which saw Mahuad's removal from office and the elevation of Vice President Gustavo Noboa to the presidency.", "title": "Economic history" }, { "paragraph_id": 22, "text": "US Dollar has been the only official currency of Ecuador since the year 2000.", "title": "Economic history" }, { "paragraph_id": 23, "text": "The Noboa government confirmed its commitment to convert to the dollar as the centerpiece of its economic recovery strategy, successfully completing the transition from sucres to dollars in 2001. Following the completion of a one-year stand-by program with the International Monetary Fund (IMF) in December 2001, Ecuador successfully negotiated a new $205 million stand-by agreement with the IMF in March 2003.", "title": "Economic history" }, { "paragraph_id": 24, "text": "Buoyed by higher oil prices, the Ecuadorian economy experienced a modest recovery in 2000–01, with GDP rising 2.3% in 2000 and 5.4% in 2001. GDP growth leveled off to 2.7% in 2002. Inflation fell from an annual rate of 96.1% in 2000 to an annual rate of 37.7% in 2001; 12.6% for 2002.", "title": "Economic history" }, { "paragraph_id": 25, "text": "The completion of the second Transandean Oil Pipeline (OCP in Spanish) in 2003 enabled Ecuador to expand oil exports. The OCP will double Ecuador's oil transport capacity.", "title": "Economic history" }, { "paragraph_id": 26, "text": "Ecuador's economy is the eighth largest in Latin America and experienced an average growth of 4.6% per year between 2000 and 2006. In January 2009, the Central Bank of Ecuador (BCE) put the 2010 growth forecast at 6.88%. GDP doubled between 1999 and 2007, reaching 65,490 million dollars according to BCE. Inflation rate up to January 2008 was located about 1.14%, the highest recorded in the last year, according to 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.", "title": "Economic history" }, { "paragraph_id": 27, "text": "Between 2006 and 2009, the government increased spending on social welfare and education from 2.6% to 5.2% of its GDP. Starting in 2007, when its economy was surpassed by the economic crisis, Ecuador was subject to a number of economic policy reforms by the government that have helped steer the Ecuadorian economy to a sustained, substantial, and focused achievement of financial stability and consistent social policy. Such policies were expansionary fiscal policies, of access to housing finance, stimulus packs, and limiting the amount of money reserves banks could keep abroad. The Ecuadorian government has made huge investments in education and infrastructure throughout the nation, which have improved the lives of the poor.", "title": "Economic history" }, { "paragraph_id": 28, "text": "On December 12, 2008, President Rafael Correa announced that Ecuador would not pay $30.6m in interest to lenders of a $510m loan, claiming that they were monsters. In addition it claimed that $3.8bn in foreign debt negotiated by previous administrations was illegitimate because it was authorized without executive decree. At the time of the announcement, the country had $5.65bn in cash reserves.", "title": "Economic history" }, { "paragraph_id": 29, "text": "In 2009, economic growth declined to 0.6% during the global recession, accompanied by falling oil prices and a decline in remittances provided by Ecuadorians living and working abroad (a major source of external revenues). Showing signs of recovery in 2010, the economy rebounded and grew by 2.8%. After growth of 7.4% in 2011, Ecuador's growth averaged 4.5% from 2012 to 2014.", "title": "Economic history" }, { "paragraph_id": 30, "text": "Some observers have attributed the high growth to a public investment boom that was fueled by high oil prices and lending from China. According to the U.S. Energy Information Administration, Ecuador was the third largest source of foreign oil to the western United States in 2014. However, in the middle of 2014 after the price of oil declined significantly, Ecuador's oil earnings fell. As a consequence, the Economist Intelligence Unit (EIU) forecast that Ecuador's economy would contract slightly in 2015, although the economy ultimately grew by less than half a percent. President Correa's plans to begin extracting crude oil from the Ishpingo, Tambochoa, and Tiputini field in Yasuní National Park in the Amazon to provide an economic boost did not salvage the economy from going into recession. In 2016, Ecuador's gross domestic product contracted by 1.6%.", "title": "Economic history" }, { "paragraph_id": 31, "text": "Ecuador's economic slowdown in 2016 and the country's need for external finance were exacerbated by a deadly April 2016 earthquake. Ecuador's estimated $3 billion costs for reconstruction and humanitarian assistance for 720,000 people in the affected region remain a burden that the government and private sector have sought to address. In response, the U.S. Office of Foreign Disaster Assistance provided more than $3 million in assistance, including provisions airlifted in for 50,000 people in the earthquake-prone region and assistance with water and sanitation systems in affected areas. A U.N. appeal by the Office of Coordination of Humanitarian Assistance sought to raise $73 million. However, as of July 2016, only one-fifth of this amount had been received from donor countries, including the United States.", "title": "Economic history" }, { "paragraph_id": 32, "text": "The Correa government increased a value-added tax and implemented a plan to further cut government expenditures after cutting capital expenditures by 30%. Despite President Correa's reluctance to ask for assistance from the International Monetary Fund (IMF), the IMF approved a request for $364 million in financial support under its Rapid Financing Instrument in early July 2016 for Ecuador. Additional loans from China and the World Bank to help ease the government's balance-of-payments needs were considered.", "title": "Economic history" }, { "paragraph_id": 33, "text": "Ecuador's access to global financial markets also had been limited by its 2008 default on $3.2 billion in debt to global lenders. Consequently, the Correa government turned to nontraditional allies, such as China, for external finance. From 2005 to 2014, Chinese banks provided almost $11 billion of financing to Ecuador. The Correa government also asked China for an additional $7.5 billion in financing in early 2015 as crude oil prices—the nation's biggest export—weakened further. China agreed to the financing request and began to disburse funding, including nearly $1 billion in May and June 2015. Ecuador successfully returned to the international capital market in June 2014 with a $2 billion bond issue followed by additional smaller bond issues in 2015. President Moreno later discovered loans made by China over the years currently require that Ecuador pay China back with almost 500 barrels of crude oil—or roughly three years of the country's oil production. According to press reports, some private sector analysts question whether Ecuador will be able to meet its debt obligations given two strains on the country's public finances: the slump in oil income due to the commodity's low price and the strong U.S. dollar, which, as a result of Ecuador's dollarized economy, makes the country's exports less globally competitive.", "title": "Economic history" }, { "paragraph_id": 34, "text": "Ecuador withdrew from efforts to develop a regional free trade agreement (FTA) between the United States and Bolivia, Colombia, Ecuador, and Peru in 2006. The United States subsequently signed bilateral FTAs with Peru and Colombia, but Ecuador showed no interest in pursuing an FTA with the United States. Following Venezuela's acceptance in 2012 to full membership in the South American customs union, Mercosur (Mercado Común del Sur or Common Market of the South), the leftist governments in Bolivia and Ecuador applied to move from observer status to full membership in the trade bloc originally composed of Argentina, Brazil, Paraguay, and Uruguay. According to some observers, out of a concern for Ecuador's struggling non-oil exporters, Correa embraced a trade agreement with the European Union (EU) as part of the EU-Andean Community Association agreement that went into effect in January 2017.", "title": "Economic history" }, { "paragraph_id": 35, "text": "The International Monetary Fund approved an agreement with Ecuador in March 2019. This arrangement would provide support ($10 billion) for the Ecuadorian government's economic policies over three years (2018–2021 Prosperity Plan).", "title": "Economic history" }, { "paragraph_id": 36, "text": "As of 2012, an estimated 9 million Ecuadorians have an economic occupation and about 1.01 million inhabitants are in unemployment condition. In 1998, 10% of the richest population had 42.5% of income, while 10% of the poor had only 0.6% of income. The rates of poverty were higher for populations of indigenous, afro-descendents, and rural sectors. During the same year, 7.6% of health spending went to the 20% of the poor, while 20% of the rich population received 38.1% of this expenditure. 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 largely by emigration and economic stability achieved after adopting the U.S. dollar as official means of transaction . Poverty rates were higher for indigenous peoples, Afro-descendants and rural areas, reaching 44% of the Native ancestry population.", "title": "Poverty and inequality" }, { "paragraph_id": 37, "text": "The industrial sector has had enormous difficulty to emerge significantly. The industrial sector's main problem is the deficit of energy, which the current government has tackled with the improvement of performance on existing hydro plants, and the creation of new ones. Such projects included negotiation of the Coca-Codo hydroplant. Incentives of financing, tributary incentives, tariffs, and others will be implemented, that is intended to benefit areas of tourism, food processing, renewable and alternative energy sources, bioenergies, pharmaceutical and chemical products, biochemical and environmental biomedecine, services, automotive metallurgical industry, footwear, and automotive parts and pieces, among others. A 500 kV transmission line increases national grid strength and electricity trade with Peru and Colombia.", "title": "Infrastructure development" }, { "paragraph_id": 38, "text": "The following table shows the main economic indicators in 1980–2019 (with IMF staff stimtates in 2020–2025). Inflation below 5% is in green.", "title": "Statistics" } ]
The economy of Ecuador is the eighth largest in Latin America and the 69th largest in the world by total GDP. Ecuador's economy is based on the export of oil, bananas, shrimp, gold, other primary agricultural products and money transfers from Ecuadorian emigrants employed abroad. In 2017, remittances constituted 2.7% of country's GDP. The total trade amounted to 42% of the Ecuador's GDP in 2017. The country is substantially dependent on its petroleum resources. In 2017, oil accounted for about one-third of public-sector revenue and 32% of export earnings. When Ecuador was part of OPEC, it was one of the smallest members and produced about 531,300 barrels per day of petroleum in 2017. It is the world's largest exporter of bananas and a major exporter of shrimp. Exports of non-traditional products such as cut flowers and canned fish have grown in recent years. In the past, Ecuador's economy depended largely on primary industries like agriculture, petroleum, and aquaculture. As a result of shifts in global market trends and development of technology, the country has experienced economic development in other sectors, such as textiles, processed food, metallurgy and the service sectors. Between 2006 and 2014, GDP growth averaged 4.3%, driven by high oil prices and external financing. From 2015 until 2018, GDP growth averaged just 0.6%. Ecuador's ex-president, Lenín Moreno, launched a radical transformation of Ecuador's economy after taking office in May 2017. The aim was to increase the private sector's weight, in particular the oil industry.
2001-09-08T04:59:35Z
2023-12-31T18:30:21Z
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https://en.wikipedia.org/wiki/Economy_of_Ecuador
9,340
Telecommunications in Ecuador
Telecommunications in Ecuador include telephone, radio, television, and the Internet. Ecuador's state regulatory agency is the National Telecommunications Council (CONATEL), which is part of the Telecommunications Ministry (MINTEL). There are three cell phone providers in Ecuador: Claro (Telcel), Movistar, and CNT. Mobile networks are diverse and include GSM 850 MHz (largest) as well as CDMA (Bell South's old network before being acquired by Telefónica Spain which rebranded Movistar), TDMA63. CNT is the state owned firm and uses CDMA. Ecuador has multiple TV networks and many local channels, as well as more than 300 radio stations. Many TV and radio stations are privately owned. The government owns or controls 5 national TV stations and multiple radio stations. Radio and television broadcasters are required by law to give the government free air time to broadcast programs produced by the state (2007). The government has an ongoing campaign to increase Internet access across the country, with a goal of extending Internet connectivity to 50 percent of households by 2015. Public Internet access centers, known as Infocentros, have been installed in 377 (48 percent) of Ecuador's 810 rural parishes, with a projection of 100 percent by 2014. Internet cafes are also becoming increasingly common. During the February 2013 elections for president and National Assembly, the Internet provided a real-time forum for candidates to launch proposals, solicit votes, discuss issues, and increase the scope of their publicity campaigns. Broadband (commonly used in urban zones) and satellite connections (often used in rural areas) are increasingly popular, eclipsing dial-up plans. According to industry estimates, between 33 and 66 percent of Internet users have broadband speeds between 2 and 3Mbit/s, at a cost of $20 to $25 per month. In May 2012, the Superintendent of Telecommunications indicated that the overall average speed of an Internet connection in Ecuador is 128kbit/s, although speeds are lower in rural areas. There is no widespread blocking or filtering of websites in Ecuador and access to blogs and social media platforms such as Facebook, Twitter, and YouTube is generally free and open. Diverse sources of national and international information are available via the Internet. Anonymous communication, encrypted communications, and the use of security tools is not prohibited. There were no government restrictions on access to the Internet or credible reports that the government monitored e-mail or Internet chat rooms. However, on 11 July 2012 the government passed a new telecommunications regulation, requiring that Internet service providers fulfill all information requests from the superintendent of telecommunications, allowing access to client addresses and information without a judicial order. Standard defamation laws apply to content posted online. Attempts to censor statements made in times of heightened political sensitivity have been reported, as have alleged instances of censorship via the overly broad application of copyright to content critical of the government. Lawsuits have been filed against digital news sites for comments critical of the government. To use the services provided by cybercafes, the national secretary of telecommunications, SENATEL, requires that users register with the following information: full name, phone number, passport number, voting certificate number, email address, and home address. Self-censorship of comments critical of the government is encouraged. In January 2013, for example, President Correa called for the National Secretary of Intelligence (SENAIN) to investigate two Twitter users who had published disparaging comments about him, an announcement which sent a warning to others not to post comments critical of the president. After receiving criticism from the government, news site La Hora indefinitely suspended the reader comments section on its website. At the president's request, the comments section was shut down completely. Print and digital news outlet El Comercio faced similar pressure related to its readers' comments and the comments section was ultimately disabled after President Correa sent a letter of complaint. While there are no official constraints on organizing protests over the Internet, warnings from the president stating that the act of protesting will be interpreted as "an attempt to destabilize the government" have undoubtedly discouraged some from organizing and participating in protests. Ecuador's new "Organic Law on Communications" was passed in June 2013. The law recognizes a right to communication. Media companies are required to collect and store user information. "Media lynching", which appears to extend to any accusation of corruption or investigation of a public official—even those that are supported with evidence, is prohibited. Websites bear "ultimate responsibility" for all content they host, including content authored by third parties. The law creates a new media regulator to prohibit the dissemination of "unbalanced" information and bans non-degreed journalists from publishing, effectively outlawing much investigative reporting and citizen journalism. Human rights organizations fear that the new law will stifle critical voices in the media, due to its vague wording, arbitrary sanctions, and the threat of civil and criminal penalties.
[ { "paragraph_id": 0, "text": "Telecommunications in Ecuador include telephone, radio, television, and the Internet.", "title": "" }, { "paragraph_id": 1, "text": "Ecuador's state regulatory agency is the National Telecommunications Council (CONATEL), which is part of the Telecommunications Ministry (MINTEL).", "title": "" }, { "paragraph_id": 2, "text": "There are three cell phone providers in Ecuador: Claro (Telcel), Movistar, and CNT. Mobile networks are diverse and include GSM 850 MHz (largest) as well as CDMA (Bell South's old network before being acquired by Telefónica Spain which rebranded Movistar), TDMA63. CNT is the state owned firm and uses CDMA.", "title": "Telephones" }, { "paragraph_id": 3, "text": "Ecuador has multiple TV networks and many local channels, as well as more than 300 radio stations. Many TV and radio stations are privately owned. The government owns or controls 5 national TV stations and multiple radio stations. Radio and television broadcasters are required by law to give the government free air time to broadcast programs produced by the state (2007).", "title": "Radio and television" }, { "paragraph_id": 4, "text": "The government has an ongoing campaign to increase Internet access across the country, with a goal of extending Internet connectivity to 50 percent of households by 2015. Public Internet access centers, known as Infocentros, have been installed in 377 (48 percent) of Ecuador's 810 rural parishes, with a projection of 100 percent by 2014. Internet cafes are also becoming increasingly common. During the February 2013 elections for president and National Assembly, the Internet provided a real-time forum for candidates to launch proposals, solicit votes, discuss issues, and increase the scope of their publicity campaigns.", "title": "Internet" }, { "paragraph_id": 5, "text": "Broadband (commonly used in urban zones) and satellite connections (often used in rural areas) are increasingly popular, eclipsing dial-up plans. According to industry estimates, between 33 and 66 percent of Internet users have broadband speeds between 2 and 3Mbit/s, at a cost of $20 to $25 per month. In May 2012, the Superintendent of Telecommunications indicated that the overall average speed of an Internet connection in Ecuador is 128kbit/s, although speeds are lower in rural areas.", "title": "Internet" }, { "paragraph_id": 6, "text": "There is no widespread blocking or filtering of websites in Ecuador and access to blogs and social media platforms such as Facebook, Twitter, and YouTube is generally free and open. Diverse sources of national and international information are available via the Internet. Anonymous communication, encrypted communications, and the use of security tools is not prohibited.", "title": "Internet" }, { "paragraph_id": 7, "text": "There were no government restrictions on access to the Internet or credible reports that the government monitored e-mail or Internet chat rooms. However, on 11 July 2012 the government passed a new telecommunications regulation, requiring that Internet service providers fulfill all information requests from the superintendent of telecommunications, allowing access to client addresses and information without a judicial order.", "title": "Internet" }, { "paragraph_id": 8, "text": "Standard defamation laws apply to content posted online. Attempts to censor statements made in times of heightened political sensitivity have been reported, as have alleged instances of censorship via the overly broad application of copyright to content critical of the government. Lawsuits have been filed against digital news sites for comments critical of the government. To use the services provided by cybercafes, the national secretary of telecommunications, SENATEL, requires that users register with the following information: full name, phone number, passport number, voting certificate number, email address, and home address.", "title": "Internet" }, { "paragraph_id": 9, "text": "Self-censorship of comments critical of the government is encouraged. In January 2013, for example, President Correa called for the National Secretary of Intelligence (SENAIN) to investigate two Twitter users who had published disparaging comments about him, an announcement which sent a warning to others not to post comments critical of the president. After receiving criticism from the government, news site La Hora indefinitely suspended the reader comments section on its website. At the president's request, the comments section was shut down completely. Print and digital news outlet El Comercio faced similar pressure related to its readers' comments and the comments section was ultimately disabled after President Correa sent a letter of complaint. While there are no official constraints on organizing protests over the Internet, warnings from the president stating that the act of protesting will be interpreted as \"an attempt to destabilize the government\" have undoubtedly discouraged some from organizing and participating in protests.", "title": "Internet" }, { "paragraph_id": 10, "text": "Ecuador's new \"Organic Law on Communications\" was passed in June 2013. The law recognizes a right to communication. Media companies are required to collect and store user information. \"Media lynching\", which appears to extend to any accusation of corruption or investigation of a public official—even those that are supported with evidence, is prohibited. Websites bear \"ultimate responsibility\" for all content they host, including content authored by third parties. The law creates a new media regulator to prohibit the dissemination of \"unbalanced\" information and bans non-degreed journalists from publishing, effectively outlawing much investigative reporting and citizen journalism. Human rights organizations fear that the new law will stifle critical voices in the media, due to its vague wording, arbitrary sanctions, and the threat of civil and criminal penalties.", "title": "Internet" } ]
Telecommunications in Ecuador include telephone, radio, television, and the Internet. Ecuador's state regulatory agency is the National Telecommunications Council (CONATEL), which is part of the Telecommunications Ministry (MINTEL).
2023-01-05T15:12:14Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Ecuador
9,341
Transport in Ecuador
Transportation in Ecuador is the transport infrastructure networks in Ecuador and those connecting the country with other countries. Transportation in Ecuador include aviation, highways, pipelines, ports and harbors, railways and waterways. Apart from transporting passengers, the country is a relatively small exporter of fruits and vegetables such as banana, papayas and pineapples. 359 (2006 est.) 2 (2010) The Sierra Region still plays an important role in transportation throughout the country. The Pan-American Highway crosses it from north to south. Ecuador has managed to update some roads into four-lane freeways: Total: 812 km (single track) Narrow gauge: 812 km of 3 ft 6 in (1,067 mm) gauge. All services ceased in 2020. There is a proposed rail connection with Colombia. On 5 July 2008, a meeting took place between Venezuela, Colombia and Ecuador regarding a railway for freight and passengers to link the three countries, and linking the Pacific with the Atlantic also. There is no railway service to Peru. In 2020, the Cuenca Tramway (Tranvía Cuenca), the first modern rail transit line in Ecuador, opened for service. The Quito Metro iniciated its commercial operations on 1 December 2023. 1,500 kilometres (930 mi) This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "Transportation in Ecuador is the transport infrastructure networks in Ecuador and those connecting the country with other countries. Transportation in Ecuador include aviation, highways, pipelines, ports and harbors, railways and waterways. Apart from transporting passengers, the country is a relatively small exporter of fruits and vegetables such as banana, papayas and pineapples.", "title": "" }, { "paragraph_id": 1, "text": "359 (2006 est.)", "title": "Aviation" }, { "paragraph_id": 2, "text": "2 (2010)", "title": "Aviation" }, { "paragraph_id": 3, "text": "The Sierra Region still plays an important role in transportation throughout the country. The Pan-American Highway crosses it from north to south. Ecuador has managed to update some roads into four-lane freeways:", "title": "Highways" }, { "paragraph_id": 4, "text": "Total: 812 km (single track) Narrow gauge: 812 km of 3 ft 6 in (1,067 mm) gauge.", "title": "Railways" }, { "paragraph_id": 5, "text": "All services ceased in 2020.", "title": "Railways" }, { "paragraph_id": 6, "text": "There is a proposed rail connection with Colombia. On 5 July 2008, a meeting took place between Venezuela, Colombia and Ecuador regarding a railway for freight and passengers to link the three countries, and linking the Pacific with the Atlantic also. There is no railway service to Peru.", "title": "Railways" }, { "paragraph_id": 7, "text": "In 2020, the Cuenca Tramway (Tranvía Cuenca), the first modern rail transit line in Ecuador, opened for service.", "title": "Railways" }, { "paragraph_id": 8, "text": "The Quito Metro iniciated its commercial operations on 1 December 2023.", "title": "Railways" }, { "paragraph_id": 9, "text": "1,500 kilometres (930 mi)", "title": "Waterways" }, { "paragraph_id": 10, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "References" } ]
Transportation in Ecuador is the transport infrastructure networks in Ecuador and those connecting the country with other countries. Transportation in Ecuador include aviation, highways, pipelines, ports and harbors, railways and waterways. Apart from transporting passengers, the country is a relatively small exporter of fruits and vegetables such as banana, papayas and pineapples.
2001-04-29T05:05:44Z
2023-12-20T10:09:41Z
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https://en.wikipedia.org/wiki/Transport_in_Ecuador
9,342
Armed Forces of Ecuador
The Ecuadorian Armed Forces (Spanish: Fuerzas Armadas del Ecuador) is the national military force of Ecuador. The commander-in-chief is the President of Ecuador. The military is generally under civilian control, specifically the Ministry of National Defence. The Ecuadorian military of Ecuador has been involved in border disputes with Peru (Ecuadorian–Peruvian War (1857–1860), Ecuadorian–Peruvian War, Paquisha War, Cenepa War), and has provided military observers and troops to the United Nations since 1948. The armed forces are part of the public forces and have the stated mission of the preservation of the integrity and national sovereignty of the national territory. It also involves participation in the social and economic development of the country and the provision of assistance in the maintenance of internal order. Tasks include fighting organised crime, anti-narcotic operations and illegal immigration. One social development programme applies the provision of teachers for rural schools through an accord with the Ministry of Education. Environmental protection is also a priority, several programmes were implemented: National Forestation and Ornamentation, Lonely Tree, Green Surveillance, Fire Plan, Ecuador Forest, and Arenillas Military Reserve. The Ecuadorian territory is divided into five Joint Task Force Zones or Fuerzas de Tarea Conjunta, four on mainland Ecuador, the fifth being the Naval Zone (including the Galápagos Islands). Overseas territories include also the Pedro Vicente Maldonado Naval Biological Research Station in the Antarctic. Ecuador shares a 1,420 km (882 mi) border with Peru. Although marked by many conflicts, relations have improved since the signing of a renewed Peace Treaty in 1998. However, along the 590 km (367 mi)-long border with its neighbour Colombia, relations have been strained mainly due to a cross-border raid by Colombian forces on FARC guerrillas. The Armed Forces had logistical shortcomings and were caught off-guard. Their radar did not work, aviation was virtually non-existent, and communications were not fully operational. A diplomatic crisis followed in 2008 which some attribute partially to the need for better equipment as well as a new national defence doctrine. The new administration at the Defence Ministry launched a deep restructuring program under the name of PATRIA I. It involves the modernisation of military equipment, improvement of planning, and operations within the Ecuadorian territory. PATRIA I was planned to be completed by 2011. In 2009, the spending budget was increased by 25% and totaled $920 million. Ecuador's military history dates far back to its first attempt to secure freedom from Spain in 1811. In 1822 Ecuadorian troops, alongside other rebel forces, scored a decisive victory over the Spanish royalist army at the Battle of Pichincha. Although assisted by Peruvian troops, it would fight these only a few years later in 1828, as a member of the Confederation of Gran Colombia. The troops of Gran Colombia (Less than half of its troops were Ecuadorians), is defeated in the Battle of Punta Malpelo and the combat of crosses, where the Peruvian navy blocks Guayaquil. Then the great Colombians in the land field defeat a division of Peruvian outpost, in the battle of Tarqui. This battle does not define war after the signing of the Giron agreement where it is indicated that it remains in a status quo before bellum. Eventually, Civil War would plunge the country and the army into disorder. In 1941 the Ecuadorian Military found itself weak and disorganized; the by now long-lasting territorial dispute with Peru escalated into a major conflict, the Ecuadorian–Peruvian War of 1941. A much larger and better equipped Peruvian force quickly overwhelmed the Ecuadorian forces, driving them back and invading the Ecuadorian territory. Ecuador had no choice but to accept Peru's territorial claims and signed Peace treaty in 1942. However, the treaty of 1942 failed to settle the border dispute and occasional clashes occurred in a then still non-demarcated border area between the nations. These clashes flared into another outbreak of serious fighting in January 1981 called the Paquisha War where Ecuadorian troops infiltrated into Peruvian territory are expelled by the Peruvian army; similar incidents occurred in 1983 and again in 1984. The last military conflict with Peru occurred in 1995, during the Cenepa War, in which both sides claimed to be fighting inside their own territory until the signing of a ceasefire and the eventual separation of forces. The longest-running source of armed international conflict in the Western Hemisphere had ended. The Ecuadorian Armed Forces has provided military observers and troops to the United Nations since 1948. In November 2003, an Ecuadorian United Nations Training Centre was established under the name of: (La Unidad Escuela de Misiones de Paz "Ecuador"). In 2009, Ecuador was deploying over 90 peacekeepers around the globe. The armed forces of Ecuador are under the authority of the President of the Republic through the Ministry of Defence, coordinated by the Joint Command of the Armed Forces. The command is in charge of the administration and coordination of the three military branches. The objectives of the command are to integrate the military branches with joint capabilities and interoperability, to address changes and new scenarios, which guarantee the peace, security, and well-being of the nation. Through military strategic guidelines and guidelines, in the innovation, updating, development and implementation of the generation of military technology, through strategic study in the development of military capabilities, verification of the optimal installed military capacity, implementation of military technological development, in order to promote military operational growth to be the effective and efficient decisive force. The Ecuadorian Army (Ejército Ecuatoriano) is the land component of the Armed Forces. Its 25,650 soldiers are deployed in relation to its military doctrine. The contemporary Ecuadorian Army has a large component of jungle and special forces infantry units implemented within its structure. It operates around 236 tanks, 780 IFVs and 68 aircraft; their standard rifle is the Heckler & Koch HK33. Recently acquired material include: The present day Ecuadorian Air Force (Fuerza Aérea Ecuatoriana) saw combat action several times in 1981 and 1995 when it gained valuable experiences against the Peruvian Air Force. The FAE has a personnel strength of 6,200 and focuses mainly on border control but also focuses on the war on drugs, guerrilla insurgencies, and humanitarian missions. Since 2009 the FAE has been undergoing major changes and modernisation plans are ongoing whilst new projects are considered to bolster the country's defence capacities. Recent and ongoing orders include: The present-day Ecuadorian Navy or (Armada del Ecuador) is a compact, efficient, and well-balanced force. However, limited funds hinder any major acquisitions and the chances of maintaining a strong force within the Pacific Ocean. Since the end of 2009, the Navy's structure became simplified. The Ecuadorian Naval Zone became one and measures, 2,237 km (1,390 mi) of the Pacific Coast and 6,720 km (2,590 sq mi) of the Pacific Ocean, (including the Galápagos Islands). Most sea-going assets are based at Guayaquil. The Navy focuses mainly on border control and illegal immigration. The Navy operates around 20 major vessels (including two submarines) and 25 aircraft. It has a personnel strength of 9,400. To increase its operational capabilities it recently acquired: It is a body responsible for the planning and execution of actions related to cyberdefense in networks and information and telecommunications systems or others that it may have entrusted to, as well as contributing to the appropriate response in cyberspace to threats or aggressions that may affect National Defense, guaranteeing and providing security to strategic entities that are managed by computer systems. He is prepared to counter cyberattacks, cyberwarfare and espionage to "critical entities" that could be attacked "from anywhere in the world." The training of army, navy and air force officers is the function of the Eloy Alfaro Military Higher School, the Rafael Morán Valverde Naval Higher School and the Cosme Rennella Barbatto Military Higher School, respectively. Historically, Ecuador depended on a wide variety of foreign suppliers for virtually all of its equipment needs. Only in the 1980s did it begin to develop a modest domestic arms industry as the Directorate of Army Industries manufactured rifle ammunition, uniforms, boots, and other items. In the 1960s and 1970s, France became a leading supplier and delivered AMX-13 tanks and various aircraft. Ecuador also purchased Type 209 submarines and Lürssen-Seawolf TNC 45 patrol boats from West Germany. Various types of infantry weapons were acquired from Belgium. Ecuador became a substantial customer for Israeli arms in the 1970s, purchasing Arava aircraft, Gabriel missiles for naval patrol craft, and Uzi submachine guns. Under technical assistance contracts, Israel serviced Israeli planes in the Ecuadorian Air Force inventory as well as Boeing civilian aircraft flown by TAME and Ecuatoriana Airlines. Ecuador also reportedly employed Israeli security specialists as consultants in the fight against terrorism. In 1976 Ecuador became the first foreign country to order the Kfir, an advanced jet fighter equipped with the General Electric J-79 engine produced in Israel under license. The transaction, which required United States government approval because of the engine technology, was rejected by the administration of President Jimmy Carter in order to discourage the proliferation of sophisticated military equipment in the Third World. The action caused an uproar in Israel where the sale was regarded as an important breakthrough in Israel's efforts to develop international markets for the Kfir. In 1981, after the inauguration of President Ronald Reagan, Washington removed its objection to the sale. Although the contract called for the purchase of 12 Kfirs and an option to purchase an additional 12, Ecuador acquired only the original group, at a price estimated at US$196 million. Ecuador became a relatively heavy importer of arms in the late 1970s and early 1980s, averaging US$150 million annually and reaching a peak of US$280 million in 1982. These imports declined sharply to an average of US$50 million annually between 1985 and 1987, presumably as a result of a dramatic reduction in oil revenues and the precipitous drop in the value of the sucre, which made imported arms extremely expensive. Between 1983 and 1987, Ecuador imported an estimated US$460 million of arms, primarily from Italy, France, the United States, and Britain. In 1995, during the Cenepa War against Peru, Argentina gave to Ecuador 6,500 tons of rifles, cannons, anti-tank rockets, and ammunition in a controversial move. Recent times saw changes in Ecuador's foreign policy, as it decided to look for alternative weapon suppliers. These included its long-term allies Chile, which since 2008 has provided Leopard 1 tanks and Leander-class frigates. Israel delivered its unmanned aerial vehicles in 2009, and Brazil supplied additional military vehicles and Super Tucano combat aircraft. Countries like Russia and China have delivered small quantities of military equipment in the past, but have gained importance in recent years. Since then, Chinese radars, anti-aircraft systems, and infantry weapons have been purchased. In 2009 two additional Mil Mi-17 helicopters have been ordered from Russia with further deals planned. India has delivered HAL Dhruv helicopters and South Africa is about to deliver 12 Atlas Cheetah supersonic aircraft. Ecuador's political ally, Venezuela, has donated military equipment including six Mirage 50 aircraft. In 2010, the U.S. embassy in Ecuador announced that it had delivered $1.2 million of donated military equipment to the Ecuadorian military. The donations were intended to support operations countering drug smuggling and guerilla activity along the Colombian border. Although the U.S. has refused to renew their lease on the Manta military airbase, deliveries included trucks, patrol boats, GPS, night vision, and M4 carbine rifles.
[ { "paragraph_id": 0, "text": "The Ecuadorian Armed Forces (Spanish: Fuerzas Armadas del Ecuador) is the national military force of Ecuador. The commander-in-chief is the President of Ecuador. The military is generally under civilian control, specifically the Ministry of National Defence. The Ecuadorian military of Ecuador has been involved in border disputes with Peru (Ecuadorian–Peruvian War (1857–1860), Ecuadorian–Peruvian War, Paquisha War, Cenepa War), and has provided military observers and troops to the United Nations since 1948.", "title": "" }, { "paragraph_id": 1, "text": "The armed forces are part of the public forces and have the stated mission of the preservation of the integrity and national sovereignty of the national territory. It also involves participation in the social and economic development of the country and the provision of assistance in the maintenance of internal order. Tasks include fighting organised crime, anti-narcotic operations and illegal immigration. One social development programme applies the provision of teachers for rural schools through an accord with the Ministry of Education. Environmental protection is also a priority, several programmes were implemented: National Forestation and Ornamentation, Lonely Tree, Green Surveillance, Fire Plan, Ecuador Forest, and Arenillas Military Reserve. The Ecuadorian territory is divided into five Joint Task Force Zones or Fuerzas de Tarea Conjunta, four on mainland Ecuador, the fifth being the Naval Zone (including the Galápagos Islands). Overseas territories include also the Pedro Vicente Maldonado Naval Biological Research Station in the Antarctic.", "title": "Mission" }, { "paragraph_id": 2, "text": "Ecuador shares a 1,420 km (882 mi) border with Peru. Although marked by many conflicts, relations have improved since the signing of a renewed Peace Treaty in 1998. However, along the 590 km (367 mi)-long border with its neighbour Colombia, relations have been strained mainly due to a cross-border raid by Colombian forces on FARC guerrillas. The Armed Forces had logistical shortcomings and were caught off-guard. Their radar did not work, aviation was virtually non-existent, and communications were not fully operational. A diplomatic crisis followed in 2008 which some attribute partially to the need for better equipment as well as a new national defence doctrine.", "title": "Geopolitical situation" }, { "paragraph_id": 3, "text": "The new administration at the Defence Ministry launched a deep restructuring program under the name of PATRIA I. It involves the modernisation of military equipment, improvement of planning, and operations within the Ecuadorian territory. PATRIA I was planned to be completed by 2011. In 2009, the spending budget was increased by 25% and totaled $920 million.", "title": "Geopolitical situation" }, { "paragraph_id": 4, "text": "Ecuador's military history dates far back to its first attempt to secure freedom from Spain in 1811. In 1822 Ecuadorian troops, alongside other rebel forces, scored a decisive victory over the Spanish royalist army at the Battle of Pichincha. Although assisted by Peruvian troops, it would fight these only a few years later in 1828, as a member of the Confederation of Gran Colombia. The troops of Gran Colombia (Less than half of its troops were Ecuadorians), is defeated in the Battle of Punta Malpelo and the combat of crosses, where the Peruvian navy blocks Guayaquil. Then the great Colombians in the land field defeat a division of Peruvian outpost, in the battle of Tarqui. This battle does not define war after the signing of the Giron agreement where it is indicated that it remains in a status quo before bellum. Eventually, Civil War would plunge the country and the army into disorder. In 1941 the Ecuadorian Military found itself weak and disorganized; the by now long-lasting territorial dispute with Peru escalated into a major conflict, the Ecuadorian–Peruvian War of 1941. A much larger and better equipped Peruvian force quickly overwhelmed the Ecuadorian forces, driving them back and invading the Ecuadorian territory. Ecuador had no choice but to accept Peru's territorial claims and signed Peace treaty in 1942. However, the treaty of 1942 failed to settle the border dispute and occasional clashes occurred in a then still non-demarcated border area between the nations. These clashes flared into another outbreak of serious fighting in January 1981 called the Paquisha War where Ecuadorian troops infiltrated into Peruvian territory are expelled by the Peruvian army; similar incidents occurred in 1983 and again in 1984. The last military conflict with Peru occurred in 1995, during the Cenepa War, in which both sides claimed to be fighting inside their own territory until the signing of a ceasefire and the eventual separation of forces. The longest-running source of armed international conflict in the Western Hemisphere had ended.", "title": "History" }, { "paragraph_id": 5, "text": "The Ecuadorian Armed Forces has provided military observers and troops to the United Nations since 1948. In November 2003, an Ecuadorian United Nations Training Centre was established under the name of: (La Unidad Escuela de Misiones de Paz \"Ecuador\"). In 2009, Ecuador was deploying over 90 peacekeepers around the globe.", "title": "History" }, { "paragraph_id": 6, "text": "The armed forces of Ecuador are under the authority of the President of the Republic through the Ministry of Defence, coordinated by the Joint Command of the Armed Forces.", "title": "Organization" }, { "paragraph_id": 7, "text": "The command is in charge of the administration and coordination of the three military branches. The objectives of the command are to integrate the military branches with joint capabilities and interoperability, to address changes and new scenarios, which guarantee the peace, security, and well-being of the nation.", "title": "Branches" }, { "paragraph_id": 8, "text": "Through military strategic guidelines and guidelines, in the innovation, updating, development and implementation of the generation of military technology, through strategic study in the development of military capabilities, verification of the optimal installed military capacity, implementation of military technological development, in order to promote military operational growth to be the effective and efficient decisive force.", "title": "Branches" }, { "paragraph_id": 9, "text": "The Ecuadorian Army (Ejército Ecuatoriano) is the land component of the Armed Forces. Its 25,650 soldiers are deployed in relation to its military doctrine. The contemporary Ecuadorian Army has a large component of jungle and special forces infantry units implemented within its structure. It operates around 236 tanks, 780 IFVs and 68 aircraft; their standard rifle is the Heckler & Koch HK33. Recently acquired material include:", "title": "Branches" }, { "paragraph_id": 10, "text": "The present day Ecuadorian Air Force (Fuerza Aérea Ecuatoriana) saw combat action several times in 1981 and 1995 when it gained valuable experiences against the Peruvian Air Force. The FAE has a personnel strength of 6,200 and focuses mainly on border control but also focuses on the war on drugs, guerrilla insurgencies, and humanitarian missions. Since 2009 the FAE has been undergoing major changes and modernisation plans are ongoing whilst new projects are considered to bolster the country's defence capacities. Recent and ongoing orders include:", "title": "Branches" }, { "paragraph_id": 11, "text": "The present-day Ecuadorian Navy or (Armada del Ecuador) is a compact, efficient, and well-balanced force. However, limited funds hinder any major acquisitions and the chances of maintaining a strong force within the Pacific Ocean. Since the end of 2009, the Navy's structure became simplified. The Ecuadorian Naval Zone became one and measures, 2,237 km (1,390 mi) of the Pacific Coast and 6,720 km (2,590 sq mi) of the Pacific Ocean, (including the Galápagos Islands). Most sea-going assets are based at Guayaquil. The Navy focuses mainly on border control and illegal immigration. The Navy operates around 20 major vessels (including two submarines) and 25 aircraft. It has a personnel strength of 9,400. To increase its operational capabilities it recently acquired:", "title": "Branches" }, { "paragraph_id": 12, "text": "It is a body responsible for the planning and execution of actions related to cyberdefense in networks and information and telecommunications systems or others that it may have entrusted to, as well as contributing to the appropriate response in cyberspace to threats or aggressions that may affect National Defense, guaranteeing and providing security to strategic entities that are managed by computer systems.", "title": "Branches" }, { "paragraph_id": 13, "text": "He is prepared to counter cyberattacks, cyberwarfare and espionage to \"critical entities\" that could be attacked \"from anywhere in the world.\"", "title": "Branches" }, { "paragraph_id": 14, "text": "The training of army, navy and air force officers is the function of the Eloy Alfaro Military Higher School, the Rafael Morán Valverde Naval Higher School and the Cosme Rennella Barbatto Military Higher School, respectively.", "title": "Education" }, { "paragraph_id": 15, "text": "Historically, Ecuador depended on a wide variety of foreign suppliers for virtually all of its equipment needs. Only in the 1980s did it begin to develop a modest domestic arms industry as the Directorate of Army Industries manufactured rifle ammunition, uniforms, boots, and other items.", "title": "Equipment sources" }, { "paragraph_id": 16, "text": "In the 1960s and 1970s, France became a leading supplier and delivered AMX-13 tanks and various aircraft. Ecuador also purchased Type 209 submarines and Lürssen-Seawolf TNC 45 patrol boats from West Germany. Various types of infantry weapons were acquired from Belgium.", "title": "Equipment sources" }, { "paragraph_id": 17, "text": "Ecuador became a substantial customer for Israeli arms in the 1970s, purchasing Arava aircraft, Gabriel missiles for naval patrol craft, and Uzi submachine guns. Under technical assistance contracts, Israel serviced Israeli planes in the Ecuadorian Air Force inventory as well as Boeing civilian aircraft flown by TAME and Ecuatoriana Airlines. Ecuador also reportedly employed Israeli security specialists as consultants in the fight against terrorism. In 1976 Ecuador became the first foreign country to order the Kfir, an advanced jet fighter equipped with the General Electric J-79 engine produced in Israel under license. The transaction, which required United States government approval because of the engine technology, was rejected by the administration of President Jimmy Carter in order to discourage the proliferation of sophisticated military equipment in the Third World. The action caused an uproar in Israel where the sale was regarded as an important breakthrough in Israel's efforts to develop international markets for the Kfir. In 1981, after the inauguration of President Ronald Reagan, Washington removed its objection to the sale. Although the contract called for the purchase of 12 Kfirs and an option to purchase an additional 12, Ecuador acquired only the original group, at a price estimated at US$196 million.", "title": "Equipment sources" }, { "paragraph_id": 18, "text": "Ecuador became a relatively heavy importer of arms in the late 1970s and early 1980s, averaging US$150 million annually and reaching a peak of US$280 million in 1982. These imports declined sharply to an average of US$50 million annually between 1985 and 1987, presumably as a result of a dramatic reduction in oil revenues and the precipitous drop in the value of the sucre, which made imported arms extremely expensive. Between 1983 and 1987, Ecuador imported an estimated US$460 million of arms, primarily from Italy, France, the United States, and Britain. In 1995, during the Cenepa War against Peru, Argentina gave to Ecuador 6,500 tons of rifles, cannons, anti-tank rockets, and ammunition in a controversial move.", "title": "Equipment sources" }, { "paragraph_id": 19, "text": "Recent times saw changes in Ecuador's foreign policy, as it decided to look for alternative weapon suppliers. These included its long-term allies Chile, which since 2008 has provided Leopard 1 tanks and Leander-class frigates. Israel delivered its unmanned aerial vehicles in 2009, and Brazil supplied additional military vehicles and Super Tucano combat aircraft. Countries like Russia and China have delivered small quantities of military equipment in the past, but have gained importance in recent years. Since then, Chinese radars, anti-aircraft systems, and infantry weapons have been purchased. In 2009 two additional Mil Mi-17 helicopters have been ordered from Russia with further deals planned. India has delivered HAL Dhruv helicopters and South Africa is about to deliver 12 Atlas Cheetah supersonic aircraft. Ecuador's political ally, Venezuela, has donated military equipment including six Mirage 50 aircraft.", "title": "Equipment sources" }, { "paragraph_id": 20, "text": "In 2010, the U.S. embassy in Ecuador announced that it had delivered $1.2 million of donated military equipment to the Ecuadorian military. The donations were intended to support operations countering drug smuggling and guerilla activity along the Colombian border. Although the U.S. has refused to renew their lease on the Manta military airbase, deliveries included trucks, patrol boats, GPS, night vision, and M4 carbine rifles.", "title": "Equipment sources" } ]
The Ecuadorian Armed Forces is the national military force of Ecuador. The commander-in-chief is the President of Ecuador. The military is generally under civilian control, specifically the Ministry of National Defence. The Ecuadorian military of Ecuador has been involved in border disputes with Peru, and has provided military observers and troops to the United Nations since 1948.
2002-02-25T15:43:11Z
2023-12-31T00:56:35Z
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https://en.wikipedia.org/wiki/Armed_Forces_of_Ecuador
9,343
Foreign relations of Ecuador
This article describes the diplomatic affairs, foreign policy and international relations of Ecuador Ecuador is a founding member of the UN and a member of many of its specialized agencies; it is also a member of the Organization of American States (OAS), as well as many regional groups, including the Rio Group, the Latin American Economic System, the Latin American Energy Organization, the Latin American Integration Association, and the Andean Pact. Ecuador's principal foreign-policy objectives have traditionally included defense of its territory from both external aggression and internal subversion as well as support for the objectives of the UN and the OAS. Although Ecuador's foreign relations were traditionally centered on the United States, Ecuador's membership in the Organization of Petroleum Exporting Countries (OPEC) in the 1970s and 1980s allowed Ecuadorian leaders to exercise somewhat greater foreign policy autonomy. Ecuador's foreign policy goals under the Borja government in the late 1980s were more diversified than those of the Febres Cordero administration, which closely identified with the United States. For example, Ecuador was more active in its relations with the Third World, multilateral organizations, Western Europe, and socialist countries. Ecuador has offered humanitarianian aid to many countries, is a supporter of the United Nations, and currently contributes troops to the UN mission in Haiti. Ecuador has also been an elective member of the UN Security Council. In Antarctica, Ecuador has maintained a peaceful research station for scientific study in the British-claimed territory and is a member nation of the Antarctica Treaty. The presidency of Rafael Correa in the early 21st century saw a radical change in the country's foreign policy. Traditional ties with the United States grew more acrimonious and there were increased ties with the governments of Russia and Iran. The relations with the United States, however, improved significantly during the presidency of his successor Lenin Moreno since 2017. List of countries which Ecuador maintains diplomatic relations with: Dates are not known for Cameroon, Chad, Guinea, Kenya, Lesotho, Madagascar, Malawi, Niger, Saint Kitts and Nevis, the State of Palestine, Syria, Trinidad and Tobago, and Uganda
[ { "paragraph_id": 0, "text": "This article describes the diplomatic affairs, foreign policy and international relations of Ecuador", "title": "" }, { "paragraph_id": 1, "text": "Ecuador is a founding member of the UN and a member of many of its specialized agencies; it is also a member of the Organization of American States (OAS), as well as many regional groups, including the Rio Group, the Latin American Economic System, the Latin American Energy Organization, the Latin American Integration Association, and the Andean Pact.", "title": "" }, { "paragraph_id": 2, "text": "Ecuador's principal foreign-policy objectives have traditionally included defense of its territory from both external aggression and internal subversion as well as support for the objectives of the UN and the OAS. Although Ecuador's foreign relations were traditionally centered on the United States, Ecuador's membership in the Organization of Petroleum Exporting Countries (OPEC) in the 1970s and 1980s allowed Ecuadorian leaders to exercise somewhat greater foreign policy autonomy. Ecuador's foreign policy goals under the Borja government in the late 1980s were more diversified than those of the Febres Cordero administration, which closely identified with the United States. For example, Ecuador was more active in its relations with the Third World, multilateral organizations, Western Europe, and socialist countries.", "title": "" }, { "paragraph_id": 3, "text": "Ecuador has offered humanitarianian aid to many countries, is a supporter of the United Nations, and currently contributes troops to the UN mission in Haiti. Ecuador has also been an elective member of the UN Security Council.", "title": "" }, { "paragraph_id": 4, "text": "In Antarctica, Ecuador has maintained a peaceful research station for scientific study in the British-claimed territory and is a member nation of the Antarctica Treaty.", "title": "" }, { "paragraph_id": 5, "text": "The presidency of Rafael Correa in the early 21st century saw a radical change in the country's foreign policy. Traditional ties with the United States grew more acrimonious and there were increased ties with the governments of Russia and Iran. The relations with the United States, however, improved significantly during the presidency of his successor Lenin Moreno since 2017.", "title": "Domestic politics" }, { "paragraph_id": 6, "text": "List of countries which Ecuador maintains diplomatic relations with: Dates are not known for Cameroon, Chad, Guinea, Kenya, Lesotho, Madagascar, Malawi, Niger, Saint Kitts and Nevis, the State of Palestine, Syria, Trinidad and Tobago, and Uganda", "title": "Domestic politics" } ]
This article describes the diplomatic affairs, foreign policy and international relations of Ecuador Ecuador is a founding member of the UN and a member of many of its specialized agencies; it is also a member of the Organization of American States (OAS), as well as many regional groups, including the Rio Group, the Latin American Economic System, the Latin American Energy Organization, the Latin American Integration Association, and the Andean Pact. Ecuador's principal foreign-policy objectives have traditionally included defense of its territory from both external aggression and internal subversion as well as support for the objectives of the UN and the OAS. Although Ecuador's foreign relations were traditionally centered on the United States, Ecuador's membership in the Organization of Petroleum Exporting Countries (OPEC) in the 1970s and 1980s allowed Ecuadorian leaders to exercise somewhat greater foreign policy autonomy. Ecuador's foreign policy goals under the Borja government in the late 1980s were more diversified than those of the Febres Cordero administration, which closely identified with the United States. For example, Ecuador was more active in its relations with the Third World, multilateral organizations, Western Europe, and socialist countries. Ecuador has offered humanitarianian aid to many countries, is a supporter of the United Nations, and currently contributes troops to the UN mission in Haiti. Ecuador has also been an elective member of the UN Security Council. In Antarctica, Ecuador has maintained a peaceful research station for scientific study in the British-claimed territory and is a member nation of the Antarctica Treaty.
2001-04-29T05:06:22Z
2023-12-12T05:38:45Z
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https://en.wikipedia.org/wiki/Foreign_relations_of_Ecuador
9,348
Geography of Egypt
27°00′N 30°00′E / 27.000°N 30.000°E / 27.000; 30.000 The geography of Egypt relates to two regions: North Africa and West Asia. Egypt has coastlines on the Mediterranean Sea, the River Nile, and the Red Sea. Egypt borders Libya to the west, Palestine to the northeast, Israel to the east and Sudan to the south. Egypt has an area of 1,002,450 km (387,050 sq mi) which makes it the 29th largest country in the world. The longest straight-line distance in Egypt from north to south is 1,420 km (880 mi), while that from east to west measures 1,275 km (792 mi). Egypt has more than 2,900 km (1,800 mi) of coastline on the Mediterranean Sea, the Gulf of Suez, and the Gulf of Aqaba. It has an Exclusive Economic Zone of 263,451 km (101,719 sq mi). Egypt is divided into 28 governorates, which include two city-governortes: Alexandria (Alexandria Governorate) and Cairo (Cairo Governorate). There are nine governorates of Lower Egypt in the Nile Delta region, ten of Upper Egypt along the Nile river south from Cairo to Aswan and five frontier governorates covering Sinai and the deserts that lie west and east of the Nile river. Egypt is predominantly desert. 35,000 km – 3.5% – of the total land area is cultivated and permanently settled. Most of the country lies within the wide band of desert that stretches eastwards from Africa's Atlantic Coast across the continent and into southwest Asia. Egypt's geological history has produced four major physical regions: Despite covering only about 5% of the total area of Egypt; the Nile Valley and Nile Delta are the most important regions, being the country's only cultivable regions and supporting about 99% of the population. The Nile valley extends approximately 800 km from Aswan to the outskirts of Cairo. The Nile Valley is known as Upper Egypt, while the Nile Delta region is known as Lower Egypt. Steep rocky cliffs rise along the banks of the Nile in some stretches, while other areas along the Nile are flat, with space for agricultural production. In the past, flooding of the Nile during the summer provided silt and water to make agriculture possible on land that is otherwise very dry. Since the construction of the Aswan Dam, agriculture in the Nile valley depends on irrigation. The Nile delta consists of flat, low-lying areas. Some parts of the delta are marshy and water-logged, and thus not suitable for agriculture. Other areas of the delta are used for agriculture. The Nile Valley and Delta, the most extensive oasis on earth, was created by the world's longest river and its seemingly inexhaustible sources. Without the topographic channel that permits the Nile to flow across the Sahara, Egypt would be entirely desert. The length within Egypt of the River Nile in its northwards course from three central African sources – the White Nile, the Blue Nile, and the Atbara – totals some 1,600 km. The White Nile, which begins at Lake Victoria in Uganda, supplies about 28% of the Nile's Egyptian waters. In its course from Lake Victoria to Juba in South Sudan, the White Nile's channel drops more than 600 m. In its 1,600-km course from Juba to Khartoum, Sudan's capital, the river descends just 75 m. In South Sudan, the White Nile passes through the Sudd, a wide, flat plain covered with swamp vegetation and slows almost to the point of stagnation. The Blue Nile, which originates at Lake Tana in Ethiopia, provides on average some 58% of the Nile's Egyptian waters. This river has a steeper gradient and therefore flows more swiftly than the White Nile, which it joins at Khartoum. Unlike the White Nile, the Blue Nile carries a considerable amount of sediment. For several kilometers north of Khartoum, water closer to the eastern bank of the river, coming from the Blue Nile, is visibly muddy, while that closer to the western bank, and coming from the White Nile, is clearer. The much shorter Atbarah River, which also originates in Ethiopia, joins the main Nile north of Khartoum between the fifth and sixth cataracts (areas of steep rapids) and provides about 14% of the Nile's waters in Egypt. During the low-water season, which runs from January to June, the Atbarah shrinks to a number of pools. But, in late summer, when torrential rains fall on the Ethiopian Highlands, the Atbarah provides 22% of the Nile's flow. The Blue Nile has a similar pattern. It contributes 17% of the Nile's waters in the low-water season and 68% during the high-water season. In contrast, the White Nile provides only 10% of the Nile's waters during the high-water season but contributes more than 80% during the low-water period. Thus, before the Aswan High Dam was completed in 1971, the White Nile watered the Egyptian stretch of the river throughout the year, whereas the Blue Nile, carrying seasonal rain from Ethiopia, caused the Nile to overflow its banks and deposit a layer of fertile mud over adjacent fields. The great flood of the main Nile usually occurred in Egypt during August, September, and October, but it sometimes began as early as June at Aswan and often did not completely wane until January. The Nile enters Egypt a few kilometers north of Wadi Halfa, a Sudanese town that was completely rebuilt on high ground when its original site was submerged in the reservoir created by the Aswan High Dam. As a result of the dam's construction, the Nile actually begins its flow into Egypt as Lake Nasser, which extends southwards from the dam for 320 km to the border and for an additional 158 km within Sudan. Lake Nasser's waters fill the area through Lower Nubia (Upper Egypt and northern Sudan) within the narrow canyon between the cliffs of sandstone and granite created by the flow of the river over many centuries. Below Aswan, the cultivated floodplain strip widens to as much as twenty km. North of Isna (160 km north of Aswan), the plateau on both sides of the valley rises to as much as 550 m above sea level; at Qina (some 90 km north of Isna) the 300-m limestone cliffs force the Nile to change course towards the southwest for about 60 km before it turns northwest for about 160 km to Asyut. Northward from Asyut, the escarpments on both sides diminish, and the valley widens to a maximum of 22 km. At Cairo, the Nile spreads out over what was once a broad estuary, subsequently filled by silt deposits to form what is now a fertile, fan-shaped delta some 250 km wide at its seaward extremity and extending about 160 km from north to south. The Nile Delta covers approximately 22,000 km (roughly equivalent in area to that of Massachusetts). According to historical accounts from the first century AD, seven branches of the Nile once ran through the delta. According to later accounts, the Nile had, by around the twelfth century, just six branches. Since then, nature and man have closed all but two main outlets: the east branch, Damietta (also known as Dumyat; 240 km long), and the west branch, Rosetta (235 km long). Both outlets are named after the ports located at their respective mouths. A network of drainage and irrigation canals supplements these remaining outlets. In the north, near the coast, the Nile delta embraces a series of salt marshes and lakes, the most notable among which are Idku, Al Burullus, and Manzilah. The fertility and productivity of the land adjacent to the Nile depend largely on the silt deposited by floodwaters. Archaeological research indicates that people once lived at a much higher elevation along the river than they do today, probably because the river was higher or the floods more severe. The timing and amount of annual flow were always unpredictable. Measurements of annual flows as low as 1.2 billion m and as high as 4.25 billion m have been recorded. For centuries Egyptians attempted to predict and take advantage of these flows and thereby moderate the severity of floods. The construction of dams on the Nile, particularly the Aswan High Dam, transformed the mighty river into a large and predictable irrigation ditch. Lake Nasser, the world's largest artificial lake, has enabled planned use of the Nile regardless of the amount of rainfall in Central Africa and East Africa. The dams have also affected the Nile Valley's fertility, which was dependent for centuries not only on the water brought to the arable land but also on the materials left by the water. Researchers have estimated that beneficial silt deposits in the valley began about 10,000 years ago. The average annual deposit of arable soil through the course of the river valley amounted to some nine metres. Analysis of the flow revealed that 10.7 million tons of solid matter passed Cairo each year. Today the Aswan High Dam obstructs most of this sediment, now retained in Lake Nasser. The reduction in annual silt deposits has contributed to rising water tables and increasing soil salinity in the Delta, the erosion of the river's banks in Upper Egypt, and the erosion of the alluvial fan along the shore of the Mediterranean Sea. The Western Desert covers an area of some 700,000 km, thereby accounting for around two-thirds of Egypt's total land area. This immense desert to the west of the Nile spans the area from the Mediterranean Sea southwards to the Sudanese border. The desert's Jilf al Kabir Plateau, at a mean altitude of some 1000 m, constitutes an exception to the uninterrupted territory of basement rocks covered by layers of horizontally bedded sediments forming a massive plain or low plateau. The Great Sand Sea lies within the desert's plain and extends from the Siwa Oasis to Jilf al Kabir. Escarpments (ridges) and deep depressions (basins) exist in several parts of the Western Desert, and no rivers or streams drain into or out of the area. The government has considered the Western Desert a frontier region and has divided it into two governorates at about the twenty-eighth parallel: Matruh to the north and New Valley (Al Wadi al Jadid) to the south. There are seven important depressions in the Western Desert, and all are considered oases except the largest, Qattara, the water of which is salty. The Qattara Depression, which includes the country's lowest point, encompasses 19,605 square kilometers (7,570 sq mi), which is similar to the size of Lake Ontario. It is largely below sea level and is 133 meters (436 ft) below sea level at the lowest. Badlands, salt marshes and salt lakes cover the sparsely inhabited Qattara Depression. Limited agricultural production, the presence of some natural resources, and permanent settlements are found in the other six depressions, all of which have fresh water provided by the Nile or by local groundwater. The Siwah Oasis, close to the Libyan border and west of Qattara, is isolated from the rest of Egypt but has sustained life since ancient times. The Siwa's cliff-hung Temple of Amun was renowned for its oracles for more than 1,000 years. Herodotus and Alexander the Great were among the many illustrious people who visited the temple in the pre-Christian era. The other major oases form a topographic chain of basins extending from the Faiyum Oasis (sometimes called the Fayyum Depression) which lies 60 kilometers (37 mi) southwest of Cairo, south to the Bahariya, Farafirah, and Dakhilah oases before reaching the country's largest oasis, Kharijah. A brackish lake, Birket Qarun, at the northern reaches of Al Fayyum Oasis, drained into the Nile in ancient times. For centuries sweet water artesian wells in the Fayyum Oasis have permitted extensive cultivation in an irrigated area that extends over 1,800 square kilometers (695 sq mi). The topographic features of the desert region east of the Nile differ from those to the west of the Nile. The Eastern Desert is relatively mountainous. The elevation rises abruptly from the Nile, and a downward-sloping plateau of sand gives way within 100 km to arid, defoliated, rocky hills running north and south between the Sudan border and the Delta. The hills reach elevations of more than 1,900 m. The region's most prominent feature is the easterly chain of rugged mountains, the Red Sea Hills, which extend from the Nile Valley eastward to the Gulf of Suez and the Red Sea. This elevated region has a natural drainage pattern that rarely functions because of insufficient rainfall. It also has a complex of irregular, sharply cut wadis that extend westward toward the Nile. The desert environment extends all the way to the Red Sea coast. The Sinai Peninsula is a triangular-shaped peninsula, about 61,100 km in area slightly smaller than Latvia (64 573 km). Similar to the desert, the peninsula contains mountains in its southern sector that are a geological extension of the Red Sea Hills, the low range along the Red Sea coast that includes Mount Catherine (Jabal Katrinah), the country's highest point, at 2,642 m above sea-level. The Red Sea may have been named after these mountains, which are red. The southern side of the peninsula has a sharp escarpment that subsides after a narrow coastal shelf that slopes into the Red Sea and the Gulf of Aqaba. The elevation of Sinai's southern rim is about 1,000 m. Moving northward, the elevation of this limestone plateau decreases. The northern third of Sinai is a flat, sandy coastal plain, which extends from the Suez Canal into the Gaza Strip and Israel. Before the Israeli military occupied Sinai during the June 1967 War (Arab-Israeli war, also known as the Six-Day War), a single Egyptian governorate administered the whole peninsula. By 1982 after all of Sinai was returned to Egypt, the central government divided the peninsula into two governorates. North Sinai has its capital at Al Arish and the South Sinai has its capital in El Tor. The abundance of life in the Sinai Peninsula may not be immediately apparent. This again has its roots in the way in which the animals of the desert have adapted to life here. Many species, mammals especially, but also reptiles and even birds such as owls, are nocturnal. They spend the daylight hours in the relative cool of burrows, under boulders or in crevices and cracks in the rock. Many of these creatures will only be apparent from their tracks and trails or from a fleeting glimpse of a diminutive gerbil, or zig-zigging hare, in the car headlights at night. Even those animals that do brave the heat of the day are normally only active in the early morning or evening. In the 1971 census, 57 percent of Egypt's population was counted as rural, including those residing in agricultural areas in the Nile Valley and Delta, as well as the much smaller number of persons living in desert areas. Rural areas differ from the urban in terms of poverty, fertility rates, and other social factors. Agriculture is a key component of the economy in rural areas, though some people are employed in the tourist industry or other non-farm occupations. In 1992, the percentage of Egypt's population employed in agriculture was 33 percent. The agricultural industry is dependent on irrigation from the Nile river. This is a list of the extreme points of Egypt, the points that are farther north, south, east or west than any other location.
[ { "paragraph_id": 0, "text": "27°00′N 30°00′E / 27.000°N 30.000°E / 27.000; 30.000 The geography of Egypt relates to two regions: North Africa and West Asia.", "title": "" }, { "paragraph_id": 1, "text": "Egypt has coastlines on the Mediterranean Sea, the River Nile, and the Red Sea. Egypt borders Libya to the west, Palestine to the northeast, Israel to the east and Sudan to the south. Egypt has an area of 1,002,450 km (387,050 sq mi) which makes it the 29th largest country in the world.", "title": "" }, { "paragraph_id": 2, "text": "The longest straight-line distance in Egypt from north to south is 1,420 km (880 mi), while that from east to west measures 1,275 km (792 mi). Egypt has more than 2,900 km (1,800 mi) of coastline on the Mediterranean Sea, the Gulf of Suez, and the Gulf of Aqaba. It has an Exclusive Economic Zone of 263,451 km (101,719 sq mi).", "title": "" }, { "paragraph_id": 3, "text": "Egypt is divided into 28 governorates, which include two city-governortes: Alexandria (Alexandria Governorate) and Cairo (Cairo Governorate). There are nine governorates of Lower Egypt in the Nile Delta region, ten of Upper Egypt along the Nile river south from Cairo to Aswan and five frontier governorates covering Sinai and the deserts that lie west and east of the Nile river.", "title": "Governorates" }, { "paragraph_id": 4, "text": "Egypt is predominantly desert. 35,000 km – 3.5% – of the total land area is cultivated and permanently settled. Most of the country lies within the wide band of desert that stretches eastwards from Africa's Atlantic Coast across the continent and into southwest Asia.", "title": "Natural regions" }, { "paragraph_id": 5, "text": "Egypt's geological history has produced four major physical regions:", "title": "Natural regions" }, { "paragraph_id": 6, "text": "Despite covering only about 5% of the total area of Egypt; the Nile Valley and Nile Delta are the most important regions, being the country's only cultivable regions and supporting about 99% of the population. The Nile valley extends approximately 800 km from Aswan to the outskirts of Cairo. The Nile Valley is known as Upper Egypt, while the Nile Delta region is known as Lower Egypt. Steep rocky cliffs rise along the banks of the Nile in some stretches, while other areas along the Nile are flat, with space for agricultural production. In the past, flooding of the Nile during the summer provided silt and water to make agriculture possible on land that is otherwise very dry. Since the construction of the Aswan Dam, agriculture in the Nile valley depends on irrigation. The Nile delta consists of flat, low-lying areas. Some parts of the delta are marshy and water-logged, and thus not suitable for agriculture. Other areas of the delta are used for agriculture.", "title": "Natural regions" }, { "paragraph_id": 7, "text": "The Nile Valley and Delta, the most extensive oasis on earth, was created by the world's longest river and its seemingly inexhaustible sources. Without the topographic channel that permits the Nile to flow across the Sahara, Egypt would be entirely desert. The length within Egypt of the River Nile in its northwards course from three central African sources – the White Nile, the Blue Nile, and the Atbara – totals some 1,600 km.", "title": "Natural regions" }, { "paragraph_id": 8, "text": "The White Nile, which begins at Lake Victoria in Uganda, supplies about 28% of the Nile's Egyptian waters. In its course from Lake Victoria to Juba in South Sudan, the White Nile's channel drops more than 600 m. In its 1,600-km course from Juba to Khartoum, Sudan's capital, the river descends just 75 m. In South Sudan, the White Nile passes through the Sudd, a wide, flat plain covered with swamp vegetation and slows almost to the point of stagnation.", "title": "Natural regions" }, { "paragraph_id": 9, "text": "The Blue Nile, which originates at Lake Tana in Ethiopia, provides on average some 58% of the Nile's Egyptian waters. This river has a steeper gradient and therefore flows more swiftly than the White Nile, which it joins at Khartoum. Unlike the White Nile, the Blue Nile carries a considerable amount of sediment. For several kilometers north of Khartoum, water closer to the eastern bank of the river, coming from the Blue Nile, is visibly muddy, while that closer to the western bank, and coming from the White Nile, is clearer.", "title": "Natural regions" }, { "paragraph_id": 10, "text": "The much shorter Atbarah River, which also originates in Ethiopia, joins the main Nile north of Khartoum between the fifth and sixth cataracts (areas of steep rapids) and provides about 14% of the Nile's waters in Egypt. During the low-water season, which runs from January to June, the Atbarah shrinks to a number of pools. But, in late summer, when torrential rains fall on the Ethiopian Highlands, the Atbarah provides 22% of the Nile's flow.", "title": "Natural regions" }, { "paragraph_id": 11, "text": "The Blue Nile has a similar pattern. It contributes 17% of the Nile's waters in the low-water season and 68% during the high-water season. In contrast, the White Nile provides only 10% of the Nile's waters during the high-water season but contributes more than 80% during the low-water period. Thus, before the Aswan High Dam was completed in 1971, the White Nile watered the Egyptian stretch of the river throughout the year, whereas the Blue Nile, carrying seasonal rain from Ethiopia, caused the Nile to overflow its banks and deposit a layer of fertile mud over adjacent fields. The great flood of the main Nile usually occurred in Egypt during August, September, and October, but it sometimes began as early as June at Aswan and often did not completely wane until January.", "title": "Natural regions" }, { "paragraph_id": 12, "text": "The Nile enters Egypt a few kilometers north of Wadi Halfa, a Sudanese town that was completely rebuilt on high ground when its original site was submerged in the reservoir created by the Aswan High Dam. As a result of the dam's construction, the Nile actually begins its flow into Egypt as Lake Nasser, which extends southwards from the dam for 320 km to the border and for an additional 158 km within Sudan. Lake Nasser's waters fill the area through Lower Nubia (Upper Egypt and northern Sudan) within the narrow canyon between the cliffs of sandstone and granite created by the flow of the river over many centuries.", "title": "Natural regions" }, { "paragraph_id": 13, "text": "Below Aswan, the cultivated floodplain strip widens to as much as twenty km. North of Isna (160 km north of Aswan), the plateau on both sides of the valley rises to as much as 550 m above sea level; at Qina (some 90 km north of Isna) the 300-m limestone cliffs force the Nile to change course towards the southwest for about 60 km before it turns northwest for about 160 km to Asyut. Northward from Asyut, the escarpments on both sides diminish, and the valley widens to a maximum of 22 km.", "title": "Natural regions" }, { "paragraph_id": 14, "text": "At Cairo, the Nile spreads out over what was once a broad estuary, subsequently filled by silt deposits to form what is now a fertile, fan-shaped delta some 250 km wide at its seaward extremity and extending about 160 km from north to south. The Nile Delta covers approximately 22,000 km (roughly equivalent in area to that of Massachusetts). According to historical accounts from the first century AD, seven branches of the Nile once ran through the delta. According to later accounts, the Nile had, by around the twelfth century, just six branches.", "title": "Natural regions" }, { "paragraph_id": 15, "text": "Since then, nature and man have closed all but two main outlets: the east branch, Damietta (also known as Dumyat; 240 km long), and the west branch, Rosetta (235 km long). Both outlets are named after the ports located at their respective mouths. A network of drainage and irrigation canals supplements these remaining outlets. In the north, near the coast, the Nile delta embraces a series of salt marshes and lakes, the most notable among which are Idku, Al Burullus, and Manzilah.", "title": "Natural regions" }, { "paragraph_id": 16, "text": "The fertility and productivity of the land adjacent to the Nile depend largely on the silt deposited by floodwaters. Archaeological research indicates that people once lived at a much higher elevation along the river than they do today, probably because the river was higher or the floods more severe. The timing and amount of annual flow were always unpredictable. Measurements of annual flows as low as 1.2 billion m and as high as 4.25 billion m have been recorded. For centuries Egyptians attempted to predict and take advantage of these flows and thereby moderate the severity of floods.", "title": "Natural regions" }, { "paragraph_id": 17, "text": "The construction of dams on the Nile, particularly the Aswan High Dam, transformed the mighty river into a large and predictable irrigation ditch. Lake Nasser, the world's largest artificial lake, has enabled planned use of the Nile regardless of the amount of rainfall in Central Africa and East Africa. The dams have also affected the Nile Valley's fertility, which was dependent for centuries not only on the water brought to the arable land but also on the materials left by the water.", "title": "Natural regions" }, { "paragraph_id": 18, "text": "Researchers have estimated that beneficial silt deposits in the valley began about 10,000 years ago. The average annual deposit of arable soil through the course of the river valley amounted to some nine metres. Analysis of the flow revealed that 10.7 million tons of solid matter passed Cairo each year.", "title": "Natural regions" }, { "paragraph_id": 19, "text": "Today the Aswan High Dam obstructs most of this sediment, now retained in Lake Nasser. The reduction in annual silt deposits has contributed to rising water tables and increasing soil salinity in the Delta, the erosion of the river's banks in Upper Egypt, and the erosion of the alluvial fan along the shore of the Mediterranean Sea.", "title": "Natural regions" }, { "paragraph_id": 20, "text": "The Western Desert covers an area of some 700,000 km, thereby accounting for around two-thirds of Egypt's total land area. This immense desert to the west of the Nile spans the area from the Mediterranean Sea southwards to the Sudanese border. The desert's Jilf al Kabir Plateau, at a mean altitude of some 1000 m, constitutes an exception to the uninterrupted territory of basement rocks covered by layers of horizontally bedded sediments forming a massive plain or low plateau. The Great Sand Sea lies within the desert's plain and extends from the Siwa Oasis to Jilf al Kabir. Escarpments (ridges) and deep depressions (basins) exist in several parts of the Western Desert, and no rivers or streams drain into or out of the area.", "title": "Natural regions" }, { "paragraph_id": 21, "text": "The government has considered the Western Desert a frontier region and has divided it into two governorates at about the twenty-eighth parallel: Matruh to the north and New Valley (Al Wadi al Jadid) to the south. There are seven important depressions in the Western Desert, and all are considered oases except the largest, Qattara, the water of which is salty. The Qattara Depression, which includes the country's lowest point, encompasses 19,605 square kilometers (7,570 sq mi), which is similar to the size of Lake Ontario. It is largely below sea level and is 133 meters (436 ft) below sea level at the lowest. Badlands, salt marshes and salt lakes cover the sparsely inhabited Qattara Depression.", "title": "Natural regions" }, { "paragraph_id": 22, "text": "Limited agricultural production, the presence of some natural resources, and permanent settlements are found in the other six depressions, all of which have fresh water provided by the Nile or by local groundwater. The Siwah Oasis, close to the Libyan border and west of Qattara, is isolated from the rest of Egypt but has sustained life since ancient times. The Siwa's cliff-hung Temple of Amun was renowned for its oracles for more than 1,000 years. Herodotus and Alexander the Great were among the many illustrious people who visited the temple in the pre-Christian era.", "title": "Natural regions" }, { "paragraph_id": 23, "text": "The other major oases form a topographic chain of basins extending from the Faiyum Oasis (sometimes called the Fayyum Depression) which lies 60 kilometers (37 mi) southwest of Cairo, south to the Bahariya, Farafirah, and Dakhilah oases before reaching the country's largest oasis, Kharijah. A brackish lake, Birket Qarun, at the northern reaches of Al Fayyum Oasis, drained into the Nile in ancient times. For centuries sweet water artesian wells in the Fayyum Oasis have permitted extensive cultivation in an irrigated area that extends over 1,800 square kilometers (695 sq mi).", "title": "Natural regions" }, { "paragraph_id": 24, "text": "The topographic features of the desert region east of the Nile differ from those to the west of the Nile. The Eastern Desert is relatively mountainous. The elevation rises abruptly from the Nile, and a downward-sloping plateau of sand gives way within 100 km to arid, defoliated, rocky hills running north and south between the Sudan border and the Delta. The hills reach elevations of more than 1,900 m.", "title": "Natural regions" }, { "paragraph_id": 25, "text": "The region's most prominent feature is the easterly chain of rugged mountains, the Red Sea Hills, which extend from the Nile Valley eastward to the Gulf of Suez and the Red Sea. This elevated region has a natural drainage pattern that rarely functions because of insufficient rainfall. It also has a complex of irregular, sharply cut wadis that extend westward toward the Nile. The desert environment extends all the way to the Red Sea coast.", "title": "Natural regions" }, { "paragraph_id": 26, "text": "The Sinai Peninsula is a triangular-shaped peninsula, about 61,100 km in area slightly smaller than Latvia (64 573 km). Similar to the desert, the peninsula contains mountains in its southern sector that are a geological extension of the Red Sea Hills, the low range along the Red Sea coast that includes Mount Catherine (Jabal Katrinah), the country's highest point, at 2,642 m above sea-level. The Red Sea may have been named after these mountains, which are red.", "title": "Natural regions" }, { "paragraph_id": 27, "text": "The southern side of the peninsula has a sharp escarpment that subsides after a narrow coastal shelf that slopes into the Red Sea and the Gulf of Aqaba. The elevation of Sinai's southern rim is about 1,000 m. Moving northward, the elevation of this limestone plateau decreases. The northern third of Sinai is a flat, sandy coastal plain, which extends from the Suez Canal into the Gaza Strip and Israel.", "title": "Natural regions" }, { "paragraph_id": 28, "text": "Before the Israeli military occupied Sinai during the June 1967 War (Arab-Israeli war, also known as the Six-Day War), a single Egyptian governorate administered the whole peninsula. By 1982 after all of Sinai was returned to Egypt, the central government divided the peninsula into two governorates. North Sinai has its capital at Al Arish and the South Sinai has its capital in El Tor.", "title": "Natural regions" }, { "paragraph_id": 29, "text": "The abundance of life in the Sinai Peninsula may not be immediately apparent. This again has its roots in the way in which the animals of the desert have adapted to life here. Many species, mammals especially, but also reptiles and even birds such as owls, are nocturnal. They spend the daylight hours in the relative cool of burrows, under boulders or in crevices and cracks in the rock. Many of these creatures will only be apparent from their tracks and trails or from a fleeting glimpse of a diminutive gerbil, or zig-zigging hare, in the car headlights at night. Even those animals that do brave the heat of the day are normally only active in the early morning or evening.", "title": "Natural regions" }, { "paragraph_id": 30, "text": "In the 1971 census, 57 percent of Egypt's population was counted as rural, including those residing in agricultural areas in the Nile Valley and Delta, as well as the much smaller number of persons living in desert areas. Rural areas differ from the urban in terms of poverty, fertility rates, and other social factors. Agriculture is a key component of the economy in rural areas, though some people are employed in the tourist industry or other non-farm occupations. In 1992, the percentage of Egypt's population employed in agriculture was 33 percent. The agricultural industry is dependent on irrigation from the Nile river.", "title": "Urban and rural areas" }, { "paragraph_id": 31, "text": "This is a list of the extreme points of Egypt, the points that are farther north, south, east or west than any other location.", "title": "Extreme points" } ]
The geography of Egypt relates to two regions: North Africa and West Asia. Egypt has coastlines on the Mediterranean Sea, the River Nile, and the Red Sea. Egypt borders Libya to the west, Palestine to the northeast, Israel to the east and Sudan to the south. Egypt has an area of 1,002,450 km2 (387,050 sq mi) which makes it the 29th largest country in the world. The longest straight-line distance in Egypt from north to south is 1,420 km (880 mi), while that from east to west measures 1,275 km (792 mi). Egypt has more than 2,900 km (1,800 mi) of coastline on the Mediterranean Sea, the Gulf of Suez, and the Gulf of Aqaba. It has an Exclusive Economic Zone of 263,451 km2 (101,719 sq mi).
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https://en.wikipedia.org/wiki/Geography_of_Egypt
9,349
Demographics of Egypt
Egypt is the most populous country in the Middle East, and the fourth-most populous on the African continent, after Nigeria, Ethiopia and Democratic Republic of the Congo. About 95% of the country's 104 million people (July 2023) live along the banks of the Nile and in the Nile Delta, which fans out north of Cairo; and along the Suez Canal. These regions are among the world's most densely populated, containing an average of over 1,540 people per km, as compared to 96 persons per km for the country as a whole. Small communities spread throughout the desert regions of Egypt are clustered around historic trade and transportation routes. The government has tried with mixed success to encourage migration to newly irrigated land reclaimed from the desert. However, the proportion of the population living in rural areas has continued to decrease as people move to the megacities in search of employment and a higher standard of living. According to the Peterson Institute for International Economics and other proponents of demographic structural approach (cliodynamics), the basic problem Egypt has is an unemployment rate driven by a demographic youth bulge: with the number of new people entering the job force at about 4% a year, unemployment in Egypt is almost 10 times as high for college graduates as it is for people who have gone through elementary school, particularly educated urban youth, who comprised most of the people that were seen out in the streets during the Egyptian revolution of 2011. An estimated 51.2% of Egyptians are under the age of 25, with just 4.3% over the age of 65, making it one of the most youthful populations in the world. Egypt has a population of 109,500,000 (2023). According to the OECD/World Bank statistics population growth in Egypt from 1990 to 2008 was 23.7 million and 41%. Data taken from Central Agency for Public Mobilization and Statistics. Percentage distribution of population in censuses by age group Population estimates by sex and age group (1 July 2010): Population estimates by sex and age group (1 July 2012): Population estimates by sex and age group (1 January 2013): Population estimates by sex and age group (1 July 2013): Population estimates by sex and age group (1 July 2014) in thousands: Household population by age and sex (DHS 2014). Total population in thousands: 114 428 (Males 56 926, Females 57 501) Population estimates by sex and age group (1 January 2015): Historical and present population distribution: Egyptians have a long history of mobility, primarily across the Arab world, but emigration became much more popular once it was recognised as a right in the 1971 Constitution. According to the International Organization for Migration, an estimated 2.7 million Egyptians live abroad and contribute actively to the development of their country through remittances (US$7.8 billion in 2009), circulation of human and social capital, as well as investment. Approximately 70% of Egyptian migrants live in Arab countries (923,600 in Saudi Arabia, 332,600 in Libya, 226,850 in Jordan, 190,550 in Kuwait with the rest elsewhere in the region) and the remaining 30% are living mostly North America (318,000 in the United States, 110,000 in Canada) and Europe (90,000 in Italy). Figures from CAPMAS: The Central Agency for Public Mobilization and Statistics (CAPMAS) had released high/medium/low population projections for 2011–2031 based on Final Results of 2006 Population Census. The 2020 high variant was 92.6 million, the medium – 91.0 million, the low – 90.0 million. The 2030 high variant is 104.4 million, the medium – 101.7 million, the low – 99.8 million. However the information could be misleading as the 2013 population figure of 84.6 million is higher than the projected high of 83 million. In fact, due to an unexpected rise in the fertility rate (from 3.0 to 3.5), the population already surpassed 91 million on 5 June 2016 while reaching 92 million on 30 November, average population age remaining stable despite a rising life expectancy. Vital statistics: Fertility rate (TFR) (wanted fertility rate) and CBR (crude birth rate): Average life expectancy at age 0 of the total population. Data taken from CAPMAS: As of 1 July 2014; data taken from CAPMAS: Information for population is in thousands, pop density – persons/km and area is in km. The CIA World Factbook lists Egyptians as 99.7%, and "other" as 0.3% (2006 census). "Other" refers to people who are not citizens of Egypt, who come to Egypt to work for international companies, diplomats, etc. The vast majority of the population of Egypt consists of Egyptians including Copts, Egyptians make up 95% of the population. The vast majority of Egyptians are native speakers of Egyptian Arabic. Minorities in Egypt include , the Berber-speaking community of the Siwa Oasis (Siwis) and the Nubian people clustered along the Nile in the southernmost part of Egypt. There are also sizable minorities of Beja and Dom. There are also refugees mainly composed of Sudanese, and the over all refugees are estimated to be around 3–5 million, those from war-zone areas like Iraq, Ethiopia, Somalia, South Sudan, and Eritrea. The country was also host to many different communities during the European occupation period, including Greeks, Italians, and also from war-torn areas; the Lebanese, Syro-Lebanese, and other minority groups like Jews, Armenians, Turks and Albanians, though most either left or were compelled to leave after political developments in the 1950s. The country still hosts some 90,000 refugees and asylum seekers, mostly Palestinians and Sudanese. Other sources give more detailed statistics, including the Beja(ca. 1 million), the Nubians (ca. 300,000 in 1996), Dom (ca. 230,000 in 1996), Berbers (Siwis) (ca. 5,000). Arabic is the official language of Egypt, with the vast majority of Egyptians speaking Egyptian Arabic. In The Upper Nile valley, Sa'idi Arabic is prevalent. The Coptic language is used in the Coptic church for the majority of prayers, hymns, masses, and meditations. English is widely understood. Siwa language is used in ethnic Berber tribal areas in the western desert (Siwa), and Nubian language is widely used among the ethnic Nubians in the southern areas. Religion in Egypt (est. 2017) According to the CIA World Factbook, approximately 87% of the population is Muslim and 10% is Christian (10% Coptic Orthodox Church, 3% other Christian). The literacy rate in modern Egyptian society is highly debated. Education is free through university and compulsory from ages six through 15, though enforcement may be lax. Rates for primary and secondary education have strengthened in recent years. The vast majority of children enter primary school though a significant number drop out. There are approx. 200,000 primary and secondary schools with some 10 million students, 13 major universities with more than 500,000 students, and 67 teacher colleges. Major universities include Cairo University (100,000 students), Ain Shams University, Alexandria University, the 1,000-year-old Al-Azhar University, one of the world's major centers of Islamic learning and the AUC (American University in Cairo), . The former first lady has created many project towards the advancement of Egyptian education and the efforts to force education to the remaining 7–9% of students who drop out illegally. Child labor is a contributing factor to these dropouts but it is considered a serious crime to work children under the legal age and charges are taken very seriously at this time. Demographic statistics according to the World Population Review in 2022. The following demographic statistics are from the CIA World Factbook, unless otherwise indicated. Muslim (predominantly Sunni) 90%, Christian (majority Coptic Orthodox, other Christians include Armenian Apostolic, Catholic, Maronite, Orthodox, and Anglican) 10% Listed here are the human Y-chromosome DNA haplogroups in Egypt.
[ { "paragraph_id": 0, "text": "Egypt is the most populous country in the Middle East, and the fourth-most populous on the African continent, after Nigeria, Ethiopia and Democratic Republic of the Congo. About 95% of the country's 104 million people (July 2023) live along the banks of the Nile and in the Nile Delta, which fans out north of Cairo; and along the Suez Canal. These regions are among the world's most densely populated, containing an average of over 1,540 people per km, as compared to 96 persons per km for the country as a whole.", "title": "" }, { "paragraph_id": 1, "text": "Small communities spread throughout the desert regions of Egypt are clustered around historic trade and transportation routes. The government has tried with mixed success to encourage migration to newly irrigated land reclaimed from the desert. However, the proportion of the population living in rural areas has continued to decrease as people move to the megacities in search of employment and a higher standard of living.", "title": "" }, { "paragraph_id": 2, "text": "According to the Peterson Institute for International Economics and other proponents of demographic structural approach (cliodynamics), the basic problem Egypt has is an unemployment rate driven by a demographic youth bulge: with the number of new people entering the job force at about 4% a year, unemployment in Egypt is almost 10 times as high for college graduates as it is for people who have gone through elementary school, particularly educated urban youth, who comprised most of the people that were seen out in the streets during the Egyptian revolution of 2011. An estimated 51.2% of Egyptians are under the age of 25, with just 4.3% over the age of 65, making it one of the most youthful populations in the world.", "title": "" }, { "paragraph_id": 3, "text": "Egypt has a population of 109,500,000 (2023). According to the OECD/World Bank statistics population growth in Egypt from 1990 to 2008 was 23.7 million and 41%.", "title": "Population" }, { "paragraph_id": 4, "text": "Data taken from Central Agency for Public Mobilization and Statistics.", "title": "Population" }, { "paragraph_id": 5, "text": "Percentage distribution of population in censuses by age group", "title": "Population" }, { "paragraph_id": 6, "text": "Population estimates by sex and age group (1 July 2010):", "title": "Population" }, { "paragraph_id": 7, "text": "Population estimates by sex and age group (1 July 2012):", "title": "Population" }, { "paragraph_id": 8, "text": "Population estimates by sex and age group (1 January 2013):", "title": "Population" }, { "paragraph_id": 9, "text": "Population estimates by sex and age group (1 July 2013):", "title": "Population" }, { "paragraph_id": 10, "text": "Population estimates by sex and age group (1 July 2014) in thousands:", "title": "Population" }, { "paragraph_id": 11, "text": "Household population by age and sex (DHS 2014).", "title": "Population" }, { "paragraph_id": 12, "text": "Total population in thousands: 114 428 (Males 56 926, Females 57 501)", "title": "Population" }, { "paragraph_id": 13, "text": "Population estimates by sex and age group (1 January 2015):", "title": "Population" }, { "paragraph_id": 14, "text": "Historical and present population distribution:", "title": "Population" }, { "paragraph_id": 15, "text": "Egyptians have a long history of mobility, primarily across the Arab world, but emigration became much more popular once it was recognised as a right in the 1971 Constitution. According to the International Organization for Migration, an estimated 2.7 million Egyptians live abroad and contribute actively to the development of their country through remittances (US$7.8 billion in 2009), circulation of human and social capital, as well as investment. Approximately 70% of Egyptian migrants live in Arab countries (923,600 in Saudi Arabia, 332,600 in Libya, 226,850 in Jordan, 190,550 in Kuwait with the rest elsewhere in the region) and the remaining 30% are living mostly North America (318,000 in the United States, 110,000 in Canada) and Europe (90,000 in Italy).", "title": "Population" }, { "paragraph_id": 16, "text": "Figures from CAPMAS:", "title": "Population" }, { "paragraph_id": 17, "text": "The Central Agency for Public Mobilization and Statistics (CAPMAS) had released high/medium/low population projections for 2011–2031 based on Final Results of 2006 Population Census. The 2020 high variant was 92.6 million, the medium – 91.0 million, the low – 90.0 million. The 2030 high variant is 104.4 million, the medium – 101.7 million, the low – 99.8 million. However the information could be misleading as the 2013 population figure of 84.6 million is higher than the projected high of 83 million. In fact, due to an unexpected rise in the fertility rate (from 3.0 to 3.5), the population already surpassed 91 million on 5 June 2016 while reaching 92 million on 30 November, average population age remaining stable despite a rising life expectancy.", "title": "Population" }, { "paragraph_id": 18, "text": "Vital statistics:", "title": "Vital statistics" }, { "paragraph_id": 19, "text": "", "title": "Vital statistics" }, { "paragraph_id": 20, "text": "Fertility rate (TFR) (wanted fertility rate) and CBR (crude birth rate):", "title": "Vital statistics" }, { "paragraph_id": 21, "text": "Average life expectancy at age 0 of the total population.", "title": "Vital statistics" }, { "paragraph_id": 22, "text": "", "title": "Demographics by Governorate" }, { "paragraph_id": 23, "text": "Data taken from CAPMAS:", "title": "Demographics by Governorate" }, { "paragraph_id": 24, "text": "As of 1 July 2014; data taken from CAPMAS: Information for population is in thousands, pop density – persons/km and area is in km.", "title": "Demographics by Governorate" }, { "paragraph_id": 25, "text": "The CIA World Factbook lists Egyptians as 99.7%, and \"other\" as 0.3% (2006 census). \"Other\" refers to people who are not citizens of Egypt, who come to Egypt to work for international companies, diplomats, etc.", "title": "Ethnic groups" }, { "paragraph_id": 26, "text": "The vast majority of the population of Egypt consists of Egyptians including Copts, Egyptians make up 95% of the population. The vast majority of Egyptians are native speakers of Egyptian Arabic.", "title": "Ethnic groups" }, { "paragraph_id": 27, "text": "Minorities in Egypt include , the Berber-speaking community of the Siwa Oasis (Siwis) and the Nubian people clustered along the Nile in the southernmost part of Egypt. There are also sizable minorities of Beja and Dom. There are also refugees mainly composed of Sudanese, and the over all refugees are estimated to be around 3–5 million, those from war-zone areas like Iraq, Ethiopia, Somalia, South Sudan, and Eritrea.", "title": "Ethnic groups" }, { "paragraph_id": 28, "text": "The country was also host to many different communities during the European occupation period, including Greeks, Italians, and also from war-torn areas; the Lebanese, Syro-Lebanese, and other minority groups like Jews, Armenians, Turks and Albanians, though most either left or were compelled to leave after political developments in the 1950s. The country still hosts some 90,000 refugees and asylum seekers, mostly Palestinians and Sudanese.", "title": "Ethnic groups" }, { "paragraph_id": 29, "text": "Other sources give more detailed statistics, including the Beja(ca. 1 million), the Nubians (ca. 300,000 in 1996), Dom (ca. 230,000 in 1996), Berbers (Siwis) (ca. 5,000).", "title": "Ethnic groups" }, { "paragraph_id": 30, "text": "Arabic is the official language of Egypt, with the vast majority of Egyptians speaking Egyptian Arabic. In The Upper Nile valley, Sa'idi Arabic is prevalent. The Coptic language is used in the Coptic church for the majority of prayers, hymns, masses, and meditations. English is widely understood. Siwa language is used in ethnic Berber tribal areas in the western desert (Siwa), and Nubian language is widely used among the ethnic Nubians in the southern areas.", "title": "Languages" }, { "paragraph_id": 31, "text": "Religion in Egypt (est. 2017)", "title": "Religions" }, { "paragraph_id": 32, "text": "According to the CIA World Factbook, approximately 87% of the population is Muslim and 10% is Christian (10% Coptic Orthodox Church, 3% other Christian).", "title": "Religions" }, { "paragraph_id": 33, "text": "", "title": "Religions" }, { "paragraph_id": 34, "text": "The literacy rate in modern Egyptian society is highly debated. Education is free through university and compulsory from ages six through 15, though enforcement may be lax. Rates for primary and secondary education have strengthened in recent years. The vast majority of children enter primary school though a significant number drop out. There are approx. 200,000 primary and secondary schools with some 10 million students, 13 major universities with more than 500,000 students, and 67 teacher colleges. Major universities include Cairo University (100,000 students), Ain Shams University, Alexandria University, the 1,000-year-old Al-Azhar University, one of the world's major centers of Islamic learning and the AUC (American University in Cairo), . The former first lady has created many project towards the advancement of Egyptian education and the efforts to force education to the remaining 7–9% of students who drop out illegally. Child labor is a contributing factor to these dropouts but it is considered a serious crime to work children under the legal age and charges are taken very seriously at this time.", "title": "Education" }, { "paragraph_id": 35, "text": "Demographic statistics according to the World Population Review in 2022.", "title": "CIA World Factbook demographic statistics" }, { "paragraph_id": 36, "text": "The following demographic statistics are from the CIA World Factbook, unless otherwise indicated.", "title": "CIA World Factbook demographic statistics" }, { "paragraph_id": 37, "text": "Muslim (predominantly Sunni) 90%, Christian (majority Coptic Orthodox, other Christians include Armenian Apostolic, Catholic, Maronite, Orthodox, and Anglican) 10%", "title": "CIA World Factbook demographic statistics" }, { "paragraph_id": 38, "text": "Listed here are the human Y-chromosome DNA haplogroups in Egypt.", "title": "Genetics" } ]
Egypt is the most populous country in the Middle East, and the fourth-most populous on the African continent, after Nigeria, Ethiopia and Democratic Republic of the Congo. About 95% of the country's 104 million people live along the banks of the Nile and in the Nile Delta, which fans out north of Cairo; and along the Suez Canal. These regions are among the world's most densely populated, containing an average of over 1,540 people per km2, as compared to 96 persons per km2 for the country as a whole. Small communities spread throughout the desert regions of Egypt are clustered around historic trade and transportation routes. The government has tried with mixed success to encourage migration to newly irrigated land reclaimed from the desert. However, the proportion of the population living in rural areas has continued to decrease as people move to the megacities in search of employment and a higher standard of living. According to the Peterson Institute for International Economics and other proponents of demographic structural approach (cliodynamics), the basic problem Egypt has is an unemployment rate driven by a demographic youth bulge: with the number of new people entering the job force at about 4% a year, unemployment in Egypt is almost 10 times as high for college graduates as it is for people who have gone through elementary school, particularly educated urban youth, who comprised most of the people that were seen out in the streets during the Egyptian revolution of 2011. An estimated 51.2% of Egyptians are under the age of 25, with just 4.3% over the age of 65, making it one of the most youthful populations in the world.
2001-04-29T05:08:56Z
2023-12-08T21:26:24Z
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https://en.wikipedia.org/wiki/Demographics_of_Egypt
9,350
Politics of Egypt
The politics of Egypt takes place within the framework of a republican semi-presidential system of government. The current political system was established following the 2013 Egyptian military coup d'état, and the takeover of President Abdel Fattah el-Sisi. In the current system, the President is elected for a six-year term. He can appoint up to 5 percent of the parliament. Furthermore, the President has the power to dissolve Parliament through Article 137. The Parliament of Egypt is the oldest legislative chamber in Africa and the Middle East. The unicameral Parliament has the ability to impeach the President through Article 161. With 2020 elections to the new Senate, the chamber became bicameral. The position was created after the Egyptian Revolution of 1952; Mohammed Naguib was the first to hold the position. Before 2005, the Parliament chose a candidate for the presidency and the people voted, in a referendum, whether or not they approved the proposed candidate for president. After the Egyptian Revolution of 2011, a new presidential election was held 2012, it was the first free and fair elections in Egypt's political history. The Muslim Brotherhood declared early 18 June 2012, that its candidate, Mohamed Morsi, won the election. After a wave of public discontent with autocratic excesses of the Muslim Brotherhood government of President Mohamed Morsi; the beginning of July 2013 marked the onset of the 2013 Egyptian coup d'état, following the decision of General Abdel Fattah el-Sisi, to remove Morsi from office and suspend the constitution of 2012. El-Sisi was then elected head of state in the 2014 presidential election. On 8 June 2014, Abdel Fatah el-Sisi was officially sworn in as Egypt's new president. Article 133 of Egypt's constitution of 2012 determines a 4-year period of presidential mandate, to which the candidate can only be re-elected once. According to the document, to be eligible the candidate “must be Egyptian born to Egyptian parents, must have carried no other citizenship, must have civil and political right, cannot be married to a non-Egyptian,” and not be younger than 40 Gregorian years. Article 146 declares the president to be the Supreme Commander of the Armed Forces. However, to declare war or to send armed forces outside state territory, the president must consult the National Defense Council and have the approval of the majority of the MPs. In April 2019, Egypt's parliament extended presidential terms from four to six years. A constitutional referendum was held in Egypt from 20 to 22 April 2019, with overseas voting taking place between 19 and 21 April. The proposed changes allowed President Abdel Fattah el-Sisi to remain in power until 2030; under the previous version of the constitution, he would have been barred from contesting the next elections, set to take place in 2022. The changes were approved by 88.83% of voters who voted, with a 44% turnout. Parliament meets for one eight-month session each year; under special circumstances the President of the Republic can call an additional session. Even though the powers of the Parliament have increased since the 1980 Amendments of the Constitution, the Parliament continues to lack the powers to balance the extensive powers of the President. The House of Representatives is the principal legislative body. It consists of a maximum 596 representatives with 448 are directly elected through FPTP and another 120 elected through proportional representation in 4 nationwide districts while the President can appoint up to 28. The House sits for a five-year term but can be dissolved earlier by the President. The Constitution reserves fifty per cent of the House may force the resignation of the executive cabinet by voting a motion of censure. For this reason, the Prime Minister and his cabinet are necessarily from the dominant party or coalition in the assembly. In the case of a president and house from opposing parties, this leads to the situation known as cohabitation. The recent elections were held in 2015 and most recently in 2020. The Shura Council was the 264-member upper house of Parliament created in 1980. In the Shura Council, 176 members were directly elected and 88 members were appointed by the President of the Republic for six-year terms. One half of the Shura Council was renewed every three years. The Shura Council's legislative powers were limited. On most matters of legislation, the People's Assembly retained the last word in the event of a disagreement between the two houses. The Shura Council was abolished in the 2014 constitution. Political parties in Egypt are numerous and exceeds 100 parties. The formation of political parties based on religion, race or gender is prohibited by the Constitution. Before the revolution in 2011, power was concentrated in the hands of the President of the Republic and the National Democratic Party which retained a super-majority in the People's Assembly. Many new political parties that mostly were fragile formed in anticipation of running candidates in the 2011–12 Egyptian parliamentary election that was considered the first free one since the 1952 revolution. However the elected Parliament was dissolved by the constitutional court and new elections were held in 2015. Below the national level, authority is exercised by and through governors and mayors appointed by the central government and by popularly elected local councils. According to the Egyptian Constitution, political parties are allowed to exist. Religious political parties are not allowed as it would not respect the principle of non-interference of religion in politics and that religion has to remain in the private sphere to respect all beliefs. Also forbidden are political parties supporting militia formations or having an agenda that is contradictory to the constitution and its principles, or threatening the country's stability such as national unity between Muslim Egyptians and Christian Egyptians. As of 2015, there are more than 100 registered political parties in Egypt. The largest were the Free Egyptians Party, New Wafd Party, Conference Party, and the Egyptian Social Democratic Party. In December 2020, final results of the parliamentary election confirmed a clear majority of the seats for Egypt's Mostaqbal Watn (Nation's Future) Party, which strongly supports president El-Sisi. The party even increased its majority, partly because of new electoral rules. Egyptians had lived under emergency law from 1967 until 31 May 2012 (with one 18-month break starting in 1980). Emergency laws have been extended every three years since 1981. These laws sharply circumscribed any non-governmental political activity: street demonstrations, non-approved political organizations, and unregistered financial donations were formally banned. However, since 2000, these restrictions have been violated in practice. In 2003, the agenda shifted heavily towards local democratic reforms, opposition to the succession of Gamal Mubarak as president, and rejection of violence by state security forces. Groups involved in the latest wave include PCSPI, the Egyptian Movement for Change (Kefaya), and the Association for Egyptian Mothers. Substantial peasant activism exists on a variety of issues, especially related to land rights and land reform. A major turning point was the 1997 repeal of Nasser-era land reform policies under pressure for structural adjustment. A pole for this activity is the Land Center for Human Rights. The Egyptian Revolution of 2011, inspired by the recent revolution in Tunisia, forced the resignation of President Mubarak and the Military Junta that succeeded him abrogated the Constitution and promised free and fair elections under a new one. On August 15, 2015, President al-Sisi enacted a new Counter-Terrorism Law, which Human Rights Watch claims "mimics" language "already contained in Egypt's decades-old Emergency Law". In Article 2, one of many references include terrorism as "any use of intimidation for the purpose of disturbing public order; harms national unity, social peace, or national security". Following to Section 2, the President "may issue a decree to take appropriate measures to maintain security and public order", addressed in Article 53. This includes "the power to order six-month curfews or evacuations in defined areas, subject to a majority vote in parliament within seven days, or cabinet approval if parliament is not in session." Before the revolution, Mubarak tolerated limited political activity by the Brotherhood for his first two terms, then moved more aggressively to block its influence. Trade unions and professional associations are officially sanctioned. In 2014, in Upper Egypt, several newspapers reported that the region of Upper Egypt wants to secede from Egypt to try to improve living standards. The permanent headquarters for the League of Arab States (The Arab League) is located in Cairo. The Secretary-General of the League has traditionally been an Egyptian. Former Egyptian Foreign Minister Ahmed Abu El Ghet is the present Secretary-General of the Arab League. The Arab League moved out of Egypt to Tunis in 1978 as a protest at the peace treaty with Israel but returned in 1989. Egypt was the first Arab state to establish diplomatic relations with the state of Israel, after the signing of the Egypt–Israel peace treaty at the Camp David Accords. Egypt has a major influence amongst other Arab states, and has historically played an important role as a mediator in resolving disputes between various Arab nations, and in the Israeli–Palestinian dispute. Most Arab nations still give credence to Egypt playing that role, though its effects are often limited. Former Egyptian Deputy Prime Minister Boutros Boutros-Ghali served as Secretary General of the United Nations from 1991 to 1996. A territorial dispute with Sudan over an area known as the Hala'ib Triangle has meant that diplomatic relations between the two remain strained. General government sites
[ { "paragraph_id": 0, "text": "The politics of Egypt takes place within the framework of a republican semi-presidential system of government. The current political system was established following the 2013 Egyptian military coup d'état, and the takeover of President Abdel Fattah el-Sisi. In the current system, the President is elected for a six-year term. He can appoint up to 5 percent of the parliament. Furthermore, the President has the power to dissolve Parliament through Article 137. The Parliament of Egypt is the oldest legislative chamber in Africa and the Middle East. The unicameral Parliament has the ability to impeach the President through Article 161. With 2020 elections to the new Senate, the chamber became bicameral.", "title": "" }, { "paragraph_id": 1, "text": "The position was created after the Egyptian Revolution of 1952; Mohammed Naguib was the first to hold the position. Before 2005, the Parliament chose a candidate for the presidency and the people voted, in a referendum, whether or not they approved the proposed candidate for president. After the Egyptian Revolution of 2011, a new presidential election was held 2012, it was the first free and fair elections in Egypt's political history. The Muslim Brotherhood declared early 18 June 2012, that its candidate, Mohamed Morsi, won the election. After a wave of public discontent with autocratic excesses of the Muslim Brotherhood government of President Mohamed Morsi; the beginning of July 2013 marked the onset of the 2013 Egyptian coup d'état, following the decision of General Abdel Fattah el-Sisi, to remove Morsi from office and suspend the constitution of 2012. El-Sisi was then elected head of state in the 2014 presidential election. On 8 June 2014, Abdel Fatah el-Sisi was officially sworn in as Egypt's new president.", "title": "Presidency" }, { "paragraph_id": 2, "text": "Article 133 of Egypt's constitution of 2012 determines a 4-year period of presidential mandate, to which the candidate can only be re-elected once. According to the document, to be eligible the candidate “must be Egyptian born to Egyptian parents, must have carried no other citizenship, must have civil and political right, cannot be married to a non-Egyptian,” and not be younger than 40 Gregorian years.", "title": "Presidency" }, { "paragraph_id": 3, "text": "Article 146 declares the president to be the Supreme Commander of the Armed Forces. However, to declare war or to send armed forces outside state territory, the president must consult the National Defense Council and have the approval of the majority of the MPs.", "title": "Presidency" }, { "paragraph_id": 4, "text": "In April 2019, Egypt's parliament extended presidential terms from four to six years.", "title": "Presidency" }, { "paragraph_id": 5, "text": "A constitutional referendum was held in Egypt from 20 to 22 April 2019, with overseas voting taking place between 19 and 21 April. The proposed changes allowed President Abdel Fattah el-Sisi to remain in power until 2030; under the previous version of the constitution, he would have been barred from contesting the next elections, set to take place in 2022. The changes were approved by 88.83% of voters who voted, with a 44% turnout.", "title": "Presidency" }, { "paragraph_id": 6, "text": "Parliament meets for one eight-month session each year; under special circumstances the President of the Republic can call an additional session. Even though the powers of the Parliament have increased since the 1980 Amendments of the Constitution, the Parliament continues to lack the powers to balance the extensive powers of the President.", "title": "Legislative branch" }, { "paragraph_id": 7, "text": "The House of Representatives is the principal legislative body. It consists of a maximum 596 representatives with 448 are directly elected through FPTP and another 120 elected through proportional representation in 4 nationwide districts while the President can appoint up to 28. The House sits for a five-year term but can be dissolved earlier by the President.", "title": "Legislative branch" }, { "paragraph_id": 8, "text": "The Constitution reserves fifty per cent of the House may force the resignation of the executive cabinet by voting a motion of censure. For this reason, the Prime Minister and his cabinet are necessarily from the dominant party or coalition in the assembly. In the case of a president and house from opposing parties, this leads to the situation known as cohabitation.", "title": "Legislative branch" }, { "paragraph_id": 9, "text": "The recent elections were held in 2015 and most recently in 2020.", "title": "Legislative branch" }, { "paragraph_id": 10, "text": "The Shura Council was the 264-member upper house of Parliament created in 1980. In the Shura Council, 176 members were directly elected and 88 members were appointed by the President of the Republic for six-year terms. One half of the Shura Council was renewed every three years.", "title": "Legislative branch" }, { "paragraph_id": 11, "text": "The Shura Council's legislative powers were limited. On most matters of legislation, the People's Assembly retained the last word in the event of a disagreement between the two houses.", "title": "Legislative branch" }, { "paragraph_id": 12, "text": "The Shura Council was abolished in the 2014 constitution.", "title": "Legislative branch" }, { "paragraph_id": 13, "text": "Political parties in Egypt are numerous and exceeds 100 parties. The formation of political parties based on religion, race or gender is prohibited by the Constitution. Before the revolution in 2011, power was concentrated in the hands of the President of the Republic and the National Democratic Party which retained a super-majority in the People's Assembly.", "title": "Legislative branch" }, { "paragraph_id": 14, "text": "Many new political parties that mostly were fragile formed in anticipation of running candidates in the 2011–12 Egyptian parliamentary election that was considered the first free one since the 1952 revolution. However the elected Parliament was dissolved by the constitutional court and new elections were held in 2015.", "title": "Legislative branch" }, { "paragraph_id": 15, "text": "Below the national level, authority is exercised by and through governors and mayors appointed by the central government and by popularly elected local councils.", "title": "Legislative branch" }, { "paragraph_id": 16, "text": "According to the Egyptian Constitution, political parties are allowed to exist. Religious political parties are not allowed as it would not respect the principle of non-interference of religion in politics and that religion has to remain in the private sphere to respect all beliefs. Also forbidden are political parties supporting militia formations or having an agenda that is contradictory to the constitution and its principles, or threatening the country's stability such as national unity between Muslim Egyptians and Christian Egyptians.", "title": "Political parties and elections" }, { "paragraph_id": 17, "text": "As of 2015, there are more than 100 registered political parties in Egypt. The largest were the Free Egyptians Party, New Wafd Party, Conference Party, and the Egyptian Social Democratic Party.", "title": "Political parties and elections" }, { "paragraph_id": 18, "text": "In December 2020, final results of the parliamentary election confirmed a clear majority of the seats for Egypt's Mostaqbal Watn (Nation's Future) Party, which strongly supports president El-Sisi. The party even increased its majority, partly because of new electoral rules.", "title": "Political parties and elections" }, { "paragraph_id": 19, "text": "Egyptians had lived under emergency law from 1967 until 31 May 2012 (with one 18-month break starting in 1980). Emergency laws have been extended every three years since 1981. These laws sharply circumscribed any non-governmental political activity: street demonstrations, non-approved political organizations, and unregistered financial donations were formally banned. However, since 2000, these restrictions have been violated in practice. In 2003, the agenda shifted heavily towards local democratic reforms, opposition to the succession of Gamal Mubarak as president, and rejection of violence by state security forces. Groups involved in the latest wave include PCSPI, the Egyptian Movement for Change (Kefaya), and the Association for Egyptian Mothers.", "title": "Civil society" }, { "paragraph_id": 20, "text": "Substantial peasant activism exists on a variety of issues, especially related to land rights and land reform. A major turning point was the 1997 repeal of Nasser-era land reform policies under pressure for structural adjustment. A pole for this activity is the Land Center for Human Rights.", "title": "Civil society" }, { "paragraph_id": 21, "text": "The Egyptian Revolution of 2011, inspired by the recent revolution in Tunisia, forced the resignation of President Mubarak and the Military Junta that succeeded him abrogated the Constitution and promised free and fair elections under a new one. On August 15, 2015, President al-Sisi enacted a new Counter-Terrorism Law, which Human Rights Watch claims \"mimics\" language \"already contained in Egypt's decades-old Emergency Law\". In Article 2, one of many references include terrorism as \"any use of intimidation for the purpose of disturbing public order; harms national unity, social peace, or national security\". Following to Section 2, the President \"may issue a decree to take appropriate measures to maintain security and public order\", addressed in Article 53. This includes \"the power to order six-month curfews or evacuations in defined areas, subject to a majority vote in parliament within seven days, or cabinet approval if parliament is not in session.\"", "title": "Civil society" }, { "paragraph_id": 22, "text": "Before the revolution, Mubarak tolerated limited political activity by the Brotherhood for his first two terms, then moved more aggressively to block its influence. Trade unions and professional associations are officially sanctioned. In 2014, in Upper Egypt, several newspapers reported that the region of Upper Egypt wants to secede from Egypt to try to improve living standards.", "title": "Political pressure" }, { "paragraph_id": 23, "text": "The permanent headquarters for the League of Arab States (The Arab League) is located in Cairo. The Secretary-General of the League has traditionally been an Egyptian. Former Egyptian Foreign Minister Ahmed Abu El Ghet is the present Secretary-General of the Arab League. The Arab League moved out of Egypt to Tunis in 1978 as a protest at the peace treaty with Israel but returned in 1989.", "title": "Foreign relations" }, { "paragraph_id": 24, "text": "Egypt was the first Arab state to establish diplomatic relations with the state of Israel, after the signing of the Egypt–Israel peace treaty at the Camp David Accords. Egypt has a major influence amongst other Arab states, and has historically played an important role as a mediator in resolving disputes between various Arab nations, and in the Israeli–Palestinian dispute. Most Arab nations still give credence to Egypt playing that role, though its effects are often limited.", "title": "Foreign relations" }, { "paragraph_id": 25, "text": "Former Egyptian Deputy Prime Minister Boutros Boutros-Ghali served as Secretary General of the United Nations from 1991 to 1996.", "title": "Foreign relations" }, { "paragraph_id": 26, "text": "A territorial dispute with Sudan over an area known as the Hala'ib Triangle has meant that diplomatic relations between the two remain strained.", "title": "Foreign relations" }, { "paragraph_id": 27, "text": "General government sites", "title": "External links" } ]
The politics of Egypt takes place within the framework of a republican semi-presidential system of government. The current political system was established following the 2013 Egyptian military coup d'état, and the takeover of President Abdel Fattah el-Sisi. In the current system, the President is elected for a six-year term. He can appoint up to 5 percent of the parliament. Furthermore, the President has the power to dissolve Parliament through Article 137. The Parliament of Egypt is the oldest legislative chamber in Africa and the Middle East. The unicameral Parliament has the ability to impeach the President through Article 161. With 2020 elections to the new Senate, the chamber became bicameral.
2002-02-25T15:43:11Z
2023-11-06T04:22:30Z
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https://en.wikipedia.org/wiki/Politics_of_Egypt
9,351
Economy of Egypt
The economy of Egypt used to be a highly centralized economy, focused on import substitution under president Gamal Abdel Nasser (1954–1970). During the rule of president Abdel Fattah el-Sisi (2014–present), the economy follows Egypt's 2030 Vision. The policy is aimed at diversifying Egypt's economy. The country's economy is the largest in Africa by nominal GDP, and 38th in worldwide ranking as of 2023. Since the 2000s, the pace of structural reforms (including fiscal and monetary policies, taxation, privatization and new business legislation) helped Egypt move towards a more market-oriented economy and prompted increased foreign investment. The reforms and policies have strengthened macroeconomic annual growth results. As Egypt's economy healed, other prominent issues like unemployment and poverty began to decline significantly. The country benefits from political stability; its proximity to Europe, and increased exports. From an investor perspective, Egypt is stable and well-supported by external stakeholders. The following table shows the main economic indicators in 1986–2021 (with IMF staff estimates in 2022–2027). Inflation below 10% is in green. From the 1850s until the 1930s, Egypt's economy was heavily reliant on long-staple cotton, introduced in the mid-1820s during the reign of Muhammad Ali (1805–49) and made possible by the switch from basin irrigation to perennial, modern irrigation. Cotton cultivation was a key ingredient in an ambitious program that the Egyptian ruler undertook to diversify and develop the economy. Another such ingredient was industrialization. Industrialization, however, proved for various domestic and external reasons to be less than successful, and until the 1930s, virtually no industrial build-up occurred. The failure of industrialization resulted largely from tariff restrictions that Britain imposed on Egypt through a 1838 commercial treaty, which allowed only minuscule tariffs, if any. The isolated industrial ventures initiated by members of Egypt's landed aristocracy, who otherwise channeled their investment into land acquisition and speculation, were nipped in the bud by foreign competition. The few surviving enterprises were owned by foreigners. These enterprises either enjoyed natural protection, as in the case of sugar and cotton processing, or benefited from the special skills that the foreign owners had acquired, as in the case of cigarette making by Greeks and Turks. World War I and the National Awakening: Important shortages during World War I and the demand created by the presence in the country of large Allied forces led to the opening of a number of small manufacturing plants, and older ones found it profitable to increase their output. There was no prospect for real progress in industrial development, however, until 1930, when the last of the commercial treaties with their "most favoured nations" clauses, expired. Nevertheless, the brief wartime prosperity had served a good purpose, It had awakened official Egypt, of which the higher echelons were at that time mainly representative of the class of great landlords, in whose hands the wealth of the country Is largely concentrated, to the country's potentialities for industrialization. It had also brought to official Egypt some appreciation of how much the country as a whole benefit if, for an economy baser' on the export of agricultural raw materials and the importation of manufactured goods, there could be substituted one in which a full effort was made to satisfy with local manufactures the local demand for such goods as could be produced from local raw materials. The result was the appointment in 1916 of a Commission on Commerce and Industry to study the situation, the creation in 1920 in the Ministry of Finance of a department (now Ministry) of Commerce and Industry, and the founding in 1922 of a Federation of Industries. The report of the commission, issued in 1917, focused attention on the significance of industrialization as a step toward sound economy and a remedy for the country's already grave problem of overpopulation. Tariff Reform and Direct Government Aid: Nevertheless, the date of the turning point in Egypt's industrial development may properly be said to be February 16, 1930, when the last of the commercial treaties, that with Italy, expired. The government had ready a tariff reform measure drafted by a committee of foreign experts engaged for the purpose in 1927, and, in command at last of its own tariff policy, put it into effect the very next day after the expiration of the treaty. The reforms were designed specifically to encourage and protect local manufacturing. High duties, in many cases practically prohibitive, were imposed on imports of products considered competitive with local products or for which the prospects for local manufacture seemed good. Duties on numerous raw materials were at the same time greatly reduced, although there were still many which, for revenue purposes, remained heavily taxed. The protection thus afforded to industry had an almost immediate effect, as is reflected by the increase in imports of raw material and machinery and decrease in those of manufactured goods in 1938 as compared-with 1913. World War II Prosperity and After: As has been pointed out, World War II gave new impetus to industrialization. During much of the North African campaign Egypt was a strategic base for the Allied forces. The prosperity they brought meant greatly augmented demands for certain supplies that could be furnished only by local industry. Also, in the Middle East the difficulty of getting supplies from other sources greatly increased the demand for Egyptian products. Hence many of the local industries expanded and diversified their output, many new enterprises were founded, and a greatly enlarged trade with the Middle East opened Egyptian eyes to the marketing possibilities there. Scarcely less important, of some 300,000 Egyptians who were employed by the Allied forces, many gained technical training and experience in manufacturing and repair work and in the servicing and maintenance of equipment. The aftermath was quite different from that of World War I. Local consumers had become more accustomed to local manufactures, a greater variety of products was available, and the quality of many items had been improved so that they could compete successfully with imported products. Moreover, many industrial organizations had profited greatly from the rise in prices which accompanied the increased demand for their products, and hence, for the first time in the history of Egyptian industry, possessed reserve funds that they could use for further expansion, modernization of their equipment, and even for new ventures. Consequently, no such decline in industrial activity ensued as that which followed the brief period of prosperity during World War I. Instead, many industries continued to expand and a number of new ones were founded. The manufacture of textiles, rayon, plastics, chemical fertilizers, rubber goods, pharmaceutics, and steel castings, and refrigeration were among the more important enterprises involved in this new development. During the three-year period immediately after the end of the war more than a hundred new stock companies, with a total capital of upwards of £20,000,000, were formed. Various concessions offered by the government also brought in a number of branches of foreign companies with a view both to satisfying the demand for certain commodities that local manufacturers could not duplicate and at the same time to providing additional employment for local labor - among them automobile assembly plants and plants for the manufacture of toilet soap, electrical fixtures, and soft drinks. In response to this surge in industrial activity the government proceeded to put into effect certain long-needed measures designed to promote the organization of industrial companies and to assist them with credit facilities. The most important of these measures were the enactment of a Companies Law in 1947 and in 1949 the foundation of an Industrial Bank in which 51 per cent of the shares were government owned. The beginnings of industrialization awaited the depression of the late 1920s and 1930s and World War II. The depression sent cotton prices tumbling, and Britain acceded to Egyptian demands to raise tariffs. Moreover, World War II, by substantially reducing the flow of foreign goods into the country, gave further impetus to the establishment of import-substitution industries. A distinguishing feature of the factories built at this time was that they were owned by Egyptian entrepreneurs. In spite of the lack of industrialization, the economy grew rapidly throughout the nineteenth century. Growth, however, was confined to the cotton sector and the supporting transportation, financial, and other facilities. Little of the cotton revenues was invested in economic development. The revenues were largely drained out of the country as repatriated profits or repayments of debts that the state had incurred to pay for irrigation works and the extravagance of the khedives. Rapid economic growth ended in the early 1900s. The supply of readily available land had been largely exhausted and multiple cropping, concentration on cotton, and perennial irrigation had lessened the fertility of the soil. Cotton yields dropped in the early 1900s and recovered their former level only in the 1940s, through investments in modern inputs such as fertilizers and drainage. The fall in agricultural productivity and trade led to a stagnation in the per capita gross national product (GNP) between the end of World War I and the 1952 Revolution: the GNP averaged LE 43.0, in 1954 prices, at both ends of the period. By 1952 Egypt was in the throes of both economic and political crises, which culminated in the assumption of power by the Free Officers. By necessity if not by design, the revolutionary regime gave considerably greater priority to economic development than did the monarchy, and the economy has been a central government concern since then. While the economy grew steadily, it sometimes exhibited sharp fluctuations. Analysis of economic growth is further complicated by the difficulty in obtaining reliable statistics. Growth figures are often disputed, and economists contend that growth estimates may be grossly inaccurate because of the informal economy and workers' remittances, which may contribute as much as one-fourth of GNP. According to one estimate, the gross domestic product (GDP), at 1965 constant prices, grew at an annual compound rate of about 4.2 percent between 1955 and 1975. This was about 1.7 times larger than the annual population growth rate of 2.5 percent in the same period. The period between 1967 and 1974, the final years of Gamal Abdul Nasser's presidency and the early part of Anwar el-Sadat's, however, were lean years, with growth rates of only about 3.3 percent. The slowdown was caused by many factors, including agricultural and industrial stagnation and the costs of the June 1967 war. Investments, which were a crucial factor for the preceding growth, also nose-dived and recovered only in 1975 after the dramatic 1973 increase in oil prices. Like most countries in the Middle East, Egypt partook of the oil boom and suffered the subsequent slump. Available figures suggest that between 1975 and 1980 the GDP (at 1980 prices) grew at an annual rate of more than 11 percent. This impressive achievement resulted, not from the contribution of manufacturing or agriculture, but from oil exports, remittances, foreign aid, and grants. From the mid-1980s, GDP growth slowed as a result of the 1985-86 crash in oil prices. In the two succeeding years, the GDP grew at no more than an annual rate of 2.9 percent. Of concern for the future was the decline of the fixed investment ratio from around 30 percent during most of the 1975-85 decade to 22 percent in 1987. Several additional economic periods followed: Under comprehensive economic reforms initiated in 1991, Egypt has relaxed many price controls, reduced subsidies, reduced inflation, cut taxes, and partially liberalized trade and investment. Manufacturing had become less dominated by the public sector, especially in heavy industries. A process of public sector reform and privatization has begun to enhance opportunities for the private sector. Agriculture, mainly in private hands, has been largely deregulated, with the exception of cotton and sugar production. Construction, non-financial services, and domestic wholesale and retail trades are largely private. This has promoted a steady increase of GDP and the annual growth rate. The Government of Egypt tamed inflation bringing it down from double-digit to a single digit. Currently, GDP is rising smartly by 7% per annum due to successful diversification. Gross domestic product (GDP) per capita based on purchasing-power-parity (PPP) increased fourfold between 1981 and 2006, from US$1,355 in 1981, to US$2,525 in 1991, to US$3,686 in 2001 and to an estimated US$4,535 in 2006. Based on national currency, GDP per capita at constant 1999 prices increased from LE 411 in 1981, to LE 2,098 in 1991, to LE 5,493 in 2001 and to LE 8,708 in 2006. Based on the current US$ prices, GDP per capita increased from US$587 in 1981, to US$869 in 1991, to US$1,461 in 2001 and to an estimated US$1,518 (which translates to less than US$130 per month) in 2006. According to the World Bank Country Classification, Egypt has been promoted from the low income category to lower middle income category. As of 2013, the average weekly salaries in Egypt reached LE 641 (approx. US$92), which grew by 20% from the previous year. The reform program is a work in progress. Noteworthy that the reform record has substantially improved since Nazif government came to power. Egypt has made substantial progress in developing its legal, tax and investment infrastructure. Indeed, over the past five years, Egypt has passed, amended and admitted over 15 legislative pieces. The economy is expected to grow by about 4% to 6% in 2009–2010. Surging domestic inflationary pressures from both economic growth and elevated international food prices led the Central Bank of Egypt to increase the overnight lending and deposit rates in sequential moves since February 2008. The rates stood at 11.5% and 13.5%, respectively, since 18 September 2008. The rise of the World Global Financial Crisis led to a set of fiscal-monetary policy measures to face its repercussions on the national economy, including reducing the overnight lending and deposit rates by 1% on 12 February 2009. The rates currently stand at 10.5% and 12.5%, respectively. Reform of energy and food subsidies, privatization of the state-owned Bank of Cairo, and inflation targeting are perhaps the most controversial economic issues in 2007–2008 and 2008–2009. Egypt's trade balance marked US$10.36 billion in FY2005 compared to US$7.5 billion. Egypt's main exports consist of natural gas, and non-petroleum products such as ready-made clothes, cotton textiles, medical and petrochemical products, citrus fruits, rice and dried onion, and more recently cement, steel, and ceramics. Egypt's main imports consist of pharmaceuticals and non-petroleum products such as wheat, maize, cars and car spare parts. The current account grew from 0.7% of GDP in FY2002 to 3.3% at FY2005. Egypt's Current Account made a surplus of US$4,478 million in FY2005 compared to a deficit of US$158 million in FY2004. Italy and the USA are the top export markets for Egyptian goods and services. In the Arab world, Egypt has the largest non-oil GDP as of 2018. According to the International Organization for Migration, an estimated 2.7 Million Egyptians abroad contribute actively to the development of their country through remittance inflows, circulation of human and social capital, as well as investment. In 2009 Egypt was the biggest recipient of remittances in the Middle East; an estimated US$7.8 bn was received in 2009, representing approximately 5% of national GDP, with a decline of 10% from 2008, due mostly to the effect of the financial crisis. According to data from Egypt's Central Bank, the United States was the top sending country of remittances (23%), followed by Kuwait (15%), the United Arab Emirates (14%) and Saudi Arabia (9%). On the revenues side, total revenues of the government were LE 89.1 billion in FY2002 and are projected to reach LE 184.7 bn in FY2008. Much of the increase came from a rise in customs, excise and tax revenues, particularly personal income and sales, entertainment, and vice taxes which constituted the bulk of total domestic taxes, due to recent tax reforms. This trend is likely to gradually widen the tax base in the forthcoming years. Revenues, however, have remained more or less constant (about 21% ) as a percentage of the GDP over the past few years. On the expenditures side, strong expenditure growth has remained a main feature of the budget. This is mainly a result of continued strong expansion of (1) the public-sector wages driven by government pledges. Wages and Compensations increased from LE 30.5 bn in FY2002 to LE 59.6 bn in FY2008; (2) high interest payments on the public debt stock. Interest payments rose from LE 21.8 bn in FY2002 to LE 52.0 bn in FY2008. Importantly, dramatic increase in domestic debt which is projected to be roughly 62% of GDP in FY2008 up from 58.4% in FY2002; and (3) the costs of food and energy subsidies, which rose from LE 18.0 bn in FY2002 to LE 64.5 bn in FY2008. The overall deficit, after adjusting for net acquisition of financial assets, remains almost unchanged from the cash deficit. The budget's overall deficit of LE 43.8 bn or −10.2% of GDP for FY2002 has become LE 49.2 bn in FY2007, so that is narrowed to −6.7% of GDP. Deficit is financed largely by domestic borrowing and revenue from divestment sales, which became a standard accounting practice in budget Egypt. The government aims at more sales of State assets in FY2008. Recently, the fiscal conduct of the government faced strong criticism and heated debate in the Egyptian Parliament. Remarks were made about weak governance and management, loose implementation of tax collection procedures and penalties for offenders, and improper accounting of the overall system of basic subsidies and domestic debt, leading to domestic market disruptions, high inflation, increased inefficiencies and waste in the domestic economy. Treasury bonds and notes issued to the Central Bank of Egypt constitute the bulk of the government domestic debt. Since FY2001, net government domestic debt (i.e. after excluding budget sector deposits) has been rising at a fluctuating but increasing rate. In 2014, it reached 77% up from 54.3% of GDP in 2001. A report by Strategic Foresight Group has calculated the opportunity cost of conflict for Egypt since 1991 is almost US$800 billion. In other words, had there been peace since 1991, an average Egyptian citizen would be earning over US$3,000 instead of US$1,700 he or she may earn next year. The Central Bank of Egypt is the national reserve bank and controls and regulates the financial market and the Egyptian pound. There is a State regulatory authority for the Cairo Stock Exchange. State-owned or Nationalized banks still account for 85% of bank accounts in Egypt and around 60% of the total savings. The penetration of banking is low in rural areas at only 57% of households. Up until 2007, there have been several favorable conditions that allowed the Central Bank of Egypt to accumulate net international reserves, which increased from US$20 billion in FY2005, to US$23 billion in FY2006, and to US$30 billion FY2007 contributing to growth in both reserve money and in broad money (M2). This declined to US$16.4 billion in Oct 2015, according to the Central Bank of Egypt. Credit extended to the private sector in Egypt declined significantly reaching about LE 5 billion in FY2005. This credit crunch is due to the non-performing loans extended by the banks to business tycoons and top government officials. Lending criteria have been tightened following the passing of Money Laundry Law 80 in 2002 and Banking Law 88 in 2003. Interest rates are no longer the dominant factor in banks' lending decisions. In fact, both the inefficiency and absence of the role of the Central Bank of Egypt in qualitative and quantitative control as well as implementing banking procedures and standards was almost entirely responsible for the non-performing loans crisis. Banks steadily reduced credit from its peak of about LE 30 billion in FY1999 and alternatively invested in more liquid no-risk securities such as treasury bills and government bonds. Improving private sector access to credit will critically depend on resolving the problem of non-performing loans with businesses and top government officials. The era of inflation targeting—i.e. maintaining inflation within a band—has perhaps begun in Egypt more recently. Country experiences show that inflation targeting is a best-practice strategy for monetary policy. While the monetary policy appears more responsive to inflationary pressures recently in Egypt, it is noted that there is no core inflation measure and the Central Bank of Egypt takes targeting decisions based on the inflation rate released by the CAPMAS consumer price index off-the-shelf. Surging domestic inflationary pressures from both economic growth and elevated international food prices led the Central Bank of Egypt (CBE) to increase the overnight lending and deposit rates in sequential moves since 2008: it was raised by 0.25% on 10 February 2008, by 0.5% on 25 March 2008, by 0.5% on 8 May 2008, by 0.5% on 26 June 2008, by 0.5% on 7 August 2008 and most recently on 18 September 2008 for the sixth time in a year by 0.5% when it stood at 11.5% and 13.5%, respectively. The rise of the World Global Financial Crisis led to a set of fiscal-monetary policy measures to face its repercussions on the national economy, including reducing the overnight lending and deposit rates by 1% on 12 February 2009. The rates currently stand at 10.5% and 12.5%, respectively. The CBE is expected to further cut on interest rates over 2009, with seemingly little fear on Egyptian pound depreciation resulting from decreased interest rates. The exchange rate has been linked to the US dollar since the 1950s. Several regimes were adopted including initially the conventional peg in the sixties, regular crawling peg in the seventies and the eighties and crawling bands in the nineties. Over that time period, there were several exchange rate markets including black market, parallel market and the official market. With the turn of the new millennium, Egypt introduced a managed float regime and successfully unified the pound exchange rate vis-à-vis foreign currencies. The transition to the unified exchange rate regime was completed in December 2004. Shortly later, Egypt has notified the International Monetary Fund (IMF) that it has accepted the obligations of Article VIII, Section 2, 3, and 4 of the IMF Articles of Agreement, with effect from 2 January 2005. IMF members accepting the obligations of Article VIII undertake to refrain from imposing restrictions on the making of payments and transfers for current international transactions, or from engaging in discriminatory currency arrangements or multiple currency practices, except with IMF approval. By accepting the obligations of Article VIII, Egypt gives assurance to the international community that it will pursue economic policies that will not impose restrictions on the making of payments and transfers for current international transactions unnecessary, and will contribute to a multilateral payments system free of restrictions. In the fiscal year 2004 and over most of the fiscal year 2005, the pound depreciated against the US dollar. Since the second half of the fiscal year 2006 until the end of the fiscal year 2007, the pound gradually appreciated to LE 5.69 per US$1. While it was likely to continue appreciating in the short-term, given the skyrocketing oil prices and the weakening US economy, the advent of the global economic crisis of 2008, and resulting behavior of foreign investors exiting from the stock market in Egypt increased the dollar exchange rate against the Egyptian pound, which rose by more than 4% since Lehman Brothers declared bankruptcy. As the demand pressure from exiting foreign investors eases, the dollar exchange rate against the Egyptian pound is expected to decline. It stands at LE 7 per US$1 as of 18 June 2013. Due to the rising power of the US dollar, as of January 2015 one dollar equals LE 7.83. On 3 November 2016, the Egyptian government announced that it would float the Egyptian pound in an effort to revive its economy, which had been suffering since 2011. The conditions of a 2022 IMF loan required the currency to float with the result that it depreciated rapidly prompting international institutions and neighbors such as Saudi Arabia to help. The country has $83.3 B of foreign-currency debt outstanding. Warm weather and plentiful water have in the past produced several crops a year. However, since 2009 increasing desertification has become a problem. "Egypt loses an estimated 11,736 hectares of agricultural land every year, making the nation's 3.1 million hectares of agricultural land prone "to total destruction in the foreseeable future", said Abdel Rahman Attia, a professor of agriculture at Cairo University, to IRIN. Scarcity of clean water is also a problem. Cotton, rice, wheat, corn, sugarcane, sugar beets, onions, tobacco, and beans are the principal crops. Land is worked intensively and yields are high. Increasingly, a few modern techniques are applied to producing fruits, vegetables and flowers, in addition to cotton, for export. Further improvement is possible. The most common traditional farms occupy 0.40 hectares (1 acre) each, typically in a canal-irrigated area along the banks of the Nile. Many small farmers also own cows, water buffalos, and chickens. Between 1953 and 1971, some farms were collectivised, especially in Upper Egypt and parts of the Nile Delta. Several researchers questioned the domestic (and import) policies for dealing with the so-called the "wheat game" since the former Minister of Agriculture Yousef Wali was in office ( 1982-2004 ). In 2006, areas planted with wheat in Egypt exceeded 160,000 hectares (400,000 acres) producing approximately 6 million metric tons. The domestic supply price farmers receive in Egypt is LE 1,200 ( ≈ {\displaystyle \approx } US$211) per ton compared to approximately LE 1,940 ( ≈ {\displaystyle \approx } US$340) per ton for import from the US, Egypt's main supplier of wheat and corn. Egypt is the U.S.'s largest market for wheat and corn sales, accounting for US$1 billion annually and about 46% of Egypt's needs from imported wheat. Other sources of imported wheat, include Kazakhstan, Canada, France, Syria, Argentina, and Australia. There are plans to increase the areas planted with wheat up to nearly 1,200,000 hectares (3×10^ acres) by 2017 to narrow the gap between domestic food supply and demand. However, the low amount of gluten in Egypt wheat means that foreign wheat must be mixed in to produce bread that people will want to eat. Egypt would be the first ever electronic Egyptian Commodities Exchange in the MENA region to facilitate the well-being of its small farmers and supply of products at reasonable prices abolishing the monopoly of goods. The Western Desert accounts for about two-thirds of the country's land area. For the most part, it is a massive sandy plateau marked by seven major depressions. One of these, Fayoum, was connected about 3,600 years ago to the Nile by canals. Today, it is an important irrigated agricultural area. Practically all Egyptian agriculture takes place in some 25,000 km (6 million acres) of fertile soil in the Nile Valley and Delta. Some desert lands are being developed for agriculture, including the controversial but ambitious Toshka project in Upper Egypt, but some other fertile lands in the Nile Valley and Delta are being lost to urbanization and erosion. Larger modern farms are becoming more important in the desert. The agriculture objectives on the desert lands are often questioned; the desert farm lands which were offered regularly at different levels and prices were restricted to a limited group of elites selected very carefully, who later profiteered retailing the granted large desert farm land by pieces. This allegedly transforms the desert farms to tourist resorts, hits all government plans to develop and improve the conditions of the poor, and causes serious negative impact on agriculture and the overall national economy over time. One company, for example, bought over 70 hectares of large desert farm for a price as low as LE 0.05 per square meter and now sells for LE 300 per square meter. In numbers, 70 hectares bought for about US$6,000 in 2000 sells for over US$3.7 million in 2007. Currently, no clear solution exists to deal with these activities. Agriculture biomass, including agricultural wastes and animal manure, produce approximately 30 million metric tons of dry material per year that could be massively and decisively used, inter alia, for generating bioenergy and improve the quality of life in rural Egypt. Despite plans of establishing waste-to-energy plants, this resource remains terribly underused. Since early 2008, with the world food prices soaring, especially for grains, calls for striking a "new deal" on agriculture increased. Indeed, 2008 arguably marks the birth of a new national agriculture policy and reform. Acquisition and ownership of desert land in Egypt is governed by so-called "Egyptian Desert Land Law". It defines desert land as the land two kilometers outside the border of the city. Foreign partners and shareholders may be involved in ownership of the desert land, provided Egyptians own at least 51% of the capital. "Egypt", wrote the Greek historian Herodotus 25 centuries ago, "is the gift of the Nile." The land's seemingly inexhaustible resources of water and soil carried by this mighty river created in the Nile Valley and Delta the world's most extensive oasis. Without the Nile River, Egypt would be little more than a desert wasteland. The river carves a narrow, cultivated floodplain, never more than 20 kilometers wide, as it travels northward toward Cairo from Lake Nasser on the Sudanese border, behind the Aswan High Dam. Just north of Cairo, the Nile spreads out over what was once a broad estuary that has been filled by riverine deposits to form a fertile delta about 250 kilometers (160 mi) wide at the seaward base and about 160 kilometers (99 mi) from south to north. Before the construction of dams on the Nile, particularly the Aswan High Dam (started in 1960, completed in 1970), the fertility of the Nile Valley was sustained by the water flow and the silt deposited by the annual flood. Sediment is now obstructed by the Aswan High Dam and retained in Lake Nasser. The interruption of yearly, natural fertilization and the increasing salinity of the soil has been a manageable problem resulting from the dam. The benefits remain impressive: more intensive farming on thousands of square kilometers of land made possible by improved irrigation, prevention of flood damage, and the generation of millions of gigajoules of electricity at low cost. The rain falling on the coast of the southern regions are the main source of recharge of the main reservoir. There is a free-floating layer of the reservoir water on top of sea water up to a distance of 20 km south of the Mediterranean Sea. The majority of wells in the coastal plain depend on the water level in the main reservoir. The coastal water supply comes from water percolating through the coastal sand and water runoff from the south. This low salinity water is used for many purposes. Egypt's mineral and energy resources include petroleum, natural gas, phosphates, gold and iron ore. Crude oil is found primarily in the Gulf of Suez and in the Western Desert. Natural gas is found mainly in the Nile Delta, off the Mediterranean shore, and in the Western Desert. Oil and gas accounted for approximately 7% of GDP in fiscal year 2000–01. Export of petroleum and related products amounted to US$2.6 billion in the year 2000. In late 2001, Egypt's benchmark "Suez Blend" was about US$16.73 per barrel ($105/m³), the lowest price since 1999. Crude oil production has been in decline for several years since its peak level in 1993, from 941,000 bbl/d (149,600 m/d) in 1993 to 873,000 bbl/d (138,800 m/d) in 1997 and to 696,000 bbl/d (110,700 m/d) in 2005. (See Figure). At the same time, the domestic consumption of oil increased steadily (531,000 bbl/d (84,400 m/d) and 525,000 bbl/d (83,500 m/d) in 1997 and 2005 respectively), but in 2008, oil consumption reached to 697,000 bbl/d (110,800 m/d). It is easy to see from the graph that a linear trend projects that domestic demand outpaced supply in (2008–2009), turning Egypt to a net importer of oil. To minimize this potential, the government of Egypt has been encouraging the exploration, production and domestic consumption of natural gas. Oil Production was 630 bbl/d (100 m/d) in 2008, and natural gas output continued to increase and reached 48.3 billion cubic meters in 2008. Domestic resources meet only about 33% of Egypt's domestic demand, meaning large imports from Saudi Arabia, UAE and Iraq are necessary. Over the last 15 years, more than 180 petroleum exploration agreements have been signed and multinational oil companies spent more than US$27 billion in exploration companions. These activities led to the findings of about 18 crude oil fields and 16 natural gas fields in FY 2001. The total number of findings rose to 49 in FY 2005. As a result of these findings, crude oil reserves as of 2009 are estimated at 3.7 billion barrels (590,000,000 m), and proven natural gas reserves are 1.656 trillion cubic meters with likely additional discoveries with more exploration campaigns. In August 2007, it was announced that signs of oil reserves in Kom Ombo basin, about 28 miles (45 km) north of Aswan, was found and a concession agreement was signed with Centorion Energy International for drilling. The main natural gas producer in Egypt is the International Egyptian Oilfield Company (IEOC), a branch of Italian Eni. Other companies including BP, APA Corporation and Royal Dutch Shell carry out activities of exploration and production by means of concessions granted for a period of generally ample time (often 20 years) and in different geographic zones of oil and gas deposits in the country. Gold mining is more recently a fast-growing industry with vast untapped gold reserves in the Eastern Desert. To develop this nascent sector the Egyptian government took a first step by awarding mineral concessions, in what was considered the first international bid round. Two miners who have produced encouraging technical results include AngloGold Ashanti and Alexander Nubia International. Gold production facilities are now reality from the Sukari Hills, located close to Marsa Alam in the Eastern Desert. The concession of the mine was granted to Centamin, an Australian joint stock company, with a gold exploitation lease for a 160-square-kilometer area. Sami El-Raghy, Centamin chairman, has repeatedly stated that he believes Egypt's yearly revenues from gold in the future could exceed the total revenues from the Suez Canal, tourism and the petroleum industry. The Ministry of Petroleum and Mineral Resources has established expanding the Egyptian petrochemical industry and increasing exports of natural gas as its most significant strategic objectives and in 2009 about 38% of local gas production was exported. As of 2009, most Egyptian gas exports (approximately 70%) are delivered in the form of liquefied natural gas (LNG) by ship to Europe and the United States. Egypt and Jordan agreed to construct the Arab Gas Pipeline from Al Arish to Aqaba to export natural gas to Jordan; with its completion in July 2003, Egypt began to export 1.1 billion cubic feet (31,000,000 m) of gas per year via pipeline as well. Total investment in this project is about $220 million. In 2003, Egypt, Jordan and Syria reached an agreement to extend this pipeline to Syria, which paves the way for a future connection with Turkey, Lebanon and Cyprus by 2010. As of 2009, Egypt began to export to Syria 32.9 billion cubic feet (930,000,000 m) of gas per year, accounting for 20% of total consumption in Syria. In addition, the East Mediterranean Gas (EMG), a joint company established in 2000 and owned by Egyptian General Petroleum Corporation (EGPC) (68.4%), the private Israeli company Merhav (25%) as well as Ampal-American Israel Corp. (6.6%), has been granted the rights to export natural gas from Egypt to Israel and other locations in the region via underwater pipelines from Al 'Arish to Ashkelon which will provide Israel Electric Corporation (IEC) 170 million cubic feet (4.8×10^ m) of gas per day. Gas supply started experimentally in the second half of 2007. As of 2008, Egypt produces about 6.3 billion cubic feet (180×10^ m), from which Israel imports of 170 million cubic feet (4.8×10^ m) account for about 2.7% of Egypt's total production of natural gas. According to a statement released on 24 March 2008, Merhav and Ampal's director, Nimrod Novik, said that the natural gas pipeline from Egypt to Israel can carry up to 9 billion cubic meters annually which sufficiently meet rising demand in Israel in the coming years. According to a memorandum of understanding, the commitment of Egypt is 680 million cubic feet (19×10^ m) contracted for 15 years at a price below US$3 per million British thermal units, though this was renegotiated at a higher price in 2009 (to between US$4 and US$5 per million BTU), while the amounts of gas supplied were increased. Exporting natural gas to Israel faces broad popular opposition in Egypt. Agreements between Egypt and Israel allow for Israeli entities to purchase up to 7 billion cubic meters of Egyptian gas annually, making Israel one of Egypt's largest natural gas export markets. The decision to export of natural gas to Israel was passed in 1993 at the time when Dr. Hamdy Al-Bambi was Minister of Petroleum and when Mr. Amr Moussa was Minister of Foreign Affairs. The mandate to sign of the memorandum of understanding (MoU) to delegate to the Ministry of Petroleum represented by the Egyptian General Petroleum Company (EGPC) to contract with EMG Company was approved by the former Prime Minister Dr. Atef Ebeid in the Cabinet's meeting No. 68 on 5 July 2004 when he served as the acting "President of the Republic" when President Hosni Mubarak was receiving medical treatment in Germany. A new report by Strategic Foresight Group on the Cost of Conflict in the Middle East also details how in the event of peace an oil and gas pipeline from Port Said to Gaza to Lebanon would result in a transaction value for Egypt to the tune of $1–2 billion per year. As of June 2009, it was reported that Cairo said Israelis will dig for oil in Sinai. This report comes in the time in which the government is heavily criticized for exporting natural gas to Israel at an extremely low rate. Starting in 2014, the Egyptian government has been diverting gas supplies produced at home to its domestic market, reducing the volumes available for export in liquefied form. According to the memorandum of understanding, the Leviathan field off Israel's Mediterranean coast would supply 7 billion cubic meters annually for 15 years via an underwater pipeline. This equates to average volumes of 685 million cubic feet a day, the equivalent of just over 70% of the BG-operated Idku plant's daily volumes. In March 2015, BP Signed a $12 billion deal to develop natural gas in Egypt intended for sale in the domestic market starting in 2017. BP said it would develop a large quantity of offshore gas, equivalent to about one-quarter of Egypt's output, and bring it onshore to be consumed by customers. Gas from the project, called West Nile Delta, is expected to begin flowing in 2017. BP said that additional exploration might lead to a doubling of the amount of gas available. Irrigation plays a major role in a country the very livelihood of which depends upon a single river, the Nile. Most ambitious of all the irrigation projects is that of the Aswan High Dam, completed in 1971. A report published in March 1975 by the National Council for Production and Economic Affairs indicated that the dam had proved successful in controlling floodwaters and ensuring recurring water supply, but that water consumption had been more than needed and shall be controlled. Some precious land was lost below the dam because the flow of Nile silt was stopped, and increased salinity remains a major problem. Furthermore, five years of drought in the Ethiopia highlands—the source of the Nile River's water—caused the water level of Lake Nasser, the Aswan High Dam's reservoir, to drop to the lowest level in 1987. In 1996, the level of water behind the High Dam and in Lake Nasser reached the maximum level since the completion of the dam. Despite this unusual abundance of water supply, Egypt can only use 55.5 billion cu m (1.96 trillion cu ft) every year, according to the Nile Basin Agreement signed in 1959 between Egypt and Sudan. Another major project designed to address the water scarcity problem is the New Valley Project (the "second Nile"), aimed at development of the large artesian water supplies underlying the oases of the Western Desert. In 2010 Egypt's fertile area totaled about 3.6 million hectares (8.9 million acres), about one-quarter of which has been reclaimed from the desert after the construction of the Aswan High Dam. The government aims to increase this number to 4.8 million hectares by 2030 through additional land reclamation. Even though only 3 percent of the land is arable, it is extremely productive and can be cropped two or even three times annually. However, the reclaimed lands only add 7 percent to the total value of agricultural production. Surface irrigation is forbidden by law in reclaimed lands and is only used in the Nile Valley and the Delta, the use of pressurized irrigation and localized irrigation is compulsory in other parts of the country. Most land is cropped at least twice a year, but agricultural productivity is limited by salinity which in 2011 affected 25% of irrigated agriculture to varying degrees. This is mainly caused by insufficient drainage as well as seawater intrusion in aquifers as a result of over-extraction of groundwater, the latter primarily affects the Nile Delta. Thanks to the installation of drainage systems a reduction in salinized areas from about 1.2 million hectares in 1972 to 900 000 hectares in 2010 was achieved. In the 1970s, despite significant investment in land reclamation, agriculture lost its position as the leading economic sector. Agricultural exports, which were 87% of all merchandise export by value in 1960, fell to 35% in 1974 and to 11% by 2001. In 2000, agriculture accounted for 17% of the country's GDP and employed 34% of the workforce. According to 2016 statistics from the Food and Agriculture Organization of the United Nations, Egypt is the world's largest producer of dates; the second largest producer of figs; the third largest producer of onions and eggplants; the fourth largest producer of strawberries and buffalo milk as well as the fifth largest producer of tomatoes and watermelon. Cotton has long been a primary exported cash crop, but it is no longer vital as an export. Production in 1999 was 243,000 tons. Egypt is also a substantial producer of wheat, maize, sugarcane, fruit and vegetables, fodder, and rice; substantial quantities of wheat are also imported, especially from the United States and Russia, despite increases in yield since 1970, and significant quantities of rice are exported. Citrus, dates, and grapes are the main fruits by cultivated area. Agricultural output in tons in 1999 included corn, 9,350,000; wheat, 6,347,000; rice, 5,816,000; potatoes, 1,900,000; and oranges, 1,525,000. The government exercises a strong degree of control over agriculture, not only to ensure the best use of irrigation water but also to confine the planting of cotton in favor of food grains. However, the government's ability to achieve this objective is limited by crop rotational constraints. Cacti - especially cactus pears - are extensively grown throughout the country including Sinai, and extending into neighbouring countries. They are a crop of the Columbian Exchange. Cactus hedges - both intentionally planted and wild garden escapes - formed an important part of defensible positions during the Sinai and Palestine campaign of World War I. Some unfamiliar soldiers even tried eating them, to negative result. The agrarian reform law of 1952 provided that no one might hold more than 200 feddans, that is, 84 hectares (210 acres) (1 Egyptian feddan=0.42 hectares=1.038 acres), for farming, and that each landholder must either farm the land himself or rent it under specified conditions. Up to 100 additional feddans might be held if the owner had children, and additional land had to be sold to the government. In 1961, the upper limit of landholding was reduced to 100 feddans, and no person was allowed to lease more than 50 feddans. Compensation to the former owners was in bonds bearing a low rate of interest, redeemable within 40 years. A law enacted in 1969 reduced landholdings by one person to 50 feddans. By the mid-1980s, 90% of all land titles were for holdings of less than five feddans (2.1 hectares (5.2 acres)), and about 300,000 families, or 8% of the rural population, had received land under the agrarian reform program. According to a 1990 agricultural census, there were some three million small land holdings, almost 96% of which were under five feddans. As these small landholdings restricted the ability of farmers to use modern machinery and agricultural techniques that improve and take advantage of economies of scale, there have since the late 1980s been many reforms attempting to deregulate agriculture by liberalizing input and output prices and eliminating crop area controls. As a result, the gap between world and domestic prices for Egyptian agricultural commodities has been closed. El Nasr Automotive Manufacturing Company is Egypt's state owned automobile company, founded in 1960 in Helwan, Egypt. Established in 1962, the company manufactures various vehicles under license from Zastava Automobili, Daimler AG, Kia, and Peugeot. Their current lineup consists of the Jeep Cherokee; the open-top, Wrangler-based Jeep AAV TJL; the Kia Spectra; the Peugeot 405; and the Peugeot 406. Other automobile manufacturers in Egypt include Arab American Vehicles, Egy-Tech Engineering, Ghabbour Group, WAMCO (Watania Automotive Manufacturing Company) and MCV. MCV was established in 1994 to represent Mercedes-Benz in the commercial vehicle sector in Egypt, producing a range of buses and trucks for domestic sale and for export throughout the Arab World, Africa, Latin America and Eastern Europe. The manufacturing plant in El Salheya employs c. 2500 people. Abu Qir Fertilizers Company is one of the largest producers of nitrogen fertilizers in Egypt and the MENA region. It accounts for nearly 50% of all nitrogen fertilizer production in Egypt. The company was established in 1976 with the construction of its first ammonia urea production facility, located in Abu Qir, 20 kilometers east of Alexandria. Egypt Basic Industries Corporation (EBIC) is also one of the largest producers of ammonia in the country. Olympic Group is the largest Egyptian company in the field of domestic appliances. The company mainly manufactures washing machines, air conditioners, refrigerators, electric water heaters and gas cookers. Bahgat Group is a leading company in the fields of electronics, home appliances, furniture and real estate. It also owns TV stations. The group is composed of the following companies: Egy Aircon, International Electronics Products, Electrical Home appliances, General Electronics and Trading, Goldi Trading, Goldi Servicing, Egy Medical, Egyptian Plastic Industry, Egy House, Egy Speakers, Egy Marble, Dreamland and Dream TV. In 2022 Egypt was ranked the 20th largest steel producing country with a production of 9.8 million tons. EZDK is the largest steel company in Egypt and the Middle East, today part of Ezz Industries. It owns four steel plants in Alexandria, Sadat, Suez and 10th of Ramadan. It was ranked 77th on the list of the world's largest steel companies by the World Steel Association in 2020, with a production of 4.57 million tons. Textiles and clothing is one of the largest manufacturing and exporting processes in the country and a huge employment absorber. The Egyptian apparel industry is attractive for two reasons. Firstly, its proximity to European markets, whose rapidly changing fashions require quick replenishment. Egypt's geographical proximity to style-conscious Europe is a logistical advantage. Secondly, the production of garments is a low-capital and high-labor-intensive industry, and the local population of 66 million provides a ready workforce as well as a natural local consumer market that acts as a springboard for exports. The textile industry contributes with one quarter of Egypt's non-oil export proceeds, with Cotton textiles comprising the bulk of Egypt's TC export basket. The public sector accounts for 90% of cotton spinning, 60% of fabric production and 30% of apparel production in Egypt. Misr Fine Spinning and Weaving is the largest enterprise of its kind in Africa and the Middle East. The private sector apparel industry is one of the most dynamic manufacturing processes in Egypt. The requirements of importers to Egypt of textiles and leather products were set out in the Egyptian Ministerial decrees 626/2011 and 660/2011. The Egyptian trade oversight agency, the General Organization for Export and Import Control (GOEIC), demanded in June 2012 that an inspection certificate accompany each shipment, unless the importer is pre-registered with the GOEIC. The Ministerial Decrees demand that imported goods certify their compliance with the mandatory quality and safety standards of Egypt. Arafa Holding is a global apparel manufacturer and retailer, operating through a strong vertically integrated platform at the local & international levels. Egypt suffered blackouts during the summer of 2014 that lasted for up to six hours per day. A rapid series of reforms cut energy subsidies, and Egypt quickly developed the Zohr gas field in the Mediterranean, which was discovered in 2015. The country now has an oversupply of electricity and aims to source 20% of its electricity from renewables by 2022 and 55% by 2050. Egypt and Cyprus are considering implementing the proposed EuroAfrica Interconnector project. This consists of laying a 2000 MW HVDC undersea power cable between them and between Cyprus and Greece, thus connecting Egypt to the greater European power grid. Interconnector will transform Egypt in electricity hub between Europe and Africa. President of Egypt Abdel Fattah el-Sisi, President of Cyprus Nicos Anastasiades and the Prime Minister of Greece Alexis Tsipras met in Nicosia on 21 November 2017 and showed their full support for the EuroAfrica Interconnector pointing out its importance for energy security of three countries. On 29 October 2007, Egypt's president, Hosni Mubarak gave the go-ahead for building several nuclear power plants. Egypt's nuclear route is purely peaceful and fully transparent, but faces technical and financing obstacles. Egypt is a member of the IAEA and has both signed and ratified the Nuclear Nonproliferation Treaty (NPT). Currently, a draft Law on Nuclear Energy is being reviewed by the IAEA and expected to be passed by the Egyptian Parliament. Many other countries in the region, including Libya, Jordan, UAE, Morocco, and Saudi Arabia aspire to build nuclear power plants. Orascom Construction Industries is a leading Egyptian EPC (engineering, procurement and construction) contractor, based in Cairo, Egypt and active in more than 20 countries. OCI was established in Egypt in 1938 and owned by Onsi Sawiris. It was nationalized in 1953 and then again de-nationalized in 1977. The company is the first multinational Egyptian corporation, and is one of the core Orascom Group companies. As a cement producer, OCI owned and operated cement plants in Egypt, Algeria, Turkey, Pakistan, northern Iraq and Spain, which had a combined annual production capacity of 21 million tons."Orascom Construction Industries S.A.E. announces OCI Invests in DPRK Cement" (Press release). Orascom. 16 July 2007. Archived from the original on 4 July 2018. Retrieved 8 February 2022. The Talaat Moustafa Group (TMG), one of the largest conglomerates in Egypt, was founded by the former Talaat Moustafa and is headed by his son, Hisham Talaat Moustafa. The proposed new capital of Egypt is a large-scale project under construction since 2015, and was announced by then-Egyptian housing minister Moustafa Madbouly at the Egypt Economic Development Conference on 13 March 2015. New Alamein is another city that is currently being built in Egypt's north coast planned on an area of 48,000 feddans. New Alamein is one of the fourth generation cities being built in Egypt, and the first phase is scheduled to be concluded in a year. The banking sector has gone through many stages since the establishment of the first bank in 1856, followed by the emergence of private sector and joint venture banks during the period of the Open Door Policy in the 1970s. Moreover, the Egyptian banking sector has been undergoing reforms, privatization, and mergers and acquisitions from 1991 up to today. The banking system comprises 57 state-owned commercial banks. This includes 28 commercial banks, four of which are state-owned, 26 investment banks (11 joint venture banks and 15 branches of foreign banks), and three specialized banks. Although private and joint venture banks are growing, many remain relatively small with few branch networks. State-owned commercial banks still rank among the top lenders in Egypt's banking sector. Over the past decades, European banks have been exiting Egypt's financial sector. For instance, France's Société Générale sold National Société Générale Bank to Qatar National Bank (QNB) in 2012 which has been rebranded as QNB Alahli. Egypt's banking system has undergone major reforms since the 1990s and today consumers are faced with a liberalized and modernized system which is supervised and regulated according to internationally accepted standards. Although the mortgage market is underdeveloped in Egypt and as yet foreigners cannot yet obtain a mortgage for a property in Egypt. In the near future, a new mortgage law will enable purchasers to take out property loans. This will open up the market considerably and create a storm of development and real estate activity in the near future. Egypt has long been the cultural and informational centre of the Arab world, and Cairo is the region's largest publishing and broadcasting centre. The telecommunications liberalisation process started in 1998 and is still ongoing, but at a slow pace. Private sector companies operate in mobile telephony, and Internet access. There were 10 million fixed phone lines, 31 million mobile phones, and 8.1 million Internet users by the August 2007. Transport in Egypt is centered around Cairo and largely follows the pattern of settlement along the Nile. The main line of the nation's 4,800-kilometer (3,000 mi) railway network runs from Alexandria to Aswan and is operated by Egyptian National Railways. The road network has expanded rapidly to over 21,000 miles (34,000 km), covering the Nile Valley and Nile Delta, Mediterranean and Red Sea coasts, the Sinai, and the Western oases. In addition to overseas routes, Egypt Air provides reliable domestic air service to major tourist destinations from its Cairo hub. The Nile River system (about 1,600 km (990 mi).) and the principal canals (1,600 km.) are used for local transportation. The Suez Canal is a major waterway for international commerce and navigation, linking the Mediterranean and Red Sea. It is run by the Suez Canal Authority, headquartered in Port Said. The ministry of transportation, along with other governmental bodies are responsible for transportation in Egypt. Major ports are Alexandria, Port Said, and Damietta on the Mediterranean, and Suez, Ain Sokhna and Safaga on the Red Sea. The Egyptian tourism industry is one of the most important sectors in the economy, in terms of high employment and incoming foreign currency. It has many constituents of tourism, mainly historical attractions especially in Cairo, Luxor and Aswan, but also beach and other sea activities. The government actively promotes foreign tourism since it is a major source of currency and investment. The political instability since January 2011 caused a reduction in tourism, but the next year it was rising. In Upper Egypt, tourists that "provided one of the most important sources of income besides farming has dried out". Egypt's government announced the work on multiple projects within the tourism sector, most prominently the Grand Egyptian Museum. Set to open in June 2021, becoming the largest museum in the world. The Egyptian information and communications technology sector has been growing significantly since it was separated from the transportation sector. The market for telecommunications market was officially deregulated since the beginning of 2006 according to the WTO agreement signed in 2003. The government established ITIDA through Law 15 of the year 2004 as governmental entity. This agency aims at paving the way for the diffusion of the e-business services in Egypt capitalizing on different mandates of the authority as activating the Egyptian e-signature law and supporting an export-oriented IT sector in Egypt. While the move could open the market for new entrants, add and improve the infrastructure for its network, and in general create a competitive market, the fixed line market is de facto monopolized by Telecom Egypt. The cellular phone market was a duopoly with prices artificially high but witnessed in the past couple of years the traditional price war between the incumbents Mobinil and Vodafone. A 500 minutes outbound local and long-distance calling plan currently costs approximately US$30 as compared to approximately US$90 in 2005. While the current price is not so expensive, it is still above the international price as plans never allow "unlimited night & weekend minutes. A third GSM 3.5G license was awarded in April 2006 for US$3 billion to a consortium led by the UAE company Eitesalat (66%), Egypt Post (20%), the National Bank of Egypt (NBE) (10%), and the NBE's Commercial International Bank (4%), thus moving the market from duopoly to oligopoly. On 24 September 2006, the National Telecommunication Regulatory Authority (NTRA) announced a license award to Egyptian-Arab private sector consortium of companies to extend a maritime cable for international traffic. The US$120 million cable project will serve the Gulf region and south Europe. The construction of the cable should decrease the currently high international call costs and increase domestic demand on internet broadband services, in importantly increase exports of international telecommunication services of Egyptian companies, mostly in the Smart Village. It is expected that NTRA will award two licenses for international gateways using open technology and deploy WiMax technology enabling the delivery of last-mile wireless broadband access as an alternative to ADSL. The main barrier to growth for Egypt's ICT sector is the monopoly of telecommunication corporations and quarreling workforce. In 2009, three Egyptian companies were listed in the Forbes Global 2000 list – an annual ranking of the top 2000 public companies in the world by Forbes magazine. These companies were: The stock market capitalisation of listed companies in Egypt was valued at $79.672 billion in 2005 by the World Bank dropping to $58 billion in 2012. The Egyptian equity market is one of the most developed in the region with more than 633 listed companies. Market capitalization on the exchange doubled in 2005 from US$47.2 billion to US$93.5 billion in 2006, peaking at US$139 billion in 2007. Subsequently, it has fallen to US$58 billion in 2012, with turnover surging from US$1.16 billion in January 2005 to US$6 billion in January 2006. Private equity has not been widely used in Egypt in the past as a source of funding for businesses. The government, however, has instituted a number of policy changes and reforms specifically intended to develop internal private equity funds and to attract private equity funding from international sources. The major industries include textiles, hydrocarbon and chemical production, and generic pharmaceutical production. Unemployment is high at about 10.5%. Until 2003, the Egyptian economy suffered from shortages in foreign currency and excessively elevated interest rates. A series of budget reforms were conducted to redress weaknesses in Egypt's economic environment and to boost private sector involvement and confidence in the economy. Major fiscal reforms were introduced in 2005 to tackle the informal sector which according to estimates represents somewhere between 30% and 60% of GDP. Significant tax cuts for corporations were introduced for the first time in Egyptian history. The new Income tax Law No 91 for 2005 reduced the tax rate from 40% to 20%. According to government figures, tax filing by individuals and corporations increased by 100%. Many changes were made to cut trade tariffs. Among the legislators' goals were tackling the Black Market, reducing bureaucracy and pushing through trade liberalization measures. Amendments to Investment and Company law were introduced to attract foreign investors. For example, the number of days required for establishing a company was dramatically reduced. Significant improvement to the domestic economic environment increased investors' confidence in Egypt. The Cairo & Alexandria Stock Exchange is considered among the best ten emerging markets in the world. The changes to the policy also attracted increased levels of foreign direct investment in Egypt. According to the UN Conference on Trade and Development's World Investment Report, Egypt was ranked the largest country in attracting foreign investment in Africa. Given the large number of amendments to laws and regulations, Egypt has succeeded to a certain extent in conforming to international standards. Very recently the Cairo & Alexandria Stock Exchange (CASE) was welcomed with full membership into the World Federation of Exchanges (WFE)—the first Arab country to be invited. Enforcement of these newly adopted regulatory frameworks remain, sometime problematic. Problems like corruption hamper economic development in Egypt. Many scandals involving bribery were reported during the past years. "In 2002 alone, as many as 48 high-ranking officials—including former cabinet ministers, provincial governors and MPs were convicted of influence peddling, profiteering and embezzlement. Maintaining good relations with politicians is sometimes a key to business success in Egypt. On a scale from 0 to 10 (with 0 being highly corrupt), Egypt scored a 3.3.” According to a study by the International Organization for Migration, 20% of Egyptian remittance-receiving households interviewed channelled the remittances towards various forms of investment, while the large majority (80%) was more concerned about using remittances for meeting the daily needs of their families including spending on health care and education. Among the 20% of households that decided to invest, 39% invested in real estate, 22% invested in small businesses employing fewer than five people and the smallest proportions of investors (6%) invested in medium private business employing no more than 20 people. According to Egypt's Human Development Report 2008, despite representing approximately 5% of GDP, remittances provided the initial capital for only 1.4% of newly established small and medium enterprises in Egypt in 2003–2004. On 14 March 2020, the government of Egypt published Parliament Law No. 190 – which was established in the year 2019 – regarding getting Egyptian citizenship through investment. The minimum required contribution is US$250,000 with total procedure completion expected within a 6-9 month timeframe. The challenges of the global food crisis followed by challenges of the global financial crisis made room for more integrated policy reforms. Considering the massive economic measures that have been taken over the past 12 months or so, Egyptian economic policymakers score high based on the inside lag, i.e. the lapse of time between the moment that the shock began to affect the economy and the moment that economic (monetary and fiscal) policy as well as the regulatory policy are altered and put into effect in response to the shock to various markets: goods market (real GDP), the labor market (unemployment rate), money market (interest rate and inflation), and the financial (stock and bond) market. Indeed, moderate financial panic occurred driven—at least partially—by the fear that other investors are about to panic and sell. There were falls in stock and bond market prices, and rises in nominal interest rates. Egypt has a population of about 97 million, with the population concentrated within a region 20 miles (32 km) on either side of the Nile River. The majority of the population is employed in the services sector, followed by agriculture and industrial production. Approximately one-third of Egyptian labour is engaged directly in farming, and many others work in the processing or trading of agricultural products. Unemployment rate increased from 10.3% in FY2004 to 11.2% in 2005. The average rate of growth of employment in the publicly owned enterprises sector was −2% per year between FY1998 and FY2005 as a result of aggressive privatization program. On the other hand, private sector employment grew at an average rate of 3% over that period. In addition, the government sector employment grew by almost double the rate of the private sector over the same period. In general, the average weekly wage in the private sector is, in many instances, higher than that of the public sector. In some other instances, e.g. whole sale and retail trades, the weekly wage is lower by half of that in the public sector. As a result of the weakness role of the Ministry of Manpower and Trade Unions to create a balance between the rights of workers and the interests of owners of companies in the private sector, privatization has led to worsening employment problems and deterioration in their working environment and health, and many workers have recently resorted to strike and picketing. In an effort to quell discontent over rising food prices, Egypt offered government and public sector workers a pay rise of up to 30%. The offer came on the May day speech delivered by President Mubarak to the Egyptian General Federation of Trade Unions. "We must go in dealing with the current global (food) crisis, on two basic tracks (1) we must strengthen the food security of our low-income people, (2) we must achieve a balance between wages and prices." President Mubarak said. The pay rise originally proposed in the government budget ranged between 15% and 20%, but the decision to double it was given on heightened worries that widespread anger over prices could lead to a social explosion. The pay rise is initiated immediately, rather than waiting for the start of the new fiscal year on 1 July 2008 and is to be financed from real resources. While the headline CPI inflation rate was 15.8% (17.6% in rural areas, 14.4% in urban areas) in March 2008, the overall food price inflation rate was 23.7% (26.9% in rural areas, 20.5% in urban areas). Moreover, in April 2008 in urban areas, the headline CPI inflation rate reached 16.4% while food price inflation rate was 22.0%. This underlines the statement in (Nawar 2008) that "the inflation rate as measured by the headline CPI does not concern the poor and low-income people, who are the majority of people in rural and urban Egypt, since they spend most of their income on food." Approximately 55 million poor and low-income citizens, representing about 75% of the population, are currently enrolled in food ration cards. In April 2009 it was reported that Egypt feared the return of 500,000 Egyptian laborers working in the Gulf states. In May 2019, CAPMAS reported that the annual urban consumer price inflation of Egypt has been eased to 13% in April from 14.2% in March. The Minister of Economic Development, Othman Mohamed Othman, once mentioned that the poverty rate in Egypt had risen from 19 percent of the population in 2005 to 21 percent in 2009. In 2010–2011, the poverty rate in Egypt had risen to 25% of the population. Various statistical databases show that Egypt has: According to the 2005 Household Income, Expenditure and Consumption Survey (HIECS), estimated per capita poverty lines vary across the regions. Data from a World Bank and Ministry of Economic Development poverty assessment based on comparisons between actual expenditures (and the cost of a consumption basket securing 2470 calories per day per person), shows that individual Egyptians who spent less than LE 995 per year in 2005 are considered extreme poor, those who spent less than LE 1,423 per year are poor and those who spent less than LE 1,853 per year are near poor. Overall about 29.7% of the Egyptian population are in the range of extreme poor to near poor: Poverty has a strong regional dimension in Egypt and concentrates in Upper Egypt, both urban (18.6%) and rural (39.1), while metropolitan areas are the least poor (5.7%). The government is currently employing a recently completed poverty map as a tool for geographic targeting of public resources. According to a report published by the World Bank in April 2019, 60% population of the country is "either poor or vulnerable". Egypt's national poverty rate was 24.3% in 2010 and moved up to around 30% by 2015. According to the 2019 Global Hunger Index, Egypt suffers from a moderate level of hunger, ranking 61 of 117 countries, compared to 61 of 119 countries in 2018. Food affordability, quality and safety remain challenges as Egypt continues to rely on global markets for more than half of its staples. According to Rapid Assessment surveys conducted by the World Bank Group in 2011 and 2012, business managers rank informal gifts or payments, anticompetitive practices and regulatory policy uncertainty high on the list of obstacles to creating and growing a business. In addition, the amount of paperwork required for construction, imports, and exports is burdensome and the time for the government to process this paperwork is lengthy. Traders need to submit eight documents to export and ten to import—as opposed to France, for example, where only 2 documents are needed both for imports and exports. Additionally, there is no bankruptcy law in Egypt and entrepreneurs who fail to repay their debts can face prison. Egypt's fertility rate has dramatically declined since the 1960s (6.6 children per woman) to about 3.2 children per woman in 2021 but is still considered fairly high. Egypt's population grew from 44 million in 1981 to more than 106 million today. Businesses having more informal connections within the government receive preferable treatment navigating through Egypt's cumbersome regulatory framework, providing a disincentive for competition. An inefficient and sporadically enforced legal system and a widespread culture of corruption leave businesses reliant on the use of middlemen (known as wasta) to operate, and well-connected businesses enjoy privileged treatment. Facilitation payments are an established part of 'getting things done', despite irregular payments and gifts being criminalized. Egypt is the 117 least corrupt nation out of 175 countries, according to the 2017 Corruption Perceptions Index reported by Transparency International. Corruption Rank in Egypt averaged 86.48 from 1996 until 2017, reaching an all-time high of 118 in 2012 and a record low of 41 in 1996. Facilitation payments are regarded as bribery in many countries, which prevents many foreign entities from financial involvement with Egypt since they are a required part of doing business. Corruption makes the costs of both local goods as well as imports higher, decreasing the purchasing power of individuals which magnifies poverty. The country lacks sustainable pragmatic policies to combat poverty. Although these policies were adopted in an attempt to reduce economic burdens on the poor, they benefited the rich more which caused more problems to the poor and increased the burdens of the government. In fact, 83 percent of food subsidy, 76 percent of electricity subsidy, 87 percent of petroleum subsidy and 76 percent of the social safety net subsidy went to the non-poor instead of the poor. The failure in efficiently using the past bailout by the IMF has landed Egypt again in the same economic condition in August 2022 where it started. Egypt sought for a new loan from the International Monetary Fund (IMF) in August 2022, in order to deal with the fallout from sudden surge in prices, impacting the economic rights of the Egyptian people devastatingly. In July 2022, President Abdel Fattah al-Sisi requested his European allies to back him up in convincing the international financial institutions (IFI), including the IMF that the “situation in our country does not tolerate the applicable standards at this stage”, raising questions about what standards did he mean. Meanwhile, Sisi has been criticized for historically introducing economic policies that majorly benefited the elite, instead of protecting the public from the crisis. The Human Rights Watch demanded that IMF consider the human rights record of the Sisi regime as well as the failure of efficiently using the bailout funds by the IMF and other institutions.
[ { "paragraph_id": 0, "text": "The economy of Egypt used to be a highly centralized economy, focused on import substitution under president Gamal Abdel Nasser (1954–1970). During the rule of president Abdel Fattah el-Sisi (2014–present), the economy follows Egypt's 2030 Vision. The policy is aimed at diversifying Egypt's economy. The country's economy is the largest in Africa by nominal GDP, and 38th in worldwide ranking as of 2023.", "title": "" }, { "paragraph_id": 1, "text": "Since the 2000s, the pace of structural reforms (including fiscal and monetary policies, taxation, privatization and new business legislation) helped Egypt move towards a more market-oriented economy and prompted increased foreign investment. The reforms and policies have strengthened macroeconomic annual growth results. As Egypt's economy healed, other prominent issues like unemployment and poverty began to decline significantly. The country benefits from political stability; its proximity to Europe, and increased exports. From an investor perspective, Egypt is stable and well-supported by external stakeholders.", "title": "" }, { "paragraph_id": 2, "text": "The following table shows the main economic indicators in 1986–2021 (with IMF staff estimates in 2022–2027). Inflation below 10% is in green.", "title": "Data" }, { "paragraph_id": 3, "text": "From the 1850s until the 1930s, Egypt's economy was heavily reliant on long-staple cotton, introduced in the mid-1820s during the reign of Muhammad Ali (1805–49) and made possible by the switch from basin irrigation to perennial, modern irrigation. Cotton cultivation was a key ingredient in an ambitious program that the Egyptian ruler undertook to diversify and develop the economy.", "title": "History" }, { "paragraph_id": 4, "text": "Another such ingredient was industrialization. Industrialization, however, proved for various domestic and external reasons to be less than successful, and until the 1930s, virtually no industrial build-up occurred. The failure of industrialization resulted largely from tariff restrictions that Britain imposed on Egypt through a 1838 commercial treaty, which allowed only minuscule tariffs, if any. The isolated industrial ventures initiated by members of Egypt's landed aristocracy, who otherwise channeled their investment into land acquisition and speculation, were nipped in the bud by foreign competition. The few surviving enterprises were owned by foreigners. These enterprises either enjoyed natural protection, as in the case of sugar and cotton processing, or benefited from the special skills that the foreign owners had acquired, as in the case of cigarette making by Greeks and Turks.", "title": "History" }, { "paragraph_id": 5, "text": "World War I and the National Awakening: Important shortages during World War I and the demand created by the presence in the country of large Allied forces led to the opening of a number of small manufacturing plants, and older ones found it profitable to increase their output. There was no prospect for real progress in industrial development, however, until 1930, when the last of the commercial treaties with their \"most favoured nations\" clauses, expired. Nevertheless, the brief wartime prosperity had served a good purpose, It had awakened official Egypt, of which the higher echelons were at that time mainly representative of the class of great landlords, in whose hands the wealth of the country Is largely concentrated, to the country's potentialities for industrialization. It had also brought to official Egypt some appreciation of how much the country as a whole benefit if, for an economy baser' on the export of agricultural raw materials and the importation of manufactured goods, there could be substituted one in which a full effort was made to satisfy with local manufactures the local demand for such goods as could be produced from local raw materials.", "title": "History" }, { "paragraph_id": 6, "text": "The result was the appointment in 1916 of a Commission on Commerce and Industry to study the situation, the creation in 1920 in the Ministry of Finance of a department (now Ministry) of Commerce and Industry, and the founding in 1922 of a Federation of Industries. The report of the commission, issued in 1917, focused attention on the significance of industrialization as a step toward sound economy and a remedy for the country's already grave problem of overpopulation.", "title": "History" }, { "paragraph_id": 7, "text": "Tariff Reform and Direct Government Aid: Nevertheless, the date of the turning point in Egypt's industrial development may properly be said to be February 16, 1930, when the last of the commercial treaties, that with Italy, expired. The government had ready a tariff reform measure drafted by a committee of foreign experts engaged for the purpose in 1927, and, in command at last of its own tariff policy, put it into effect the very next day after the expiration of the treaty. The reforms were designed specifically to encourage and protect local manufacturing. High duties, in many cases practically prohibitive, were imposed on imports of products considered competitive with local products or for which the prospects for local manufacture seemed good. Duties on numerous raw materials were at the same time greatly reduced, although there were still many which, for revenue purposes, remained heavily taxed. The protection thus afforded to industry had an almost immediate effect, as is reflected by the increase in imports of raw material and machinery and decrease in those of manufactured goods in 1938 as compared-with 1913.", "title": "History" }, { "paragraph_id": 8, "text": "World War II Prosperity and After: As has been pointed out, World War II gave new impetus to industrialization. During much of the North African campaign Egypt was a strategic base for the Allied forces. The prosperity they brought meant greatly augmented demands for certain supplies that could be furnished only by local industry. Also, in the Middle East the difficulty of getting supplies from other sources greatly increased the demand for Egyptian products. Hence many of the local industries expanded and diversified their output, many new enterprises were founded, and a greatly enlarged trade with the Middle East opened Egyptian eyes to the marketing possibilities there. Scarcely less important, of some 300,000 Egyptians who were employed by the Allied forces, many gained technical training and experience in manufacturing and repair work and in the servicing and maintenance of equipment. The aftermath was quite different from that of World War I. Local consumers had become more accustomed to local manufactures, a greater variety of products was available, and the quality of many items had been improved so that they could compete successfully with imported products. Moreover, many industrial organizations had profited greatly from the rise in prices which accompanied the increased demand for their products, and hence, for the first time in the history of Egyptian industry, possessed reserve funds that they could use for further expansion, modernization of their equipment, and even for new ventures.", "title": "History" }, { "paragraph_id": 9, "text": "Consequently, no such decline in industrial activity ensued as that which followed the brief period of prosperity during World War I. Instead, many industries continued to expand and a number of new ones were founded. The manufacture of textiles, rayon, plastics, chemical fertilizers, rubber goods, pharmaceutics, and steel castings, and refrigeration were among the more important enterprises involved in this new development. During the three-year period immediately after the end of the war more than a hundred new stock companies, with a total capital of upwards of £20,000,000, were formed. Various concessions offered by the government also brought in a number of branches of foreign companies with a view both to satisfying the demand for certain commodities that local manufacturers could not duplicate and at the same time to providing additional employment for local labor - among them automobile assembly plants and plants for the manufacture of toilet soap, electrical fixtures, and soft drinks. In response to this surge in industrial activity the government proceeded to put into effect certain long-needed measures designed to promote the organization of industrial companies and to assist them with credit facilities. The most important of these measures were the enactment of a Companies Law in 1947 and in 1949 the foundation of an Industrial Bank in which 51 per cent of the shares were government owned.", "title": "History" }, { "paragraph_id": 10, "text": "The beginnings of industrialization awaited the depression of the late 1920s and 1930s and World War II. The depression sent cotton prices tumbling, and Britain acceded to Egyptian demands to raise tariffs. Moreover, World War II, by substantially reducing the flow of foreign goods into the country, gave further impetus to the establishment of import-substitution industries. A distinguishing feature of the factories built at this time was that they were owned by Egyptian entrepreneurs.", "title": "History" }, { "paragraph_id": 11, "text": "In spite of the lack of industrialization, the economy grew rapidly throughout the nineteenth century. Growth, however, was confined to the cotton sector and the supporting transportation, financial, and other facilities. Little of the cotton revenues was invested in economic development. The revenues were largely drained out of the country as repatriated profits or repayments of debts that the state had incurred to pay for irrigation works and the extravagance of the khedives.", "title": "History" }, { "paragraph_id": 12, "text": "Rapid economic growth ended in the early 1900s. The supply of readily available land had been largely exhausted and multiple cropping, concentration on cotton, and perennial irrigation had lessened the fertility of the soil. Cotton yields dropped in the early 1900s and recovered their former level only in the 1940s, through investments in modern inputs such as fertilizers and drainage.", "title": "History" }, { "paragraph_id": 13, "text": "The fall in agricultural productivity and trade led to a stagnation in the per capita gross national product (GNP) between the end of World War I and the 1952 Revolution: the GNP averaged LE 43.0, in 1954 prices, at both ends of the period. By 1952 Egypt was in the throes of both economic and political crises, which culminated in the assumption of power by the Free Officers.", "title": "History" }, { "paragraph_id": 14, "text": "By necessity if not by design, the revolutionary regime gave considerably greater priority to economic development than did the monarchy, and the economy has been a central government concern since then. While the economy grew steadily, it sometimes exhibited sharp fluctuations. Analysis of economic growth is further complicated by the difficulty in obtaining reliable statistics. Growth figures are often disputed, and economists contend that growth estimates may be grossly inaccurate because of the informal economy and workers' remittances, which may contribute as much as one-fourth of GNP. According to one estimate, the gross domestic product (GDP), at 1965 constant prices, grew at an annual compound rate of about 4.2 percent between 1955 and 1975. This was about 1.7 times larger than the annual population growth rate of 2.5 percent in the same period. The period between 1967 and 1974, the final years of Gamal Abdul Nasser's presidency and the early part of Anwar el-Sadat's, however, were lean years, with growth rates of only about 3.3 percent. The slowdown was caused by many factors, including agricultural and industrial stagnation and the costs of the June 1967 war. Investments, which were a crucial factor for the preceding growth, also nose-dived and recovered only in 1975 after the dramatic 1973 increase in oil prices.", "title": "History" }, { "paragraph_id": 15, "text": "Like most countries in the Middle East, Egypt partook of the oil boom and suffered the subsequent slump. Available figures suggest that between 1975 and 1980 the GDP (at 1980 prices) grew at an annual rate of more than 11 percent. This impressive achievement resulted, not from the contribution of manufacturing or agriculture, but from oil exports, remittances, foreign aid, and grants. From the mid-1980s, GDP growth slowed as a result of the 1985-86 crash in oil prices. In the two succeeding years, the GDP grew at no more than an annual rate of 2.9 percent. Of concern for the future was the decline of the fixed investment ratio from around 30 percent during most of the 1975-85 decade to 22 percent in 1987.", "title": "History" }, { "paragraph_id": 16, "text": "Several additional economic periods followed:", "title": "History" }, { "paragraph_id": 17, "text": "Under comprehensive economic reforms initiated in 1991, Egypt has relaxed many price controls, reduced subsidies, reduced inflation, cut taxes, and partially liberalized trade and investment. Manufacturing had become less dominated by the public sector, especially in heavy industries. A process of public sector reform and privatization has begun to enhance opportunities for the private sector.", "title": "Reform era" }, { "paragraph_id": 18, "text": "Agriculture, mainly in private hands, has been largely deregulated, with the exception of cotton and sugar production. Construction, non-financial services, and domestic wholesale and retail trades are largely private. This has promoted a steady increase of GDP and the annual growth rate. The Government of Egypt tamed inflation bringing it down from double-digit to a single digit. Currently, GDP is rising smartly by 7% per annum due to successful diversification.", "title": "Reform era" }, { "paragraph_id": 19, "text": "Gross domestic product (GDP) per capita based on purchasing-power-parity (PPP) increased fourfold between 1981 and 2006, from US$1,355 in 1981, to US$2,525 in 1991, to US$3,686 in 2001 and to an estimated US$4,535 in 2006. Based on national currency, GDP per capita at constant 1999 prices increased from LE 411 in 1981, to LE 2,098 in 1991, to LE 5,493 in 2001 and to LE 8,708 in 2006.", "title": "Reform era" }, { "paragraph_id": 20, "text": "Based on the current US$ prices, GDP per capita increased from US$587 in 1981, to US$869 in 1991, to US$1,461 in 2001 and to an estimated US$1,518 (which translates to less than US$130 per month) in 2006. According to the World Bank Country Classification, Egypt has been promoted from the low income category to lower middle income category. As of 2013, the average weekly salaries in Egypt reached LE 641 (approx. US$92), which grew by 20% from the previous year.", "title": "Reform era" }, { "paragraph_id": 21, "text": "The reform program is a work in progress. Noteworthy that the reform record has substantially improved since Nazif government came to power. Egypt has made substantial progress in developing its legal, tax and investment infrastructure. Indeed, over the past five years, Egypt has passed, amended and admitted over 15 legislative pieces. The economy is expected to grow by about 4% to 6% in 2009–2010.", "title": "Reform era" }, { "paragraph_id": 22, "text": "Surging domestic inflationary pressures from both economic growth and elevated international food prices led the Central Bank of Egypt to increase the overnight lending and deposit rates in sequential moves since February 2008. The rates stood at 11.5% and 13.5%, respectively, since 18 September 2008.", "title": "Reform era" }, { "paragraph_id": 23, "text": "The rise of the World Global Financial Crisis led to a set of fiscal-monetary policy measures to face its repercussions on the national economy, including reducing the overnight lending and deposit rates by 1% on 12 February 2009. The rates currently stand at 10.5% and 12.5%, respectively.", "title": "Reform era" }, { "paragraph_id": 24, "text": "Reform of energy and food subsidies, privatization of the state-owned Bank of Cairo, and inflation targeting are perhaps the most controversial economic issues in 2007–2008 and 2008–2009.", "title": "Reform era" }, { "paragraph_id": 25, "text": "Egypt's trade balance marked US$10.36 billion in FY2005 compared to US$7.5 billion. Egypt's main exports consist of natural gas, and non-petroleum products such as ready-made clothes, cotton textiles, medical and petrochemical products, citrus fruits, rice and dried onion, and more recently cement, steel, and ceramics.", "title": "Reform era" }, { "paragraph_id": 26, "text": "Egypt's main imports consist of pharmaceuticals and non-petroleum products such as wheat, maize, cars and car spare parts. The current account grew from 0.7% of GDP in FY2002 to 3.3% at FY2005. Egypt's Current Account made a surplus of US$4,478 million in FY2005 compared to a deficit of US$158 million in FY2004. Italy and the USA are the top export markets for Egyptian goods and services. In the Arab world, Egypt has the largest non-oil GDP as of 2018.", "title": "Reform era" }, { "paragraph_id": 27, "text": "According to the International Organization for Migration, an estimated 2.7 Million Egyptians abroad contribute actively to the development of their country through remittance inflows, circulation of human and social capital, as well as investment. In 2009 Egypt was the biggest recipient of remittances in the Middle East; an estimated US$7.8 bn was received in 2009, representing approximately 5% of national GDP, with a decline of 10% from 2008, due mostly to the effect of the financial crisis. According to data from Egypt's Central Bank, the United States was the top sending country of remittances (23%), followed by Kuwait (15%), the United Arab Emirates (14%) and Saudi Arabia (9%).", "title": "Reform era" }, { "paragraph_id": 28, "text": "On the revenues side, total revenues of the government were LE 89.1 billion in FY2002 and are projected to reach LE 184.7 bn in FY2008. Much of the increase came from a rise in customs, excise and tax revenues, particularly personal income and sales, entertainment, and vice taxes which constituted the bulk of total domestic taxes, due to recent tax reforms. This trend is likely to gradually widen the tax base in the forthcoming years. Revenues, however, have remained more or less constant (about 21% ) as a percentage of the GDP over the past few years.", "title": "Reform era" }, { "paragraph_id": 29, "text": "On the expenditures side, strong expenditure growth has remained a main feature of the budget. This is mainly a result of continued strong expansion of (1) the public-sector wages driven by government pledges. Wages and Compensations increased from LE 30.5 bn in FY2002 to LE 59.6 bn in FY2008; (2) high interest payments on the public debt stock. Interest payments rose from LE 21.8 bn in FY2002 to LE 52.0 bn in FY2008. Importantly, dramatic increase in domestic debt which is projected to be roughly 62% of GDP in FY2008 up from 58.4% in FY2002; and (3) the costs of food and energy subsidies, which rose from LE 18.0 bn in FY2002 to LE 64.5 bn in FY2008.", "title": "Reform era" }, { "paragraph_id": 30, "text": "The overall deficit, after adjusting for net acquisition of financial assets, remains almost unchanged from the cash deficit. The budget's overall deficit of LE 43.8 bn or −10.2% of GDP for FY2002 has become LE 49.2 bn in FY2007, so that is narrowed to −6.7% of GDP. Deficit is financed largely by domestic borrowing and revenue from divestment sales, which became a standard accounting practice in budget Egypt. The government aims at more sales of State assets in FY2008.", "title": "Reform era" }, { "paragraph_id": 31, "text": "Recently, the fiscal conduct of the government faced strong criticism and heated debate in the Egyptian Parliament. Remarks were made about weak governance and management, loose implementation of tax collection procedures and penalties for offenders, and improper accounting of the overall system of basic subsidies and domestic debt, leading to domestic market disruptions, high inflation, increased inefficiencies and waste in the domestic economy.", "title": "Reform era" }, { "paragraph_id": 32, "text": "Treasury bonds and notes issued to the Central Bank of Egypt constitute the bulk of the government domestic debt. Since FY2001, net government domestic debt (i.e. after excluding budget sector deposits) has been rising at a fluctuating but increasing rate. In 2014, it reached 77% up from 54.3% of GDP in 2001.", "title": "Reform era" }, { "paragraph_id": 33, "text": "A report by Strategic Foresight Group has calculated the opportunity cost of conflict for Egypt since 1991 is almost US$800 billion. In other words, had there been peace since 1991, an average Egyptian citizen would be earning over US$3,000 instead of US$1,700 he or she may earn next year.", "title": "Reform era" }, { "paragraph_id": 34, "text": "The Central Bank of Egypt is the national reserve bank and controls and regulates the financial market and the Egyptian pound. There is a State regulatory authority for the Cairo Stock Exchange. State-owned or Nationalized banks still account for 85% of bank accounts in Egypt and around 60% of the total savings. The penetration of banking is low in rural areas at only 57% of households.", "title": "Reform era" }, { "paragraph_id": 35, "text": "Up until 2007, there have been several favorable conditions that allowed the Central Bank of Egypt to accumulate net international reserves, which increased from US$20 billion in FY2005, to US$23 billion in FY2006, and to US$30 billion FY2007 contributing to growth in both reserve money and in broad money (M2). This declined to US$16.4 billion in Oct 2015, according to the Central Bank of Egypt.", "title": "Reform era" }, { "paragraph_id": 36, "text": "Credit extended to the private sector in Egypt declined significantly reaching about LE 5 billion in FY2005. This credit crunch is due to the non-performing loans extended by the banks to business tycoons and top government officials.", "title": "Reform era" }, { "paragraph_id": 37, "text": "Lending criteria have been tightened following the passing of Money Laundry Law 80 in 2002 and Banking Law 88 in 2003. Interest rates are no longer the dominant factor in banks' lending decisions. In fact, both the inefficiency and absence of the role of the Central Bank of Egypt in qualitative and quantitative control as well as implementing banking procedures and standards was almost entirely responsible for the non-performing loans crisis. Banks steadily reduced credit from its peak of about LE 30 billion in FY1999 and alternatively invested in more liquid no-risk securities such as treasury bills and government bonds. Improving private sector access to credit will critically depend on resolving the problem of non-performing loans with businesses and top government officials.", "title": "Reform era" }, { "paragraph_id": 38, "text": "The era of inflation targeting—i.e. maintaining inflation within a band—has perhaps begun in Egypt more recently. Country experiences show that inflation targeting is a best-practice strategy for monetary policy. While the monetary policy appears more responsive to inflationary pressures recently in Egypt, it is noted that there is no core inflation measure and the Central Bank of Egypt takes targeting decisions based on the inflation rate released by the CAPMAS consumer price index off-the-shelf.", "title": "Reform era" }, { "paragraph_id": 39, "text": "Surging domestic inflationary pressures from both economic growth and elevated international food prices led the Central Bank of Egypt (CBE) to increase the overnight lending and deposit rates in sequential moves since 2008: it was raised by 0.25% on 10 February 2008, by 0.5% on 25 March 2008, by 0.5% on 8 May 2008, by 0.5% on 26 June 2008, by 0.5% on 7 August 2008 and most recently on 18 September 2008 for the sixth time in a year by 0.5% when it stood at 11.5% and 13.5%, respectively.", "title": "Reform era" }, { "paragraph_id": 40, "text": "The rise of the World Global Financial Crisis led to a set of fiscal-monetary policy measures to face its repercussions on the national economy, including reducing the overnight lending and deposit rates by 1% on 12 February 2009. The rates currently stand at 10.5% and 12.5%, respectively. The CBE is expected to further cut on interest rates over 2009, with seemingly little fear on Egyptian pound depreciation resulting from decreased interest rates.", "title": "Reform era" }, { "paragraph_id": 41, "text": "The exchange rate has been linked to the US dollar since the 1950s. Several regimes were adopted including initially the conventional peg in the sixties, regular crawling peg in the seventies and the eighties and crawling bands in the nineties. Over that time period, there were several exchange rate markets including black market, parallel market and the official market. With the turn of the new millennium, Egypt introduced a managed float regime and successfully unified the pound exchange rate vis-à-vis foreign currencies.", "title": "Reform era" }, { "paragraph_id": 42, "text": "The transition to the unified exchange rate regime was completed in December 2004. Shortly later, Egypt has notified the International Monetary Fund (IMF) that it has accepted the obligations of Article VIII, Section 2, 3, and 4 of the IMF Articles of Agreement, with effect from 2 January 2005. IMF members accepting the obligations of Article VIII undertake to refrain from imposing restrictions on the making of payments and transfers for current international transactions, or from engaging in discriminatory currency arrangements or multiple currency practices, except with IMF approval.", "title": "Reform era" }, { "paragraph_id": 43, "text": "By accepting the obligations of Article VIII, Egypt gives assurance to the international community that it will pursue economic policies that will not impose restrictions on the making of payments and transfers for current international transactions unnecessary, and will contribute to a multilateral payments system free of restrictions.", "title": "Reform era" }, { "paragraph_id": 44, "text": "In the fiscal year 2004 and over most of the fiscal year 2005, the pound depreciated against the US dollar. Since the second half of the fiscal year 2006 until the end of the fiscal year 2007, the pound gradually appreciated to LE 5.69 per US$1. While it was likely to continue appreciating in the short-term, given the skyrocketing oil prices and the weakening US economy, the advent of the global economic crisis of 2008, and resulting behavior of foreign investors exiting from the stock market in Egypt increased the dollar exchange rate against the Egyptian pound, which rose by more than 4% since Lehman Brothers declared bankruptcy. As the demand pressure from exiting foreign investors eases, the dollar exchange rate against the Egyptian pound is expected to decline. It stands at LE 7 per US$1 as of 18 June 2013. Due to the rising power of the US dollar, as of January 2015 one dollar equals LE 7.83.", "title": "Reform era" }, { "paragraph_id": 45, "text": "On 3 November 2016, the Egyptian government announced that it would float the Egyptian pound in an effort to revive its economy, which had been suffering since 2011.", "title": "Reform era" }, { "paragraph_id": 46, "text": "The conditions of a 2022 IMF loan required the currency to float with the result that it depreciated rapidly prompting international institutions and neighbors such as Saudi Arabia to help. The country has $83.3 B of foreign-currency debt outstanding.", "title": "Reform era" }, { "paragraph_id": 47, "text": "Warm weather and plentiful water have in the past produced several crops a year. However, since 2009 increasing desertification has become a problem. \"Egypt loses an estimated 11,736 hectares of agricultural land every year, making the nation's 3.1 million hectares of agricultural land prone \"to total destruction in the foreseeable future\", said Abdel Rahman Attia, a professor of agriculture at Cairo University, to IRIN. Scarcity of clean water is also a problem.", "title": "Natural resources" }, { "paragraph_id": 48, "text": "Cotton, rice, wheat, corn, sugarcane, sugar beets, onions, tobacco, and beans are the principal crops. Land is worked intensively and yields are high. Increasingly, a few modern techniques are applied to producing fruits, vegetables and flowers, in addition to cotton, for export. Further improvement is possible. The most common traditional farms occupy 0.40 hectares (1 acre) each, typically in a canal-irrigated area along the banks of the Nile. Many small farmers also own cows, water buffalos, and chickens. Between 1953 and 1971, some farms were collectivised, especially in Upper Egypt and parts of the Nile Delta.", "title": "Natural resources" }, { "paragraph_id": 49, "text": "Several researchers questioned the domestic (and import) policies for dealing with the so-called the \"wheat game\" since the former Minister of Agriculture Yousef Wali was in office ( 1982-2004 ).", "title": "Natural resources" }, { "paragraph_id": 50, "text": "In 2006, areas planted with wheat in Egypt exceeded 160,000 hectares (400,000 acres) producing approximately 6 million metric tons. The domestic supply price farmers receive in Egypt is LE 1,200 ( ≈ {\\displaystyle \\approx } US$211) per ton compared to approximately LE 1,940 ( ≈ {\\displaystyle \\approx } US$340) per ton for import from the US, Egypt's main supplier of wheat and corn. Egypt is the U.S.'s largest market for wheat and corn sales, accounting for US$1 billion annually and about 46% of Egypt's needs from imported wheat. Other sources of imported wheat, include Kazakhstan, Canada, France, Syria, Argentina, and Australia. There are plans to increase the areas planted with wheat up to nearly 1,200,000 hectares (3×10^ acres) by 2017 to narrow the gap between domestic food supply and demand. However, the low amount of gluten in Egypt wheat means that foreign wheat must be mixed in to produce bread that people will want to eat.", "title": "Natural resources" }, { "paragraph_id": 51, "text": "Egypt would be the first ever electronic Egyptian Commodities Exchange in the MENA region to facilitate the well-being of its small farmers and supply of products at reasonable prices abolishing the monopoly of goods.", "title": "Natural resources" }, { "paragraph_id": 52, "text": "", "title": "Natural resources" }, { "paragraph_id": 53, "text": "The Western Desert accounts for about two-thirds of the country's land area. For the most part, it is a massive sandy plateau marked by seven major depressions. One of these, Fayoum, was connected about 3,600 years ago to the Nile by canals. Today, it is an important irrigated agricultural area.", "title": "Natural resources" }, { "paragraph_id": 54, "text": "Practically all Egyptian agriculture takes place in some 25,000 km (6 million acres) of fertile soil in the Nile Valley and Delta.", "title": "Natural resources" }, { "paragraph_id": 55, "text": "Some desert lands are being developed for agriculture, including the controversial but ambitious Toshka project in Upper Egypt, but some other fertile lands in the Nile Valley and Delta are being lost to urbanization and erosion. Larger modern farms are becoming more important in the desert.", "title": "Natural resources" }, { "paragraph_id": 56, "text": "The agriculture objectives on the desert lands are often questioned; the desert farm lands which were offered regularly at different levels and prices were restricted to a limited group of elites selected very carefully, who later profiteered retailing the granted large desert farm land by pieces. This allegedly transforms the desert farms to tourist resorts, hits all government plans to develop and improve the conditions of the poor, and causes serious negative impact on agriculture and the overall national economy over time. One company, for example, bought over 70 hectares of large desert farm for a price as low as LE 0.05 per square meter and now sells for LE 300 per square meter. In numbers, 70 hectares bought for about US$6,000 in 2000 sells for over US$3.7 million in 2007. Currently, no clear solution exists to deal with these activities.", "title": "Natural resources" }, { "paragraph_id": 57, "text": "Agriculture biomass, including agricultural wastes and animal manure, produce approximately 30 million metric tons of dry material per year that could be massively and decisively used, inter alia, for generating bioenergy and improve the quality of life in rural Egypt. Despite plans of establishing waste-to-energy plants, this resource remains terribly underused.", "title": "Natural resources" }, { "paragraph_id": 58, "text": "Since early 2008, with the world food prices soaring, especially for grains, calls for striking a \"new deal\" on agriculture increased. Indeed, 2008 arguably marks the birth of a new national agriculture policy and reform.", "title": "Natural resources" }, { "paragraph_id": 59, "text": "Acquisition and ownership of desert land in Egypt is governed by so-called \"Egyptian Desert Land Law\". It defines desert land as the land two kilometers outside the border of the city. Foreign partners and shareholders may be involved in ownership of the desert land, provided Egyptians own at least 51% of the capital.", "title": "Natural resources" }, { "paragraph_id": 60, "text": "\"Egypt\", wrote the Greek historian Herodotus 25 centuries ago, \"is the gift of the Nile.\" The land's seemingly inexhaustible resources of water and soil carried by this mighty river created in the Nile Valley and Delta the world's most extensive oasis. Without the Nile River, Egypt would be little more than a desert wasteland.", "title": "Natural resources" }, { "paragraph_id": 61, "text": "The river carves a narrow, cultivated floodplain, never more than 20 kilometers wide, as it travels northward toward Cairo from Lake Nasser on the Sudanese border, behind the Aswan High Dam. Just north of Cairo, the Nile spreads out over what was once a broad estuary that has been filled by riverine deposits to form a fertile delta about 250 kilometers (160 mi) wide at the seaward base and about 160 kilometers (99 mi) from south to north.", "title": "Natural resources" }, { "paragraph_id": 62, "text": "Before the construction of dams on the Nile, particularly the Aswan High Dam (started in 1960, completed in 1970), the fertility of the Nile Valley was sustained by the water flow and the silt deposited by the annual flood. Sediment is now obstructed by the Aswan High Dam and retained in Lake Nasser. The interruption of yearly, natural fertilization and the increasing salinity of the soil has been a manageable problem resulting from the dam. The benefits remain impressive: more intensive farming on thousands of square kilometers of land made possible by improved irrigation, prevention of flood damage, and the generation of millions of gigajoules of electricity at low cost.", "title": "Natural resources" }, { "paragraph_id": 63, "text": "The rain falling on the coast of the southern regions are the main source of recharge of the main reservoir. There is a free-floating layer of the reservoir water on top of sea water up to a distance of 20 km south of the Mediterranean Sea. The majority of wells in the coastal plain depend on the water level in the main reservoir. The coastal water supply comes from water percolating through the coastal sand and water runoff from the south. This low salinity water is used for many purposes.", "title": "Natural resources" }, { "paragraph_id": 64, "text": "Egypt's mineral and energy resources include petroleum, natural gas, phosphates, gold and iron ore. Crude oil is found primarily in the Gulf of Suez and in the Western Desert. Natural gas is found mainly in the Nile Delta, off the Mediterranean shore, and in the Western Desert. Oil and gas accounted for approximately 7% of GDP in fiscal year 2000–01.", "title": "Natural resources" }, { "paragraph_id": 65, "text": "Export of petroleum and related products amounted to US$2.6 billion in the year 2000. In late 2001, Egypt's benchmark \"Suez Blend\" was about US$16.73 per barrel ($105/m³), the lowest price since 1999.", "title": "Natural resources" }, { "paragraph_id": 66, "text": "Crude oil production has been in decline for several years since its peak level in 1993, from 941,000 bbl/d (149,600 m/d) in 1993 to 873,000 bbl/d (138,800 m/d) in 1997 and to 696,000 bbl/d (110,700 m/d) in 2005. (See Figure). At the same time, the domestic consumption of oil increased steadily (531,000 bbl/d (84,400 m/d) and 525,000 bbl/d (83,500 m/d) in 1997 and 2005 respectively), but in 2008, oil consumption reached to 697,000 bbl/d (110,800 m/d). It is easy to see from the graph that a linear trend projects that domestic demand outpaced supply in (2008–2009), turning Egypt to a net importer of oil. To minimize this potential, the government of Egypt has been encouraging the exploration, production and domestic consumption of natural gas. Oil Production was 630 bbl/d (100 m/d) in 2008, and natural gas output continued to increase and reached 48.3 billion cubic meters in 2008.", "title": "Natural resources" }, { "paragraph_id": 67, "text": "Domestic resources meet only about 33% of Egypt's domestic demand, meaning large imports from Saudi Arabia, UAE and Iraq are necessary.", "title": "Natural resources" }, { "paragraph_id": 68, "text": "Over the last 15 years, more than 180 petroleum exploration agreements have been signed and multinational oil companies spent more than US$27 billion in exploration companions. These activities led to the findings of about 18 crude oil fields and 16 natural gas fields in FY 2001. The total number of findings rose to 49 in FY 2005. As a result of these findings, crude oil reserves as of 2009 are estimated at 3.7 billion barrels (590,000,000 m), and proven natural gas reserves are 1.656 trillion cubic meters with likely additional discoveries with more exploration campaigns.", "title": "Natural resources" }, { "paragraph_id": 69, "text": "In August 2007, it was announced that signs of oil reserves in Kom Ombo basin, about 28 miles (45 km) north of Aswan, was found and a concession agreement was signed with Centorion Energy International for drilling. The main natural gas producer in Egypt is the International Egyptian Oilfield Company (IEOC), a branch of Italian Eni. Other companies including BP, APA Corporation and Royal Dutch Shell carry out activities of exploration and production by means of concessions granted for a period of generally ample time (often 20 years) and in different geographic zones of oil and gas deposits in the country.", "title": "Natural resources" }, { "paragraph_id": 70, "text": "Gold mining is more recently a fast-growing industry with vast untapped gold reserves in the Eastern Desert. To develop this nascent sector the Egyptian government took a first step by awarding mineral concessions, in what was considered the first international bid round. Two miners who have produced encouraging technical results include AngloGold Ashanti and Alexander Nubia International.", "title": "Natural resources" }, { "paragraph_id": 71, "text": "Gold production facilities are now reality from the Sukari Hills, located close to Marsa Alam in the Eastern Desert. The concession of the mine was granted to Centamin, an Australian joint stock company, with a gold exploitation lease for a 160-square-kilometer area. Sami El-Raghy, Centamin chairman, has repeatedly stated that he believes Egypt's yearly revenues from gold in the future could exceed the total revenues from the Suez Canal, tourism and the petroleum industry.", "title": "Natural resources" }, { "paragraph_id": 72, "text": "The Ministry of Petroleum and Mineral Resources has established expanding the Egyptian petrochemical industry and increasing exports of natural gas as its most significant strategic objectives and in 2009 about 38% of local gas production was exported.", "title": "Natural resources" }, { "paragraph_id": 73, "text": "As of 2009, most Egyptian gas exports (approximately 70%) are delivered in the form of liquefied natural gas (LNG) by ship to Europe and the United States. Egypt and Jordan agreed to construct the Arab Gas Pipeline from Al Arish to Aqaba to export natural gas to Jordan; with its completion in July 2003, Egypt began to export 1.1 billion cubic feet (31,000,000 m) of gas per year via pipeline as well. Total investment in this project is about $220 million. In 2003, Egypt, Jordan and Syria reached an agreement to extend this pipeline to Syria, which paves the way for a future connection with Turkey, Lebanon and Cyprus by 2010. As of 2009, Egypt began to export to Syria 32.9 billion cubic feet (930,000,000 m) of gas per year, accounting for 20% of total consumption in Syria.", "title": "Natural resources" }, { "paragraph_id": 74, "text": "In addition, the East Mediterranean Gas (EMG), a joint company established in 2000 and owned by Egyptian General Petroleum Corporation (EGPC) (68.4%), the private Israeli company Merhav (25%) as well as Ampal-American Israel Corp. (6.6%), has been granted the rights to export natural gas from Egypt to Israel and other locations in the region via underwater pipelines from Al 'Arish to Ashkelon which will provide Israel Electric Corporation (IEC) 170 million cubic feet (4.8×10^ m) of gas per day. Gas supply started experimentally in the second half of 2007. As of 2008, Egypt produces about 6.3 billion cubic feet (180×10^ m), from which Israel imports of 170 million cubic feet (4.8×10^ m) account for about 2.7% of Egypt's total production of natural gas. According to a statement released on 24 March 2008, Merhav and Ampal's director, Nimrod Novik, said that the natural gas pipeline from Egypt to Israel can carry up to 9 billion cubic meters annually which sufficiently meet rising demand in Israel in the coming years.", "title": "Natural resources" }, { "paragraph_id": 75, "text": "According to a memorandum of understanding, the commitment of Egypt is 680 million cubic feet (19×10^ m) contracted for 15 years at a price below US$3 per million British thermal units, though this was renegotiated at a higher price in 2009 (to between US$4 and US$5 per million BTU), while the amounts of gas supplied were increased. Exporting natural gas to Israel faces broad popular opposition in Egypt.", "title": "Natural resources" }, { "paragraph_id": 76, "text": "Agreements between Egypt and Israel allow for Israeli entities to purchase up to 7 billion cubic meters of Egyptian gas annually, making Israel one of Egypt's largest natural gas export markets. The decision to export of natural gas to Israel was passed in 1993 at the time when Dr. Hamdy Al-Bambi was Minister of Petroleum and when Mr. Amr Moussa was Minister of Foreign Affairs. The mandate to sign of the memorandum of understanding (MoU) to delegate to the Ministry of Petroleum represented by the Egyptian General Petroleum Company (EGPC) to contract with EMG Company was approved by the former Prime Minister Dr. Atef Ebeid in the Cabinet's meeting No. 68 on 5 July 2004 when he served as the acting \"President of the Republic\" when President Hosni Mubarak was receiving medical treatment in Germany.", "title": "Natural resources" }, { "paragraph_id": 77, "text": "A new report by Strategic Foresight Group on the Cost of Conflict in the Middle East also details how in the event of peace an oil and gas pipeline from Port Said to Gaza to Lebanon would result in a transaction value for Egypt to the tune of $1–2 billion per year.", "title": "Natural resources" }, { "paragraph_id": 78, "text": "As of June 2009, it was reported that Cairo said Israelis will dig for oil in Sinai. This report comes in the time in which the government is heavily criticized for exporting natural gas to Israel at an extremely low rate.", "title": "Natural resources" }, { "paragraph_id": 79, "text": "Starting in 2014, the Egyptian government has been diverting gas supplies produced at home to its domestic market, reducing the volumes available for export in liquefied form. According to the memorandum of understanding, the Leviathan field off Israel's Mediterranean coast would supply 7 billion cubic meters annually for 15 years via an underwater pipeline. This equates to average volumes of 685 million cubic feet a day, the equivalent of just over 70% of the BG-operated Idku plant's daily volumes.", "title": "Natural resources" }, { "paragraph_id": 80, "text": "In March 2015, BP Signed a $12 billion deal to develop natural gas in Egypt intended for sale in the domestic market starting in 2017. BP said it would develop a large quantity of offshore gas, equivalent to about one-quarter of Egypt's output, and bring it onshore to be consumed by customers. Gas from the project, called West Nile Delta, is expected to begin flowing in 2017. BP said that additional exploration might lead to a doubling of the amount of gas available.", "title": "Natural resources" }, { "paragraph_id": 81, "text": "Irrigation plays a major role in a country the very livelihood of which depends upon a single river, the Nile. Most ambitious of all the irrigation projects is that of the Aswan High Dam, completed in 1971. A report published in March 1975 by the National Council for Production and Economic Affairs indicated that the dam had proved successful in controlling floodwaters and ensuring recurring water supply, but that water consumption had been more than needed and shall be controlled. Some precious land was lost below the dam because the flow of Nile silt was stopped, and increased salinity remains a major problem. Furthermore, five years of drought in the Ethiopia highlands—the source of the Nile River's water—caused the water level of Lake Nasser, the Aswan High Dam's reservoir, to drop to the lowest level in 1987.", "title": "Main economic sectors" }, { "paragraph_id": 82, "text": "In 1996, the level of water behind the High Dam and in Lake Nasser reached the maximum level since the completion of the dam. Despite this unusual abundance of water supply, Egypt can only use 55.5 billion cu m (1.96 trillion cu ft) every year, according to the Nile Basin Agreement signed in 1959 between Egypt and Sudan. Another major project designed to address the water scarcity problem is the New Valley Project (the \"second Nile\"), aimed at development of the large artesian water supplies underlying the oases of the Western Desert.", "title": "Main economic sectors" }, { "paragraph_id": 83, "text": "In 2010 Egypt's fertile area totaled about 3.6 million hectares (8.9 million acres), about one-quarter of which has been reclaimed from the desert after the construction of the Aswan High Dam. The government aims to increase this number to 4.8 million hectares by 2030 through additional land reclamation. Even though only 3 percent of the land is arable, it is extremely productive and can be cropped two or even three times annually. However, the reclaimed lands only add 7 percent to the total value of agricultural production. Surface irrigation is forbidden by law in reclaimed lands and is only used in the Nile Valley and the Delta, the use of pressurized irrigation and localized irrigation is compulsory in other parts of the country. Most land is cropped at least twice a year, but agricultural productivity is limited by salinity which in 2011 affected 25% of irrigated agriculture to varying degrees. This is mainly caused by insufficient drainage as well as seawater intrusion in aquifers as a result of over-extraction of groundwater, the latter primarily affects the Nile Delta. Thanks to the installation of drainage systems a reduction in salinized areas from about 1.2 million hectares in 1972 to 900 000 hectares in 2010 was achieved.", "title": "Main economic sectors" }, { "paragraph_id": 84, "text": "In the 1970s, despite significant investment in land reclamation, agriculture lost its position as the leading economic sector. Agricultural exports, which were 87% of all merchandise export by value in 1960, fell to 35% in 1974 and to 11% by 2001. In 2000, agriculture accounted for 17% of the country's GDP and employed 34% of the workforce.", "title": "Main economic sectors" }, { "paragraph_id": 85, "text": "According to 2016 statistics from the Food and Agriculture Organization of the United Nations, Egypt is the world's largest producer of dates; the second largest producer of figs; the third largest producer of onions and eggplants; the fourth largest producer of strawberries and buffalo milk as well as the fifth largest producer of tomatoes and watermelon.", "title": "Main economic sectors" }, { "paragraph_id": 86, "text": "Cotton has long been a primary exported cash crop, but it is no longer vital as an export. Production in 1999 was 243,000 tons. Egypt is also a substantial producer of wheat, maize, sugarcane, fruit and vegetables, fodder, and rice; substantial quantities of wheat are also imported, especially from the United States and Russia, despite increases in yield since 1970, and significant quantities of rice are exported.", "title": "Main economic sectors" }, { "paragraph_id": 87, "text": "Citrus, dates, and grapes are the main fruits by cultivated area. Agricultural output in tons in 1999 included corn, 9,350,000; wheat, 6,347,000; rice, 5,816,000; potatoes, 1,900,000; and oranges, 1,525,000. The government exercises a strong degree of control over agriculture, not only to ensure the best use of irrigation water but also to confine the planting of cotton in favor of food grains. However, the government's ability to achieve this objective is limited by crop rotational constraints.", "title": "Main economic sectors" }, { "paragraph_id": 88, "text": "Cacti - especially cactus pears - are extensively grown throughout the country including Sinai, and extending into neighbouring countries. They are a crop of the Columbian Exchange. Cactus hedges - both intentionally planted and wild garden escapes - formed an important part of defensible positions during the Sinai and Palestine campaign of World War I. Some unfamiliar soldiers even tried eating them, to negative result.", "title": "Main economic sectors" }, { "paragraph_id": 89, "text": "The agrarian reform law of 1952 provided that no one might hold more than 200 feddans, that is, 84 hectares (210 acres) (1 Egyptian feddan=0.42 hectares=1.038 acres), for farming, and that each landholder must either farm the land himself or rent it under specified conditions. Up to 100 additional feddans might be held if the owner had children, and additional land had to be sold to the government. In 1961, the upper limit of landholding was reduced to 100 feddans, and no person was allowed to lease more than 50 feddans. Compensation to the former owners was in bonds bearing a low rate of interest, redeemable within 40 years. A law enacted in 1969 reduced landholdings by one person to 50 feddans.", "title": "Main economic sectors" }, { "paragraph_id": 90, "text": "By the mid-1980s, 90% of all land titles were for holdings of less than five feddans (2.1 hectares (5.2 acres)), and about 300,000 families, or 8% of the rural population, had received land under the agrarian reform program. According to a 1990 agricultural census, there were some three million small land holdings, almost 96% of which were under five feddans. As these small landholdings restricted the ability of farmers to use modern machinery and agricultural techniques that improve and take advantage of economies of scale, there have since the late 1980s been many reforms attempting to deregulate agriculture by liberalizing input and output prices and eliminating crop area controls. As a result, the gap between world and domestic prices for Egyptian agricultural commodities has been closed.", "title": "Main economic sectors" }, { "paragraph_id": 91, "text": "El Nasr Automotive Manufacturing Company is Egypt's state owned automobile company, founded in 1960 in Helwan, Egypt. Established in 1962, the company manufactures various vehicles under license from Zastava Automobili, Daimler AG, Kia, and Peugeot. Their current lineup consists of the Jeep Cherokee; the open-top, Wrangler-based Jeep AAV TJL; the Kia Spectra; the Peugeot 405; and the Peugeot 406.", "title": "Main economic sectors" }, { "paragraph_id": 92, "text": "Other automobile manufacturers in Egypt include Arab American Vehicles, Egy-Tech Engineering, Ghabbour Group, WAMCO (Watania Automotive Manufacturing Company) and MCV. MCV was established in 1994 to represent Mercedes-Benz in the commercial vehicle sector in Egypt, producing a range of buses and trucks for domestic sale and for export throughout the Arab World, Africa, Latin America and Eastern Europe. The manufacturing plant in El Salheya employs c. 2500 people.", "title": "Main economic sectors" }, { "paragraph_id": 93, "text": "Abu Qir Fertilizers Company is one of the largest producers of nitrogen fertilizers in Egypt and the MENA region. It accounts for nearly 50% of all nitrogen fertilizer production in Egypt. The company was established in 1976 with the construction of its first ammonia urea production facility, located in Abu Qir, 20 kilometers east of Alexandria. Egypt Basic Industries Corporation (EBIC) is also one of the largest producers of ammonia in the country.", "title": "Main economic sectors" }, { "paragraph_id": 94, "text": "Olympic Group is the largest Egyptian company in the field of domestic appliances. The company mainly manufactures washing machines, air conditioners, refrigerators, electric water heaters and gas cookers.", "title": "Main economic sectors" }, { "paragraph_id": 95, "text": "Bahgat Group is a leading company in the fields of electronics, home appliances, furniture and real estate. It also owns TV stations. The group is composed of the following companies: Egy Aircon, International Electronics Products, Electrical Home appliances, General Electronics and Trading, Goldi Trading, Goldi Servicing, Egy Medical, Egyptian Plastic Industry, Egy House, Egy Speakers, Egy Marble, Dreamland and Dream TV.", "title": "Main economic sectors" }, { "paragraph_id": 96, "text": "In 2022 Egypt was ranked the 20th largest steel producing country with a production of 9.8 million tons. EZDK is the largest steel company in Egypt and the Middle East, today part of Ezz Industries. It owns four steel plants in Alexandria, Sadat, Suez and 10th of Ramadan. It was ranked 77th on the list of the world's largest steel companies by the World Steel Association in 2020, with a production of 4.57 million tons.", "title": "Main economic sectors" }, { "paragraph_id": 97, "text": "Textiles and clothing is one of the largest manufacturing and exporting processes in the country and a huge employment absorber. The Egyptian apparel industry is attractive for two reasons. Firstly, its proximity to European markets, whose rapidly changing fashions require quick replenishment. Egypt's geographical proximity to style-conscious Europe is a logistical advantage. Secondly, the production of garments is a low-capital and high-labor-intensive industry, and the local population of 66 million provides a ready workforce as well as a natural local consumer market that acts as a springboard for exports.", "title": "Main economic sectors" }, { "paragraph_id": 98, "text": "The textile industry contributes with one quarter of Egypt's non-oil export proceeds, with Cotton textiles comprising the bulk of Egypt's TC export basket. The public sector accounts for 90% of cotton spinning, 60% of fabric production and 30% of apparel production in Egypt. Misr Fine Spinning and Weaving is the largest enterprise of its kind in Africa and the Middle East. The private sector apparel industry is one of the most dynamic manufacturing processes in Egypt.", "title": "Main economic sectors" }, { "paragraph_id": 99, "text": "The requirements of importers to Egypt of textiles and leather products were set out in the Egyptian Ministerial decrees 626/2011 and 660/2011. The Egyptian trade oversight agency, the General Organization for Export and Import Control (GOEIC), demanded in June 2012 that an inspection certificate accompany each shipment, unless the importer is pre-registered with the GOEIC. The Ministerial Decrees demand that imported goods certify their compliance with the mandatory quality and safety standards of Egypt.", "title": "Main economic sectors" }, { "paragraph_id": 100, "text": "Arafa Holding is a global apparel manufacturer and retailer, operating through a strong vertically integrated platform at the local & international levels.", "title": "Main economic sectors" }, { "paragraph_id": 101, "text": "Egypt suffered blackouts during the summer of 2014 that lasted for up to six hours per day. A rapid series of reforms cut energy subsidies, and Egypt quickly developed the Zohr gas field in the Mediterranean, which was discovered in 2015. The country now has an oversupply of electricity and aims to source 20% of its electricity from renewables by 2022 and 55% by 2050.", "title": "Main economic sectors" }, { "paragraph_id": 102, "text": "Egypt and Cyprus are considering implementing the proposed EuroAfrica Interconnector project. This consists of laying a 2000 MW HVDC undersea power cable between them and between Cyprus and Greece, thus connecting Egypt to the greater European power grid. Interconnector will transform Egypt in electricity hub between Europe and Africa. President of Egypt Abdel Fattah el-Sisi, President of Cyprus Nicos Anastasiades and the Prime Minister of Greece Alexis Tsipras met in Nicosia on 21 November 2017 and showed their full support for the EuroAfrica Interconnector pointing out its importance for energy security of three countries.", "title": "Main economic sectors" }, { "paragraph_id": 103, "text": "On 29 October 2007, Egypt's president, Hosni Mubarak gave the go-ahead for building several nuclear power plants. Egypt's nuclear route is purely peaceful and fully transparent, but faces technical and financing obstacles. Egypt is a member of the IAEA and has both signed and ratified the Nuclear Nonproliferation Treaty (NPT). Currently, a draft Law on Nuclear Energy is being reviewed by the IAEA and expected to be passed by the Egyptian Parliament. Many other countries in the region, including Libya, Jordan, UAE, Morocco, and Saudi Arabia aspire to build nuclear power plants.", "title": "Main economic sectors" }, { "paragraph_id": 104, "text": "Orascom Construction Industries is a leading Egyptian EPC (engineering, procurement and construction) contractor, based in Cairo, Egypt and active in more than 20 countries. OCI was established in Egypt in 1938 and owned by Onsi Sawiris. It was nationalized in 1953 and then again de-nationalized in 1977. The company is the first multinational Egyptian corporation, and is one of the core Orascom Group companies. As a cement producer, OCI owned and operated cement plants in Egypt, Algeria, Turkey, Pakistan, northern Iraq and Spain, which had a combined annual production capacity of 21 million tons.\"Orascom Construction Industries S.A.E. announces OCI Invests in DPRK Cement\" (Press release). Orascom. 16 July 2007. Archived from the original on 4 July 2018. Retrieved 8 February 2022.", "title": "Main economic sectors" }, { "paragraph_id": 105, "text": "The Talaat Moustafa Group (TMG), one of the largest conglomerates in Egypt, was founded by the former Talaat Moustafa and is headed by his son, Hisham Talaat Moustafa.", "title": "Main economic sectors" }, { "paragraph_id": 106, "text": "The proposed new capital of Egypt is a large-scale project under construction since 2015, and was announced by then-Egyptian housing minister Moustafa Madbouly at the Egypt Economic Development Conference on 13 March 2015.", "title": "Main economic sectors" }, { "paragraph_id": 107, "text": "New Alamein is another city that is currently being built in Egypt's north coast planned on an area of 48,000 feddans. New Alamein is one of the fourth generation cities being built in Egypt, and the first phase is scheduled to be concluded in a year.", "title": "Main economic sectors" }, { "paragraph_id": 108, "text": "The banking sector has gone through many stages since the establishment of the first bank in 1856, followed by the emergence of private sector and joint venture banks during the period of the Open Door Policy in the 1970s. Moreover, the Egyptian banking sector has been undergoing reforms, privatization, and mergers and acquisitions from 1991 up to today.", "title": "Main economic sectors" }, { "paragraph_id": 109, "text": "The banking system comprises 57 state-owned commercial banks. This includes 28 commercial banks, four of which are state-owned, 26 investment banks (11 joint venture banks and 15 branches of foreign banks), and three specialized banks. Although private and joint venture banks are growing, many remain relatively small with few branch networks. State-owned commercial banks still rank among the top lenders in Egypt's banking sector. Over the past decades, European banks have been exiting Egypt's financial sector. For instance, France's Société Générale sold National Société Générale Bank to Qatar National Bank (QNB) in 2012 which has been rebranded as QNB Alahli.", "title": "Main economic sectors" }, { "paragraph_id": 110, "text": "Egypt's banking system has undergone major reforms since the 1990s and today consumers are faced with a liberalized and modernized system which is supervised and regulated according to internationally accepted standards. Although the mortgage market is underdeveloped in Egypt and as yet foreigners cannot yet obtain a mortgage for a property in Egypt. In the near future, a new mortgage law will enable purchasers to take out property loans. This will open up the market considerably and create a storm of development and real estate activity in the near future.", "title": "Main economic sectors" }, { "paragraph_id": 111, "text": "Egypt has long been the cultural and informational centre of the Arab world, and Cairo is the region's largest publishing and broadcasting centre.", "title": "Main economic sectors" }, { "paragraph_id": 112, "text": "The telecommunications liberalisation process started in 1998 and is still ongoing, but at a slow pace. Private sector companies operate in mobile telephony, and Internet access. There were 10 million fixed phone lines, 31 million mobile phones, and 8.1 million Internet users by the August 2007.", "title": "Main economic sectors" }, { "paragraph_id": 113, "text": "Transport in Egypt is centered around Cairo and largely follows the pattern of settlement along the Nile. The main line of the nation's 4,800-kilometer (3,000 mi) railway network runs from Alexandria to Aswan and is operated by Egyptian National Railways. The road network has expanded rapidly to over 21,000 miles (34,000 km), covering the Nile Valley and Nile Delta, Mediterranean and Red Sea coasts, the Sinai, and the Western oases.", "title": "Main economic sectors" }, { "paragraph_id": 114, "text": "In addition to overseas routes, Egypt Air provides reliable domestic air service to major tourist destinations from its Cairo hub. The Nile River system (about 1,600 km (990 mi).) and the principal canals (1,600 km.) are used for local transportation.", "title": "Main economic sectors" }, { "paragraph_id": 115, "text": "The Suez Canal is a major waterway for international commerce and navigation, linking the Mediterranean and Red Sea. It is run by the Suez Canal Authority, headquartered in Port Said. The ministry of transportation, along with other governmental bodies are responsible for transportation in Egypt. Major ports are Alexandria, Port Said, and Damietta on the Mediterranean, and Suez, Ain Sokhna and Safaga on the Red Sea.", "title": "Main economic sectors" }, { "paragraph_id": 116, "text": "The Egyptian tourism industry is one of the most important sectors in the economy, in terms of high employment and incoming foreign currency. It has many constituents of tourism, mainly historical attractions especially in Cairo, Luxor and Aswan, but also beach and other sea activities. The government actively promotes foreign tourism since it is a major source of currency and investment. The political instability since January 2011 caused a reduction in tourism, but the next year it was rising. In Upper Egypt, tourists that \"provided one of the most important sources of income besides farming has dried out\".", "title": "Main economic sectors" }, { "paragraph_id": 117, "text": "Egypt's government announced the work on multiple projects within the tourism sector, most prominently the Grand Egyptian Museum. Set to open in June 2021, becoming the largest museum in the world.", "title": "Main economic sectors" }, { "paragraph_id": 118, "text": "The Egyptian information and communications technology sector has been growing significantly since it was separated from the transportation sector. The market for telecommunications market was officially deregulated since the beginning of 2006 according to the WTO agreement signed in 2003.", "title": "Emerging sectors" }, { "paragraph_id": 119, "text": "The government established ITIDA through Law 15 of the year 2004 as governmental entity. This agency aims at paving the way for the diffusion of the e-business services in Egypt capitalizing on different mandates of the authority as activating the Egyptian e-signature law and supporting an export-oriented IT sector in Egypt.", "title": "Emerging sectors" }, { "paragraph_id": 120, "text": "While the move could open the market for new entrants, add and improve the infrastructure for its network, and in general create a competitive market, the fixed line market is de facto monopolized by Telecom Egypt.", "title": "Emerging sectors" }, { "paragraph_id": 121, "text": "The cellular phone market was a duopoly with prices artificially high but witnessed in the past couple of years the traditional price war between the incumbents Mobinil and Vodafone. A 500 minutes outbound local and long-distance calling plan currently costs approximately US$30 as compared to approximately US$90 in 2005. While the current price is not so expensive, it is still above the international price as plans never allow \"unlimited night & weekend minutes.", "title": "Emerging sectors" }, { "paragraph_id": 122, "text": "A third GSM 3.5G license was awarded in April 2006 for US$3 billion to a consortium led by the UAE company Eitesalat (66%), Egypt Post (20%), the National Bank of Egypt (NBE) (10%), and the NBE's Commercial International Bank (4%), thus moving the market from duopoly to oligopoly.", "title": "Emerging sectors" }, { "paragraph_id": 123, "text": "On 24 September 2006, the National Telecommunication Regulatory Authority (NTRA) announced a license award to Egyptian-Arab private sector consortium of companies to extend a maritime cable for international traffic. The US$120 million cable project will serve the Gulf region and south Europe. The construction of the cable should decrease the currently high international call costs and increase domestic demand on internet broadband services, in importantly increase exports of international telecommunication services of Egyptian companies, mostly in the Smart Village.", "title": "Emerging sectors" }, { "paragraph_id": 124, "text": "It is expected that NTRA will award two licenses for international gateways using open technology and deploy WiMax technology enabling the delivery of last-mile wireless broadband access as an alternative to ADSL.", "title": "Emerging sectors" }, { "paragraph_id": 125, "text": "The main barrier to growth for Egypt's ICT sector is the monopoly of telecommunication corporations and quarreling workforce.", "title": "Emerging sectors" }, { "paragraph_id": 126, "text": "In 2009, three Egyptian companies were listed in the Forbes Global 2000 list – an annual ranking of the top 2000 public companies in the world by Forbes magazine. These companies were:", "title": "Largest companies" }, { "paragraph_id": 127, "text": "The stock market capitalisation of listed companies in Egypt was valued at $79.672 billion in 2005 by the World Bank dropping to $58 billion in 2012.", "title": "Investment" }, { "paragraph_id": 128, "text": "The Egyptian equity market is one of the most developed in the region with more than 633 listed companies. Market capitalization on the exchange doubled in 2005 from US$47.2 billion to US$93.5 billion in 2006, peaking at US$139 billion in 2007. Subsequently, it has fallen to US$58 billion in 2012, with turnover surging from US$1.16 billion in January 2005 to US$6 billion in January 2006.", "title": "Investment" }, { "paragraph_id": 129, "text": "Private equity has not been widely used in Egypt in the past as a source of funding for businesses. The government, however, has instituted a number of policy changes and reforms specifically intended to develop internal private equity funds and to attract private equity funding from international sources.", "title": "Investment" }, { "paragraph_id": 130, "text": "The major industries include textiles, hydrocarbon and chemical production, and generic pharmaceutical production. Unemployment is high at about 10.5%.", "title": "Investment" }, { "paragraph_id": 131, "text": "Until 2003, the Egyptian economy suffered from shortages in foreign currency and excessively elevated interest rates. A series of budget reforms were conducted to redress weaknesses in Egypt's economic environment and to boost private sector involvement and confidence in the economy.", "title": "Investment" }, { "paragraph_id": 132, "text": "Major fiscal reforms were introduced in 2005 to tackle the informal sector which according to estimates represents somewhere between 30% and 60% of GDP. Significant tax cuts for corporations were introduced for the first time in Egyptian history. The new Income tax Law No 91 for 2005 reduced the tax rate from 40% to 20%. According to government figures, tax filing by individuals and corporations increased by 100%.", "title": "Investment" }, { "paragraph_id": 133, "text": "Many changes were made to cut trade tariffs. Among the legislators' goals were tackling the Black Market, reducing bureaucracy and pushing through trade liberalization measures. Amendments to Investment and Company law were introduced to attract foreign investors. For example, the number of days required for establishing a company was dramatically reduced.", "title": "Investment" }, { "paragraph_id": 134, "text": "Significant improvement to the domestic economic environment increased investors' confidence in Egypt. The Cairo & Alexandria Stock Exchange is considered among the best ten emerging markets in the world. The changes to the policy also attracted increased levels of foreign direct investment in Egypt. According to the UN Conference on Trade and Development's World Investment Report, Egypt was ranked the largest country in attracting foreign investment in Africa.", "title": "Investment" }, { "paragraph_id": 135, "text": "Given the large number of amendments to laws and regulations, Egypt has succeeded to a certain extent in conforming to international standards. Very recently the Cairo & Alexandria Stock Exchange (CASE) was welcomed with full membership into the World Federation of Exchanges (WFE)—the first Arab country to be invited.", "title": "Investment" }, { "paragraph_id": 136, "text": "Enforcement of these newly adopted regulatory frameworks remain, sometime problematic. Problems like corruption hamper economic development in Egypt. Many scandals involving bribery were reported during the past years. \"In 2002 alone, as many as 48 high-ranking officials—including former cabinet ministers, provincial governors and MPs were convicted of influence peddling, profiteering and embezzlement. Maintaining good relations with politicians is sometimes a key to business success in Egypt. On a scale from 0 to 10 (with 0 being highly corrupt), Egypt scored a 3.3.”", "title": "Investment" }, { "paragraph_id": 137, "text": "According to a study by the International Organization for Migration, 20% of Egyptian remittance-receiving households interviewed channelled the remittances towards various forms of investment, while the large majority (80%) was more concerned about using remittances for meeting the daily needs of their families including spending on health care and education. Among the 20% of households that decided to invest, 39% invested in real estate, 22% invested in small businesses employing fewer than five people and the smallest proportions of investors (6%) invested in medium private business employing no more than 20 people. According to Egypt's Human Development Report 2008, despite representing approximately 5% of GDP, remittances provided the initial capital for only 1.4% of newly established small and medium enterprises in Egypt in 2003–2004.", "title": "Investment" }, { "paragraph_id": 138, "text": "On 14 March 2020, the government of Egypt published Parliament Law No. 190 – which was established in the year 2019 – regarding getting Egyptian citizenship through investment. The minimum required contribution is US$250,000 with total procedure completion expected within a 6-9 month timeframe.", "title": "Investment" }, { "paragraph_id": 139, "text": "The challenges of the global food crisis followed by challenges of the global financial crisis made room for more integrated policy reforms. Considering the massive economic measures that have been taken over the past 12 months or so, Egyptian economic policymakers score high based on the inside lag, i.e. the lapse of time between the moment that the shock began to affect the economy and the moment that economic (monetary and fiscal) policy as well as the regulatory policy are altered and put into effect in response to the shock to various markets: goods market (real GDP), the labor market (unemployment rate), money market (interest rate and inflation), and the financial (stock and bond) market. Indeed, moderate financial panic occurred driven—at least partially—by the fear that other investors are about to panic and sell. There were falls in stock and bond market prices, and rises in nominal interest rates.", "title": "Response to the global financial crisis" }, { "paragraph_id": 140, "text": "Egypt has a population of about 97 million, with the population concentrated within a region 20 miles (32 km) on either side of the Nile River. The majority of the population is employed in the services sector, followed by agriculture and industrial production. Approximately one-third of Egyptian labour is engaged directly in farming, and many others work in the processing or trading of agricultural products.", "title": "Response to the global financial crisis" }, { "paragraph_id": 141, "text": "Unemployment rate increased from 10.3% in FY2004 to 11.2% in 2005. The average rate of growth of employment in the publicly owned enterprises sector was −2% per year between FY1998 and FY2005 as a result of aggressive privatization program. On the other hand, private sector employment grew at an average rate of 3% over that period. In addition, the government sector employment grew by almost double the rate of the private sector over the same period.", "title": "Response to the global financial crisis" }, { "paragraph_id": 142, "text": "In general, the average weekly wage in the private sector is, in many instances, higher than that of the public sector. In some other instances, e.g. whole sale and retail trades, the weekly wage is lower by half of that in the public sector.", "title": "Response to the global financial crisis" }, { "paragraph_id": 143, "text": "As a result of the weakness role of the Ministry of Manpower and Trade Unions to create a balance between the rights of workers and the interests of owners of companies in the private sector, privatization has led to worsening employment problems and deterioration in their working environment and health, and many workers have recently resorted to strike and picketing.", "title": "Response to the global financial crisis" }, { "paragraph_id": 144, "text": "In an effort to quell discontent over rising food prices, Egypt offered government and public sector workers a pay rise of up to 30%. The offer came on the May day speech delivered by President Mubarak to the Egyptian General Federation of Trade Unions.", "title": "Response to the global financial crisis" }, { "paragraph_id": 145, "text": "\"We must go in dealing with the current global (food) crisis, on two basic tracks (1) we must strengthen the food security of our low-income people, (2) we must achieve a balance between wages and prices.\" President Mubarak said.", "title": "Response to the global financial crisis" }, { "paragraph_id": 146, "text": "The pay rise originally proposed in the government budget ranged between 15% and 20%, but the decision to double it was given on heightened worries that widespread anger over prices could lead to a social explosion. The pay rise is initiated immediately, rather than waiting for the start of the new fiscal year on 1 July 2008 and is to be financed from real resources.", "title": "Response to the global financial crisis" }, { "paragraph_id": 147, "text": "While the headline CPI inflation rate was 15.8% (17.6% in rural areas, 14.4% in urban areas) in March 2008, the overall food price inflation rate was 23.7% (26.9% in rural areas, 20.5% in urban areas). Moreover, in April 2008 in urban areas, the headline CPI inflation rate reached 16.4% while food price inflation rate was 22.0%. This underlines the statement in (Nawar 2008) that \"the inflation rate as measured by the headline CPI does not concern the poor and low-income people, who are the majority of people in rural and urban Egypt, since they spend most of their income on food.\" Approximately 55 million poor and low-income citizens, representing about 75% of the population, are currently enrolled in food ration cards.", "title": "Response to the global financial crisis" }, { "paragraph_id": 148, "text": "In April 2009 it was reported that Egypt feared the return of 500,000 Egyptian laborers working in the Gulf states.", "title": "Response to the global financial crisis" }, { "paragraph_id": 149, "text": "In May 2019, CAPMAS reported that the annual urban consumer price inflation of Egypt has been eased to 13% in April from 14.2% in March.", "title": "Response to the global financial crisis" }, { "paragraph_id": 150, "text": "The Minister of Economic Development, Othman Mohamed Othman, once mentioned that the poverty rate in Egypt had risen from 19 percent of the population in 2005 to 21 percent in 2009. In 2010–2011, the poverty rate in Egypt had risen to 25% of the population.", "title": "Poverty and income distribution" }, { "paragraph_id": 151, "text": "Various statistical databases show that Egypt has:", "title": "Poverty and income distribution" }, { "paragraph_id": 152, "text": "According to the 2005 Household Income, Expenditure and Consumption Survey (HIECS), estimated per capita poverty lines vary across the regions. Data from a World Bank and Ministry of Economic Development poverty assessment based on comparisons between actual expenditures (and the cost of a consumption basket securing 2470 calories per day per person), shows that individual Egyptians who spent less than LE 995 per year in 2005 are considered extreme poor, those who spent less than LE 1,423 per year are poor and those who spent less than LE 1,853 per year are near poor.", "title": "Poverty and income distribution" }, { "paragraph_id": 153, "text": "Overall about 29.7% of the Egyptian population are in the range of extreme poor to near poor:", "title": "Poverty and income distribution" }, { "paragraph_id": 154, "text": "Poverty has a strong regional dimension in Egypt and concentrates in Upper Egypt, both urban (18.6%) and rural (39.1), while metropolitan areas are the least poor (5.7%). The government is currently employing a recently completed poverty map as a tool for geographic targeting of public resources.", "title": "Poverty and income distribution" }, { "paragraph_id": 155, "text": "According to a report published by the World Bank in April 2019, 60% population of the country is \"either poor or vulnerable\". Egypt's national poverty rate was 24.3% in 2010 and moved up to around 30% by 2015. According to the 2019 Global Hunger Index, Egypt suffers from a moderate level of hunger, ranking 61 of 117 countries, compared to 61 of 119 countries in 2018. Food affordability, quality and safety remain challenges as Egypt continues to rely on global markets for more than half of its staples.", "title": "Poverty and income distribution" }, { "paragraph_id": 156, "text": "According to Rapid Assessment surveys conducted by the World Bank Group in 2011 and 2012, business managers rank informal gifts or payments, anticompetitive practices and regulatory policy uncertainty high on the list of obstacles to creating and growing a business. In addition, the amount of paperwork required for construction, imports, and exports is burdensome and the time for the government to process this paperwork is lengthy. Traders need to submit eight documents to export and ten to import—as opposed to France, for example, where only 2 documents are needed both for imports and exports. Additionally, there is no bankruptcy law in Egypt and entrepreneurs who fail to repay their debts can face prison.", "title": "Causes of poverty" }, { "paragraph_id": 157, "text": "Egypt's fertility rate has dramatically declined since the 1960s (6.6 children per woman) to about 3.2 children per woman in 2021 but is still considered fairly high. Egypt's population grew from 44 million in 1981 to more than 106 million today.", "title": "Causes of poverty" }, { "paragraph_id": 158, "text": "Businesses having more informal connections within the government receive preferable treatment navigating through Egypt's cumbersome regulatory framework, providing a disincentive for competition. An inefficient and sporadically enforced legal system and a widespread culture of corruption leave businesses reliant on the use of middlemen (known as wasta) to operate, and well-connected businesses enjoy privileged treatment. Facilitation payments are an established part of 'getting things done', despite irregular payments and gifts being criminalized. Egypt is the 117 least corrupt nation out of 175 countries, according to the 2017 Corruption Perceptions Index reported by Transparency International. Corruption Rank in Egypt averaged 86.48 from 1996 until 2017, reaching an all-time high of 118 in 2012 and a record low of 41 in 1996. Facilitation payments are regarded as bribery in many countries, which prevents many foreign entities from financial involvement with Egypt since they are a required part of doing business. Corruption makes the costs of both local goods as well as imports higher, decreasing the purchasing power of individuals which magnifies poverty.", "title": "Causes of poverty" }, { "paragraph_id": 159, "text": "The country lacks sustainable pragmatic policies to combat poverty. Although these policies were adopted in an attempt to reduce economic burdens on the poor, they benefited the rich more which caused more problems to the poor and increased the burdens of the government. In fact, 83 percent of food subsidy, 76 percent of electricity subsidy, 87 percent of petroleum subsidy and 76 percent of the social safety net subsidy went to the non-poor instead of the poor.", "title": "Causes of poverty" }, { "paragraph_id": 160, "text": "The failure in efficiently using the past bailout by the IMF has landed Egypt again in the same economic condition in August 2022 where it started. Egypt sought for a new loan from the International Monetary Fund (IMF) in August 2022, in order to deal with the fallout from sudden surge in prices, impacting the economic rights of the Egyptian people devastatingly. In July 2022, President Abdel Fattah al-Sisi requested his European allies to back him up in convincing the international financial institutions (IFI), including the IMF that the “situation in our country does not tolerate the applicable standards at this stage”, raising questions about what standards did he mean. Meanwhile, Sisi has been criticized for historically introducing economic policies that majorly benefited the elite, instead of protecting the public from the crisis. The Human Rights Watch demanded that IMF consider the human rights record of the Sisi regime as well as the failure of efficiently using the bailout funds by the IMF and other institutions.", "title": "Causes of poverty" } ]
The economy of Egypt used to be a highly centralized economy, focused on import substitution under president Gamal Abdel Nasser (1954–1970). During the rule of president Abdel Fattah el-Sisi (2014–present), the economy follows Egypt's 2030 Vision. The policy is aimed at diversifying Egypt's economy. The country's economy is the largest in Africa by nominal GDP, and 38th in worldwide ranking as of 2023. Since the 2000s, the pace of structural reforms helped Egypt move towards a more market-oriented economy and prompted increased foreign investment. The reforms and policies have strengthened macroeconomic annual growth results. As Egypt's economy healed, other prominent issues like unemployment and poverty began to decline significantly. The country benefits from political stability; its proximity to Europe, and increased exports. From an investor perspective, Egypt is stable and well-supported by external stakeholders.
2001-04-29T05:09:44Z
2023-12-20T17:22:32Z
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https://en.wikipedia.org/wiki/Economy_of_Egypt
9,352
Telecommunications in Egypt
Egypt has long been the cultural and informational centre of the Middle East and North Africa, and Cairo is the region's largest publishing and broadcasting centre. There are eight daily newspapers with a total circulation of more than 2 million, and a number of monthly newspapers, magazines, and journals. The majority of political parties have their own newspapers, and these papers conduct a lively, often highly partisan debate on public issues. Egypt Post is the government-owned body that provides postal services. The first radio service in Egypt began in 1925. It is almost all government controlled, using 44 short-wave frequencies, 18 medium-wave stations, and four FM stations. There are seven regional radio stations covering the country. Egyptian Radio transmits 60 hours daily overseas in 33 languages and three hundred hours daily within Egypt. In 2000, Radio Cairo introduced new specialized (thematic) channels on its FM station. So far, they include news, music, and sports. Radio enjoys more freedom than TV in its news programs, talk shows and analysis. Starting 2003, Nile Radio Productions, a private company, was given license to operate two radio stations; Nile FM and Nogoum FM. Nile FM broadcasts in English and Nogoom FM broadcasts in Egyptian. Both stations mostly broadcast mainly to the Greater Cairo region. In the early 2009, Radio Masr was launched, broadcasting popular Egyptian songs, news & other programs. Egyptian ground-broadcast television (ERTU) is government controlled and depends heavily on commercial revenue. ETV sells its specially produced programs and soap operas to the entire Arab world. ETV has two main channels, six regional channels, and three satellite channels. Of the two main channels, Channel I uses mainly Arabic, while Channel II is dedicated to foreigners and more cultured viewers, broadcasting news in English and French as well as Arabic. Egyptian Satellite channels broadcast to the Middle East, Europe, and the U.S. East Coast. In April 1998, Egypt launched its own satellite known as NileSat 101. Seven specialized channels cover news, culture, sports, education, entertainment, health, and drama. A second, digital satellite, Nilesat 102, was launched in August 2000. Many of its channels are rented to other stations. Three new private satellite-based TV stations were launched in November 2001, marking a great change in Egyptian government policy. Dream TV 1 and 2 produce cultural programming, broadcast contemporary video clips and films featuring Arab and international actors, as well as soap operas; another private station focuses on business and general news. Both private channels transmit on NileSat. In addition to Egyptian programming, the Middle East Broadcast Company, a Saudi television station transmitting from London (MBC), Arab Radio and Television (ART), Al-Jazeera television, and other Gulf stations as well as Western networks such as CNN and BBC, provide access to more international programs to Egyptians who own satellite receivers. Currently, there is a single company in charge of landline telephony, Telecom Egypt which is also government-controlled. Currently, there are four companies which offer cellular communication service: Orange, Vodafone, Etisalat, and We (by Telecom Egypt). These companies also provide services surpassing voice communication, such as 4G, 3G, and mobile internet. The Internet companies market is dealt to two: infrastructure providers and service providers. There are 8 major Service Provider companies which sell their services to smaller ISPs. The highest available speed through ADSL technologies was upgraded to 8Mb in download in February 2008 and then to 24Mb later that year. The Egyptian ISP market is not competitive, at least in Cairo and Alexandria, with only 3 ISPs offering below-average speeds(Up to 16Mbit/s). Orascom, one of the shareholders in the leading cellular operator MobiNil, is also the biggest player in the Internet service provision market and owns 75 per cent of one of Egypt's largest ISP, LINKdotNET. The tie-up with the mobile operator is significant in that WAP services were introduced in May for a trial period, making Egypt one of the first countries in Africa to have introduced WAP. NileOnline and Egynet has been recently sold to Etisalat, increasing Etisalat access into the broadband market. with this acquisition all class I tier ISPs mentioned above are owned by the major telecommunication companies operating in the country. Raya is owned by Vodafone Egypt, Nileonline and Egynet are now owned by Etisalat, TEdata is owned and operated by the oldest telecom company in the region telecom Egypt and link.net is owned by Orascom telecom. On January 27, 2011, almost all internet connectivity to Egypt was shut off by the Egyptian government. Egypt is following closely the efforts to standardize WiMax technologies as they permit simpler and faster access to Internet services, especially as WiMax receivers are integrated into PC processors. The government is still also holding discussions with relevant stakeholders to determine the best policy framework for introducing WiMax into the market through existing or new operators. 3.07 million (1997) Class A Data Service Providers in Egypt: International Wholesale & Enterprise services: 1- NOOR Data Network. 2- TE Data (WE). 3- Vodafone Egypt. 4- Orange Egypt. 5- Etisalat Egypt. Mobile-Data & consumer services: 1 - Orange. (4G/Broadband) 2 - WE (Broadband/PRI/Landline) 3- Vodafone. (4G/Broadband) 4- Etisalat. (4G/Broadband) 5- NOOR Telecommunications (Broadband, Premium-Broadband & mVPN). Country code: +2(0) Mobile services: Governorate code: (Includes following cities: Cairo, Giza, 6th Of October, Helwan, New Cairo)
[ { "paragraph_id": 0, "text": "Egypt has long been the cultural and informational centre of the Middle East and North Africa, and Cairo is the region's largest publishing and broadcasting centre.", "title": "" }, { "paragraph_id": 1, "text": "There are eight daily newspapers with a total circulation of more than 2 million, and a number of monthly newspapers, magazines, and journals. The majority of political parties have their own newspapers, and these papers conduct a lively, often highly partisan debate on public issues.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 2, "text": "Egypt Post is the government-owned body that provides postal services.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 3, "text": "The first radio service in Egypt began in 1925. It is almost all government controlled, using 44 short-wave frequencies, 18 medium-wave stations, and four FM stations. There are seven regional radio stations covering the country. Egyptian Radio transmits 60 hours daily overseas in 33 languages and three hundred hours daily within Egypt. In 2000, Radio Cairo introduced new specialized (thematic) channels on its FM station. So far, they include news, music, and sports. Radio enjoys more freedom than TV in its news programs, talk shows and analysis.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 4, "text": "Starting 2003, Nile Radio Productions, a private company, was given license to operate two radio stations; Nile FM and Nogoum FM. Nile FM broadcasts in English and Nogoom FM broadcasts in Egyptian. Both stations mostly broadcast mainly to the Greater Cairo region. In the early 2009, Radio Masr was launched, broadcasting popular Egyptian songs, news & other programs.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 5, "text": "Egyptian ground-broadcast television (ERTU) is government controlled and depends heavily on commercial revenue. ETV sells its specially produced programs and soap operas to the entire Arab world. ETV has two main channels, six regional channels, and three satellite channels. Of the two main channels, Channel I uses mainly Arabic, while Channel II is dedicated to foreigners and more cultured viewers, broadcasting news in English and French as well as Arabic.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 6, "text": "Egyptian Satellite channels broadcast to the Middle East, Europe, and the U.S. East Coast. In April 1998, Egypt launched its own satellite known as NileSat 101. Seven specialized channels cover news, culture, sports, education, entertainment, health, and drama. A second, digital satellite, Nilesat 102, was launched in August 2000. Many of its channels are rented to other stations.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 7, "text": "Three new private satellite-based TV stations were launched in November 2001, marking a great change in Egyptian government policy. Dream TV 1 and 2 produce cultural programming, broadcast contemporary video clips and films featuring Arab and international actors, as well as soap operas; another private station focuses on business and general news. Both private channels transmit on NileSat.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 8, "text": "In addition to Egyptian programming, the Middle East Broadcast Company, a Saudi television station transmitting from London (MBC), Arab Radio and Television (ART), Al-Jazeera television, and other Gulf stations as well as Western networks such as CNN and BBC, provide access to more international programs to Egyptians who own satellite receivers.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 9, "text": "Currently, there is a single company in charge of landline telephony, Telecom Egypt which is also government-controlled.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 10, "text": "Currently, there are four companies which offer cellular communication service: Orange, Vodafone, Etisalat, and We (by Telecom Egypt). These companies also provide services surpassing voice communication, such as 4G, 3G, and mobile internet.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 11, "text": "The Internet companies market is dealt to two: infrastructure providers and service providers.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 12, "text": "There are 8 major Service Provider companies which sell their services to smaller ISPs. The highest available speed through ADSL technologies was upgraded to 8Mb in download in February 2008 and then to 24Mb later that year. The Egyptian ISP market is not competitive, at least in Cairo and Alexandria, with only 3 ISPs offering below-average speeds(Up to 16Mbit/s).", "title": "Telecommunication in Egypt" }, { "paragraph_id": 13, "text": "Orascom, one of the shareholders in the leading cellular operator MobiNil, is also the biggest player in the Internet service provision market and owns 75 per cent of one of Egypt's largest ISP, LINKdotNET. The tie-up with the mobile operator is significant in that WAP services were introduced in May for a trial period, making Egypt one of the first countries in Africa to have introduced WAP.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 14, "text": "NileOnline and Egynet has been recently sold to Etisalat, increasing Etisalat access into the broadband market. with this acquisition all class I tier ISPs mentioned above are owned by the major telecommunication companies operating in the country.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 15, "text": "Raya is owned by Vodafone Egypt, Nileonline and Egynet are now owned by Etisalat, TEdata is owned and operated by the oldest telecom company in the region telecom Egypt and link.net is owned by Orascom telecom.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 16, "text": "On January 27, 2011, almost all internet connectivity to Egypt was shut off by the Egyptian government.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 17, "text": "Egypt is following closely the efforts to standardize WiMax technologies as they permit simpler and faster access to Internet services, especially as WiMax receivers are integrated into PC processors. The government is still also holding discussions with relevant stakeholders to determine the best policy framework for introducing WiMax into the market through existing or new operators.", "title": "Telecommunication in Egypt" }, { "paragraph_id": 18, "text": "3.07 million (1997)", "title": "Statistics" }, { "paragraph_id": 19, "text": "Class A Data Service Providers in Egypt:", "title": "Statistics" }, { "paragraph_id": 20, "text": "International Wholesale & Enterprise services:", "title": "Statistics" }, { "paragraph_id": 21, "text": "1- NOOR Data Network.", "title": "Statistics" }, { "paragraph_id": 22, "text": "2- TE Data (WE).", "title": "Statistics" }, { "paragraph_id": 23, "text": "3- Vodafone Egypt.", "title": "Statistics" }, { "paragraph_id": 24, "text": "4- Orange Egypt.", "title": "Statistics" }, { "paragraph_id": 25, "text": "5- Etisalat Egypt.", "title": "Statistics" }, { "paragraph_id": 26, "text": "Mobile-Data & consumer services:", "title": "Statistics" }, { "paragraph_id": 27, "text": "1 - Orange. (4G/Broadband)", "title": "Statistics" }, { "paragraph_id": 28, "text": "2 - WE (Broadband/PRI/Landline)", "title": "Statistics" }, { "paragraph_id": 29, "text": "3- Vodafone. (4G/Broadband)", "title": "Statistics" }, { "paragraph_id": 30, "text": "4- Etisalat. (4G/Broadband)", "title": "Statistics" }, { "paragraph_id": 31, "text": "5- NOOR Telecommunications (Broadband, Premium-Broadband & mVPN).", "title": "Statistics" }, { "paragraph_id": 32, "text": "Country code: +2(0)", "title": "Telephone prefixes" }, { "paragraph_id": 33, "text": "Mobile services:", "title": "Telephone prefixes" }, { "paragraph_id": 34, "text": "Governorate code:", "title": "Telephone prefixes" }, { "paragraph_id": 35, "text": "(Includes following cities: Cairo, Giza, 6th Of October, Helwan, New Cairo)", "title": "Telephone prefixes" } ]
Egypt has long been the cultural and informational centre of the Middle East and North Africa, and Cairo is the region's largest publishing and broadcasting centre.
2023-07-23T01:18:02Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Egypt
9,353
Transport in Egypt
Transport in Egypt is centered in Cairo and largely follows the pattern of settlement along the Nile. The Ministry of Transportation and other government bodies are responsible for transportation in Egypt, whether by sea, river, land or air. With regards to rail, air and waterway travel, the main line of the nation's rail system follows along the Nile river and is operated by Egyptian National Railways. In addition to overseas routes, Egypt Air provides domestic air service to major tourist destinations from its Cairo hub. The Nile River system (about 1,600 km (990 mi)) and the principal canals (1,600 km (990 mi)) are important locally for transportation. People still travel via the Nile, mainly between Cairo and Aswan. The Suez Canal is a major waterway for international commerce and navigation, linking the Mediterranean and Red Sea. Major ports are Alexandria, Port Said, Damietta on the Mediterranean and Suez and Safaga on the Red Sea. With regards to driving, Egypt has one of the highest incidents of road fatalities, per miles driven, in the world. The badly maintained road network has expanded rapidly to over 33,796 km (21,000 mi), covering the Nile Valley and Nile Delta, Mediterranean and Red Sea coasts, the Sinai and the Western oasis. Traffic rules are routinely ignored by impatient drivers. Two routes in the Trans-African Highway network originate in Cairo. Egypt also has multiple highway links with Asia through the Arab Mashreq International Road Network. Egypt has a developing motorway network, connecting Cairo with Alexandria and other cities. Though most of the transport in the country is still done on the national highways, motorways are becoming increasingly an option in road transport within the country. The existing motorways in the country are: Plus, Egypt has developed an extensive system of 4-lane highways that can be classified as freeways, because they serve as normal roads and do not discriminate the traffic on it, thus rendering them slower than motorways. The Egyptian railway system is the oldest railway network in Africa and the Middle East and the second oldest in the world . The first line between Alexandria and Kafer Eassa was opened in 1854. In 2018, the system is about 5,085 km (3,160 mi) long and is operated by the Egyptian National Railways. ENR carries about 800 million passengers and 12 million tonnes of freight annually. A major investment programme was planned to begin in 2007 with the aim of modernizing the rail network and improving safety standards. Trains are usually a safe means of transportation in Egypt. The city of Cairo is served by the Cairo Metro, which is run by the National Authority for Tunnels, in addition to the city of Alexandria that is served by the Alexandria Tram There are 3,500 km (2,200 mi) of waterways in Egypt, including the Nile, Lake Nasser, Alexandria-Cairo Waterway, and many smaller canals in the Nile Delta. The Suez Canal, 193.5 km (120.2 mi) (including approaches), is used by oceangoing vessels, drawing up to 17.68 m of water (2011). As of 2018 the information in the CIA World Factbook states the following regarding Egypt's pipelines: "condensate 486 km; condensate/gas 74 km; gas 7,986 km; liquid petroleum gas 957 km; oil 5,225 km; oil/gas/water 37 km; refined products 895 km; water 65 km (2013)" Egypt has 15 commercial ports and 29 specialized ports. The specialized ports include 5 tourist seaports, 12 petroleum seaports, 6 mining seaports, and 6 fishing seaports. In 2018, the number of Egypt's sea vessels, according to the CIA World Factbook is 399 as follows: Cairo International Airport is used by numerous international airlines, including the country's own Egypt Air and Nile Air. total: 72 over 3,047 m: 15 2,438 to 3,047 m: 36 1,524 to 2,437 m: 15 914 to 1,523 m: 0 under 914 m: 6 (2017) total: 11 2,438 to 3,047 m: 1 1,524 to 2,437 m: 3 914 to 1,523 m: 4 under 914 m: 3 (2013) In 2015, plans to construct two monorail systems were announced, one linking October City to suburban Giza, a distance of 35 km, and the other linking Nasr City to New Cairo and the New Administrative Capital, a distance of 52 km. They will be Egypt's first monorail systems. In May 2019, the contract to build 70 four-car trains was awarded to Bombardier Transportation, Derby, England. Delivery of the trains is expected between 2021 and 2024. The network is to be built by Orascom Construction and Arab Contractors. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "Transport in Egypt is centered in Cairo and largely follows the pattern of settlement along the Nile. The Ministry of Transportation and other government bodies are responsible for transportation in Egypt, whether by sea, river, land or air.", "title": "" }, { "paragraph_id": 1, "text": "With regards to rail, air and waterway travel, the main line of the nation's rail system follows along the Nile river and is operated by Egyptian National Railways. In addition to overseas routes, Egypt Air provides domestic air service to major tourist destinations from its Cairo hub. The Nile River system (about 1,600 km (990 mi)) and the principal canals (1,600 km (990 mi)) are important locally for transportation. People still travel via the Nile, mainly between Cairo and Aswan. The Suez Canal is a major waterway for international commerce and navigation, linking the Mediterranean and Red Sea. Major ports are Alexandria, Port Said, Damietta on the Mediterranean and Suez and Safaga on the Red Sea.", "title": "" }, { "paragraph_id": 2, "text": "With regards to driving, Egypt has one of the highest incidents of road fatalities, per miles driven, in the world. The badly maintained road network has expanded rapidly to over 33,796 km (21,000 mi), covering the Nile Valley and Nile Delta, Mediterranean and Red Sea coasts, the Sinai and the Western oasis. Traffic rules are routinely ignored by impatient drivers.", "title": "" }, { "paragraph_id": 3, "text": "Two routes in the Trans-African Highway network originate in Cairo. Egypt also has multiple highway links with Asia through the Arab Mashreq International Road Network. Egypt has a developing motorway network, connecting Cairo with Alexandria and other cities. Though most of the transport in the country is still done on the national highways, motorways are becoming increasingly an option in road transport within the country. The existing motorways in the country are:", "title": "Road system" }, { "paragraph_id": 4, "text": "Plus, Egypt has developed an extensive system of 4-lane highways that can be classified as freeways, because they serve as normal roads and do not discriminate the traffic on it, thus rendering them slower than motorways.", "title": "Road system" }, { "paragraph_id": 5, "text": "The Egyptian railway system is the oldest railway network in Africa and the Middle East and the second oldest in the world . The first line between Alexandria and Kafer Eassa was opened in 1854. In 2018, the system is about 5,085 km (3,160 mi) long and is operated by the Egyptian National Railways. ENR carries about 800 million passengers and 12 million tonnes of freight annually.", "title": "Railways" }, { "paragraph_id": 6, "text": "A major investment programme was planned to begin in 2007 with the aim of modernizing the rail network and improving safety standards. Trains are usually a safe means of transportation in Egypt.", "title": "Railways" }, { "paragraph_id": 7, "text": "The city of Cairo is served by the Cairo Metro, which is run by the National Authority for Tunnels, in addition to the city of Alexandria that is served by the Alexandria Tram", "title": "Railways" }, { "paragraph_id": 8, "text": "There are 3,500 km (2,200 mi) of waterways in Egypt, including the Nile, Lake Nasser, Alexandria-Cairo Waterway, and many smaller canals in the Nile Delta.", "title": "Waterways" }, { "paragraph_id": 9, "text": "The Suez Canal, 193.5 km (120.2 mi) (including approaches), is used by oceangoing vessels, drawing up to 17.68 m of water (2011).", "title": "Waterways" }, { "paragraph_id": 10, "text": "As of 2018 the information in the CIA World Factbook states the following regarding Egypt's pipelines: \"condensate 486 km; condensate/gas 74 km; gas 7,986 km; liquid petroleum gas 957 km; oil 5,225 km; oil/gas/water 37 km; refined products 895 km; water 65 km (2013)\"", "title": "Pipelines" }, { "paragraph_id": 11, "text": "Egypt has 15 commercial ports and 29 specialized ports. The specialized ports include 5 tourist seaports, 12 petroleum seaports, 6 mining seaports, and 6 fishing seaports.", "title": "Ports" }, { "paragraph_id": 12, "text": "In 2018, the number of Egypt's sea vessels, according to the CIA World Factbook is 399 as follows:", "title": "Merchant marine" }, { "paragraph_id": 13, "text": "Cairo International Airport is used by numerous international airlines, including the country's own Egypt Air and Nile Air.", "title": "Airports" }, { "paragraph_id": 14, "text": "total: 72", "title": "Airports" }, { "paragraph_id": 15, "text": "over 3,047 m: 15", "title": "Airports" }, { "paragraph_id": 16, "text": "2,438 to 3,047 m: 36", "title": "Airports" }, { "paragraph_id": 17, "text": "1,524 to 2,437 m: 15", "title": "Airports" }, { "paragraph_id": 18, "text": "914 to 1,523 m: 0", "title": "Airports" }, { "paragraph_id": 19, "text": "under 914 m: 6 (2017)", "title": "Airports" }, { "paragraph_id": 20, "text": "total: 11", "title": "Airports" }, { "paragraph_id": 21, "text": "2,438 to 3,047 m: 1", "title": "Airports" }, { "paragraph_id": 22, "text": "1,524 to 2,437 m: 3", "title": "Airports" }, { "paragraph_id": 23, "text": "914 to 1,523 m: 4", "title": "Airports" }, { "paragraph_id": 24, "text": "under 914 m: 3 (2013)", "title": "Airports" }, { "paragraph_id": 25, "text": "In 2015, plans to construct two monorail systems were announced, one linking October City to suburban Giza, a distance of 35 km, and the other linking Nasr City to New Cairo and the New Administrative Capital, a distance of 52 km. They will be Egypt's first monorail systems. In May 2019, the contract to build 70 four-car trains was awarded to Bombardier Transportation, Derby, England. Delivery of the trains is expected between 2021 and 2024. The network is to be built by Orascom Construction and Arab Contractors.", "title": "Monorail" }, { "paragraph_id": 26, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "References" } ]
Transport in Egypt is centered in Cairo and largely follows the pattern of settlement along the Nile. The Ministry of Transportation and other government bodies are responsible for transportation in Egypt, whether by sea, river, land or air. With regards to rail, air and waterway travel, the main line of the nation's rail system follows along the Nile river and is operated by Egyptian National Railways. In addition to overseas routes, Egypt Air provides domestic air service to major tourist destinations from its Cairo hub. The Nile River system and the principal canals are important locally for transportation. People still travel via the Nile, mainly between Cairo and Aswan. The Suez Canal is a major waterway for international commerce and navigation, linking the Mediterranean and Red Sea. Major ports are Alexandria, Port Said, Damietta on the Mediterranean and Suez and Safaga on the Red Sea. With regards to driving, Egypt has one of the highest incidents of road fatalities, per miles driven, in the world. The badly maintained road network has expanded rapidly to over 33,796 km (21,000 mi), covering the Nile Valley and Nile Delta, Mediterranean and Red Sea coasts, the Sinai and the Western oasis. Traffic rules are routinely ignored by impatient drivers.
2002-02-25T15:43:11Z
2023-11-21T14:47:47Z
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https://en.wikipedia.org/wiki/Transport_in_Egypt
9,354
Egyptian Armed Forces
The Egyptian Armed Forces (Egyptian Arabic: القوات المسلحة المصرية, romanized: alquwwat almusalahat almisria) are the military forces 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 the Supreme Commander of the Armed Forces. The Minister of Defence 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 2011 Egyptian revolution, 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. Much 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 military 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. 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 President Gamal Abdel 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 defences." In a few instances, such as at the Mitla Pass and Abu Agelia, Egyptian defences 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. Within three months of sending troops to Yemen in 1962, Nasser realized that the engagement would require a larger commitment than anticipated. By early 1963, he would begin a four-year campaign to extricate Egyptian forces from Yemen, using an unsuccessful face-saving mechanism, only to find himself committing more troops. A little less than 5,000 troops were sent in October 1962. Two months later, Egypt had 15,000 regular troops deployed. By late 1963, the number was increased to 36,000; and in late 1964, the number rose to 50,000 Egyptian troops in Yemen. Late 1965 represented the high-water mark of Egyptian troop commitment in Yemen at 55,000 troops, which were broken into 13 infantry regiments of one artillery division, one tank division from the Egyptian Armoured Corps and several Special Forces as well as airborne regiments. All the Egyptian field commanders complained of a total lack of topographical maps causing a real problem in the first months of the war. 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, My "War" with Israel, 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. The Egyptians did stop the Israelis seizing Ismailia, however, and inflicted a "stunning defeat" on an Israeli force which had tried to hastily seize Suez City in the Battle of Suez. 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 ($1.77 billion in 2023). 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. 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 2011 Egyptian revolution, 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. In 2018 there were no evident internal cracks within the Armed Forces. The Egyptian Armed Forces’ unrivalled dominance, both in politics and within the security apparatus, appear to be the result of three combined factors: substantial economic interests, a long-time legitimacy buttressed by the army's active involvement in welfare and development initiatives, and the reliance on universal conscription as the main avenue for the successful accommodation of class and social cleavages. 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. The Supreme Commander-in-Chief is the President of Egypt, currently Abdel Fattah el-Sisi. 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 Ministry of Defence and Military Production. The Supreme Council of the Armed Forces (SCAF) is composed of 23 members, chaired by the Commander-in-Chief and Minister of Defence, 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 defence for constitutional and legal affairs. The Secretary of the Board is the Secretary General of the Ministry of Defence. 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. 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. The Egyptian Air Defense Forces or ADF (Quwwat El Diffaa El Gawwi in Arabic) is Egypt's military service responsible for air defense. Egypt patterned its force after the Soviet Air Defence Force, which integrated all its air defence 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 Aly Fahmy Mohammed Aly Fahmi. 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. 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 (p. 375). 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 ten factories and shares in two joint ventures, plus the Arab Institute for Advanced Technology. There is an undergraduate military school for each branch of the Egyptian Armed Forces, and they include:
[ { "paragraph_id": 0, "text": "The Egyptian Armed Forces (Egyptian Arabic: القوات المسلحة المصرية, romanized: alquwwat almusalahat almisria) are the military forces of the Arab Republic of Egypt. They consist of the Egyptian Army, Egyptian Navy, Egyptian Air Force and Egyptian Air Defense Forces.", "title": "" }, { "paragraph_id": 1, "text": "The President of the Republic serves as the Supreme Commander of the Armed Forces. The Minister of Defence 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).", "title": "" }, { "paragraph_id": 2, "text": "Senior members of the military can convene the Supreme Council of the Armed Forces, such as during the course of the 2011 Egyptian revolution, when President Mubarak resigned and transferred power to this body on February 11, 2011.", "title": "" }, { "paragraph_id": 3, "text": "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. Much 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.", "title": "" }, { "paragraph_id": 4, "text": "The modern Egyptian armed forces have been involved in numerous military 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.", "title": "" }, { "paragraph_id": 5, "text": "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 President Gamal Abdel 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 defences.\" In a few instances, such as at the Mitla Pass and Abu Agelia, Egyptian defences 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.", "title": "History" }, { "paragraph_id": 6, "text": "Within three months of sending troops to Yemen in 1962, Nasser realized that the engagement would require a larger commitment than anticipated. By early 1963, he would begin a four-year campaign to extricate Egyptian forces from Yemen, using an unsuccessful face-saving mechanism, only to find himself committing more troops. A little less than 5,000 troops were sent in October 1962. Two months later, Egypt had 15,000 regular troops deployed. By late 1963, the number was increased to 36,000; and in late 1964, the number rose to 50,000 Egyptian troops in Yemen. Late 1965 represented the high-water mark of Egyptian troop commitment in Yemen at 55,000 troops, which were broken into 13 infantry regiments of one artillery division, one tank division from the Egyptian Armoured Corps and several Special Forces as well as airborne regiments. All the Egyptian field commanders complained of a total lack of topographical maps causing a real problem in the first months of the war.", "title": "History" }, { "paragraph_id": 7, "text": "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.", "title": "History" }, { "paragraph_id": 8, "text": "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, My \"War\" with Israel, 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.", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "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. The Egyptians did stop the Israelis seizing Ismailia, however, and inflicted a \"stunning defeat\" on an Israeli force which had tried to hastily seize Suez City in the Battle of Suez. Peace was only imposed after the United States and Soviet Union stepped in.", "title": "History" }, { "paragraph_id": 12, "text": "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 ($1.77 billion in 2023). This level is second only to Israel.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "Egypt is a participant in NATO's Mediterranean Dialogue forum.", "title": "History" }, { "paragraph_id": 15, "text": "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.", "title": "History" }, { "paragraph_id": 16, "text": "On 31 January 2011, during the 2011 Egyptian revolution, Israeli media reported that the 9th, 2nd, and 7th Divisions of the Army had been ordered into Cairo to help restore order.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "In 2018 there were no evident internal cracks within the Armed Forces. The Egyptian Armed Forces’ unrivalled dominance, both in politics and within the security apparatus, appear to be the result of three combined factors: substantial economic interests, a long-time legitimacy buttressed by the army's active involvement in welfare and development initiatives, and the reliance on universal conscription as the main avenue for the successful accommodation of class and social cleavages.", "title": "History" }, { "paragraph_id": 19, "text": "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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "The Supreme Commander-in-Chief is the President of Egypt, currently Abdel Fattah el-Sisi. 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 Ministry of Defence and Military Production.", "title": "Structure" }, { "paragraph_id": 22, "text": "The Supreme Council of the Armed Forces (SCAF) is composed of 23 members, chaired by the Commander-in-Chief and Minister of Defence, 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 defence for constitutional and legal affairs. The Secretary of the Board is the Secretary General of the Ministry of Defence.", "title": "Structure" }, { "paragraph_id": 23, "text": "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.", "title": "Structure" }, { "paragraph_id": 24, "text": "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.", "title": "Structure" }, { "paragraph_id": 25, "text": "The Egyptian Air Defense Forces or ADF (Quwwat El Diffaa El Gawwi in Arabic) is Egypt's military service responsible for air defense. Egypt patterned its force after the Soviet Air Defence Force, which integrated all its air defence 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.", "title": "Structure" }, { "paragraph_id": 26, "text": "Its commander is Lieutenant General Aly Fahmy Mohammed Aly Fahmi.", "title": "Structure" }, { "paragraph_id": 27, "text": "The Egyptian Navy existed thousands of years ago, specifically during the Early Dynastic period in 2800 BC.", "title": "Structure" }, { "paragraph_id": 28, "text": "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.", "title": "Structure" }, { "paragraph_id": 29, "text": "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.", "title": "Structure" }, { "paragraph_id": 30, "text": "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.", "title": "Structure" }, { "paragraph_id": 31, "text": "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 (p. 375).", "title": "Structure" }, { "paragraph_id": 32, "text": "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.", "title": "Military equipment and industry" }, { "paragraph_id": 33, "text": "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.", "title": "Military equipment and industry" }, { "paragraph_id": 34, "text": "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 ten factories and shares in two joint ventures, plus the Arab Institute for Advanced Technology.", "title": "Military equipment and industry" }, { "paragraph_id": 35, "text": "There is an undergraduate military school for each branch of the Egyptian Armed Forces, and they include:", "title": "Military schools" } ]
The Egyptian Armed Forces are the military forces 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 the Supreme Commander of the Armed Forces. The Minister of Defence and Commander-in-Chief of the Armed Forces, the senior uniformed officer, is Colonel General Mohamed Zaki, and the Chief of Staff is Lieutenant General Osama Askar. Senior members of the military can convene the Supreme Council of the Armed Forces, such as during the course of the 2011 Egyptian revolution, 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. Much 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 military 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.
2002-02-25T15:43:11Z
2023-11-27T00:58:19Z
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https://en.wikipedia.org/wiki/Egyptian_Armed_Forces
9,355
Foreign relations of Egypt
The Foreign relations of Egypt are the Egyptian government's external relations with the outside world. Egypt's foreign policy operates along a non-aligned level. Factors such as population size, historical events, military strength, diplomatic expertise and a strategic geographical position give Egypt extensive political influence in the Middle East, Africa, and within the Non-Aligned Movement as a whole. Cairo has been a crossroads of the Arab world's commerce and culture for centuries, and its intellectual and religious institutions are at the center of the region's social and cultural landmarks. Egypt has been seeking to play a role in the resolution of the Israeli–Palestinian conflict. Egypt played an important role in the negotiations leading to the Madrid Conference of 1991, which, under United States and Soviet sponsorship, brought together all parties in the region, including for the first time a Palestinian delegation, to discuss Middle East peace. This support has continued to the present, with former President Hosni Mubarak often intervening personally to promote peace negotiations. In 1996, he hosted the Sharm El-Sheikh "Summit of the Peacemakers" attended by President Bill Clinton and other world leaders. In 2000, he hosted two summits at Sharm El-Sheikh and one at Taba in an effort to resume the Camp David negotiations suspended in July 2000, and in June 2003, Mubarak hosted President George W. Bush for another summit on Middle East peace process. Another summit was convened in Sharm El Sheik in early 2005, which was attended by Egypt, Israel, the Palestinian Authority and Jordan. The former Egyptian Chief of Intelligence, General Omar Suleiman, played a substantial role in negotiations between the Israeli and Palestinian sides and was highly respected on both sides. In the 21st-century Egypt has encountered a major problem with immigration, as millions of Africans attempt to enter Egypt fleeing poverty and war. Border control methods can be "harsh, sometimes lethal." This has strained relations with Egypt's southern neighbors, and with Israel and the members of the EU as these immigrants attempt to move on to wealthier countries. The dispute between Egypt and Ethiopia over the Grand Ethiopian Renaissance Dam has become a national preoccupation in both countries. Egypt sees the dam as an existential threat, fearing that the dam will reduce the amount of water it receives from the Nile. Egypt's Foreign Minister Sameh Shoukry said: "Survival is not a question of choice, but an imperative of nature." European Union relations with Egypt are based on a partnership relation within the Euro – Mediterranean and Middle East area, which is of vital strategic importance and a key external relations priority for the EU. The Euro-Mediterranean Partnership launched at the 1995 Barcelona Conference between the European Union and its originally 12 Mediterranean Partners: Algeria, Cyprus, Egypt, Israel, Jordan, Lebanon, Malta, Morocco, Syria, Tunisia, Turkey, and the Palestinian Authority. Libya currently has observer status at certain meetings. Since the enlargement, in May 2004 and January 2007, the co-operation and needs covers 35 countries, the EU of 27, including Cyprus and Malta and the 10 Mediterranean Partners. Egypt has also taken an active role regarding Euro-Mediterranean Partnership, such as its participation in the technical meeting of which it was the speaker for the Arab group. Additionally, the first meeting of the Euro-Mediterranean Parliamentary assembly was co-chaired by an Egyptian. Egypt has been one of the leading recipients among the Mediterranean partners in terms of total funds received from the MEDA programme, the principal financial instrument of the European Union for the implementation of the Euro-Mediterranean Partnership. It is focused on policy-led, national structural reform and liberalisation programmes with a sector-wide approach. The EU is Egypt's biggest trading partner currently accounting for 42% of Egyptian exports and 37% of imports, with the balance of trade still in the EU's favour. Trade between the EU and Egypt has risen by more than 5% in the last five years to reach around 11.6 billion euro in 2004. Egypt's main exports to the EU in 2004 were energy (39%), textiles and clothing (15%), agricultural products (9%), and chemicals (5%). Major imports from the EU were power generating machinery (21%), chemicals (16%), transport equipment (16%), and food and agricultural products (10%). Egypt has a serious but improving trade deficit that has put considerable pressure on the Egyptian pound. Trade relations with the EU are good although there are several outstanding trade and phyto-sanitary issues. These range from specific market access issues and difficulties for businesses facing a highly regulated and complex system through to restrictions in the export of agricultural goods (potatoes) and fishery products because they do not conform with EU quality norms. Egypt is included in the European Union's European Neighbourhood Policy (ENP) which aims at bringing the EU and its neighbours closer. Some time after the starting of the Arab Spring, in March 2011 the European Union adopted the joint declaration ‘ A partnership for democracy and shared prosperity with the Southern Mediterranean', aimed at making a number of initiatives in the field of civic society support, financial assistance and further access to the EU market dependent upon advancement in the democratization process. As far as Egypt was concerned this declaration envisioned the further deepening of the previous Free Trade Agreement stipulated in 2004, geared towards the inclusion of areas such as trade in services, government procurement, competition, intellectual property rights, and investment protection. To the 2011 declaration, a preliminary phase of the negotiations followed in June 2013, when the EU and Egypt began an exploratory dialogue on how to deepen trade and investment relations, in particular through the possible negotiation of a Deep and Comprehensive Free Trade Agreement (DCFTA). In August 2014, the European Union discussed the possibility of revising provision of aid to Egypt. However, divisions over the appropriate stance to adopt among European diplomats persisted, coupled by the fear that the vacuum might be soon filled by other actors, following a Saudi Foreign Minister's declaration that the Kingdom was ready to step in and those of Prime Minister Hazem al Beblawi about the possibility to appeal to Russia for foreign aid. Therefore, the only measure upon which the Foreign Ministers agreed was to suspend the sale of arms and materials that could be used for repression, but fell short to halt aid program which could damage civil society. Earlier in July 2013, EU High Representative Catherine Ashton had visited Egypt in an attempt to promote reconciliation among the parties involved. She is credited for being the only foreign diplomat to get access to deposed president Mohamed Morsi. In an official statement released at the end of a following visit held in April 2014, the Representative raised the issue of the death penalties and incarceration of journalists and activists. At the same time, her later declarations about el-Sisi's bid for presidential candidacy as “difficult” but “brave” sparked harsh criticism among supporters of the Muslim Brotherhood, who claimed the Representative, who advanced logistical reasons, did not make any efforts to get in touch with them and members of their Anti-Coup Alliance. In April 2014, the European Union agreed to conduct electoral monitoring, for the first time, in occasion of the Presidential elections scheduled for 26/27 May 2014. Other organizations declined to join, as in their opinion this would legitimize what they called an unlawful take on power. A contract for the sale of 30 Rafale fighter jets was signed between the defense ministries of Egypt and France in May 2021. The official value of the contract was not disclosed at first and was later exposed to be worth 3.75 billion euro or $4.5 billion, by an investigative website called Disclose. In December 2020, French President Emmanuel Macron received criticism for not controlling the sale of weapons to Egypt on its poor human rights record, stating counter-terrorism concerns. The Egyptian defense ministry cited that the deal would be supported via a 10-year loan without disclosing its value or any further details. Rights organizations have denounced the deal and accused the French president of overlooking the increasing violation of freedom in Egypt under the regime of President Abdel Fattah Al-Sisi. France's armed forces, finance, and foreign ministries were unavailable for comment. However, French officials claim that Paris, under one of its policies, is avoiding criticism of countries on their human rights records to work with them effectively in private. On 3 February 2022, around 175 Members of European Parliament wrote a joint letter to foreign ministers and ambassadors to the UN Human Rights Council and requested them to secure the establishment of a UN human rights monitoring and reporting mechanism on Egypt. The MEPs were concerned that despite devastating human rights crisis in Egypt, the international communities persistently failed to take any meaningful action to address the situation. The Egyptian authorities, under President Abdel Fattah Al-Sisi, have “brutally and systematically” repressed all forms of dissent and severely curtailed civic space. Egypt played a key role during the 1990-91 Persian Gulf crisis. President Mubarak helped assemble the international coalition and deployed 35,000 Egyptian troops against Iraq to liberate Kuwait. The Egyptian contingent was one of the largest in the coalition forces, along with the U.S., U.K. and Saudi Arabia. In the aftermath of the Gulf War, Egypt signed the Damascus Declaration with Syria and the Persian Gulf states to strengthen Persian Gulf security. Egypt continues to contribute regularly to United Nations peacekeeping missions, most recently in East Timor, Sierra Leone, and Liberia. Following the September 11, 2001 terrorist attacks on the United States, Egypt, which has itself been the target of terrorist attacks, has been a key supporter of the U.S. war against terrorists and terrorist organizations such as Osama bin Laden and al-Qaeda, and has supported the Iraqi Governing Council. On December 25, 2006, the Egyptian Foreign Minister Ahmed Abul Gheit called for end to "nuclear double standards" where sanctions are imposed on Iran for enriching uranium, but the Israeli nuclear program is not subject to any control by the International Atomic Energy Agency. Egypt is member of ABEDA, ACC, ACCT (associate), AfDB, AFESD, AL, AMF, AU, BSEC (observer), CAEU, CTBT, EBRD, ECA, ESCWA, FAO, G-15, G-19, G-24, G-77, IAEA, IBRD, ICAO, ICC, ICRM, IDA, IDB, IFAD, IFC, IFRCS, IHO, ILO, IMF, IMO, Inmarsat, Intelsat, Interpol, IOC, IOM, ISO, ITU, MINURSO, MONUC, NAM, OAPEC, OAS(observer), OAU, OIC, OSCE (partner), PCA, UN, UNAMSIL, UNCTAD, UNESCO, UNIDO, UNITAR, UNMIBH, UNMIK, UNMOP, UNOMIG, UNRWA, UNTAET, UPU, WCO, EFTU, WHO, WIPO, WMO, WToO, and WTrO. Egypt is one of only seven U.N. members which is not a member of the Organisation for the Prohibition of Chemical Weapons.
[ { "paragraph_id": 0, "text": "The Foreign relations of Egypt are the Egyptian government's external relations with the outside world. Egypt's foreign policy operates along a non-aligned level. Factors such as population size, historical events, military strength, diplomatic expertise and a strategic geographical position give Egypt extensive political influence in the Middle East, Africa, and within the Non-Aligned Movement as a whole. Cairo has been a crossroads of the Arab world's commerce and culture for centuries, and its intellectual and religious institutions are at the center of the region's social and cultural landmarks.", "title": "" }, { "paragraph_id": 1, "text": "Egypt has been seeking to play a role in the resolution of the Israeli–Palestinian conflict.", "title": "Bilateral relations" }, { "paragraph_id": 2, "text": "Egypt played an important role in the negotiations leading to the Madrid Conference of 1991, which, under United States and Soviet sponsorship, brought together all parties in the region, including for the first time a Palestinian delegation, to discuss Middle East peace.", "title": "Bilateral relations" }, { "paragraph_id": 3, "text": "This support has continued to the present, with former President Hosni Mubarak often intervening personally to promote peace negotiations. In 1996, he hosted the Sharm El-Sheikh \"Summit of the Peacemakers\" attended by President Bill Clinton and other world leaders.", "title": "Bilateral relations" }, { "paragraph_id": 4, "text": "In 2000, he hosted two summits at Sharm El-Sheikh and one at Taba in an effort to resume the Camp David negotiations suspended in July 2000, and in June 2003, Mubarak hosted President George W. Bush for another summit on Middle East peace process. Another summit was convened in Sharm El Sheik in early 2005, which was attended by Egypt, Israel, the Palestinian Authority and Jordan. The former Egyptian Chief of Intelligence, General Omar Suleiman, played a substantial role in negotiations between the Israeli and Palestinian sides and was highly respected on both sides.", "title": "Bilateral relations" }, { "paragraph_id": 5, "text": "In the 21st-century Egypt has encountered a major problem with immigration, as millions of Africans attempt to enter Egypt fleeing poverty and war. Border control methods can be \"harsh, sometimes lethal.\" This has strained relations with Egypt's southern neighbors, and with Israel and the members of the EU as these immigrants attempt to move on to wealthier countries.", "title": "Africa" }, { "paragraph_id": 6, "text": "The dispute between Egypt and Ethiopia over the Grand Ethiopian Renaissance Dam has become a national preoccupation in both countries. Egypt sees the dam as an existential threat, fearing that the dam will reduce the amount of water it receives from the Nile. Egypt's Foreign Minister Sameh Shoukry said: \"Survival is not a question of choice, but an imperative of nature.\"", "title": "Africa" }, { "paragraph_id": 7, "text": "European Union relations with Egypt are based on a partnership relation within the Euro – Mediterranean and Middle East area, which is of vital strategic importance and a key external relations priority for the EU.", "title": "Europe" }, { "paragraph_id": 8, "text": "The Euro-Mediterranean Partnership launched at the 1995 Barcelona Conference between the European Union and its originally 12 Mediterranean Partners: Algeria, Cyprus, Egypt, Israel, Jordan, Lebanon, Malta, Morocco, Syria, Tunisia, Turkey, and the Palestinian Authority. Libya currently has observer status at certain meetings. Since the enlargement, in May 2004 and January 2007, the co-operation and needs covers 35 countries, the EU of 27, including Cyprus and Malta and the 10 Mediterranean Partners.", "title": "Europe" }, { "paragraph_id": 9, "text": "Egypt has also taken an active role regarding Euro-Mediterranean Partnership, such as its participation in the technical meeting of which it was the speaker for the Arab group. Additionally, the first meeting of the Euro-Mediterranean Parliamentary assembly was co-chaired by an Egyptian.", "title": "Europe" }, { "paragraph_id": 10, "text": "Egypt has been one of the leading recipients among the Mediterranean partners in terms of total funds received from the MEDA programme, the principal financial instrument of the European Union for the implementation of the Euro-Mediterranean Partnership. It is focused on policy-led, national structural reform and liberalisation programmes with a sector-wide approach.", "title": "Europe" }, { "paragraph_id": 11, "text": "The EU is Egypt's biggest trading partner currently accounting for 42% of Egyptian exports and 37% of imports, with the balance of trade still in the EU's favour. Trade between the EU and Egypt has risen by more than 5% in the last five years to reach around 11.6 billion euro in 2004. Egypt's main exports to the EU in 2004 were energy (39%), textiles and clothing (15%), agricultural products (9%), and chemicals (5%). Major imports from the EU were power generating machinery (21%), chemicals (16%), transport equipment (16%), and food and agricultural products (10%). Egypt has a serious but improving trade deficit that has put considerable pressure on the Egyptian pound.", "title": "Europe" }, { "paragraph_id": 12, "text": "Trade relations with the EU are good although there are several outstanding trade and phyto-sanitary issues. These range from specific market access issues and difficulties for businesses facing a highly regulated and complex system through to restrictions in the export of agricultural goods (potatoes) and fishery products because they do not conform with EU quality norms.", "title": "Europe" }, { "paragraph_id": 13, "text": "Egypt is included in the European Union's European Neighbourhood Policy (ENP) which aims at bringing the EU and its neighbours closer.", "title": "Europe" }, { "paragraph_id": 14, "text": "Some time after the starting of the Arab Spring, in March 2011 the European Union adopted the joint declaration ‘ A partnership for democracy and shared prosperity with the Southern Mediterranean', aimed at making a number of initiatives in the field of civic society support, financial assistance and further access to the EU market dependent upon advancement in the democratization process.", "title": "Europe" }, { "paragraph_id": 15, "text": "As far as Egypt was concerned this declaration envisioned the further deepening of the previous Free Trade Agreement stipulated in 2004, geared towards the inclusion of areas such as trade in services, government procurement, competition, intellectual property rights, and investment protection. To the 2011 declaration, a preliminary phase of the negotiations followed in June 2013, when the EU and Egypt began an exploratory dialogue on how to deepen trade and investment relations, in particular through the possible negotiation of a Deep and Comprehensive Free Trade Agreement (DCFTA).", "title": "Europe" }, { "paragraph_id": 16, "text": "In August 2014, the European Union discussed the possibility of revising provision of aid to Egypt. However, divisions over the appropriate stance to adopt among European diplomats persisted, coupled by the fear that the vacuum might be soon filled by other actors, following a Saudi Foreign Minister's declaration that the Kingdom was ready to step in and those of Prime Minister Hazem al Beblawi about the possibility to appeal to Russia for foreign aid. Therefore, the only measure upon which the Foreign Ministers agreed was to suspend the sale of arms and materials that could be used for repression, but fell short to halt aid program which could damage civil society.", "title": "Europe" }, { "paragraph_id": 17, "text": "Earlier in July 2013, EU High Representative Catherine Ashton had visited Egypt in an attempt to promote reconciliation among the parties involved. She is credited for being the only foreign diplomat to get access to deposed president Mohamed Morsi. In an official statement released at the end of a following visit held in April 2014, the Representative raised the issue of the death penalties and incarceration of journalists and activists. At the same time, her later declarations about el-Sisi's bid for presidential candidacy as “difficult” but “brave” sparked harsh criticism among supporters of the Muslim Brotherhood, who claimed the Representative, who advanced logistical reasons, did not make any efforts to get in touch with them and members of their Anti-Coup Alliance.", "title": "Europe" }, { "paragraph_id": 18, "text": "In April 2014, the European Union agreed to conduct electoral monitoring, for the first time, in occasion of the Presidential elections scheduled for 26/27 May 2014. Other organizations declined to join, as in their opinion this would legitimize what they called an unlawful take on power.", "title": "Europe" }, { "paragraph_id": 19, "text": "A contract for the sale of 30 Rafale fighter jets was signed between the defense ministries of Egypt and France in May 2021. The official value of the contract was not disclosed at first and was later exposed to be worth 3.75 billion euro or $4.5 billion, by an investigative website called Disclose. In December 2020, French President Emmanuel Macron received criticism for not controlling the sale of weapons to Egypt on its poor human rights record, stating counter-terrorism concerns. The Egyptian defense ministry cited that the deal would be supported via a 10-year loan without disclosing its value or any further details. Rights organizations have denounced the deal and accused the French president of overlooking the increasing violation of freedom in Egypt under the regime of President Abdel Fattah Al-Sisi. France's armed forces, finance, and foreign ministries were unavailable for comment. However, French officials claim that Paris, under one of its policies, is avoiding criticism of countries on their human rights records to work with them effectively in private.", "title": "Europe" }, { "paragraph_id": 20, "text": "On 3 February 2022, around 175 Members of European Parliament wrote a joint letter to foreign ministers and ambassadors to the UN Human Rights Council and requested them to secure the establishment of a UN human rights monitoring and reporting mechanism on Egypt. The MEPs were concerned that despite devastating human rights crisis in Egypt, the international communities persistently failed to take any meaningful action to address the situation. The Egyptian authorities, under President Abdel Fattah Al-Sisi, have “brutally and systematically” repressed all forms of dissent and severely curtailed civic space.", "title": "Europe" }, { "paragraph_id": 21, "text": "Egypt played a key role during the 1990-91 Persian Gulf crisis. President Mubarak helped assemble the international coalition and deployed 35,000 Egyptian troops against Iraq to liberate Kuwait. The Egyptian contingent was one of the largest in the coalition forces, along with the U.S., U.K. and Saudi Arabia.", "title": "International involvement" }, { "paragraph_id": 22, "text": "In the aftermath of the Gulf War, Egypt signed the Damascus Declaration with Syria and the Persian Gulf states to strengthen Persian Gulf security. Egypt continues to contribute regularly to United Nations peacekeeping missions, most recently in East Timor, Sierra Leone, and Liberia.", "title": "International involvement" }, { "paragraph_id": 23, "text": "Following the September 11, 2001 terrorist attacks on the United States, Egypt, which has itself been the target of terrorist attacks, has been a key supporter of the U.S. war against terrorists and terrorist organizations such as Osama bin Laden and al-Qaeda, and has supported the Iraqi Governing Council.", "title": "International involvement" }, { "paragraph_id": 24, "text": "On December 25, 2006, the Egyptian Foreign Minister Ahmed Abul Gheit called for end to \"nuclear double standards\" where sanctions are imposed on Iran for enriching uranium, but the Israeli nuclear program is not subject to any control by the International Atomic Energy Agency.", "title": "International involvement" }, { "paragraph_id": 25, "text": "Egypt is member of ABEDA, ACC, ACCT (associate), AfDB, AFESD, AL, AMF, AU, BSEC (observer), CAEU, CTBT, EBRD, ECA, ESCWA, FAO, G-15, G-19, G-24, G-77, IAEA, IBRD, ICAO, ICC, ICRM, IDA, IDB, IFAD, IFC, IFRCS, IHO, ILO, IMF, IMO, Inmarsat, Intelsat, Interpol, IOC, IOM, ISO, ITU, MINURSO, MONUC, NAM, OAPEC, OAS(observer), OAU, OIC, OSCE (partner), PCA, UN, UNAMSIL, UNCTAD, UNESCO, UNIDO, UNITAR, UNMIBH, UNMIK, UNMOP, UNOMIG, UNRWA, UNTAET, UPU, WCO, EFTU, WHO, WIPO, WMO, WToO, and WTrO. Egypt is one of only seven U.N. members which is not a member of the Organisation for the Prohibition of Chemical Weapons.", "title": "International involvement" } ]
The Foreign relations of Egypt are the Egyptian government's external relations with the outside world. Egypt's foreign policy operates along a non-aligned level. Factors such as population size, historical events, military strength, diplomatic expertise and a strategic geographical position give Egypt extensive political influence in the Middle East, Africa, and within the Non-Aligned Movement as a whole. Cairo has been a crossroads of the Arab world's commerce and culture for centuries, and its intellectual and religious institutions are at the center of the region's social and cultural landmarks.
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https://en.wikipedia.org/wiki/Foreign_relations_of_Egypt
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El Salvador
El Salvador (/ɛl ˈsælvədɔːr/ ; Spanish: [el salβaˈðoɾ] , meaning "The Saviour"), officially the Republic of El Salvador (Spanish: República de 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 2023 was estimated to be 6.5 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 New Spain 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 forcibly 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. During the civil war, large numbers of Salvadorans emigrated to the United States. 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, along with balsam from the ranges of La Libertad and Ahuachapán. This was followed by a boom in use of the indigo plant 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. As of 2019 economic improvements had led to El Salvador experiencing the lowest level of income inequality among nearby countries. Among 77 countries included in a 2021 study, El Salvador had one of the least complex economies for doing business. Spanish 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 Provincia De Nuestro Señor Jesus Cristo, El Salvador Del Mundo (lit. 'Province of our Lord Jesus Christ, the Savior of the World'). After independence, the country was referred to as the "Republic of Salvador" (República del Salvador), but in 1915, the Legislative Assembly passed a law which officially stated that the country's name should be rendered as the definite form "El Salvador", rather than Salvador. The legislature reaffirmed the country's name as El Salvador with another law passed in 1958. 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, Glyptotherium, 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. 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 artifacts 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 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 an 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 that link it to the Lenca-Maya trade route. 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. 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 commonwealth 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. During the colonial period, San Salvador and San Miguel were part of the Captaincy General of Guatemala, also known as the Kingdom of Guatemala (Spanish: Reino de 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. 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. 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 on 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 vice-president 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. Beginning in January 1932, there was brutal suppression of a rural revolt known as La Matanza. In the unstable political climate of the previous few years, 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. 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 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. On 22 January 1932, thousands of poorly armed peasants in the western part of the El Salvador revolted against the government and Martínez. The rebellion occurred amid widespread unrest over suppression of democratic political freedoms following the cancelation of the results of the 1932 legislative election. The rebels were led by Feliciano Ama and Farabundo Martí and were largely composed of indigenous people and communists. The rebellion made gains initially, capturing several towns and cities across the western part of the country, killing an estimated 2,000 people. The government suppressed the rebellion brutally, killing between 10,000 and 40,000 people, mostly, Pipil peasants. Many of the rebellion's leaders, including Ama and Martí, were captured and executed. 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 Opposing Union (UNO) but was defeated in the 1972 presidential elections. He lost to the ex-minister of interior, Colonel 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' requests, 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. On 15 October 1979, a coup d'état brought the Revolutionary Government Junta (JRG) 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 to 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 Atlácatl 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 – Schafik Hándal, 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 and shook hands with the newly ex-guerrilla commanders, an action which was widely admired. 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), 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 FMLN. 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, the Grand Alliance for National Unity (GANA), 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, former FMLN guerrilla leader Cerén 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 president Funes and one of his sons had illegally enriched themselves. Funes had sought asylum in Nicaragua in 2016. In September 2018, former president Saca 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. On 1 June 2019, Nayib Bukele became the new president of El Salvador. Bukele was the winner of February 2019 presidential election. He represented GANA, as he was denied participating with the newly formed Nuevas Ideas party. ARENA and the FMLN, El Salvador's two main parties, 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 (NI), founded by Bukele, with its ally (GANA) won around 63% of the vote in the February 2021 legislative elections. His party and allies won 61 seats, well over the coveted supermajority of 56 seats in the 84-seat parliament, allowing for uncontested decisions at the legislative level. The supermajority permits President Bukele's party to appoint judiciary members and pass laws with little to no opposition, for instance, to remove presidential term limits. On 8 June 2021, at the initiative of President Bukele, pro-government deputies in the Legislative Assembly voted legislation to make bitcoin legal tender in the country. In September 2021, El Salvador's Supreme Court ruled to allow Bukele to run for a second term in 2024, despite the fact that the constitution prohibits the president to serve two consecutive terms in office. The decision was organized by judges appointed to the court by Bukele. On 25 February 2021, El Salvador became the first Central American country to be awarded certification for the elimination of malaria by the WHO. In January 2022, the International Monetary Fund (IMF) urged El Salvador to reverse its decision to make cryptocurrency legal tender. Bitcoin had rapidly lost about half of its value, meaning economic difficulties and, as of May 2022, with government bonds trading at 40% of their original value, the prospect of a looming sovereign default. Bukele announced back in January 2022 plans to build a "Bitcoin city" at the base of a volcano in El Salvador. In 2022, Salvadoran government initiated a massive fight against criminal gangs and gang-related violence. A state of emergency was declared on 27 March and was extended on 20 July. More than 53,000 suspected gang members were arrested, precipitating the highest reported incarceration rate in the world. On 30 November 2023, the Legislative Assembly granted Bukele and Vice President Felix Ulloa a leave of absence so that they could focus on their 2024 re-election campaign. Bukele was succeeded by Claudia Rodríguez de Guevara as acting president, the first female president in Salvadoran history. El Salvador lies in the isthmus of Central America between latitudes 13° and 15°N, and longitudes 87° and 91°W. It stretches 270 km (168 mi) from west-northwest to east-southeast and 142 km (88 mi) north to south, with a total area of 21,041 km (8,124 sq mi). 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 546 km (339 mi): 203 km (126 mi) with Guatemala and 343 km (213 mi) with Honduras. It is the only Central American country that has no Caribbean coastline. The coastline on the Pacific is 307 km (191 mi) 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 (70 km or 27 sq mi) and Lake Coatepeque (26 km or 10 sq mi). Lake Güija is El Salvador's largest natural lake (44 km or 17 sq mi). Several artificial lakes were created by the damming of the Lempa, the largest of which is Cerrón Grande Reservoir (135 km or 52 sq mi). There are a total 320 km (123.6 sq mi) of water within El Salvador's borders. The highest point in El Salvador is Cerro El Pital, at 2,730 metres (8,957 ft), 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. 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 and humid; the central plateau and mountain areas are more moderate. The rainy season, known locally as invierno, or winter, extends from May to October. Almost all the annual rainfall during this time, and yearly rain totals, particularly on southern-facing mountain slopes, can be as high as 2,000 millimeters (78.7 in). Protected areas and the central plateau receive lesser, although still significant, amounts. Rainfall during this season generally comes from low pressure over the Pacific and usually falls in heavy afternoon thunderstorms. Although hurricanes occasionally form in the Pacific, they seldom affect El Salvador, with the notable exception of Hurricane Mitch in 1998 (which actually formed over the Atlantic Basin) and Hurricane Emily in 1973. From November through April, the northeast trade winds control weather patterns. 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. This season is known locally as verano, or summer. Temperatures vary little with season; elevation is the primary determinant. The Pacific lowlands are the hottest region, with annual averages ranging from 25 to 29 °C (77.0 to 84.2 °F). San Salvador is representative of the central plateau, with an annual average temperature of 23 °C (73 °F) and absolute high and low readings of 38 and 6 °C (100.4 and 42.8 °F), respectively. Mountain areas are the coolest, with annual averages from 12 to 23 °C (53.6 to 73.4 °F) and minimum temperatures sometimes approaching freezing. 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. 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. 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. The 1983 constitution has the highest legal authority in the country. El Salvador has a democratic and representative government, whose three bodies are: 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. 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 departamentos rojos (red departments) are relatively leftist. The departamentos azules (blue departments) in the east, western and highland regions are relatively conservative. 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. 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. Abortion is banned, with no exceptions for rape, incest, or threat to the mother's life; as a result, 180 women have been imprisoned in the last two decades, some for up to 30 years. 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. El Salvador is divided into 14 departments (departamentos), which in turn are subdivided into 44 municipalities (municipios) which are also divided into 262 districts. 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%. 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. Bitcoin officially became a legal tender on 7 September 2021. 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. According to a survey conducted by the Salvadaran Chamber of Commerce, as of March 2022 only 14% of merchants in the country processed at least one Bitcoin transaction. 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.) El Salvador's energy industry is diversified across, relying on 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). 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. 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. 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. 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). 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. Nonetheless, El Salvador remains best known for its beaches and volcanoes. The most frequently visited beaches include El Tunco, Punta Roca, El Sunzal, El Zonte beach, La Costa del Sol, El Majahual, and La Libertad beach. While the most hiked volcanoes are Santa Ana and Izalco. 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 40 km (25 mi) southeast of San Salvador. El Salvador's population was 6,314,167 in 2021, 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. 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. 15.0% 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. As of 2004, 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. 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. As in other regions of Central and South America, Salvadorans use voseo. This refers to the use of "vos" as the second person singular pronoun, instead of "tú". The majority of the population in El Salvador is Christian. 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. 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 95th in the Global Innovation Index in 2023, up from 108th in 2019. 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, 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. In 2011 there were 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. In 2015, there were 6,650 homicides recorded in El Salvador. In 2016, at least 5,728 people were murdered. In 2017, there were 3,962 recorded homicides. In 2018, there were 3,348 recorded deaths. In 2019, authorities reported a total of 2,365 homicides. In 2020, there were only 1,322 reported homicides. In 2021, the country recorded 1,140 homicides. According to official data, 2021 had the lowest number recorded murders since the end of the civil war in 1992. By 2022, El Salvador had a homicide rate of 7.8 per 100,000 individuals. On 10 May 2023, President Nayib Bukele stated on Twitter that El Salvador had completed one full year or 365 days since 2019 without a single homicide occurring. This announcement was accompanied by a video detailing his government's claims about this dramatic change in the occurrences of homicide. Beginning on 25 March 2022, three days of gang-related violence occurred that left 87 people dead. In response, President Bukele asked the Salvadoran parliament to ratify a state of emergency. On 26 March, Bukele also ordered the police and army to initiate mass-arrests against those responsible for the violence. A day later, Congress approved a "State of Emergency" that gives legal coverage to arrest any citizen suspected to be a gang member even with no proof. In addition, Congress also approved reforms to increase the maximum sentence for gang member from nine to 45 years in prison and punish the dissemination of gang messages, including independent journalism talking about the gang crisis, with up to 15 years in prison. The law was directed against those who "mark" their territories with acronyms of the gangs, a practice that gang members use to intimidate, and threaten with death those who denounce them to the authorities. The Directorate of Penal Centers began to erase the graffiti that the gangs use to mark the territory in which they operate. The Mara Salvatrucha (MS-13) and Barrio 18 gangs, among others, were estimated in 2022 to have around some 70,000 members, and as of August 2023, around 72,000 suspected gang members have been sent to prison as a part of the government crackdown on the gangs. 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. 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 drunk year-round, and can be drunk 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. 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. 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. 13°41′N 89°11′W / 13.683°N 89.183°W / 13.683; -89.183
[ { "paragraph_id": 0, "text": "El Salvador (/ɛl ˈsælvədɔːr/ ; Spanish: [el salβaˈðoɾ] , meaning \"The Saviour\"), officially the Republic of El Salvador (Spanish: República de 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 2023 was estimated to be 6.5 million.", "title": "" }, { "paragraph_id": 1, "text": "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 New Spain 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 forcibly 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.", "title": "" }, { "paragraph_id": 2, "text": "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. During the civil war, large numbers of Salvadorans emigrated to the United States. By 2008, they were one of the largest immigrant groups in the US.", "title": "" }, { "paragraph_id": 3, "text": "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, along with balsam from the ranges of La Libertad and Ahuachapán. This was followed by a boom in use of the indigo plant 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. As of 2019 economic improvements had led to El Salvador experiencing the lowest level of income inequality among nearby countries. Among 77 countries included in a 2021 study, El Salvador had one of the least complex economies for doing business.", "title": "" }, { "paragraph_id": 4, "text": "Spanish 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 Provincia De Nuestro Señor Jesus Cristo, El Salvador Del Mundo (lit. 'Province of our Lord Jesus Christ, the Savior of the World'). After independence, the country was referred to as the \"Republic of Salvador\" (República del Salvador), but in 1915, the Legislative Assembly passed a law which officially stated that the country's name should be rendered as the definite form \"El Salvador\", rather than Salvador. The legislature reaffirmed the country's name as El Salvador with another law passed in 1958.", "title": "Etymology" }, { "paragraph_id": 5, "text": "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, Glyptotherium, 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.", "title": "History" }, { "paragraph_id": 6, "text": "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 artifacts 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.", "title": "History" }, { "paragraph_id": 7, "text": "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 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 an indigenous heritage of Lenca origin, as do their place names such as Intipuca, Chirilagua, and Lolotique.", "title": "History" }, { "paragraph_id": 8, "text": "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 that link it to the Lenca-Maya trade route.", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "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.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "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.", "title": "History" }, { "paragraph_id": 15, "text": "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 commonwealth 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.", "title": "History" }, { "paragraph_id": 16, "text": "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.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "During the colonial period, San Salvador and San Miguel were part of the Captaincy General of Guatemala, also known as the Kingdom of Guatemala (Spanish: Reino de 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.", "title": "History" }, { "paragraph_id": 19, "text": "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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "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.", "title": "History" }, { "paragraph_id": 22, "text": "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.", "title": "History" }, { "paragraph_id": 23, "text": "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.", "title": "History" }, { "paragraph_id": 24, "text": "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 on 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.", "title": "History" }, { "paragraph_id": 25, "text": "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.", "title": "History" }, { "paragraph_id": 26, "text": "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 vice-president 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.", "title": "History" }, { "paragraph_id": 27, "text": "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.", "title": "History" }, { "paragraph_id": 28, "text": "Beginning in January 1932, there was brutal suppression of a rural revolt known as La Matanza. In the unstable political climate of the previous few years, 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. 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 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.", "title": "History" }, { "paragraph_id": 29, "text": "On 22 January 1932, thousands of poorly armed peasants in the western part of the El Salvador revolted against the government and Martínez. The rebellion occurred amid widespread unrest over suppression of democratic political freedoms following the cancelation of the results of the 1932 legislative election. The rebels were led by Feliciano Ama and Farabundo Martí and were largely composed of indigenous people and communists. The rebellion made gains initially, capturing several towns and cities across the western part of the country, killing an estimated 2,000 people. The government suppressed the rebellion brutally, killing between 10,000 and 40,000 people, mostly, Pipil peasants. Many of the rebellion's leaders, including Ama and Martí, were captured and executed.", "title": "History" }, { "paragraph_id": 30, "text": "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.", "title": "History" }, { "paragraph_id": 31, "text": "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.", "title": "History" }, { "paragraph_id": 32, "text": "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 Opposing Union (UNO) but was defeated in the 1972 presidential elections. He lost to the ex-minister of interior, Colonel 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' requests, 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.", "title": "History" }, { "paragraph_id": 33, "text": "On 15 October 1979, a coup d'état brought the Revolutionary Government Junta (JRG) 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.", "title": "History" }, { "paragraph_id": 34, "text": "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 to 8,000 active guerrillas and hundreds of thousands of part-time militia, supporters, and sympathizers.", "title": "History" }, { "paragraph_id": 35, "text": "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.", "title": "History" }, { "paragraph_id": 36, "text": "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.", "title": "History" }, { "paragraph_id": 37, "text": "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 Atlácatl 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.", "title": "History" }, { "paragraph_id": 38, "text": "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 – Schafik Hándal, 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 and shook hands with the newly ex-guerrilla commanders, an action which was widely admired.", "title": "History" }, { "paragraph_id": 39, "text": "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.", "title": "History" }, { "paragraph_id": 40, "text": "From 1989 until 2004, Salvadorans favoured the Nationalist Republican Alliance (ARENA), 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 FMLN. He was inaugurated on 1 June 2009. One focus of the Funes government has been revealing the alleged corruption from the past government.", "title": "History" }, { "paragraph_id": 41, "text": "ARENA formally expelled Saca from the party in December 2009. With 12 loyalists in the National Assembly, Saca established his own party, the Grand Alliance for National Unity (GANA), 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.", "title": "History" }, { "paragraph_id": 42, "text": "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.", "title": "History" }, { "paragraph_id": 43, "text": "In March 2014, former FMLN guerrilla leader Cerén 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.", "title": "History" }, { "paragraph_id": 44, "text": "In October 2017, an El Salvador court ruled that former president Funes and one of his sons had illegally enriched themselves. Funes had sought asylum in Nicaragua in 2016.", "title": "History" }, { "paragraph_id": 45, "text": "In September 2018, former president Saca 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.", "title": "History" }, { "paragraph_id": 46, "text": "On 1 June 2019, Nayib Bukele became the new president of El Salvador. Bukele was the winner of February 2019 presidential election. He represented GANA, as he was denied participating with the newly formed Nuevas Ideas party. ARENA and the FMLN, El Salvador's two main parties, had dominated politics in El Salvador over the past three decades.", "title": "History" }, { "paragraph_id": 47, "text": "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.", "title": "History" }, { "paragraph_id": 48, "text": "The party Nuevas Ideas (NI), founded by Bukele, with its ally (GANA) won around 63% of the vote in the February 2021 legislative elections. His party and allies won 61 seats, well over the coveted supermajority of 56 seats in the 84-seat parliament, allowing for uncontested decisions at the legislative level. The supermajority permits President Bukele's party to appoint judiciary members and pass laws with little to no opposition, for instance, to remove presidential term limits. On 8 June 2021, at the initiative of President Bukele, pro-government deputies in the Legislative Assembly voted legislation to make bitcoin legal tender in the country. In September 2021, El Salvador's Supreme Court ruled to allow Bukele to run for a second term in 2024, despite the fact that the constitution prohibits the president to serve two consecutive terms in office. The decision was organized by judges appointed to the court by Bukele.", "title": "History" }, { "paragraph_id": 49, "text": "On 25 February 2021, El Salvador became the first Central American country to be awarded certification for the elimination of malaria by the WHO.", "title": "History" }, { "paragraph_id": 50, "text": "In January 2022, the International Monetary Fund (IMF) urged El Salvador to reverse its decision to make cryptocurrency legal tender. Bitcoin had rapidly lost about half of its value, meaning economic difficulties and, as of May 2022, with government bonds trading at 40% of their original value, the prospect of a looming sovereign default. Bukele announced back in January 2022 plans to build a \"Bitcoin city\" at the base of a volcano in El Salvador.", "title": "History" }, { "paragraph_id": 51, "text": "In 2022, Salvadoran government initiated a massive fight against criminal gangs and gang-related violence. A state of emergency was declared on 27 March and was extended on 20 July. More than 53,000 suspected gang members were arrested, precipitating the highest reported incarceration rate in the world.", "title": "History" }, { "paragraph_id": 52, "text": "On 30 November 2023, the Legislative Assembly granted Bukele and Vice President Felix Ulloa a leave of absence so that they could focus on their 2024 re-election campaign. Bukele was succeeded by Claudia Rodríguez de Guevara as acting president, the first female president in Salvadoran history.", "title": "History" }, { "paragraph_id": 53, "text": "El Salvador lies in the isthmus of Central America between latitudes 13° and 15°N, and longitudes 87° and 91°W. It stretches 270 km (168 mi) from west-northwest to east-southeast and 142 km (88 mi) north to south, with a total area of 21,041 km (8,124 sq mi). 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 546 km (339 mi): 203 km (126 mi) with Guatemala and 343 km (213 mi) with Honduras. It is the only Central American country that has no Caribbean coastline. The coastline on the Pacific is 307 km (191 mi) long.", "title": "Geography" }, { "paragraph_id": 54, "text": "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.", "title": "Geography" }, { "paragraph_id": 55, "text": "There are several lakes enclosed by volcanic craters in El Salvador, the most important of which are Lake Ilopango (70 km or 27 sq mi) and Lake Coatepeque (26 km or 10 sq mi). Lake Güija is El Salvador's largest natural lake (44 km or 17 sq mi). Several artificial lakes were created by the damming of the Lempa, the largest of which is Cerrón Grande Reservoir (135 km or 52 sq mi). There are a total 320 km (123.6 sq mi) of water within El Salvador's borders.", "title": "Geography" }, { "paragraph_id": 56, "text": "The highest point in El Salvador is Cerro El Pital, at 2,730 metres (8,957 ft), 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.", "title": "Geography" }, { "paragraph_id": 57, "text": "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 and humid; the central plateau and mountain areas are more moderate.", "title": "Geography" }, { "paragraph_id": 58, "text": "The rainy season, known locally as invierno, or winter, extends from May to October. Almost all the annual rainfall during this time, and yearly rain totals, particularly on southern-facing mountain slopes, can be as high as 2,000 millimeters (78.7 in). Protected areas and the central plateau receive lesser, although still significant, amounts. Rainfall during this season generally comes from low pressure over the Pacific and usually falls in heavy afternoon thunderstorms. Although hurricanes occasionally form in the Pacific, they seldom affect El Salvador, with the notable exception of Hurricane Mitch in 1998 (which actually formed over the Atlantic Basin) and Hurricane Emily in 1973.", "title": "Geography" }, { "paragraph_id": 59, "text": "From November through April, the northeast trade winds control weather patterns. 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. This season is known locally as verano, or summer.", "title": "Geography" }, { "paragraph_id": 60, "text": "Temperatures vary little with season; elevation is the primary determinant. The Pacific lowlands are the hottest region, with annual averages ranging from 25 to 29 °C (77.0 to 84.2 °F). San Salvador is representative of the central plateau, with an annual average temperature of 23 °C (73 °F) and absolute high and low readings of 38 and 6 °C (100.4 and 42.8 °F), respectively. Mountain areas are the coolest, with annual averages from 12 to 23 °C (53.6 to 73.4 °F) and minimum temperatures sometimes approaching freezing.", "title": "Geography" }, { "paragraph_id": 61, "text": "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.", "title": "Geography" }, { "paragraph_id": 62, "text": "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.", "title": "Geography" }, { "paragraph_id": 63, "text": "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.", "title": "Geography" }, { "paragraph_id": 64, "text": "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.", "title": "Geography" }, { "paragraph_id": 65, "text": "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.", "title": "Geography" }, { "paragraph_id": 66, "text": "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.", "title": "Geography" }, { "paragraph_id": 67, "text": "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.", "title": "Geography" }, { "paragraph_id": 68, "text": "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.", "title": "Geography" }, { "paragraph_id": 69, "text": "The 1983 constitution has the highest legal authority in the country. El Salvador has a democratic and representative government, whose three bodies are:", "title": "Government and politics" }, { "paragraph_id": 70, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 71, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 72, "text": "The departments of the Central region, especially the capital and the coastal regions, known as departamentos rojos (red departments) are relatively leftist. The departamentos azules (blue departments) in the east, western and highland regions are relatively conservative.", "title": "Government and politics" }, { "paragraph_id": 73, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 74, "text": "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.\"", "title": "Government and politics" }, { "paragraph_id": 75, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 76, "text": "In 2017, El Salvador signed the UN treaty on the Prohibition of Nuclear Weapons.", "title": "Government and politics" }, { "paragraph_id": 77, "text": "El Salvador is a party to the Rome Statute of the International Criminal Court.", "title": "Government and politics" }, { "paragraph_id": 78, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 79, "text": "Abortion is banned, with no exceptions for rape, incest, or threat to the mother's life; as a result, 180 women have been imprisoned in the last two decades, some for up to 30 years. 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.", "title": "Government and politics" }, { "paragraph_id": 80, "text": "El Salvador is divided into 14 departments (departamentos), which in turn are subdivided into 44 municipalities (municipios) which are also divided into 262 districts.", "title": "Government and politics" }, { "paragraph_id": 81, "text": "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\".", "title": "Economy" }, { "paragraph_id": 82, "text": "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%. As of December 2017, net international reserves stood at $3.57 billion.", "title": "Economy" }, { "paragraph_id": 83, "text": "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.", "title": "Economy" }, { "paragraph_id": 84, "text": "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.", "title": "Economy" }, { "paragraph_id": 85, "text": "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.", "title": "Economy" }, { "paragraph_id": 86, "text": "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.", "title": "Economy" }, { "paragraph_id": 87, "text": "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. Bitcoin officially became a legal tender on 7 September 2021. 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. According to a survey conducted by the Salvadaran Chamber of Commerce, as of March 2022 only 14% of merchants in the country processed at least one Bitcoin transaction.", "title": "Economy" }, { "paragraph_id": 88, "text": "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.)", "title": "Economy" }, { "paragraph_id": 89, "text": "El Salvador's energy industry is diversified across, relying on 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.", "title": "Economy" }, { "paragraph_id": 90, "text": "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).", "title": "Economy" }, { "paragraph_id": 91, "text": "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.", "title": "Economy" }, { "paragraph_id": 92, "text": "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. 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.", "title": "Economy" }, { "paragraph_id": 93, "text": "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.\"", "title": "Economy" }, { "paragraph_id": 94, "text": "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.", "title": "Economy" }, { "paragraph_id": 95, "text": "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).", "title": "Economy" }, { "paragraph_id": 96, "text": "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.", "title": "Economy" }, { "paragraph_id": 97, "text": "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. Nonetheless, El Salvador remains best known for its beaches and volcanoes. The most frequently visited beaches include El Tunco, Punta Roca, El Sunzal, El Zonte beach, La Costa del Sol, El Majahual, and La Libertad beach. While the most hiked volcanoes are Santa Ana and Izalco.", "title": "Economy" }, { "paragraph_id": 98, "text": "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.", "title": "Infrastructure" }, { "paragraph_id": 99, "text": "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.", "title": "Infrastructure" }, { "paragraph_id": 100, "text": "The airport serving international flights in El Salvador is Monseñor Óscar Arnulfo Romero International Airport. This airport is located about 40 km (25 mi) southeast of San Salvador.", "title": "Infrastructure" }, { "paragraph_id": 101, "text": "El Salvador's population was 6,314,167 in 2021, 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.", "title": "Demographics" }, { "paragraph_id": 102, "text": "There are up to 100,000 Nicaraguans living in El Salvador.", "title": "Demographics" }, { "paragraph_id": 103, "text": "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. 15.0% 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).", "title": "Demographics" }, { "paragraph_id": 104, "text": "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.", "title": "Demographics" }, { "paragraph_id": 105, "text": "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.", "title": "Demographics" }, { "paragraph_id": 106, "text": "As of 2004, 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.", "title": "Demographics" }, { "paragraph_id": 107, "text": "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.", "title": "Demographics" }, { "paragraph_id": 108, "text": "The local Spanish vernacular is called Caliche, which is considered informal. As in other regions of Central and South America, Salvadorans use voseo. This refers to the use of \"vos\" as the second person singular pronoun, instead of \"tú\".", "title": "Demographics" }, { "paragraph_id": 109, "text": "The majority of the population in El Salvador is Christian. 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.", "title": "Demographics" }, { "paragraph_id": 110, "text": "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.", "title": "Education" }, { "paragraph_id": 111, "text": "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.", "title": "Education" }, { "paragraph_id": 112, "text": "Universities in El Salvador include a central public institution, the Universidad de El Salvador, and many other specialized private universities. El Salvador was ranked 95th in the Global Innovation Index in 2023, up from 108th in 2019.", "title": "Education" }, { "paragraph_id": 113, "text": "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, 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. In 2011 there were 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.", "title": "Crime" }, { "paragraph_id": 114, "text": "In 2015, there were 6,650 homicides recorded in El Salvador. In 2016, at least 5,728 people were murdered. In 2017, there were 3,962 recorded homicides. In 2018, there were 3,348 recorded deaths. In 2019, authorities reported a total of 2,365 homicides. In 2020, there were only 1,322 reported homicides. In 2021, the country recorded 1,140 homicides. According to official data, 2021 had the lowest number recorded murders since the end of the civil war in 1992.", "title": "Crime" }, { "paragraph_id": 115, "text": "By 2022, El Salvador had a homicide rate of 7.8 per 100,000 individuals.", "title": "Crime" }, { "paragraph_id": 116, "text": "On 10 May 2023, President Nayib Bukele stated on Twitter that El Salvador had completed one full year or 365 days since 2019 without a single homicide occurring. This announcement was accompanied by a video detailing his government's claims about this dramatic change in the occurrences of homicide.", "title": "Crime" }, { "paragraph_id": 117, "text": "Beginning on 25 March 2022, three days of gang-related violence occurred that left 87 people dead. In response, President Bukele asked the Salvadoran parliament to ratify a state of emergency. On 26 March, Bukele also ordered the police and army to initiate mass-arrests against those responsible for the violence.", "title": "Crime" }, { "paragraph_id": 118, "text": "A day later, Congress approved a \"State of Emergency\" that gives legal coverage to arrest any citizen suspected to be a gang member even with no proof. In addition, Congress also approved reforms to increase the maximum sentence for gang member from nine to 45 years in prison and punish the dissemination of gang messages, including independent journalism talking about the gang crisis, with up to 15 years in prison.", "title": "Crime" }, { "paragraph_id": 119, "text": "The law was directed against those who \"mark\" their territories with acronyms of the gangs, a practice that gang members use to intimidate, and threaten with death those who denounce them to the authorities. The Directorate of Penal Centers began to erase the graffiti that the gangs use to mark the territory in which they operate.", "title": "Crime" }, { "paragraph_id": 120, "text": "The Mara Salvatrucha (MS-13) and Barrio 18 gangs, among others, were estimated in 2022 to have around some 70,000 members, and as of August 2023, around 72,000 suspected gang members have been sent to prison as a part of the government crackdown on the gangs.", "title": "Crime" }, { "paragraph_id": 121, "text": "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.", "title": "Culture" }, { "paragraph_id": 122, "text": "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.", "title": "Culture" }, { "paragraph_id": 123, "text": "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.", "title": "Culture" }, { "paragraph_id": 124, "text": "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.", "title": "Culture" }, { "paragraph_id": 125, "text": "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\".", "title": "Culture" }, { "paragraph_id": 126, "text": "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.", "title": "Culture" }, { "paragraph_id": 127, "text": "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.", "title": "Culture" }, { "paragraph_id": 128, "text": "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 drunk year-round, and can be drunk 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.", "title": "Culture" }, { "paragraph_id": 129, "text": "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.", "title": "Culture" }, { "paragraph_id": 130, "text": "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.", "title": "Culture" }, { "paragraph_id": 131, "text": "13°41′N 89°11′W / 13.683°N 89.183°W / 13.683; -89.183", "title": "External links" } ]
El Salvador, 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 2023 was estimated to be 6.5 million. Among the Mesoamerican nations that historically controlled the region are the Lenca, 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 New Spain 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 forcibly 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. During the civil war, large numbers of Salvadorans emigrated to the United States. 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, along with balsam from the ranges of La Libertad and Ahuachapán. This was followed by a boom in use of the indigo plant 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. As of 2019 economic improvements had led to El Salvador experiencing the lowest level of income inequality among nearby countries. Among 77 countries included in a 2021 study, El Salvador had one of the least complex economies for doing business.
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https://en.wikipedia.org/wiki/El_Salvador
9,358
Geography of El Salvador
El Salvador is a country in Central America. Situated at the meeting point of three tectonic plates, it is highly seismologically active and the location of numerous earthquakes and volcanic eruptions. The country has a tropical climate. El Salvador, along with the rest of Central America, is one of the most seismologically active regions on earth, situated atop three of the large tectonic plates that constitute the Earth's surface. The motion of these plates causes the area's earthquake and volcanic activity. Most of Central America and the Caribbean Basin rests on the relatively motionless Caribbean Plate. The Pacific Ocean floor, however, is being carried northeast by the underlying motion of the Cocos Plate. Ocean floor material is largely composed of basalt, which is relatively dense; when it collides with the lighter granite rocks of Central America, the ocean floor is forced down under the land mass, creating the deep Middle America Trench that lies off the coast of El Salvador. The subduction of the Cocos Plate accounts for the frequency of earthquakes near the coast. As the rocks constituting the ocean floor are forced down, they melt, and the molten material pours up through weaknesses in the surface rock, producing volcanoes and geysers. North of El Salvador, Mexico and most of Guatemala are riding on the westward-moving North American Plate that butts against the northern edge of the stationary Caribbean Plate in southern Guatemala. The grinding action of these two plates creates a fault (similar to the San Andreas fault in California) that runs the length of the valley of the Rio Motagua in Guatemala. Motion along this fault is the source of earthquakes in northernmost El Salvador. El Salvador has a long history of destructive earthquakes and volcanic eruptions. San Salvador was destroyed in 1756 and 1854, and suffered heavy damage in the 1919, 1982, and 1986 tremors. The country has over twenty volcanoes, although only two, San Miguel and Izalco, have been active in recent years. From the early nineteenth 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. 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 percent of the land, comprise the interior highlands. The remaining coastal plains are referred to as the Pacific lowlands. The northern range of mountains, the Sierra Madre, form a continuous chain along the border with Honduras. Elevations in this region range from 1,600 to 2,700 meters. The area was once heavily forested, but overexploitation led to extensive erosion, and it has become semibarren. As a result, it is the country's most sparsely populated zone, with little farming or other development. The southern range of mountains is actually a discontinuous chain of more than twenty volcanoes, clustered into five groups. The westernmost group, near the Guatemalan border, contains Izalco and Santa Ana, which at 2,365 meters is the highest volcano in El Salvador. Between the cones lie alluvial basins and rolling hills eroded from ash deposits. The volcanic soil is rich, and much of El Salvador's coffee is planted on these slopes. The central plateau constitutes only 25 percent of the land area but contains the heaviest concentration of population and the country's largest cities. This plain is about 50 kilometers wide and has an average elevation of 600 meters. Terrain here is rolling, with occasional escarpments, lava fields, and geysers. A narrow plain extends from the coastal volcanic range to the Pacific Ocean. This region has a width ranging from one to thirty-two kilometers with the widest section in the east, adjacent to the Golfo de Fonseca. Near La Libertad, however, the mass of the mountains push the lowlands out; the slopes of adjacent volcanoes come down directly to the ocean. Surfaces in the Pacific lowlands are generally flat or gently rolling and result from the alluvial deposits of nearby slopes. 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 finally 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 the country. 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. Numerous lakes of volcanic origin are found in the interior highlands; many of these lakes are surrounded by mountains and have high, steep banks. The largest lake, the Lago de Ilopango, lies just to the east of the capital. Other large lakes include the Lago de Coatepeque in the west and the Lago de Güija on the Guatemalan border. The Cerron Grande Dam on the Rio Lempa has created a large reservoir, the Embalse Cerron Grande, in northern El Salvador. Izalco has erupted at least 54 times since 1770. It earned the nickname "Lighthouse of the Pacific" because it served as a beacon for ships during the night. 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 and humid; the central plateau and mountain areas are more moderate. The rainy season, known locally as invierno, or winter, extends from May to October. Almost all the annual rainfall during this time, and yearly rain totals, particularly on southern-facing mountain slopes, can be as high as 2,000 millimeters (78.7 in). Protected areas and the central plateau receive lesser, although still significant, amounts. Rainfall during this season generally comes from low pressure over the Pacific and usually falls in heavy afternoon thunderstorms. Although hurricanes occasionally form in the Pacific, they seldom affect El Salvador, with the notable exception of Hurricane Mitch in 1998 (which actually formed over the Atlantic Basin) and Hurricane Emily in 1973. From November through April, the northeast trade winds control weather patterns. 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. This season is known locally as verano, or summer. Temperatures vary little with season; elevation is the primary determinant. The Pacific lowlands are the hottest region, with annual averages ranging from 25 to 29 °C (77.0 to 84.2 °F). San Salvador is representative of the central plateau, with an annual average temperature of 23 °C (73 °F) and absolute high and low readings of 38 and 6 °C (100.4 and 42.8 °F), respectively. Mountain areas are the coolest, with annual averages from 12 to 23 °C (53.6 to 73.4 °F) and minimum temperatures sometimes approaching freezing. The total land area of El Salvador is 23,041 km, with 20,721 km of land and 320 km of water. El Salvador is about the size of Israel and the U.S states of New Jersey and Vermont, but has the population size of Libya and Lebanon. El Salvador has 590 km of borders, including 391 km of borders with Honduras and 199 km with Guatemala. El Salvador has a coastline of 307 km. El Salvador claims a territorial sea of 200 nautical miles (370.4 km; 230.2 mi). The lowest point of elevation in El Salvador is the Pacific Ocean, at sea level. The highest point is Cerro El Pital, at 2,730 m. Maritime claims: Exclusive economic zone: 90,962 km (35,121 sq mi) Natural resources: Hydropower, geothermal power, petroleum, arable land Land use (2012 estimate) includes 34.03 percent arable land, 10.86 percent permanent crops, 55.12 percent other. Irrigated land: 449.9 km (2003) Total renewable water resources: 25.23 km (2011) Natural hazards: El Salvador is known as the "Land of Volcanoes"; there are frequent and sometimes very destructive earthquakes and volcanic activity; hurricanes rarely make direct landfall. Deforestation; soil erosion; water pollution; contamination of soils from disposal of toxic wastes. El Salvador is party to the Convention on Biological Diversity, United Nations Framework Convention on Climate Change, Kyoto Protocol to the United Nations Framework Convention on Climate Change, United Nations Convention to Combat Desertification, CITES, Basel Convention, Partial Test Ban Treaty, Montreal Protocol, Ramsar Convention. El Salvador has signed, but not ratified the United Nations Convention on the Law of the Sea.
[ { "paragraph_id": 0, "text": "El Salvador is a country in Central America. Situated at the meeting point of three tectonic plates, it is highly seismologically active and the location of numerous earthquakes and volcanic eruptions. The country has a tropical climate.", "title": "" }, { "paragraph_id": 1, "text": "El Salvador, along with the rest of Central America, is one of the most seismologically active regions on earth, situated atop three of the large tectonic plates that constitute the Earth's surface. The motion of these plates causes the area's earthquake and volcanic activity.", "title": "Plate tectonics" }, { "paragraph_id": 2, "text": "Most of Central America and the Caribbean Basin rests on the relatively motionless Caribbean Plate. The Pacific Ocean floor, however, is being carried northeast by the underlying motion of the Cocos Plate. Ocean floor material is largely composed of basalt, which is relatively dense; when it collides with the lighter granite rocks of Central America, the ocean floor is forced down under the land mass, creating the deep Middle America Trench that lies off the coast of El Salvador.", "title": "Plate tectonics" }, { "paragraph_id": 3, "text": "The subduction of the Cocos Plate accounts for the frequency of earthquakes near the coast. As the rocks constituting the ocean floor are forced down, they melt, and the molten material pours up through weaknesses in the surface rock, producing volcanoes and geysers.", "title": "Plate tectonics" }, { "paragraph_id": 4, "text": "North of El Salvador, Mexico and most of Guatemala are riding on the westward-moving North American Plate that butts against the northern edge of the stationary Caribbean Plate in southern Guatemala. The grinding action of these two plates creates a fault (similar to the San Andreas fault in California) that runs the length of the valley of the Rio Motagua in Guatemala. Motion along this fault is the source of earthquakes in northernmost El Salvador.", "title": "Plate tectonics" }, { "paragraph_id": 5, "text": "El Salvador has a long history of destructive earthquakes and volcanic eruptions. San Salvador was destroyed in 1756 and 1854, and suffered heavy damage in the 1919, 1982, and 1986 tremors. The country has over twenty volcanoes, although only two, San Miguel and Izalco, have been active in recent years. From the early nineteenth 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.", "title": "Plate tectonics" }, { "paragraph_id": 6, "text": "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 percent of the land, comprise the interior highlands. The remaining coastal plains are referred to as the Pacific lowlands.", "title": "Physical features" }, { "paragraph_id": 7, "text": "The northern range of mountains, the Sierra Madre, form a continuous chain along the border with Honduras. Elevations in this region range from 1,600 to 2,700 meters. The area was once heavily forested, but overexploitation led to extensive erosion, and it has become semibarren. As a result, it is the country's most sparsely populated zone, with little farming or other development.", "title": "Physical features" }, { "paragraph_id": 8, "text": "The southern range of mountains is actually a discontinuous chain of more than twenty volcanoes, clustered into five groups. The westernmost group, near the Guatemalan border, contains Izalco and Santa Ana, which at 2,365 meters is the highest volcano in El Salvador. Between the cones lie alluvial basins and rolling hills eroded from ash deposits. The volcanic soil is rich, and much of El Salvador's coffee is planted on these slopes.", "title": "Physical features" }, { "paragraph_id": 9, "text": "The central plateau constitutes only 25 percent of the land area but contains the heaviest concentration of population and the country's largest cities. This plain is about 50 kilometers wide and has an average elevation of 600 meters. Terrain here is rolling, with occasional escarpments, lava fields, and geysers.", "title": "Physical features" }, { "paragraph_id": 10, "text": "A narrow plain extends from the coastal volcanic range to the Pacific Ocean. This region has a width ranging from one to thirty-two kilometers with the widest section in the east, adjacent to the Golfo de Fonseca. Near La Libertad, however, the mass of the mountains push the lowlands out; the slopes of adjacent volcanoes come down directly to the ocean. Surfaces in the Pacific lowlands are generally flat or gently rolling and result from the alluvial deposits of nearby slopes.", "title": "Physical features" }, { "paragraph_id": 11, "text": "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 finally 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 the country. 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.", "title": "Physical features" }, { "paragraph_id": 12, "text": "Numerous lakes of volcanic origin are found in the interior highlands; many of these lakes are surrounded by mountains and have high, steep banks. The largest lake, the Lago de Ilopango, lies just to the east of the capital. Other large lakes include the Lago de Coatepeque in the west and the Lago de Güija on the Guatemalan border. The Cerron Grande Dam on the Rio Lempa has created a large reservoir, the Embalse Cerron Grande, in northern El Salvador.", "title": "Physical features" }, { "paragraph_id": 13, "text": "Izalco has erupted at least 54 times since 1770. It earned the nickname \"Lighthouse of the Pacific\" because it served as a beacon for ships during the night.", "title": "Physical features" }, { "paragraph_id": 14, "text": "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 and humid; the central plateau and mountain areas are more moderate.", "title": "Climate" }, { "paragraph_id": 15, "text": "The rainy season, known locally as invierno, or winter, extends from May to October. Almost all the annual rainfall during this time, and yearly rain totals, particularly on southern-facing mountain slopes, can be as high as 2,000 millimeters (78.7 in). Protected areas and the central plateau receive lesser, although still significant, amounts. Rainfall during this season generally comes from low pressure over the Pacific and usually falls in heavy afternoon thunderstorms. Although hurricanes occasionally form in the Pacific, they seldom affect El Salvador, with the notable exception of Hurricane Mitch in 1998 (which actually formed over the Atlantic Basin) and Hurricane Emily in 1973.", "title": "Climate" }, { "paragraph_id": 16, "text": "From November through April, the northeast trade winds control weather patterns. 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. This season is known locally as verano, or summer.", "title": "Climate" }, { "paragraph_id": 17, "text": "Temperatures vary little with season; elevation is the primary determinant. The Pacific lowlands are the hottest region, with annual averages ranging from 25 to 29 °C (77.0 to 84.2 °F). San Salvador is representative of the central plateau, with an annual average temperature of 23 °C (73 °F) and absolute high and low readings of 38 and 6 °C (100.4 and 42.8 °F), respectively. Mountain areas are the coolest, with annual averages from 12 to 23 °C (53.6 to 73.4 °F) and minimum temperatures sometimes approaching freezing.", "title": "Climate" }, { "paragraph_id": 18, "text": "The total land area of El Salvador is 23,041 km, with 20,721 km of land and 320 km of water. El Salvador is about the size of Israel and the U.S states of New Jersey and Vermont, but has the population size of Libya and Lebanon. El Salvador has 590 km of borders, including 391 km of borders with Honduras and 199 km with Guatemala. El Salvador has a coastline of 307 km.", "title": "Climate" }, { "paragraph_id": 19, "text": "El Salvador claims a territorial sea of 200 nautical miles (370.4 km; 230.2 mi).", "title": "Climate" }, { "paragraph_id": 20, "text": "The lowest point of elevation in El Salvador is the Pacific Ocean, at sea level. The highest point is Cerro El Pital, at 2,730 m.", "title": "Climate" }, { "paragraph_id": 21, "text": "Maritime claims: Exclusive economic zone: 90,962 km (35,121 sq mi)", "title": "Climate" }, { "paragraph_id": 22, "text": "Natural resources: Hydropower, geothermal power, petroleum, arable land", "title": "Climate" }, { "paragraph_id": 23, "text": "Land use (2012 estimate) includes 34.03 percent arable land, 10.86 percent permanent crops, 55.12 percent other.", "title": "Climate" }, { "paragraph_id": 24, "text": "Irrigated land: 449.9 km (2003)", "title": "Climate" }, { "paragraph_id": 25, "text": "Total renewable water resources: 25.23 km (2011)", "title": "Climate" }, { "paragraph_id": 26, "text": "Natural hazards: El Salvador is known as the \"Land of Volcanoes\"; there are frequent and sometimes very destructive earthquakes and volcanic activity; hurricanes rarely make direct landfall.", "title": "Climate" }, { "paragraph_id": 27, "text": "Deforestation; soil erosion; water pollution; contamination of soils from disposal of toxic wastes.", "title": "Climate" }, { "paragraph_id": 28, "text": "El Salvador is party to the Convention on Biological Diversity, United Nations Framework Convention on Climate Change, Kyoto Protocol to the United Nations Framework Convention on Climate Change, United Nations Convention to Combat Desertification, CITES, Basel Convention, Partial Test Ban Treaty, Montreal Protocol, Ramsar Convention. El Salvador has signed, but not ratified the United Nations Convention on the Law of the Sea.", "title": "Climate" } ]
El Salvador is a country in Central America. Situated at the meeting point of three tectonic plates, it is highly seismologically active and the location of numerous earthquakes and volcanic eruptions. The country has a tropical climate.
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https://en.wikipedia.org/wiki/Geography_of_El_Salvador
9,359
Demographics of El Salvador
This is a demography of the population of El Salvador including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population. El Salvador's population numbers 6.5 million. Ethnically, 86.3% of Salvadorans are mixed (mixed Native Salvadoran and European (mostly Spanish) origin). Another 12.7% is of pure European descent, 1% are of pure indigenous descent, 0.16% are black and others are 0.64%. El Salvador's population was 6,314,167 in 2021, 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 migration rate accelerated during the period of 1979 to 1981, this marked the beginning of the civil unrest and the spread of political killings. The total impact of civil wars, dictatorships and socioeconomics drove over a million Salvadorans (both as immigrants and refugees) into the United States; Guatemala is the second country that hosts more Salvadorans behind the United States, approximately 110,000 Salvadorans according to the national census of 2010. in addition small Salvadoran communities sprung up in Canada, Australia, Belize, Panama, Costa Rica, Italy, Taiwan and Sweden since the migration trend began in the early 1970s. The 2010 U.S. census counted 1,648,968 Salvadorans in the United States, up from 655,165 in 2000. Out of the 6,408,111 people in El Salvador, 86.3% are Mestizo, 15% are European, 1% Indigenous, 0.8% Afro-Salvadorans, and 0.64% other. An estimated 86.3% of the population are Mestizo/Castizo, having mixed indigenous and European ancestry. Historical evidence and census supports the explanation of "strong sexual asymmetry", as a result of a strong bias favoring matings between European males and Native Salvadoran females, and to statistically significant indigenous male mortality during the Conquest. The genetics thus suggests the native men were sharply reduced in numbers due to the war and disease. Large numbers of Spaniard men settled in the region and had children with the local women. The Natives were forced to adopt Spanish names, language, and religion, and in this way, the Lencas and Pipil women and children were Westernised. A vast majority over 90% of Salvadorans are Mestizo/Native Salvadoran. According to the Salvadoran government, about 1% of the population are of full or partial indigenous origin. The largest most dominant Native Salvadoran groups in El Salvador are the Lenca people and Pipil people followed by small enclaves of Maya peoples: (Poqomam people/Chorti people), Cacaopera people, Xinca people, Alaguilac people, Mixe people, Mangue language people, as well as an Olmec past. (Pipil, located in the west and central part of the country, and Lenca, found east of the Lempa River). There are small populations of Cacaopera people in the Morazán Department and a few Ch'orti' people live in the department of Ahuachapán, near the border of Guatemala. The number of indigenous people in El Salvador have been criticized by indigenous organizations and academics as too small and accuse the government of denying the existence of indigenous Salvadorans in the country. According to the National Salvadoran Indigenous Coordination Council (CCNIS) and CONCULTURA (National Council for Art and Culture at the Ministry of Education ), approximately 70,000 or 1 per cent of Salvadorian peoples are indigenous. Nonetheless, very few Amerindians have retained their customs and traditions, having over time assimilated into the dominant Mestizo/Spanish culture. The low numbers of indigenous people may be partly explained by historically high rates of old-world diseases, absorption into the Mestizo population, as well as mass murder during the 1932 Salvadoran peasant uprising (or La Matanza) which saw (estimates of) up to 30,000 peasants killed in a short period of time. Many authors note that since La Matanza the indigenous in El Salvador have been very reluctant to describe themselves as such (in census declarations for example) or to wear indigenous dress or be seen to be taking part in any cultural activities or customs that might be understood as indigenous. Departments and cities in the country with notable indigenous populations include Sonsonate (especially Izalco, Nahuizalco, and Santo Domingo), Cacaopera, and Panchimalco, in the department of San Salvador. Afro-Salvadorans, called Pardo and sometimes Afro-Mestizos in the colonial period, are the descendants of the African population that were enslaved and shipped to El Salvador to work in mines in specific regions of El Salvador. They have mixed into and were naturally bred out by the general Mestizo population, which is a combination of a Mestizo majority and the minority of African descendants, both of whom are racially mixed populations. Thus, there remains no significant extremes of African physiognomy among Salvadorans like there is in the other countries of Central America. A total of only 10,000 African slaves were brought to El Salvador over the span of 75 years, starting around 1548, about 25 years after El Salvador's colonization. El Salvador is the only country in Central America that does not have English Antillean (West Indian) or Garifuna populations of the Caribbean, but instead had older colonial African slaves that came straight from Africa. This is the reason why El Salvador is the only country in Central America not to have a caribbeanized culture, and instead preserved its classical Central America culture. Spaniards began to settle in El Salvador in the mid-1520s. Some 12.7% of Salvadorans are white. This population is made up of those of Spanish origin, while there are also Salvadorans of French, German, Swiss, English, Irish, and Italian descent. A majority of Central European settlers in El Salvador arrived during World War II as refugees from the Czech Republic, Germany, Hungary, Poland, and Switzerland with many settling in the region that is now Chalatenango in the late 18th century. In 1789, Francisco Luis Héctor de Carondelet was named governor of El Salvador. Because the local indigenous population working in the indigo industry had declined greatly, Carondolet recruited Spanish laborers from northern Spain to settle in El Salvador. In 1790, Francisco Luis Héctor de Carondelet, ordered families from the north of Spain (Galicia, Asturias, the Basque Country, Cantabria and Navarra) to settle in the area to compensate for the lack of indigenous people to work the land; Important settlements of these Spaniards were the Northern and Center parts of El Salvador. Their descendants are among the blonde and fair-skinned people of today's Chalatenango Department. During 1880 to 1920, El Salvador had its Migratory Peak of Immigrants from Europe, as well as immigrants from nearby countries, Asians and other North Americans, when more than 120,000 arrived in El Salvador, the demographic weight was unprecedented, in 1880 the Population was of 480,000 inhabitants and by 1920 it was already 1,170,000. the main groups were the Spanish, Italians, Germans and some French, Polish and British The French Immigration to the Republic of El Salvador was an important movement that the country received between the 19th century and the middle of the 20th century, between 1850 and 1870. The French formed the largest foreign group in El Salvador, later in 1940 to 1950, they formed one of the largest groups in the country, only surpassed by the Spanish and Italians. Between 1850 and 1870, El Salvador was the main recipient of French In Central America, most were merchants and businessmen together with their families. It is estimated that between 1850 and 1950, more than 7,000 French emigrated to El Salvador, the majority came from Aquitaine, Occitania and the Alps, between 1850 and 1870, 2,000 French arrived in El Salvador, between 1911 and 1937 2,000 French entered the country, finally in 1938 to 1945 2,500 French entered the country, French immigration at that time greatly influenced the economy and education. Since the colonial period there is a record of French in Salvadoran territory, in which several French corsairs and French pirates stand out In 1850, several French businessmen and merchants left for El Salvador to work in different types of jobs such as commerce, planting of sugar cane, industry and cultivation of coffee, during that time 2,000 French arrived in the territory, most were wealthy families and merchants. Most of the French who would arrive between 1880 and 1910 were merchants and professionals, but from 1911 to 1937, immigration would begin to shine again for various reasons. Many businessmen and merchants arrived in Salvadoran territory, at that time French investment in El Salvador was equal to that of the United States, during that period of time or, 2,000 French entered El Salvador. According to historical records, the French were the third largest group of foreigners in the country, only surpassed by the Spanish and Italians. The majority of the French who arrived in the national territory first came from Corsica later in 1850 to 1950, the majority of the French who arrived in the territory were from Aquitaine, Occitanie and Rhône-Alpes but also Paris and other parts of the Alps, most of the French settled in San Salvador, however the City of Santa Tecla, El Salvador in the La Libertad Department (El Salvador) historically received large numbers of French Immigrants, other places with significant numbers are Santa Ana, El Salvador and Antiguo Cuscatlán. German immigration to El Salvador was a migratory movement, that began between 1880 and 1940, when the largest influx of Germans is recorded. The first Germans in El Salvador joined their mostly wealthy families in 1870 establishing coffee shops. At that time El Salvador had implemented the liberal reforms that attracted thousands of immigrants from Europe, Middle East and Asia, as well as the German immigration in the country, more families migrated to El Salvador and the agricultural land was also distributed. The main settlements of these families were the coffee-growing areas and also large cities like Nueva San Salvador now known as Santa Tecla, El Salvador, San Salvador, Chalatenango department, Cuscatlan department, Usulután department and other areas where German immigrants saw economic opportunities in the country, they excelled in industry, commerce and farming. One of the most famous Germans who immigrated to El Salvador, was Walter Thilo Deininger, who moved to the Cuscatlan department in 1885. He soon built his coffee estate and other industries. Soon after, arrived more German families to Cuscatlán Department, El Salvador, as well as important people like Jürgen Hübner a German historian and author of "Die Deutschen und El Salvador (The Germans and El Salvador). By 1890, Germans were one of the country's largest immigrant groups and were able to settle and stand out from the crowd of other European immigrants. Germans numbers in El Salvador later increased, their descendants were much more than the number of German immigrants living in El Salvador. There were cities founded by German families, like Berlín, Usulután which is a very clear example of a settlement founded by a German. Later other Germans families came to the area. North of El Salvador, specifically what is now north of Metapan and Chalatenango, Chalatenango, existed German settlements. The Usulutan department was the area with the greatest presence of Germans in El Salvador. The Germans started arriving in the early 1900s and settled down to produce coffee. The book, “The Population of El Salvador”, by Rodolfo Barón Castro, published in 1942, shows one of the first Statistical Census published by the Central Office of Migration in 1937; there it indicated that the four largest groups of immigrants in El Salvador, at that time, were made up of Spaniards, Palestinians, Italians and Germans. Germans arrived in the country in the early 1900s and, along with Italians, French and other Europeans, helped develop roads, build the Port of Puerto El Triunfo. In addition, from the municipality of Berlín, Usulután there was a direct route to reach Puerto El Triunfo; an ideal route to transport the merchandise they produced and to obtain work materials. It was the meeting point where German descendants and those close to Germany met to do their business because the farms were somewhat distant. They found in this part of El Salvador a center of excellence to live or develop, but they also needed to have a place to meet on weekends, to go and talk, which is typical of the cultures of these peoples: to have a meeting point” , The settlement was also agricultural, in 1958 the German Embassy in El Salvador founded the "Círculo Cultural Salvadoreño-Alemán", (German-Salvadoran cultural circle) to promote cultural exchange between Germany and El Salvador. The German School was dedicated on March 3, 1965, the Salvadoran German Cultural Forum has been celebrating every second Friday in November since 2006 Gardens of the Hilton Princess Hotel Oktoberfest. More than 700 people/families take part participate in a typically German dinner, German music and a typically German parade enjoy costumes. The traditional "Beer Festival" will continue thanks to the sponsorship of La Constancia and organized by German companies. In the city of San Salvador since 2011 in the third October week the Oktoberfest Pilsener celebrated in the exhibition and congress center. More than 27,000 people attended the 2013 edition, which became the largest Octoberfest in Central America. Over four days of festivities, participants enjoy traditional German cuisine and music, as well as a large selection of beers, some of which are made exclusively for the event. Germany is one of the main European Union trading partners of El Salvador and is the largest importer of Salvadoran coffee. The Chamber of Commerce German-Salvadoran consists of around 85 companies. In addition to a German school in San Salvador. Italian Immigration in El Salvador refers to the movement of Italians to the Republic of El Salvador and one of the most historically important movements in El Salvador. The Italo-Salvadorans are one of the largest European communities in the country, and one of the largest in Central America and the Caribbean, as well as one of those with the greatest social and cultural weight in America. During the mid-nineteenth century to the mid-twentieth century, waves of Italian immigrants from all regions of Italy were registered and arrived, mainly from northern Italy and southern Italy, the first Italians who arrived in the country were mainly from the Kingdom of Sardinia-Piedmont, and also from the Kingdom of the Two Sicilies, which include several Italians from different cities and provinces, since 1880, there has been a flow from all Italian regions but mainly from the south of the peninsula. highlighting regions such as Campania, Basilicata, Apulia and Sicily. There is a record of Italians residing and arriving in the country since 1850, who came from the Kingdom of Sardinia-Piedmont and the Kingdom of the Two Sicilies, several intellectuals, merchants and other lower-middle class Italians stand out, during those years several boats arrived to the country mainly from important port cities of Italy, which include Naples, Genoa and Palermo, most of these Italians entered through the port of La Libertad Department (El Salvador) and in the East of the country, during that time the Italians in the country did not exceed 2,000, however in the following years the number of arrivals would grow more. By 1870, more boats arrived from Naples and Genoa, ranging from 30 to 60 Italian immigrants, but many merchants also entered the country every day. During that period of time, the country created very free immigration reforms, which attracted more immigrants from the world, many Italians arrived between 1876 and 1879, several boats to the country stand out, mainly from Campania and Liguria, between 1870 and 1879, it is estimated that more than 2,500 Italians entered the country, at that time El Salvador was the main receiver of Italians in Central America, mainly attracted by various agricultural opportunities. In 1880 to 1889, more than 2,000 Italians arrived in the country mainly from Campania and Piedmont, many boats of more than 100 Italian immigrants arrived at the Salvadoran coasts, these boats sailed from Naples and Liguria, this time was highlighted by arrivals of lower-class Italians and some professionals, however, also there were nuns and priests who came to the country to found several churches, schools and important organizations. In 1890, Italian immigration grew exponentially, it is estimated that between 1890 and 1899, more than 6,500 Italians arrived in the country, the vast majority arrived at the port of La Libertad Department (El Salvador), several architects and other Italian professionals arrived, such as those who built the Santa Ana Theater. In 1890, many Salesians arrived in the country from Turin, they set sail on ships full of Italian immigrants and arrived at the port of La Libertad Department (El Salvador), many stayed in the city of Santa Tecla, El Salvador, where they founded various organizations and schools such as the Colegio Santa Cecilia, which It was founded in 1899 by Italians. In 1898, the first Italian organization was founded in El Salvador and the first in Central America, the Sociedad de Asistencia y Beneficencia entre Italianos en El Salvador, better known as the Italian Assistenza, the objective of this organization is to help newly arrived Italians to get a job and help them financially while they got it. The time was characterized by the massive entry of Italians into the country, between 1900 and 1909 more than 10,000 Italians arrived in the country from all Italian regions, at that time, El Salvador was the second largest recipient of Italian immigrants in Central America, many seeking better opportunities for their businesses and improve their quality of life, where several merchants and Italians entering the country stand out, many standing out in areas such as Education, Music, Agriculture, Industry, Commerce and infrastructure. Between 1910 and 1919, other thousands of Italians enter as they register more than 6,000 arrivals in the country, the Italians easily adapted to the country and more Italians arrived in the country every day, El Salvador at that time managed to reach the main recipient of Italians in Central America, between 1920 and 1929, several Italian merchants and professionals arrived, but also lower-class Italians, many set up their businesses, in 1930, Italian immigration was paralyzed for various reasons, between 1930 and 1939, it is estimated that more than 1,000 Italians They arrived in the country and many set up their businesses. In 1940, due to the Second World War, a large migratory wave of thousands of Italians emigrating to the country begins, where several merchants and Italians who wanted to improve their quality of life stand out, this time was characterized by the entry of several refugees, and Italians, most of whom came from northern Italy. Between 1960 and 1980, several Franciscans arrived in the country, many founded schools and organizations to help the Salvadoran people, and also to reactivate the Italian culture in the country. In 1989 a son of Italians, Alfredo Cristiani, was elected President of El Salvador. After five difficult years, his term ended in 1994, leaving his nation stabilized from the civil war that had plagued it for 20 years. Italian immigration to El Salvador was a very large movement that the country received, from 1850 to 1929, it is estimated that more than 32,000 Italians arrived in the small country, looking for job opportunities and improvements in their quality of life, but the migratory peak It was between 1880 and 1930, when thousands of Italians from all regions arrived in El Salvador, the main recipients of Italians in America were the United States, Argentina, Brazil, Uruguay and other countries in the region, although El Salvador received large amounts of Italian immigrants and at the American level is one that has had more weight socially and culturally. The Italians who arrived in the mid-nineteenth century were mostly middle class or poor, many were farmers and workers who came to the country to look for work, several merchants also arrived, according to some records, the Italians who arrived in the country between 1850 and 1870, were many families, who on average were between 22 and 26 years old, more 60% of immigrants who arrived in the country were men and 40% were women. From 1870 to 1879, 2,5000 Italians arrived in the country, 63.5% were men, the average age was around 20 to 30 years and the majority were merchants, workers and farmers, between 1880 and 1889, they emigrated to the country around 2,000 Italians, 64% men and 44% women, age ranged widely, from 2 years to 50 years old, most were merchants, laborers and farmers, with increasing arrivals of priests, nuns and preachers. Between 1890 and 1891, the second highest peak was recorded, when 6,500 Italians entered El Salvador, the average age was around 20 to 30 years, and the most numerous occupations were merchants, workers, farmers, priests, nuns, teachers. and architects. The highest peak of Italian immigration in the country occurred between 1900 and 1909, when 10,000 Italians emigrated to the country looking for a better future, 60% were men and 40% women, and the average age was around 20 years. 30 years of age, the most numerous occupations were workers, merchants and some teachers, for 1910 to 1919, more than 6,000 Italians entered El Salvador, this year is distinguished by a growth of immigrants who are women with around 43% and 57% are men, the age varies between 3 years and 50 years, later, between 1920 and 1930, the majority who arrived in the country were engaged in commerce, agriculture and other businesses and activities. The first Italians who entered the country settled in Santa Ana and San Miguel Department (El Salvador). Others settled mainly in the east of the country, in San Miguel Department (El Salvador), Usulután and La Unión Department. In the north of the country, in Chalatenango Department, several groups of Italians also settled. The southern Italians settled mainly in San Miguel Department (El Salvador), Santa Ana, El Salvador, San Salvador and other departments of the country, where several cities stand out, Santa Tecla, El Salvador was the one that received the greatest demographic weight due to Italian immigration, since it became the capital, they arrived various Italian communities. The Lucanians, Campanians, Sicilians and Pulleses, had their main destinations in San Salvador, Santa Ana, El Salvador and San Miguel Department (El Salvador), while the northern Italians: the Piedmontese, Veneti, Ligurians and Lombards settled mainly in La Libertad Department (El Salvador), San Salvador, Chalatenango , Santa Ana, El Salvador and San Miguel Department (El Salvador). Several Italians settled in the department of Sonsonate, particularly from Castelnuovo di Conza in the Campania region, and Usulután received several Italian farmers from northern Italy, also in La Unión where several southerners and northerners settled, mainly Piedmontese and Calabrian. In the other departments of the country, minority but visible groups of Italians settled. succeeding in trade and agriculture. There is a small community of Jews who came to El Salvador from France, Germany, Morocco, Tunisia, and Turkey. Some Jews also arrived as World War II refugees. Since colonial times, there is a record of Jews in Latin America, in El Salvador there is a record of several Jewish immigrations from Portugal, after the independence of El Salvador, it is believed that the first Jewish immigrant was Bernardo Haas, born in Alsace. Subsequently, the first documented German Jew arrived in the country in 1888, according to scholar Jessica Alpert. France and Central Europe were the main countries of origin of this contemporary Jewish migration, the majority were Ashkenazi and Sephardic, they stayed permanently in El Salvador. The immigration laws of El Salvador were very free between 1821 and 1930, however they changed after 1930, but these strict laws culminated in 1940, during the Second World War several Ashkenazi Jewish refugees arrived mainly from Hungary, Germany, Poland, Switzerland, Slovakia and France, giving them several documents of Salvadoran nationality. At present the Jewish community in El Salvador is quite small, however there are a considerable number of descendants and they have stood out in society, as are several businessmen and politicians of Jewish origin, such as Ernesto Muyshondt, Gabriela Rodríguez de Bukele and Bernard Lewinsky. The Gypsy caravans in El Salvador in the 20th century. The city of Santa Tecla, El Salvador was one of the places where there were Gypsy camps in El Salvador in the first decades of the 20th century. On May 7, 1926, newspapers from the city of San Miguel, El Salvador reported that within its urban area there was a nomadic community of Gypsies, who were also called Hungarians or Magyars (for Magyar or Hungary, an area from which they then belonged) believed that they were originally from), Gypsies or "peroleros", a designation due to the huge pots or pans that they always carried in their wagons and with which they prepared community meals between huge wood-fired stoves. In 1929, the writer Francisco Miranda Ruano would remember "The tired Gypsies of that day" from his distant childhood and whose adventures opened his vocation as a writer. The propagation of theosophical, fascist and national socialist ideas among soldiers and civilians in El Salvador in the 1920s and 1930s created an adverse environment for the periodic arrival of the Gypsy people in El Salvador. The maximum expression of this mental and cultural closure occurred during the dictatorial government of Brigadier Maximiliano Hernández Martínez, issued the Law of Migration that prohibited the entry of Blacks, Arabs, Turks, Chinese and Gypsies into the country. This cause Gypsies in El Salvador to hide their identity. The Romani Holocaust in Nazi Europe from 1935 to 1945, killed thousands of Gypsy people. Some of them were able to save themselves from that sad fate, thanks to the thousands of Salvadoran nationality certificates issued, in a clandestine operation, by the Salvadoran consul in Geneva, Colonel José Castellanos Contreras, José Gustavo Guerrero and his Transylvanian-Jewish secretary George Mandel-Mantello. In the 1980s, the writer Claribel Alegría included the character "The Gypsy" in her novel Alice in the Land of Reality, which functioned as a rebellious and feminist conscience within the literary structure of the work. At the same time, it turned out be a tribute to the Gypsy caravans that once passed through Santa Ana, El Salvador, Sonsonate, El Salvador, Nahulingo, Usulután, Santiago de María, Chalatenango, Chalatenango, San Miguel, El Salvador, La Unión, El Salvador and many towns, streets, cities and other local territories of El Salvador. More than eight decades after such terrible racist legislation, the Romani language is no longer heard in Salvadoran territory. In the Romani language, the father of the family is called "Shero Rom", and it is theorized that it could be the origin of the Salvadoran word “Chero” to designate a friend. There is a significant Arab population (of about 100,000); mostly from Palestine (especially from the area of Bethlehem), but also from Lebanon. Salvadorans of Palestinian descent numbered around 70,000 individuals, while Salvadorans of Lebanese descent is around 25,000. The history of the Arabs in El Salvador dates back to the end of the 19th century, when religious clashes in the Ottoman Empire induced many Palestinians, Lebanese, Egyptians, Tunisians, Algerians, Iraqis, Omani, Saudis and Syrians to leave the land where they were born and travel to El Salvador in search of a place where they could live in relative peace. For similar reasons Turkish people and Persian Christians from Turkey, Iran and Afghanistan also arrived to El Salvador around the same time. There were also economic factors that contributed to immigration from the Middle East; many immigrants felt they could achieve success abroad on a level they couldn't in their native lands. The first wave of Arab migration to El Salvador began between 1880 and 1920, amidst a large scale influx of immigrants to the country. These Arabs settled in the cities of San Salvador, San Miguel, Santa Ana, Santa Tecla, Usulutan and La Union. The population of El Salvador increased from 482,400 in 1879 to 1,168,000 in 1920, with immigration, including immigration from the late Ottoman Empire, substantially driving growth. Arab immigration in El Salvador began at the end of the 19th century in the wake of the repressive policies applied by the Ottoman Empire against Maronite Catholics. Several of the destinations that the Lebanese chose at that time were in countries of the Americas, including El Salvador. This resulted in the Arab diaspora residents being characterized by forging in devoutly Christian families and very attached to their beliefs, because in these countries they can exercise their faith without fear of persecution, which resulted in the rise of Lebanese-Salvadoran, Syrian-Salvadoran and Palestinian-Salvadoran communities in El Salvador. Currently, the Palestinian community forms the largest Arab diaspora population in El Salvador, with 70,000 direct descendants, followed by the Lebanese community with more than 27,000 direct descendants. Both are almost entirely composed of Catholic and Orthodox Christians. The slaughter of Lebanese and Palestinian Arab Christians at the hands of Muslims initiated the first Arab migrations to El Salvador. Inter-ethnic marriage in the Lebanese community with Salvadorans, regardless of religious affiliation, is very high; most have only one father with Lebanese nationality and mother of Salvadoran nationality. As a result, some of them speak Arabic fluently. But most, especially among younger generations, speak Spanish as a first language and Arabic as a second. During the war between Israel and Lebanon in 1948 and during the Six-Day War, thousands of Lebanese left their country and went to El Salvador. Many arrived at La Libertad, where they comprised half of the economic activity of immigrants. Lebanon had been an iqta of the Ottoman Empire. Although the imperial administration, whose official religion was Islam, guaranteed freedom of worship for non-Muslim communities, and Lebanon in particular had a semi-autonomous status, the situation for practitioners of the Maronite Catholic Church was complicated, since they had to cancel exaggerated taxes and suffered limitations for their culture. These tensions were expressed in a rebellion in 1821 and a war against the Druze in 1860. The hostile climate caused many Lebanese to sell their property and take ships in the ports of Sidon, Beirut and Tripoli heading for the Americas. Arab-Salvadoreans and their descendants have traditionally played an outsized role in El Salvador's economic and political life, with many becoming business leaders and noteworthyt political figures. In 1939, the Arab community based in San Salvador organized and founded the "Arab Youth Union Society" The Population Department of the United Nations prepared the following estimates. Demographic statistics according to the World Population Review in 2022. Demographic statistics according to the CIA World Factbook, unless otherwise indicated. El Salvador is the smallest and most densely populated country in Central America. It is well into its demographic transition, experiencing slower population growth, a decline in its number of youths, and the gradual aging of its population. The increased use of family planning has substantially lowered El Salvador's fertility rate, from approximately 6 children per woman in the 1970s to replacement level today. A 2008 national family planning survey showed that female sterilization remained the most common contraception method in El Salvador - its sterilization rate is among the highest in Latin America and the Caribbean - but that the use of injectable contraceptives is growing. Fertility differences between rich and poor and urban and rural women are narrowing. According to a February 2021 survey by the University of Central America’s Institute of Public Opinion, 43.3% of the population saw themselves as Catholic, 33.9% as evangelical Christian, and 18.6% had no religious affiliation. definition: age 15 and over can read and write (2016 est.)
[ { "paragraph_id": 0, "text": "This is a demography of the population of El Salvador including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.", "title": "" }, { "paragraph_id": 1, "text": "El Salvador's population numbers 6.5 million. Ethnically, 86.3% of Salvadorans are mixed (mixed Native Salvadoran and European (mostly Spanish) origin). Another 12.7% is of pure European descent, 1% are of pure indigenous descent, 0.16% are black and others are 0.64%.", "title": "" }, { "paragraph_id": 2, "text": "El Salvador's population was 6,314,167 in 2021, 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.", "title": "Population" }, { "paragraph_id": 3, "text": "The migration rate accelerated during the period of 1979 to 1981, this marked the beginning of the civil unrest and the spread of political killings. The total impact of civil wars, dictatorships and socioeconomics drove over a million Salvadorans (both as immigrants and refugees) into the United States; Guatemala is the second country that hosts more Salvadorans behind the United States, approximately 110,000 Salvadorans according to the national census of 2010. in addition small Salvadoran communities sprung up in Canada, Australia, Belize, Panama, Costa Rica, Italy, Taiwan and Sweden since the migration trend began in the early 1970s. The 2010 U.S. census counted 1,648,968 Salvadorans in the United States, up from 655,165 in 2000.", "title": "Population" }, { "paragraph_id": 4, "text": "Out of the 6,408,111 people in El Salvador, 86.3% are Mestizo, 15% are European, 1% Indigenous, 0.8% Afro-Salvadorans, and 0.64% other.", "title": "Ethnic groups" }, { "paragraph_id": 5, "text": "An estimated 86.3% of the population are Mestizo/Castizo, having mixed indigenous and European ancestry. Historical evidence and census supports the explanation of \"strong sexual asymmetry\", as a result of a strong bias favoring matings between European males and Native Salvadoran females, and to statistically significant indigenous male mortality during the Conquest. The genetics thus suggests the native men were sharply reduced in numbers due to the war and disease. Large numbers of Spaniard men settled in the region and had children with the local women. The Natives were forced to adopt Spanish names, language, and religion, and in this way, the Lencas and Pipil women and children were Westernised. A vast majority over 90% of Salvadorans are Mestizo/Native Salvadoran.", "title": "Ethnic groups" }, { "paragraph_id": 6, "text": "According to the Salvadoran government, about 1% of the population are of full or partial indigenous origin. The largest most dominant Native Salvadoran groups in El Salvador are the Lenca people and Pipil people followed by small enclaves of Maya peoples: (Poqomam people/Chorti people), Cacaopera people, Xinca people, Alaguilac people, Mixe people, Mangue language people, as well as an Olmec past. (Pipil, located in the west and central part of the country, and Lenca, found east of the Lempa River). There are small populations of Cacaopera people in the Morazán Department and a few Ch'orti' people live in the department of Ahuachapán, near the border of Guatemala.", "title": "Ethnic groups" }, { "paragraph_id": 7, "text": "The number of indigenous people in El Salvador have been criticized by indigenous organizations and academics as too small and accuse the government of denying the existence of indigenous Salvadorans in the country. According to the National Salvadoran Indigenous Coordination Council (CCNIS) and CONCULTURA (National Council for Art and Culture at the Ministry of Education ), approximately 70,000 or 1 per cent of Salvadorian peoples are indigenous. Nonetheless, very few Amerindians have retained their customs and traditions, having over time assimilated into the dominant Mestizo/Spanish culture. The low numbers of indigenous people may be partly explained by historically high rates of old-world diseases, absorption into the Mestizo population, as well as mass murder during the 1932 Salvadoran peasant uprising (or La Matanza) which saw (estimates of) up to 30,000 peasants killed in a short period of time. Many authors note that since La Matanza the indigenous in El Salvador have been very reluctant to describe themselves as such (in census declarations for example) or to wear indigenous dress or be seen to be taking part in any cultural activities or customs that might be understood as indigenous. Departments and cities in the country with notable indigenous populations include Sonsonate (especially Izalco, Nahuizalco, and Santo Domingo), Cacaopera, and Panchimalco, in the department of San Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 8, "text": "Afro-Salvadorans, called Pardo and sometimes Afro-Mestizos in the colonial period, are the descendants of the African population that were enslaved and shipped to El Salvador to work in mines in specific regions of El Salvador. They have mixed into and were naturally bred out by the general Mestizo population, which is a combination of a Mestizo majority and the minority of African descendants, both of whom are racially mixed populations. Thus, there remains no significant extremes of African physiognomy among Salvadorans like there is in the other countries of Central America. A total of only 10,000 African slaves were brought to El Salvador over the span of 75 years, starting around 1548, about 25 years after El Salvador's colonization. El Salvador is the only country in Central America that does not have English Antillean (West Indian) or Garifuna populations of the Caribbean, but instead had older colonial African slaves that came straight from Africa. This is the reason why El Salvador is the only country in Central America not to have a caribbeanized culture, and instead preserved its classical Central America culture.", "title": "Ethnic groups" }, { "paragraph_id": 9, "text": "Spaniards began to settle in El Salvador in the mid-1520s. Some 12.7% of Salvadorans are white. This population is made up of those of Spanish origin, while there are also Salvadorans of French, German, Swiss, English, Irish, and Italian descent. A majority of Central European settlers in El Salvador arrived during World War II as refugees from the Czech Republic, Germany, Hungary, Poland, and Switzerland with many settling in the region that is now Chalatenango in the late 18th century. In 1789, Francisco Luis Héctor de Carondelet was named governor of El Salvador. Because the local indigenous population working in the indigo industry had declined greatly, Carondolet recruited Spanish laborers from northern Spain to settle in El Salvador. In 1790, Francisco Luis Héctor de Carondelet, ordered families from the north of Spain (Galicia, Asturias, the Basque Country, Cantabria and Navarra) to settle in the area to compensate for the lack of indigenous people to work the land; Important settlements of these Spaniards were the Northern and Center parts of El Salvador. Their descendants are among the blonde and fair-skinned people of today's Chalatenango Department.", "title": "Ethnic groups" }, { "paragraph_id": 10, "text": "During 1880 to 1920, El Salvador had its Migratory Peak of Immigrants from Europe, as well as immigrants from nearby countries, Asians and other North Americans, when more than 120,000 arrived in El Salvador, the demographic weight was unprecedented, in 1880 the Population was of 480,000 inhabitants and by 1920 it was already 1,170,000. the main groups were the Spanish, Italians, Germans and some French, Polish and British", "title": "Ethnic groups" }, { "paragraph_id": 11, "text": "The French Immigration to the Republic of El Salvador was an important movement that the country received between the 19th century and the middle of the 20th century, between 1850 and 1870. The French formed the largest foreign group in El Salvador, later in 1940 to 1950, they formed one of the largest groups in the country, only surpassed by the Spanish and Italians. Between 1850 and 1870, El Salvador was the main recipient of French In Central America, most were merchants and businessmen together with their families.", "title": "Ethnic groups" }, { "paragraph_id": 12, "text": "It is estimated that between 1850 and 1950, more than 7,000 French emigrated to El Salvador, the majority came from Aquitaine, Occitania and the Alps, between 1850 and 1870, 2,000 French arrived in El Salvador, between 1911 and 1937 2,000 French entered the country, finally in 1938 to 1945 2,500 French entered the country, French immigration at that time greatly influenced the economy and education.", "title": "Ethnic groups" }, { "paragraph_id": 13, "text": "Since the colonial period there is a record of French in Salvadoran territory, in which several French corsairs and French pirates stand out In 1850, several French businessmen and merchants left for El Salvador to work in different types of jobs such as commerce, planting of sugar cane, industry and cultivation of coffee, during that time 2,000 French arrived in the territory, most were wealthy families and merchants. Most of the French who would arrive between 1880 and 1910 were merchants and professionals, but from 1911 to 1937, immigration would begin to shine again for various reasons. Many businessmen and merchants arrived in Salvadoran territory, at that time French investment in El Salvador was equal to that of the United States, during that period of time or, 2,000 French entered El Salvador. According to historical records, the French were the third largest group of foreigners in the country, only surpassed by the Spanish and Italians.", "title": "Ethnic groups" }, { "paragraph_id": 14, "text": "The majority of the French who arrived in the national territory first came from Corsica later in 1850 to 1950, the majority of the French who arrived in the territory were from Aquitaine, Occitanie and Rhône-Alpes but also Paris and other parts of the Alps, most of the French settled in San Salvador, however the City of Santa Tecla, El Salvador in the La Libertad Department (El Salvador) historically received large numbers of French Immigrants, other places with significant numbers are Santa Ana, El Salvador and Antiguo Cuscatlán.", "title": "Ethnic groups" }, { "paragraph_id": 15, "text": "German immigration to El Salvador was a migratory movement, that began between 1880 and 1940, when the largest influx of Germans is recorded. The first Germans in El Salvador joined their mostly wealthy families in 1870 establishing coffee shops. At that time El Salvador had implemented the liberal reforms that attracted thousands of immigrants from Europe, Middle East and Asia, as well as the German immigration in the country, more families migrated to El Salvador and the agricultural land was also distributed. The main settlements of these families were the coffee-growing areas and also large cities like Nueva San Salvador now known as Santa Tecla, El Salvador, San Salvador, Chalatenango department, Cuscatlan department, Usulután department and other areas where German immigrants saw economic opportunities in the country, they excelled in industry, commerce and farming.", "title": "Ethnic groups" }, { "paragraph_id": 16, "text": "One of the most famous Germans who immigrated to El Salvador, was Walter Thilo Deininger, who moved to the Cuscatlan department in 1885. He soon built his coffee estate and other industries. Soon after, arrived more German families to Cuscatlán Department, El Salvador, as well as important people like Jürgen Hübner a German historian and author of \"Die Deutschen und El Salvador (The Germans and El Salvador).", "title": "Ethnic groups" }, { "paragraph_id": 17, "text": "By 1890, Germans were one of the country's largest immigrant groups and were able to settle and stand out from the crowd of other European immigrants. Germans numbers in El Salvador later increased, their descendants were much more than the number of German immigrants living in El Salvador. There were cities founded by German families, like Berlín, Usulután which is a very clear example of a settlement founded by a German. Later other Germans families came to the area. North of El Salvador, specifically what is now north of Metapan and Chalatenango, Chalatenango, existed German settlements.", "title": "Ethnic groups" }, { "paragraph_id": 18, "text": "The Usulutan department was the area with the greatest presence of Germans in El Salvador. The Germans started arriving in the early 1900s and settled down to produce coffee.", "title": "Ethnic groups" }, { "paragraph_id": 19, "text": "The book, “The Population of El Salvador”, by Rodolfo Barón Castro, published in 1942, shows one of the first Statistical Census published by the Central Office of Migration in 1937; there it indicated that the four largest groups of immigrants in El Salvador, at that time, were made up of Spaniards, Palestinians, Italians and Germans. Germans arrived in the country in the early 1900s and, along with Italians, French and other Europeans, helped develop roads, build the Port of Puerto El Triunfo.", "title": "Ethnic groups" }, { "paragraph_id": 20, "text": "In addition, from the municipality of Berlín, Usulután there was a direct route to reach Puerto El Triunfo; an ideal route to transport the merchandise they produced and to obtain work materials.", "title": "Ethnic groups" }, { "paragraph_id": 21, "text": "It was the meeting point where German descendants and those close to Germany met to do their business because the farms were somewhat distant. They found in this part of El Salvador a center of excellence to live or develop, but they also needed to have a place to meet on weekends, to go and talk, which is typical of the cultures of these peoples: to have a meeting point” ,", "title": "Ethnic groups" }, { "paragraph_id": 22, "text": "The settlement was also agricultural, in 1958 the German Embassy in El Salvador founded the \"Círculo Cultural Salvadoreño-Alemán\", (German-Salvadoran cultural circle) to promote cultural exchange between Germany and El Salvador. The German School was dedicated on March 3, 1965, the Salvadoran German Cultural Forum has been celebrating every second Friday in November since 2006 Gardens of the Hilton Princess Hotel Oktoberfest. More than 700 people/families take part participate in a typically German dinner, German music and a typically German parade enjoy costumes. The traditional \"Beer Festival\" will continue thanks to the sponsorship of La Constancia and organized by German companies. In the city of San Salvador since 2011 in the third October week the Oktoberfest Pilsener celebrated in the exhibition and congress center. More than 27,000 people attended the 2013 edition, which became the largest Octoberfest in Central America. Over four days of festivities, participants enjoy traditional German cuisine and music, as well as a large selection of beers, some of which are made exclusively for the event.", "title": "Ethnic groups" }, { "paragraph_id": 23, "text": "Germany is one of the main European Union trading partners of El Salvador and is the largest importer of Salvadoran coffee. The Chamber of Commerce German-Salvadoran consists of around 85 companies. In addition to a German school in San Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 24, "text": "Italian Immigration in El Salvador refers to the movement of Italians to the Republic of El Salvador and one of the most historically important movements in El Salvador. The Italo-Salvadorans are one of the largest European communities in the country, and one of the largest in Central America and the Caribbean, as well as one of those with the greatest social and cultural weight in America.", "title": "Ethnic groups" }, { "paragraph_id": 25, "text": "During the mid-nineteenth century to the mid-twentieth century, waves of Italian immigrants from all regions of Italy were registered and arrived, mainly from northern Italy and southern Italy, the first Italians who arrived in the country were mainly from the Kingdom of Sardinia-Piedmont, and also from the Kingdom of the Two Sicilies, which include several Italians from different cities and provinces, since 1880, there has been a flow from all Italian regions but mainly from the south of the peninsula. highlighting regions such as Campania, Basilicata, Apulia and Sicily.", "title": "Ethnic groups" }, { "paragraph_id": 26, "text": "There is a record of Italians residing and arriving in the country since 1850, who came from the Kingdom of Sardinia-Piedmont and the Kingdom of the Two Sicilies, several intellectuals, merchants and other lower-middle class Italians stand out, during those years several boats arrived to the country mainly from important port cities of Italy, which include Naples, Genoa and Palermo, most of these Italians entered through the port of La Libertad Department (El Salvador) and in the East of the country, during that time the Italians in the country did not exceed 2,000, however in the following years the number of arrivals would grow more.", "title": "Ethnic groups" }, { "paragraph_id": 27, "text": "By 1870, more boats arrived from Naples and Genoa, ranging from 30 to 60 Italian immigrants, but many merchants also entered the country every day. During that period of time, the country created very free immigration reforms, which attracted more immigrants from the world, many Italians arrived between 1876 and 1879, several boats to the country stand out, mainly from Campania and Liguria, between 1870 and 1879, it is estimated that more than 2,500 Italians entered the country, at that time El Salvador was the main receiver of Italians in Central America, mainly attracted by various agricultural opportunities. In 1880 to 1889, more than 2,000 Italians arrived in the country mainly from Campania and Piedmont, many boats of more than 100 Italian immigrants arrived at the Salvadoran coasts, these boats sailed from Naples and Liguria, this time was highlighted by arrivals of lower-class Italians and some professionals, however, also there were nuns and priests who came to the country to found several churches, schools and important organizations. In 1890, Italian immigration grew exponentially, it is estimated that between 1890 and 1899, more than 6,500 Italians arrived in the country, the vast majority arrived at the port of La Libertad Department (El Salvador), several architects and other Italian professionals arrived, such as those who built the Santa Ana Theater.", "title": "Ethnic groups" }, { "paragraph_id": 28, "text": "In 1890, many Salesians arrived in the country from Turin, they set sail on ships full of Italian immigrants and arrived at the port of La Libertad Department (El Salvador), many stayed in the city of Santa Tecla, El Salvador, where they founded various organizations and schools such as the Colegio Santa Cecilia, which It was founded in 1899 by Italians.", "title": "Ethnic groups" }, { "paragraph_id": 29, "text": "In 1898, the first Italian organization was founded in El Salvador and the first in Central America, the Sociedad de Asistencia y Beneficencia entre Italianos en El Salvador, better known as the Italian Assistenza, the objective of this organization is to help newly arrived Italians to get a job and help them financially while they got it.", "title": "Ethnic groups" }, { "paragraph_id": 30, "text": "The time was characterized by the massive entry of Italians into the country, between 1900 and 1909 more than 10,000 Italians arrived in the country from all Italian regions, at that time, El Salvador was the second largest recipient of Italian immigrants in Central America, many seeking better opportunities for their businesses and improve their quality of life, where several merchants and Italians entering the country stand out, many standing out in areas such as Education, Music, Agriculture, Industry, Commerce and infrastructure.", "title": "Ethnic groups" }, { "paragraph_id": 31, "text": "Between 1910 and 1919, other thousands of Italians enter as they register more than 6,000 arrivals in the country, the Italians easily adapted to the country and more Italians arrived in the country every day, El Salvador at that time managed to reach the main recipient of Italians in Central America, between 1920 and 1929, several Italian merchants and professionals arrived, but also lower-class Italians, many set up their businesses, in 1930, Italian immigration was paralyzed for various reasons, between 1930 and 1939, it is estimated that more than 1,000 Italians They arrived in the country and many set up their businesses.", "title": "Ethnic groups" }, { "paragraph_id": 32, "text": "In 1940, due to the Second World War, a large migratory wave of thousands of Italians emigrating to the country begins, where several merchants and Italians who wanted to improve their quality of life stand out, this time was characterized by the entry of several refugees, and Italians, most of whom came from northern Italy.", "title": "Ethnic groups" }, { "paragraph_id": 33, "text": "Between 1960 and 1980, several Franciscans arrived in the country, many founded schools and organizations to help the Salvadoran people, and also to reactivate the Italian culture in the country.", "title": "Ethnic groups" }, { "paragraph_id": 34, "text": "In 1989 a son of Italians, Alfredo Cristiani, was elected President of El Salvador. After five difficult years, his term ended in 1994, leaving his nation stabilized from the civil war that had plagued it for 20 years.", "title": "Ethnic groups" }, { "paragraph_id": 35, "text": "Italian immigration to El Salvador was a very large movement that the country received, from 1850 to 1929, it is estimated that more than 32,000 Italians arrived in the small country, looking for job opportunities and improvements in their quality of life, but the migratory peak It was between 1880 and 1930, when thousands of Italians from all regions arrived in El Salvador, the main recipients of Italians in America were the United States, Argentina, Brazil, Uruguay and other countries in the region, although El Salvador received large amounts of Italian immigrants and at the American level is one that has had more weight socially and culturally.", "title": "Ethnic groups" }, { "paragraph_id": 36, "text": "The Italians who arrived in the mid-nineteenth century were mostly middle class or poor, many were farmers and workers who came to the country to look for work, several merchants also arrived, according to some records, the Italians who arrived in the country between 1850 and 1870, were many families, who on average were between 22 and 26 years old, more 60% of immigrants who arrived in the country were men and 40% were women.", "title": "Ethnic groups" }, { "paragraph_id": 37, "text": "From 1870 to 1879, 2,5000 Italians arrived in the country, 63.5% were men, the average age was around 20 to 30 years and the majority were merchants, workers and farmers, between 1880 and 1889, they emigrated to the country around 2,000 Italians, 64% men and 44% women, age ranged widely, from 2 years to 50 years old, most were merchants, laborers and farmers, with increasing arrivals of priests, nuns and preachers. Between 1890 and 1891, the second highest peak was recorded, when 6,500 Italians entered El Salvador, the average age was around 20 to 30 years, and the most numerous occupations were merchants, workers, farmers, priests, nuns, teachers. and architects. The highest peak of Italian immigration in the country occurred between 1900 and 1909, when 10,000 Italians emigrated to the country looking for a better future, 60% were men and 40% women, and the average age was around 20 years. 30 years of age, the most numerous occupations were workers, merchants and some teachers, for 1910 to 1919, more than 6,000 Italians entered El Salvador, this year is distinguished by a growth of immigrants who are women with around 43% and 57% are men, the age varies between 3 years and 50 years, later, between 1920 and 1930, the majority who arrived in the country were engaged in commerce, agriculture and other businesses and activities.", "title": "Ethnic groups" }, { "paragraph_id": 38, "text": "The first Italians who entered the country settled in Santa Ana and San Miguel Department (El Salvador). Others settled mainly in the east of the country, in San Miguel Department (El Salvador), Usulután and La Unión Department. In the north of the country, in Chalatenango Department, several groups of Italians also settled.", "title": "Ethnic groups" }, { "paragraph_id": 39, "text": "The southern Italians settled mainly in San Miguel Department (El Salvador), Santa Ana, El Salvador, San Salvador and other departments of the country, where several cities stand out, Santa Tecla, El Salvador was the one that received the greatest demographic weight due to Italian immigration, since it became the capital, they arrived various Italian communities.", "title": "Ethnic groups" }, { "paragraph_id": 40, "text": "The Lucanians, Campanians, Sicilians and Pulleses, had their main destinations in San Salvador, Santa Ana, El Salvador and San Miguel Department (El Salvador), while the northern Italians: the Piedmontese, Veneti, Ligurians and Lombards settled mainly in La Libertad Department (El Salvador), San Salvador, Chalatenango , Santa Ana, El Salvador and San Miguel Department (El Salvador). Several Italians settled in the department of Sonsonate, particularly from Castelnuovo di Conza in the Campania region, and Usulután received several Italian farmers from northern Italy, also in La Unión where several southerners and northerners settled, mainly Piedmontese and Calabrian. In the other departments of the country, minority but visible groups of Italians settled. succeeding in trade and agriculture.", "title": "Ethnic groups" }, { "paragraph_id": 41, "text": "There is a small community of Jews who came to El Salvador from France, Germany, Morocco, Tunisia, and Turkey. Some Jews also arrived as World War II refugees.", "title": "Ethnic groups" }, { "paragraph_id": 42, "text": "Since colonial times, there is a record of Jews in Latin America, in El Salvador there is a record of several Jewish immigrations from Portugal, after the independence of El Salvador, it is believed that the first Jewish immigrant was Bernardo Haas, born in Alsace. Subsequently, the first documented German Jew arrived in the country in 1888, according to scholar Jessica Alpert. France and Central Europe were the main countries of origin of this contemporary Jewish migration, the majority were Ashkenazi and Sephardic, they stayed permanently in El Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 43, "text": "The immigration laws of El Salvador were very free between 1821 and 1930, however they changed after 1930, but these strict laws culminated in 1940, during the Second World War several Ashkenazi Jewish refugees arrived mainly from Hungary, Germany, Poland, Switzerland, Slovakia and France, giving them several documents of Salvadoran nationality.", "title": "Ethnic groups" }, { "paragraph_id": 44, "text": "At present the Jewish community in El Salvador is quite small, however there are a considerable number of descendants and they have stood out in society, as are several businessmen and politicians of Jewish origin, such as Ernesto Muyshondt, Gabriela Rodríguez de Bukele and Bernard Lewinsky.", "title": "Ethnic groups" }, { "paragraph_id": 45, "text": "The Gypsy caravans in El Salvador in the 20th century. The city of Santa Tecla, El Salvador was one of the places where there were Gypsy camps in El Salvador in the first decades of the 20th century. On May 7, 1926, newspapers from the city of San Miguel, El Salvador reported that within its urban area there was a nomadic community of Gypsies, who were also called Hungarians or Magyars (for Magyar or Hungary, an area from which they then belonged) believed that they were originally from), Gypsies or \"peroleros\", a designation due to the huge pots or pans that they always carried in their wagons and with which they prepared community meals between huge wood-fired stoves.", "title": "Ethnic groups" }, { "paragraph_id": 46, "text": "In 1929, the writer Francisco Miranda Ruano would remember \"The tired Gypsies of that day\" from his distant childhood and whose adventures opened his vocation as a writer. The propagation of theosophical, fascist and national socialist ideas among soldiers and civilians in El Salvador in the 1920s and 1930s created an adverse environment for the periodic arrival of the Gypsy people in El Salvador. The maximum expression of this mental and cultural closure occurred during the dictatorial government of Brigadier Maximiliano Hernández Martínez, issued the Law of Migration that prohibited the entry of Blacks, Arabs, Turks, Chinese and Gypsies into the country. This cause Gypsies in El Salvador to hide their identity.", "title": "Ethnic groups" }, { "paragraph_id": 47, "text": "The Romani Holocaust in Nazi Europe from 1935 to 1945, killed thousands of Gypsy people. Some of them were able to save themselves from that sad fate, thanks to the thousands of Salvadoran nationality certificates issued, in a clandestine operation, by the Salvadoran consul in Geneva, Colonel José Castellanos Contreras, José Gustavo Guerrero and his Transylvanian-Jewish secretary George Mandel-Mantello.", "title": "Ethnic groups" }, { "paragraph_id": 48, "text": "In the 1980s, the writer Claribel Alegría included the character \"The Gypsy\" in her novel Alice in the Land of Reality, which functioned as a rebellious and feminist conscience within the literary structure of the work. At the same time, it turned out be a tribute to the Gypsy caravans that once passed through Santa Ana, El Salvador, Sonsonate, El Salvador, Nahulingo, Usulután, Santiago de María, Chalatenango, Chalatenango, San Miguel, El Salvador, La Unión, El Salvador and many towns, streets, cities and other local territories of El Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 49, "text": "More than eight decades after such terrible racist legislation, the Romani language is no longer heard in Salvadoran territory. In the Romani language, the father of the family is called \"Shero Rom\", and it is theorized that it could be the origin of the Salvadoran word “Chero” to designate a friend.", "title": "Ethnic groups" }, { "paragraph_id": 50, "text": "There is a significant Arab population (of about 100,000); mostly from Palestine (especially from the area of Bethlehem), but also from Lebanon. Salvadorans of Palestinian descent numbered around 70,000 individuals, while Salvadorans of Lebanese descent is around 25,000.", "title": "Ethnic groups" }, { "paragraph_id": 51, "text": "The history of the Arabs in El Salvador dates back to the end of the 19th century, when religious clashes in the Ottoman Empire induced many Palestinians, Lebanese, Egyptians, Tunisians, Algerians, Iraqis, Omani, Saudis and Syrians to leave the land where they were born and travel to El Salvador in search of a place where they could live in relative peace. For similar reasons Turkish people and Persian Christians from Turkey, Iran and Afghanistan also arrived to El Salvador around the same time. There were also economic factors that contributed to immigration from the Middle East; many immigrants felt they could achieve success abroad on a level they couldn't in their native lands.", "title": "Ethnic groups" }, { "paragraph_id": 52, "text": "The first wave of Arab migration to El Salvador began between 1880 and 1920, amidst a large scale influx of immigrants to the country. These Arabs settled in the cities of San Salvador, San Miguel, Santa Ana, Santa Tecla, Usulutan and La Union. The population of El Salvador increased from 482,400 in 1879 to 1,168,000 in 1920, with immigration, including immigration from the late Ottoman Empire, substantially driving growth.", "title": "Ethnic groups" }, { "paragraph_id": 53, "text": "Arab immigration in El Salvador began at the end of the 19th century in the wake of the repressive policies applied by the Ottoman Empire against Maronite Catholics. Several of the destinations that the Lebanese chose at that time were in countries of the Americas, including El Salvador. This resulted in the Arab diaspora residents being characterized by forging in devoutly Christian families and very attached to their beliefs, because in these countries they can exercise their faith without fear of persecution, which resulted in the rise of Lebanese-Salvadoran, Syrian-Salvadoran and Palestinian-Salvadoran communities in El Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 54, "text": "Currently, the Palestinian community forms the largest Arab diaspora population in El Salvador, with 70,000 direct descendants, followed by the Lebanese community with more than 27,000 direct descendants. Both are almost entirely composed of Catholic and Orthodox Christians. The slaughter of Lebanese and Palestinian Arab Christians at the hands of Muslims initiated the first Arab migrations to El Salvador.", "title": "Ethnic groups" }, { "paragraph_id": 55, "text": "Inter-ethnic marriage in the Lebanese community with Salvadorans, regardless of religious affiliation, is very high; most have only one father with Lebanese nationality and mother of Salvadoran nationality. As a result, some of them speak Arabic fluently. But most, especially among younger generations, speak Spanish as a first language and Arabic as a second.", "title": "Ethnic groups" }, { "paragraph_id": 56, "text": "During the war between Israel and Lebanon in 1948 and during the Six-Day War, thousands of Lebanese left their country and went to El Salvador. Many arrived at La Libertad, where they comprised half of the economic activity of immigrants.", "title": "Ethnic groups" }, { "paragraph_id": 57, "text": "Lebanon had been an iqta of the Ottoman Empire. Although the imperial administration, whose official religion was Islam, guaranteed freedom of worship for non-Muslim communities, and Lebanon in particular had a semi-autonomous status, the situation for practitioners of the Maronite Catholic Church was complicated, since they had to cancel exaggerated taxes and suffered limitations for their culture. These tensions were expressed in a rebellion in 1821 and a war against the Druze in 1860. The hostile climate caused many Lebanese to sell their property and take ships in the ports of Sidon, Beirut and Tripoli heading for the Americas.", "title": "Ethnic groups" }, { "paragraph_id": 58, "text": "Arab-Salvadoreans and their descendants have traditionally played an outsized role in El Salvador's economic and political life, with many becoming business leaders and noteworthyt political figures.", "title": "Ethnic groups" }, { "paragraph_id": 59, "text": "In 1939, the Arab community based in San Salvador organized and founded the \"Arab Youth Union Society\"", "title": "Ethnic groups" }, { "paragraph_id": 60, "text": "The Population Department of the United Nations prepared the following estimates.", "title": "Vital statistics" }, { "paragraph_id": 61, "text": "Demographic statistics according to the World Population Review in 2022.", "title": "Other demographic statistics" }, { "paragraph_id": 62, "text": "Demographic statistics according to the CIA World Factbook, unless otherwise indicated.", "title": "Other demographic statistics" }, { "paragraph_id": 63, "text": "El Salvador is the smallest and most densely populated country in Central America. It is well into its demographic transition, experiencing slower population growth, a decline in its number of youths, and the gradual aging of its population. The increased use of family planning has substantially lowered El Salvador's fertility rate, from approximately 6 children per woman in the 1970s to replacement level today. A 2008 national family planning survey showed that female sterilization remained the most common contraception method in El Salvador - its sterilization rate is among the highest in Latin America and the Caribbean - but that the use of injectable contraceptives is growing. Fertility differences between rich and poor and urban and rural women are narrowing.", "title": "Other demographic statistics" }, { "paragraph_id": 64, "text": "According to a February 2021 survey by the University of Central America’s Institute of Public Opinion, 43.3% of the population saw themselves as Catholic, 33.9% as evangelical Christian, and 18.6% had no religious affiliation.", "title": "Other demographic statistics" }, { "paragraph_id": 65, "text": "definition: age 15 and over can read and write (2016 est.)", "title": "Other demographic statistics" } ]
This is a demography of the population of El Salvador including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population. El Salvador's population numbers 6.5 million. Ethnically, 86.3% of Salvadorans are mixed. Another 12.7% is of pure European descent, 1% are of pure indigenous descent, 0.16% are black and others are 0.64%.
2001-04-29T05:12:51Z
2023-12-25T15:40:19Z
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https://en.wikipedia.org/wiki/Demographics_of_El_Salvador
9,360
Politics of El Salvador
Politics of El Salvador takes place in a framework of a presidential representative democratic republic, whereby the President of El Salvador is both head of state and head of government, and of an executive power is exercised by the government. Legislative power is vested in both the government and the Legislative Assembly. The Judiciary is independent of the executive and the legislature. The Economist Intelligence Unit rated El Salvador a "hybrid regime" in 2022. El Salvador has a multi-party system. Three political parties Nuevas Ideas (NI), the Nationalist Republican Alliance (ARENA) and the Farabundo Martí National Liberation Front (FMLN) have tended to dominate elections since the end of the civil war. ARENA candidates won four consecutive presidential elections until the election of Mauricio Funes of the FMLN in March 2009. In 2014, he was followed by another FMLN president, Salvador Sánchez Cerén. The 2019 election was won by Nayib Bukele as the candidate of the center-right Grand Alliance for National Unity (GANA) party. In February 2021, El Salvador's legislative election was an important breakthrough. The new party, founded by President Bukele, Nuevas Ideas (NI), won around two-thirds of votes with its allies (NI–GANA). His party won a supermajority of 56 seats in the 84-seat legislature. Bukele became the country’s most powerful leader in three decades. Geographically, the departments of the central region, especially the capital and the coastal regions, known as departamentos rojos, or red departments, are mostly left-wing while the departamentos azules, or blue departments, in the east, western and highland regions are generally conservative. El Salvador elects its head of state, the President of El Salvador, directly through a fixed-date general election whose winner is decided by absolute majority. If an absolute majority is not achieved by any candidate in the first round of a presidential election, then a run-off pool election is conducted 30 days later between the two candidates who obtained the most votes in the first round. The president serves a five-year term. He is barred from immediately succeeding himself, though previously elected presidents may run for a second, non-consecutive term. In September 2021, El Salvador's Supreme Court decided to allow President Nayib Bukele to run for a second term in the 2024 election, despite the Constitution prohibiting the president from serving two consecutive terms in office. The decision was made by judges appointed to the court by President Bukele. Salvadorans also elect a single-chamber, unicameral national legislature, the Legislative Assembly of El Salvador, of 84 members (deputies) elected by closed-list proportional representation for three-year terms, with the possibility of immediate re-election. 20 of the 84 seats in the Legislative Assembly are elected on the basis of a single national constituency. The remaining 64 are elected in 14 multi-member constituencies (corresponding to El Salvador's 14 departments). They range from 3-16 seats each according to departmental population size. The Judiciary, headed by the Supreme Court, is composed of 15 judges, one of them being elected as President of the Judiciary. El Salvador is a member of the United Nations and several of its specialized agencies, the Organization of American States (OAS), the Central American Common Market (CACM), the Central American Parliament (PARLACEN), and the Central American Integration System (SICA). It actively participates in the Central American Security Commission (CASC), which seeks to promote regional arms control. El Salvador also 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.
[ { "paragraph_id": 0, "text": "Politics of El Salvador takes place in a framework of a presidential representative democratic republic, whereby the President of El Salvador is both head of state and head of government, and of an executive power is exercised by the government. Legislative power is vested in both the government and the Legislative Assembly. The Judiciary is independent of the executive and the legislature. The Economist Intelligence Unit rated El Salvador a \"hybrid regime\" in 2022.", "title": "" }, { "paragraph_id": 1, "text": "El Salvador has a multi-party system. Three political parties Nuevas Ideas (NI), the Nationalist Republican Alliance (ARENA) and the Farabundo Martí National Liberation Front (FMLN) have tended to dominate elections since the end of the civil war. ARENA candidates won four consecutive presidential elections until the election of Mauricio Funes of the FMLN in March 2009. In 2014, he was followed by another FMLN president, Salvador Sánchez Cerén.", "title": "Political culture" }, { "paragraph_id": 2, "text": "The 2019 election was won by Nayib Bukele as the candidate of the center-right Grand Alliance for National Unity (GANA) party. In February 2021, El Salvador's legislative election was an important breakthrough. The new party, founded by President Bukele, Nuevas Ideas (NI), won around two-thirds of votes with its allies (NI–GANA). His party won a supermajority of 56 seats in the 84-seat legislature. Bukele became the country’s most powerful leader in three decades.", "title": "Political culture" }, { "paragraph_id": 3, "text": "Geographically, the departments of the central region, especially the capital and the coastal regions, known as departamentos rojos, or red departments, are mostly left-wing while the departamentos azules, or blue departments, in the east, western and highland regions are generally conservative.", "title": "Political culture" }, { "paragraph_id": 4, "text": "El Salvador elects its head of state, the President of El Salvador, directly through a fixed-date general election whose winner is decided by absolute majority. If an absolute majority is not achieved by any candidate in the first round of a presidential election, then a run-off pool election is conducted 30 days later between the two candidates who obtained the most votes in the first round. The president serves a five-year term. He is barred from immediately succeeding himself, though previously elected presidents may run for a second, non-consecutive term.", "title": "Executive branch" }, { "paragraph_id": 5, "text": "In September 2021, El Salvador's Supreme Court decided to allow President Nayib Bukele to run for a second term in the 2024 election, despite the Constitution prohibiting the president from serving two consecutive terms in office. The decision was made by judges appointed to the court by President Bukele.", "title": "Executive branch" }, { "paragraph_id": 6, "text": "Salvadorans also elect a single-chamber, unicameral national legislature, the Legislative Assembly of El Salvador, of 84 members (deputies) elected by closed-list proportional representation for three-year terms, with the possibility of immediate re-election. 20 of the 84 seats in the Legislative Assembly are elected on the basis of a single national constituency. The remaining 64 are elected in 14 multi-member constituencies (corresponding to El Salvador's 14 departments). They range from 3-16 seats each according to departmental population size.", "title": "Legislative branch" }, { "paragraph_id": 7, "text": "The Judiciary, headed by the Supreme Court, is composed of 15 judges, one of them being elected as President of the Judiciary.", "title": "Judicial branch" }, { "paragraph_id": 8, "text": "El Salvador is a member of the United Nations and several of its specialized agencies, the Organization of American States (OAS), the Central American Common Market (CACM), the Central American Parliament (PARLACEN), and the Central American Integration System (SICA). It actively participates in the Central American Security Commission (CASC), which seeks to promote regional arms control.", "title": "Foreign relations" }, { "paragraph_id": 9, "text": "El Salvador also 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.", "title": "Foreign relations" } ]
Politics of El Salvador takes place in a framework of a presidential representative democratic republic, whereby the President of El Salvador is both head of state and head of government, and of an executive power is exercised by the government. Legislative power is vested in both the government and the Legislative Assembly. The Judiciary is independent of the executive and the legislature. The Economist Intelligence Unit rated El Salvador a "hybrid regime" in 2022.
2001-04-29T05:13:17Z
2023-12-01T23:39:52Z
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https://en.wikipedia.org/wiki/Politics_of_El_Salvador
9,361
Economy of El Salvador
The economy of El Salvador has experienced relatively low rates of GDP growth, in comparison to other developing countries. Rates have not risen above the low single digits in nearly two decades – part of a broader environment of macroeconomic instability which the integration of the United States dollar has done little to improve. One problem that the Salvadoran economy faces is the inequality in the distribution of income. In 2011, El Salvador had a Gini Coefficient of .485, which although similar to that of the United States, leaves 37.8% of the population below the poverty line, due to lower aggregate income. The richest 10% of the population receives approximately 15 times the income of the poorest 40%. As of 3 November 2014, the IMF reports official reserve assets to be $3.192B. Foreign currency reserves (in convertible foreign currencies) are $2.675B. Securities are $2.577B with total currency and deposits at $94.9M. Securities with other national central banks (BIS and IMF) are $81.10M. Securities with banks headquartered outside the reporting country $13.80M. SDRs are at $245.5M. Gold reserves (including gold deposits and, if appropriate, gold swapped) reported at $271.4M with volume in millions of fine Troy ounces at $200k. Other reserve assets are financial derivatives valued at $2.7M. Having this hard currency buffer to work with, the Salvadoran Government undertook a monetary integration plan beginning 1 January 2001, by which the U.S. dollar became legal tender alongside the colón, and all formal accounting was undertaken in U.S. dollars. This way, the government has formally limited its possibility of implementing open market monetary policies to influence short term variables in the economy. Since 2004, the colón stopped circulating and is now never used in the country for any type of transaction; however some stores still have prices in both colons and U.S. dollars. In general, people were unhappy with the shift from the colón to the U.S. dollar, because wages are still the same but the price of everything increased. Some economists claim this rise in prices would have been caused by inflation regardless, even had the shift not been made. Some economists also contend that now, according to Gresham's Law, a reversion to the colón would be disastrous to the economy. The change to the dollar also precipitated a trend toward lower interest rates in El Salvador, helping many to secure credit in order to buy a house or a car. Over time, displeasure with the change has largely disappeared, though the issue resurfaces as a political tool when elections are on the horizon. 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 on 9 June 2021, with a majority vote of 62 out of 84. Bitcoin officially became legal tender 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. 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. In 2021, El Salvador received a $40 million loan for small enterprises and projects for climate action, from the European Investment Bank to the country's development bank, Banco de Desarollo de el Salvador. $20 million will be used to assist investments in renewable energy projects, specifically photovoltaics, biogas, and micro hydro projects. Up to 50% of the loan line will be used to assist small and medium-sized enterprises who were affected by the COVID-19 pandemic. Fiscal policy has been one of the biggest challenges for the Salvadoran government. 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. The 1992 peace accords committed the government to heavy expenditures for transition programs and social services. The stability adjustment programs (PAE, for the initials in Spanish) initiated by President Cristiani's administration committed the government to the privatization of banks, the pension system, electric and telephone companies. The total privatization of the pension system has implied a serious burden for the public finances, because the newly created private Pension Association Funds did not absorb coverage of retired pensioners covered in the old system. As a result, in July 2017, the Government of El Salvador wanted to take $500 million from the privatized pension system to cover retired pensioners from the old not privatized system, but the Supreme Court of El Salvador declared this move unconstitutional. The government lost the revenues from contributors and absorbed completely the costs of coverage of retired pensioners. This has been the main source of fiscal imbalance. ARENA governments have financed this deficit with the emission of bonds, something the leftist party FMLN has opposed. Debates surrounding the emission of bonds have stalled the approval of the national budget for many months on several occasions, reason for which in 2006 the government will finance the deficit by reducing expenditure in other posts. The emission of bonds and the approval of a loans need a qualified majority (3/4 of the votes) in the parliament. If the deficit is not financed through a loan it is enough with a simple majority to approve the budget (50% of the votes plus 1). This would facilitate an otherwise long process in Salvadoran politics. Despite such challenges to keep public finances in balance, El Salvador still has one of the lowest tax burdens in the American continent (around 11% of GDP). The government has focused on improving the collection of its current revenues with a focus on indirect taxes. Leftist politicians criticize such a structure since indirect taxes (like the value added tax) affect everyone alike, whereas direct taxes can be weighed according to levels of income and are therefore more punitive toward productive people. However, some basic goods are exempt from the indirect taxes. A value-added tax (VAT) of 10%, implemented in September 1992, was raised to 13% in July 1995. The VAT is the biggest source of revenue for the government, accounting for about 52.3% of total tax revenues in 2004. Remittances from Salvadorans working in the United States sent to family members are a major source of foreign income and offset the substantial trade deficit of around $2.9 billion. Remittances have increased steadily in the last decade and reached an all-time high of $2.9 billion in 2005—approximately 17.1% of gross national product (GNP). 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. In 2018, El Salvador produced 7 million tons of sugarcane, being heavily dependent on this product. In addition to sugarcane, the country produced 685 thousand tons of maize, 119 thousand tons of coconut, 109 thousand tons of sorghum, 93 thousand tons of beans, 80 thousand tons of coffee, 64 thousand tons of orange, in addition to smaller yields of other agricultural products such as watermelon, yautia, apple, manioc, mango, banana, rice etc. The ultimate goal was to develop a rural middle class with a stake in a peaceful and prosperous future for El Salvador. At least 525,000 people—more than 12% of El Salvador's population at the time and perhaps 25% of the rural poor—benefited from agrarian reform, and more than 22% of El Salvador's total farmland was transferred to those who previously worked the land but did not own it. But when agrarian reform ended in 1990, about 150,000 landless families still had not benefited from the reform actions. The 1992 peace accords made provisions for land transfers to all qualified ex-combatants of both the FMLN and ESAF, as well as to landless peasants living in former conflict areas. The United States undertook to provide $300 million for a national reconstruction plan. This included $60 million for land purchases and $17 million for agricultural credits. USAID remains actively involved in providing technical training, access to credit, and other financial services for many of the land beneficiaries. 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, 52% of this comes from renewable sources including 29% from geothermal (produced from the country's many volcanoes), 23% 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). El Salvador historically has been the most industrialized state in Central America, though a decade of war eroded this position. In 1999, manufacturing accounted for 22% of GDP. The industrial sector has shifted since 1993 from a primarily domestic orientation to include free zone (maquiladora) manufacturing for export. Maquila exports have led the growth in the export sector and in the last 3 years have made an important contribution to the Salvadoran economy. Mining in El Salvador expanded in scope from artisanal mining to industrial mining at the San Sebastián mine in the 1970s. Chemicals from that mine polluted the San Sebastián River. Mining ceased during the Salvadoran Civil War. After the war, the country's right-wing government proposed 33 mining zones, issuing exploration licences to American, Australian, and Canadian companies. The plan was met with opposition of many local community and community leaders, who successfully blocked exploration in Chalatenango in 2005. Pacific Rim Mining Corporation obtained a permit to explore the El Dorado gold mine in 2002, but were denied a license to mine in 2008, following local opposition. Mining for metal was banned in 2017, although the creation of a mining regulator in 2021 and the arrest of anti-mining activists in 2023 prompted public speculation that the government is considering resuming mining. A public-private partnership in El Salvador will pump $1 billion into creating one of the world's largest bitcoin mining farms, the group called Volcano Energy announced on June 2023. The project will start with an initial $250 million, backed by "key Bitcoin industry leaders" in collaboration with renewable energy developers, Volcano Energy said in a statement 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. El Salvador's IT Industry's history started early with several IT outsourcing companies such as Gpremper and an early search engine that predated Google in 1995 called "Buscaniguas". The industry has since expanded with companies such as Creativa Consultores, Applaudo Studios, and Elaniin providing software and website design services to clients globally while employing thousands of people. Canadian Telus International, a major global IT outsourcing and software development firm, has a significant workforce in the country employing nearly 1,500 people in high tech and customer service roles. The startup scene has also been growing with firms such as HugoApp employing 600 locals and providing delivery and ride sharing services to nearly 1 million users in the Central American/CAFTA region. In 2020, the government announced its "Digital Agenda 2020" a plan to digitize government services, digitize identities, make it easier to start businesses, attract foreign investment and improve the education system. Finally, the passing of the Bitcoin Law in 2021 made El Salvador the first country in the world to adopt a cryptocurrency (Bitcoin) as legal tender, this move seeks to improve access to financial services to the non-banked and under banked while also making El Salvador a hub for innovation. In the 21st century, numerous call centers serving North American markets have been developed in El Salvador, including Ubiquity Global Services and Synnex. The industry benefits from the availability of a large English speaking work force, composed of deportees from the United States. A challenge in El Salvador has been developing new growth sectors for a more diversified economy. As many other former colonies, for many years El Salvador was considered a mono exporter economy. This means, an economy that depended heavily on one type of export. During colonial times, the Spanish decided that El Salvador would produce and export indigo, but after the invention of synthetic dyes in the 19th century, Salvadoran authorities and the newly created modern state turned to coffee as the main export of the economy. Since the cultivation of coffee required the highest lands in the country, many of these lands were expropriated from indigenous reserves and given or sold cheaply to those that could cultivate coffee. The government provided little or no compensation to the indigenous peoples. On occasions this compensation implied merely the right to work for seasons in the newly created coffee farms and to be allowed to grow their own food. Such policies provided the basis of conflicts that would shape the political situation of El Salvador in the years to come. ARENA governments have followed policies that intend to develop other exporting industries in the country as textiles and sea products. Tourism is another industry Salvadoran authorities regard as a possibility for the country. But rampant crime rates, lack of infrastructure and inadequate social capital have prevented these possibilities from being properly exploited. The government is also developing ports and infrastructure in La Unión in the east of the country, in order to use the area as a "dry canal" for transporting goods from Gulf of Fonseca in the Pacific Ocean to Honduras and the Atlantic Ocean in the north. Currently there are fifteen free trade zones in El Salvador. The largest beneficiary has been the maquila industry, which provides 88,700 jobs directly, and consists primarily of cutting and assembling clothes for export to the United States. El Salvador signed the Central American Free Trade Agreement (CAFTA), negotiated by the five countries of Central America and the Dominican Republic, with the United States in 2004. In order to take advantage of CAFTA-DR, the Salvadoran government is challenged to conduct policies that guarantee better conditions for entrepreneurs and workers to transfer from declining to growing sectors in the economy. El Salvador has already signed free trade agreements with Mexico, Chile, the Dominican Republic, and Panama, and increased its exports to those countries. El Salvador, Guatemala, Honduras, and Nicaragua also are negotiating a free trade agreement with Canada, and negotiations started on 2006 for a free trade agreement with Colombia. El Salvador's balance of payments continued to show a net surplus. Exports in 1999 grew 1.9% while imports grew 3%, narrowing El Salvador's trade deficit. As in the previous year, the large trade deficit was offset by foreign aid and family remittances. Remittances are increasing at an annual rate of 6.5%, and an estimated $1.35 billion will enter the national economy during 1999. Private foreign capital continued to flow in, though mostly as short-term import financing and not at the levels of previous years. The Central American Common Market continued its dynamic reactivation process, now with most regional commerce duty-free. In September 1996, El Salvador, Guatemala, and Honduras opened free trade talks with Mexico. This trade alliance is also known as the Northern Triangle in relation to the Central American economies that are grouped together by proximity and location. Although tariff cuts that were expected in July 1996 were delayed until 1997, the government of El Salvador is committed to a free and open economy. Total U.S. exports to El Salvador reached $2.1 billion in 1999, while El Salvador exported $1.6 billion to the United States. U.S. support for El Salvador's privatization of the electrical and telecommunications markets has markedly expanded opportunities for U.S. investment in the country. More than 300 U.S. companies have established either a permanent commercial presence in El Salvador or work through representative offices in the country. The Department of State maintains a country commercial guide for U.S. businesses seeking detailed information on business opportunities in El Salvador. 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. 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. 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). Hurricane Mitch hit El Salvador in late October 1998, generating extreme rainfall of which caused widespread flooding and landslides. Roughly 650 km were flooded, and the Salvadoran Government pronounced 374 people dead or missing. In addition, approximately 55,900 people were rendered homeless. The areas that suffered the most were the low-lying coastal zones, particularly in the floodplain of the Lempa and San Miguel Grande Rivers. Three major bridges that cross the Lempa were swept away, restricting access to the eastern third of the country and forcing the emergency evacuation of many communities. The heavy rainfall, flooding, and mudslides caused by Hurricane Mitch also severely damaged El Salvador's road network. Along with the three major bridges over the Lempa River, 12 other bridges were damaged or destroyed by the Mitch flooding. The largest single-affected sector was El Salvador's agriculture. Nearly 18% of the total 1998–99 basic grain harvest was lost. Coffee production was hit particularly hard; 3% of the harvest was lost in addition to 8.2% that was lost earlier in the year due to El Niño. Major losses of sugarcane, totaling 9% of the estimated 1998–99 production, were sustained primarily in the coastal regions. Livestock losses amounted to $1 million, including 2,992 head of cattle. In addition to these losses, El Salvador also had to face the threat of disease outbreak. The Ministry of Health recorded a total of 109,038 medical cases related to Hurricane Mitch between 31 October and 18 November 1998; 23% of these cases were respiratory infections, followed by skin ailments, diarrhea, and conjunctivitis. Reconstruction from Mitch was still underway when, in early 2001, the country experienced a series of devastating earthquakes that left nearly 2,000 people dead or missing, 8,000 injured, and caused severe dislocations across all sectors of Salvadoran society. Nearly 25% of all private homes in the country were either destroyed or badly damaged, and 1.5 million persons were left without housing. Hundreds of public buildings were damaged or destroyed, and sanitation and water systems in many communities put out service. The total cost of the damage was estimated at between $1.5 billion and $2 billion, and the devastation thought to equal or surpass that of the 1986 quake that struck San Salvador. Given the magnitude of the disaster, reconstruction and economic recovery will remain the primary focus of the Salvadoran Government for some time to come. The Hurricane Mitch disaster prompted a tremendous response from the international community governments, nongovernmental organizations (NGOs), and private citizens alike. Sixteen foreign governments—including the U.S., 19 international NGOs, 20 Salvadoran embassies and consulates, and 20 private firms and individuals provided El Salvador with in-kind assistance. The Government of El Salvador reports that 961 tons of goods and food were received. The Ministry of Foreign Affairs estimates that contribution in cash given directly to the Salvadoran Government totaled $4.3 million. The U.S. Government has provided $37.7 million in assistance through USAID and the U.S. Departments of Agriculture and Defense. Following the 2001 earthquakes, the U.S. embassy assumed a leading role in implementing U.S.-sponsored assistance. The U.S. Government responded immediately to the emergency, with military helicopters active in initial rescue operations, delivering emergency supplies, rescue workers, and damage assessment teams to stricken communities all over the country. USAIDs Office of Foreign Disaster Assistance had a team of experts working with Salvadoran relief authorities immediately after both quakes, and provided assistance totaling more than $14 million. In addition, the Department of Defense provided an initial response valued at more than $11 million. For long-term reconstruction, the international community offered a total aid package of $1.3 billion, over $110 million of it from the United States. The following table shows the main economic indicators in 1980–2017.
[ { "paragraph_id": 0, "text": "The economy of El Salvador has experienced relatively low rates of GDP growth, in comparison to other developing countries. Rates have not risen above the low single digits in nearly two decades – part of a broader environment of macroeconomic instability which the integration of the United States dollar has done little to improve. One problem that the Salvadoran economy faces is the inequality in the distribution of income. In 2011, El Salvador had a Gini Coefficient of .485, which although similar to that of the United States, leaves 37.8% of the population below the poverty line, due to lower aggregate income. The richest 10% of the population receives approximately 15 times the income of the poorest 40%.", "title": "" }, { "paragraph_id": 1, "text": "As of 3 November 2014, the IMF reports official reserve assets to be $3.192B. Foreign currency reserves (in convertible foreign currencies) are $2.675B. Securities are $2.577B with total currency and deposits at $94.9M. Securities with other national central banks (BIS and IMF) are $81.10M. Securities with banks headquartered outside the reporting country $13.80M. SDRs are at $245.5M. Gold reserves (including gold deposits and, if appropriate, gold swapped) reported at $271.4M with volume in millions of fine Troy ounces at $200k. Other reserve assets are financial derivatives valued at $2.7M.", "title": "" }, { "paragraph_id": 2, "text": "Having this hard currency buffer to work with, the Salvadoran Government undertook a monetary integration plan beginning 1 January 2001, by which the U.S. dollar became legal tender alongside the colón, and all formal accounting was undertaken in U.S. dollars. This way, the government has formally limited its possibility of implementing open market monetary policies to influence short term variables in the economy. Since 2004, the colón stopped circulating and is now never used in the country for any type of transaction; however some stores still have prices in both colons and U.S. dollars. In general, people were unhappy with the shift from the colón to the U.S. dollar, because wages are still the same but the price of everything increased. Some economists claim this rise in prices would have been caused by inflation regardless, even had the shift not been made. Some economists also contend that now, according to Gresham's Law, a reversion to the colón would be disastrous to the economy. The change to the dollar also precipitated a trend toward lower interest rates in El Salvador, helping many to secure credit in order to buy a house or a car. Over time, displeasure with the change has largely disappeared, though the issue resurfaces as a political tool when elections are on the horizon.", "title": "" }, { "paragraph_id": 3, "text": "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 on 9 June 2021, with a majority vote of 62 out of 84. Bitcoin officially became legal tender 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. 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.", "title": "" }, { "paragraph_id": 4, "text": "In 2021, El Salvador received a $40 million loan for small enterprises and projects for climate action, from the European Investment Bank to the country's development bank, Banco de Desarollo de el Salvador. $20 million will be used to assist investments in renewable energy projects, specifically photovoltaics, biogas, and micro hydro projects. Up to 50% of the loan line will be used to assist small and medium-sized enterprises who were affected by the COVID-19 pandemic.", "title": "" }, { "paragraph_id": 5, "text": "Fiscal policy has been one of the biggest challenges for the Salvadoran government. 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.", "title": "Public sector" }, { "paragraph_id": 6, "text": "The 1992 peace accords committed the government to heavy expenditures for transition programs and social services. The stability adjustment programs (PAE, for the initials in Spanish) initiated by President Cristiani's administration committed the government to the privatization of banks, the pension system, electric and telephone companies. The total privatization of the pension system has implied a serious burden for the public finances, because the newly created private Pension Association Funds did not absorb coverage of retired pensioners covered in the old system. As a result, in July 2017, the Government of El Salvador wanted to take $500 million from the privatized pension system to cover retired pensioners from the old not privatized system, but the Supreme Court of El Salvador declared this move unconstitutional. The government lost the revenues from contributors and absorbed completely the costs of coverage of retired pensioners. This has been the main source of fiscal imbalance. ARENA governments have financed this deficit with the emission of bonds, something the leftist party FMLN has opposed. Debates surrounding the emission of bonds have stalled the approval of the national budget for many months on several occasions, reason for which in 2006 the government will finance the deficit by reducing expenditure in other posts. The emission of bonds and the approval of a loans need a qualified majority (3/4 of the votes) in the parliament. If the deficit is not financed through a loan it is enough with a simple majority to approve the budget (50% of the votes plus 1). This would facilitate an otherwise long process in Salvadoran politics.", "title": "Public sector" }, { "paragraph_id": 7, "text": "Despite such challenges to keep public finances in balance, El Salvador still has one of the lowest tax burdens in the American continent (around 11% of GDP). The government has focused on improving the collection of its current revenues with a focus on indirect taxes. Leftist politicians criticize such a structure since indirect taxes (like the value added tax) affect everyone alike, whereas direct taxes can be weighed according to levels of income and are therefore more punitive toward productive people. However, some basic goods are exempt from the indirect taxes. A value-added tax (VAT) of 10%, implemented in September 1992, was raised to 13% in July 1995. The VAT is the biggest source of revenue for the government, accounting for about 52.3% of total tax revenues in 2004.", "title": "Public sector" }, { "paragraph_id": 8, "text": "Remittances from Salvadorans working in the United States sent to family members are a major source of foreign income and offset the substantial trade deficit of around $2.9 billion. Remittances have increased steadily in the last decade and reached an all-time high of $2.9 billion in 2005—approximately 17.1% of gross national product (GNP).", "title": "Economic sectors" }, { "paragraph_id": 9, "text": "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.", "title": "Economic sectors" }, { "paragraph_id": 10, "text": "In 2018, El Salvador produced 7 million tons of sugarcane, being heavily dependent on this product. In addition to sugarcane, the country produced 685 thousand tons of maize, 119 thousand tons of coconut, 109 thousand tons of sorghum, 93 thousand tons of beans, 80 thousand tons of coffee, 64 thousand tons of orange, in addition to smaller yields of other agricultural products such as watermelon, yautia, apple, manioc, mango, banana, rice etc.", "title": "Economic sectors" }, { "paragraph_id": 11, "text": "The ultimate goal was to develop a rural middle class with a stake in a peaceful and prosperous future for El Salvador. At least 525,000 people—more than 12% of El Salvador's population at the time and perhaps 25% of the rural poor—benefited from agrarian reform, and more than 22% of El Salvador's total farmland was transferred to those who previously worked the land but did not own it. But when agrarian reform ended in 1990, about 150,000 landless families still had not benefited from the reform actions.", "title": "Economic sectors" }, { "paragraph_id": 12, "text": "The 1992 peace accords made provisions for land transfers to all qualified ex-combatants of both the FMLN and ESAF, as well as to landless peasants living in former conflict areas. The United States undertook to provide $300 million for a national reconstruction plan. This included $60 million for land purchases and $17 million for agricultural credits. USAID remains actively involved in providing technical training, access to credit, and other financial services for many of the land beneficiaries.", "title": "Economic sectors" }, { "paragraph_id": 13, "text": "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, 52% of this comes from renewable sources including 29% from geothermal (produced from the country's many volcanoes), 23% from hydro and the rest is from fossil fuels.", "title": "Economic sectors" }, { "paragraph_id": 14, "text": "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).", "title": "Economic sectors" }, { "paragraph_id": 15, "text": "El Salvador historically has been the most industrialized state in Central America, though a decade of war eroded this position. In 1999, manufacturing accounted for 22% of GDP. The industrial sector has shifted since 1993 from a primarily domestic orientation to include free zone (maquiladora) manufacturing for export. Maquila exports have led the growth in the export sector and in the last 3 years have made an important contribution to the Salvadoran economy.", "title": "Economic sectors" }, { "paragraph_id": 16, "text": "Mining in El Salvador expanded in scope from artisanal mining to industrial mining at the San Sebastián mine in the 1970s. Chemicals from that mine polluted the San Sebastián River.", "title": "Economic sectors" }, { "paragraph_id": 17, "text": "Mining ceased during the Salvadoran Civil War. After the war, the country's right-wing government proposed 33 mining zones, issuing exploration licences to American, Australian, and Canadian companies. The plan was met with opposition of many local community and community leaders, who successfully blocked exploration in Chalatenango in 2005.", "title": "Economic sectors" }, { "paragraph_id": 18, "text": "Pacific Rim Mining Corporation obtained a permit to explore the El Dorado gold mine in 2002, but were denied a license to mine in 2008, following local opposition.", "title": "Economic sectors" }, { "paragraph_id": 19, "text": "Mining for metal was banned in 2017, although the creation of a mining regulator in 2021 and the arrest of anti-mining activists in 2023 prompted public speculation that the government is considering resuming mining.", "title": "Economic sectors" }, { "paragraph_id": 20, "text": "", "title": "Economic sectors" }, { "paragraph_id": 21, "text": "A public-private partnership in El Salvador will pump $1 billion into creating one of the world's largest bitcoin mining farms, the group called Volcano Energy announced on June 2023. The project will start with an initial $250 million, backed by \"key Bitcoin industry leaders\" in collaboration with renewable energy developers, Volcano Energy said in a statement", "title": "Economic sectors" }, { "paragraph_id": 22, "text": "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.", "title": "Economic sectors" }, { "paragraph_id": 23, "text": "El Salvador's IT Industry's history started early with several IT outsourcing companies such as Gpremper and an early search engine that predated Google in 1995 called \"Buscaniguas\". The industry has since expanded with companies such as Creativa Consultores, Applaudo Studios, and Elaniin providing software and website design services to clients globally while employing thousands of people. Canadian Telus International, a major global IT outsourcing and software development firm, has a significant workforce in the country employing nearly 1,500 people in high tech and customer service roles. The startup scene has also been growing with firms such as HugoApp employing 600 locals and providing delivery and ride sharing services to nearly 1 million users in the Central American/CAFTA region. In 2020, the government announced its \"Digital Agenda 2020\" a plan to digitize government services, digitize identities, make it easier to start businesses, attract foreign investment and improve the education system. Finally, the passing of the Bitcoin Law in 2021 made El Salvador the first country in the world to adopt a cryptocurrency (Bitcoin) as legal tender, this move seeks to improve access to financial services to the non-banked and under banked while also making El Salvador a hub for innovation.", "title": "Economic sectors" }, { "paragraph_id": 24, "text": "In the 21st century, numerous call centers serving North American markets have been developed in El Salvador, including Ubiquity Global Services and Synnex. The industry benefits from the availability of a large English speaking work force, composed of deportees from the United States.", "title": "Economic sectors" }, { "paragraph_id": 25, "text": "A challenge in El Salvador has been developing new growth sectors for a more diversified economy. As many other former colonies, for many years El Salvador was considered a mono exporter economy. This means, an economy that depended heavily on one type of export. During colonial times, the Spanish decided that El Salvador would produce and export indigo, but after the invention of synthetic dyes in the 19th century, Salvadoran authorities and the newly created modern state turned to coffee as the main export of the economy.", "title": "Trade" }, { "paragraph_id": 26, "text": "Since the cultivation of coffee required the highest lands in the country, many of these lands were expropriated from indigenous reserves and given or sold cheaply to those that could cultivate coffee. The government provided little or no compensation to the indigenous peoples. On occasions this compensation implied merely the right to work for seasons in the newly created coffee farms and to be allowed to grow their own food. Such policies provided the basis of conflicts that would shape the political situation of El Salvador in the years to come.", "title": "Trade" }, { "paragraph_id": 27, "text": "ARENA governments have followed policies that intend to develop other exporting industries in the country as textiles and sea products. Tourism is another industry Salvadoran authorities regard as a possibility for the country. But rampant crime rates, lack of infrastructure and inadequate social capital have prevented these possibilities from being properly exploited. The government is also developing ports and infrastructure in La Unión in the east of the country, in order to use the area as a \"dry canal\" for transporting goods from Gulf of Fonseca in the Pacific Ocean to Honduras and the Atlantic Ocean in the north. Currently there are fifteen free trade zones in El Salvador. The largest beneficiary has been the maquila industry, which provides 88,700 jobs directly, and consists primarily of cutting and assembling clothes for export to the United States.", "title": "Trade" }, { "paragraph_id": 28, "text": "El Salvador signed the Central American Free Trade Agreement (CAFTA), negotiated by the five countries of Central America and the Dominican Republic, with the United States in 2004. In order to take advantage of CAFTA-DR, the Salvadoran government is challenged to conduct policies that guarantee better conditions for entrepreneurs and workers to transfer from declining to growing sectors in the economy. El Salvador has already signed free trade agreements with Mexico, Chile, the Dominican Republic, and Panama, and increased its exports to those countries. El Salvador, Guatemala, Honduras, and Nicaragua also are negotiating a free trade agreement with Canada, and negotiations started on 2006 for a free trade agreement with Colombia.", "title": "Trade" }, { "paragraph_id": 29, "text": "El Salvador's balance of payments continued to show a net surplus. Exports in 1999 grew 1.9% while imports grew 3%, narrowing El Salvador's trade deficit. As in the previous year, the large trade deficit was offset by foreign aid and family remittances. Remittances are increasing at an annual rate of 6.5%, and an estimated $1.35 billion will enter the national economy during 1999.", "title": "Trade" }, { "paragraph_id": 30, "text": "Private foreign capital continued to flow in, though mostly as short-term import financing and not at the levels of previous years. The Central American Common Market continued its dynamic reactivation process, now with most regional commerce duty-free. In September 1996, El Salvador, Guatemala, and Honduras opened free trade talks with Mexico. This trade alliance is also known as the Northern Triangle in relation to the Central American economies that are grouped together by proximity and location. Although tariff cuts that were expected in July 1996 were delayed until 1997, the government of El Salvador is committed to a free and open economy.", "title": "Trade" }, { "paragraph_id": 31, "text": "Total U.S. exports to El Salvador reached $2.1 billion in 1999, while El Salvador exported $1.6 billion to the United States. U.S. support for El Salvador's privatization of the electrical and telecommunications markets has markedly expanded opportunities for U.S. investment in the country. More than 300 U.S. companies have established either a permanent commercial presence in El Salvador or work through representative offices in the country. The Department of State maintains a country commercial guide for U.S. businesses seeking detailed information on business opportunities in El Salvador.", "title": "Trade" }, { "paragraph_id": 32, "text": "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.", "title": "Trade" }, { "paragraph_id": 33, "text": "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.", "title": "Trade" }, { "paragraph_id": 34, "text": "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.\"", "title": "Trade" }, { "paragraph_id": 35, "text": "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.", "title": "Trade" }, { "paragraph_id": 36, "text": "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.", "title": "Trade" }, { "paragraph_id": 37, "text": "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).", "title": "Trade" }, { "paragraph_id": 38, "text": "Hurricane Mitch hit El Salvador in late October 1998, generating extreme rainfall of which caused widespread flooding and landslides. Roughly 650 km were flooded, and the Salvadoran Government pronounced 374 people dead or missing. In addition, approximately 55,900 people were rendered homeless. The areas that suffered the most were the low-lying coastal zones, particularly in the floodplain of the Lempa and San Miguel Grande Rivers. Three major bridges that cross the Lempa were swept away, restricting access to the eastern third of the country and forcing the emergency evacuation of many communities. The heavy rainfall, flooding, and mudslides caused by Hurricane Mitch also severely damaged El Salvador's road network. Along with the three major bridges over the Lempa River, 12 other bridges were damaged or destroyed by the Mitch flooding.", "title": "Natural disasters: Hurricane Mitch (1998) and the earthquakes (2001)" }, { "paragraph_id": 39, "text": "The largest single-affected sector was El Salvador's agriculture. Nearly 18% of the total 1998–99 basic grain harvest was lost. Coffee production was hit particularly hard; 3% of the harvest was lost in addition to 8.2% that was lost earlier in the year due to El Niño. Major losses of sugarcane, totaling 9% of the estimated 1998–99 production, were sustained primarily in the coastal regions. Livestock losses amounted to $1 million, including 2,992 head of cattle. In addition to these losses, El Salvador also had to face the threat of disease outbreak. The Ministry of Health recorded a total of 109,038 medical cases related to Hurricane Mitch between 31 October and 18 November 1998; 23% of these cases were respiratory infections, followed by skin ailments, diarrhea, and conjunctivitis.", "title": "Natural disasters: Hurricane Mitch (1998) and the earthquakes (2001)" }, { "paragraph_id": 40, "text": "Reconstruction from Mitch was still underway when, in early 2001, the country experienced a series of devastating earthquakes that left nearly 2,000 people dead or missing, 8,000 injured, and caused severe dislocations across all sectors of Salvadoran society. Nearly 25% of all private homes in the country were either destroyed or badly damaged, and 1.5 million persons were left without housing. Hundreds of public buildings were damaged or destroyed, and sanitation and water systems in many communities put out service. The total cost of the damage was estimated at between $1.5 billion and $2 billion, and the devastation thought to equal or surpass that of the 1986 quake that struck San Salvador. Given the magnitude of the disaster, reconstruction and economic recovery will remain the primary focus of the Salvadoran Government for some time to come.", "title": "Natural disasters: Hurricane Mitch (1998) and the earthquakes (2001)" }, { "paragraph_id": 41, "text": "The Hurricane Mitch disaster prompted a tremendous response from the international community governments, nongovernmental organizations (NGOs), and private citizens alike. Sixteen foreign governments—including the U.S., 19 international NGOs, 20 Salvadoran embassies and consulates, and 20 private firms and individuals provided El Salvador with in-kind assistance. The Government of El Salvador reports that 961 tons of goods and food were received. The Ministry of Foreign Affairs estimates that contribution in cash given directly to the Salvadoran Government totaled $4.3 million. The U.S. Government has provided $37.7 million in assistance through USAID and the U.S. Departments of Agriculture and Defense.", "title": "Natural disasters: Hurricane Mitch (1998) and the earthquakes (2001)" }, { "paragraph_id": 42, "text": "Following the 2001 earthquakes, the U.S. embassy assumed a leading role in implementing U.S.-sponsored assistance. The U.S. Government responded immediately to the emergency, with military helicopters active in initial rescue operations, delivering emergency supplies, rescue workers, and damage assessment teams to stricken communities all over the country. USAIDs Office of Foreign Disaster Assistance had a team of experts working with Salvadoran relief authorities immediately after both quakes, and provided assistance totaling more than $14 million. In addition, the Department of Defense provided an initial response valued at more than $11 million. For long-term reconstruction, the international community offered a total aid package of $1.3 billion, over $110 million of it from the United States.", "title": "Natural disasters: Hurricane Mitch (1998) and the earthquakes (2001)" }, { "paragraph_id": 43, "text": "The following table shows the main economic indicators in 1980–2017.", "title": "Macro-economic trend" } ]
The economy of El Salvador has experienced relatively low rates of GDP growth, in comparison to other developing countries. Rates have not risen above the low single digits in nearly two decades – part of a broader environment of macroeconomic instability which the integration of the United States dollar has done little to improve. One problem that the Salvadoran economy faces is the inequality in the distribution of income. In 2011, El Salvador had a Gini Coefficient of .485, which although similar to that of the United States, leaves 37.8% of the population below the poverty line, due to lower aggregate income. The richest 10% of the population receives approximately 15 times the income of the poorest 40%. As of 3 November 2014, the IMF reports official reserve assets to be $3.192B. Foreign currency reserves are $2.675B. Securities are $2.577B with total currency and deposits at $94.9M. Securities with other national central banks are $81.10M. Securities with banks headquartered outside the reporting country $13.80M. SDRs are at $245.5M. Gold reserves reported at $271.4M with volume in millions of fine Troy ounces at $200k. Other reserve assets are financial derivatives valued at $2.7M. Having this hard currency buffer to work with, the Salvadoran Government undertook a monetary integration plan beginning 1 January 2001, by which the U.S. dollar became legal tender alongside the colón, and all formal accounting was undertaken in U.S. dollars. This way, the government has formally limited its possibility of implementing open market monetary policies to influence short term variables in the economy. Since 2004, the colón stopped circulating and is now never used in the country for any type of transaction; however some stores still have prices in both colons and U.S. dollars. In general, people were unhappy with the shift from the colón to the U.S. dollar, because wages are still the same but the price of everything increased. Some economists claim this rise in prices would have been caused by inflation regardless, even had the shift not been made. Some economists also contend that now, according to Gresham's Law, a reversion to the colón would be disastrous to the economy. The change to the dollar also precipitated a trend toward lower interest rates in El Salvador, helping many to secure credit in order to buy a house or a car. Over time, displeasure with the change has largely disappeared, though the issue resurfaces as a political tool when elections are on the horizon. 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 on 9 June 2021, with a majority vote of 62 out of 84. Bitcoin officially became legal tender 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. 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. In 2021, El Salvador received a $40 million loan for small enterprises and projects for climate action, from the European Investment Bank to the country's development bank, Banco de Desarollo de el Salvador. $20 million will be used to assist investments in renewable energy projects, specifically photovoltaics, biogas, and micro hydro projects. Up to 50% of the loan line will be used to assist small and medium-sized enterprises who were affected by the COVID-19 pandemic.
2001-04-29T05:13:39Z
2023-12-07T10:03:18Z
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https://en.wikipedia.org/wiki/Economy_of_El_Salvador
9,362
Telecommunications in El Salvador
Telecommunications in El Salvador include radio, television, fixed and mobile telephones, and the Internet, centered primarily around the capital, San Salvador. The Telecorporación Salvadoreña (TCS) consists of four television stations, channels 2, 4, 6, 35. Other small chains of television networks operate in the west and east sides of the country. The law permits the executive branch to use the emergency broadcasting service to take over all broadcast and cable networks temporarily to televise political programming. The president occasionally uses this law to highlight his accomplishments. El Salvador's IT Industry's history started early with several IT outsourcing companies such as Gpremper and an early search engine that predated Google in 1995 called "Buscaniguas". The industry has since expanded with companies such as Creativa Consultores, Applaudo Studios, and Elaniin providing software and website design services to clients globally while employing thousands of people. Canadian Telus International, a major global IT outsourcing and software development firm, has a significant workforce in the country employing nearly 1,500 people in high tech and customer service roles. The startup scene has also been growing with firms such as HugoApp employing 600 locals and providing delivery and ride sharing services to nearly 1 million users in the Central American/CAFTA region. In 2020, the government announced its "Digital Agenda 2020" a plan to digitize government services, digitize identities, make it easier to start businesses, attract foreign investment and improve the education system. Finally, the passing of the Bitcoin Law in 2021 made El Salvador the first country in the world to adopt a cryptocurrency (Bitcoin) as legal tender, this move seeks to improve access to financial services to the non-banked and under banked while also making El Salvador a hub for innovation. There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. Individuals and groups engage in the expression of views via the Internet, including by e-mail. Internet access is available in public places throughout the country. The constitution provides for freedom of speech and press, and the government generally respects these rights. Individuals criticize the government publicly or privately without reprisal, and in most cases the government does not interfere with such criticism. In March 2012, Carlos Dada, the owner of online newspaper El Faro, received death threats from gang members. The gangs were unhappy with El Faro's reporting on the gang truce. On April 13, the International Press Institute criticized the government for not taking any actions to guarantee the safety of El Faro journalists. According to the Salvadoran Association of Journalists (APES), the media practices self-censorship, especially in their reporting on gangs and narcotics trafficking. APES stated that many members of the media were afraid to report in detail on these subjects due to fear of retaliation from gangs and narcotics trafficking groups. The constitution prohibits arbitrary interference with privacy, family, home, or correspondence, and the government generally respects these prohibitions.
[ { "paragraph_id": 0, "text": "Telecommunications in El Salvador include radio, television, fixed and mobile telephones, and the Internet, centered primarily around the capital, San Salvador.", "title": "" }, { "paragraph_id": 1, "text": "The Telecorporación Salvadoreña (TCS) consists of four television stations, channels 2, 4, 6, 35. Other small chains of television networks operate in the west and east sides of the country.", "title": "Radio and television" }, { "paragraph_id": 2, "text": "The law permits the executive branch to use the emergency broadcasting service to take over all broadcast and cable networks temporarily to televise political programming. The president occasionally uses this law to highlight his accomplishments.", "title": "Radio and television" }, { "paragraph_id": 3, "text": "El Salvador's IT Industry's history started early with several IT outsourcing companies such as Gpremper and an early search engine that predated Google in 1995 called \"Buscaniguas\". The industry has since expanded with companies such as Creativa Consultores, Applaudo Studios, and Elaniin providing software and website design services to clients globally while employing thousands of people. Canadian Telus International, a major global IT outsourcing and software development firm, has a significant workforce in the country employing nearly 1,500 people in high tech and customer service roles. The startup scene has also been growing with firms such as HugoApp employing 600 locals and providing delivery and ride sharing services to nearly 1 million users in the Central American/CAFTA region. In 2020, the government announced its \"Digital Agenda 2020\" a plan to digitize government services, digitize identities, make it easier to start businesses, attract foreign investment and improve the education system. Finally, the passing of the Bitcoin Law in 2021 made El Salvador the first country in the world to adopt a cryptocurrency (Bitcoin) as legal tender, this move seeks to improve access to financial services to the non-banked and under banked while also making El Salvador a hub for innovation.", "title": "Internet" }, { "paragraph_id": 4, "text": "There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. Individuals and groups engage in the expression of views via the Internet, including by e-mail. Internet access is available in public places throughout the country.", "title": "Internet" }, { "paragraph_id": 5, "text": "The constitution provides for freedom of speech and press, and the government generally respects these rights. Individuals criticize the government publicly or privately without reprisal, and in most cases the government does not interfere with such criticism. In March 2012, Carlos Dada, the owner of online newspaper El Faro, received death threats from gang members. The gangs were unhappy with El Faro's reporting on the gang truce. On April 13, the International Press Institute criticized the government for not taking any actions to guarantee the safety of El Faro journalists. According to the Salvadoran Association of Journalists (APES), the media practices self-censorship, especially in their reporting on gangs and narcotics trafficking. APES stated that many members of the media were afraid to report in detail on these subjects due to fear of retaliation from gangs and narcotics trafficking groups.", "title": "Internet" }, { "paragraph_id": 6, "text": "The constitution prohibits arbitrary interference with privacy, family, home, or correspondence, and the government generally respects these prohibitions.", "title": "Internet" } ]
Telecommunications in El Salvador include radio, television, fixed and mobile telephones, and the Internet, centered primarily around the capital, San Salvador.
2023-06-28T23:07:52Z
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https://en.wikipedia.org/wiki/Telecommunications_in_El_Salvador
9,363
Transport in El Salvador
El Salvador has transport links by road, rail, sea and air. El Salvador has over 10,000 km of roads, and one passenger rail service. There are several seaports on the Pacific Ocean, and two international airports. A weekday passenger service links San Salvador and Apopa, a journey of 40 minutes. Of a total of 602 km narrow gauge (3 ft (914 mm)) rail, much is abandoned. In November 2013 the government rail agency FENADESAL announced plans for development of four electrified railways serving San Salvador, Sitio del Niño (La Libertad), El Salvador International Airport, La Unión, and the Honduran frontier. The RN-21 (Bulevar Monseñor Romero) (East–West) is the very first freeway to be built in El Salvador and in Central America. The freeway passes the northern area of the city of Santa Tecla, La Libertad. It has a small portion serving Antiguo Cuscatlan, La Libertad, and merges with the RN-5 (Autopista Comalapa) (East–West, Boulevard de Los Proceres/Autopista del Aeropuerto) in San Salvador. The total length of the RN-21 is 9.95 kilometres (6.18 mi) and is currently working as a traffic reliever in the metropolitan area. The RN-21 was named in honor of Monseñor Romero. The first phase of the highway was completed in 2009, and the second phase in November 2012. none (1999 est.) 75 (2006 est.) 1 (2006 est.)
[ { "paragraph_id": 0, "text": "El Salvador has transport links by road, rail, sea and air.", "title": "" }, { "paragraph_id": 1, "text": "El Salvador has over 10,000 km of roads, and one passenger rail service. There are several seaports on the Pacific Ocean, and two international airports.", "title": "" }, { "paragraph_id": 2, "text": "A weekday passenger service links San Salvador and Apopa, a journey of 40 minutes. Of a total of 602 km narrow gauge (3 ft (914 mm)) rail, much is abandoned. In November 2013 the government rail agency FENADESAL announced plans for development of four electrified railways serving San Salvador, Sitio del Niño (La Libertad), El Salvador International Airport, La Unión, and the Honduran frontier.", "title": "Railways" }, { "paragraph_id": 3, "text": "The RN-21 (Bulevar Monseñor Romero) (East–West) is the very first freeway to be built in El Salvador and in Central America. The freeway passes the northern area of the city of Santa Tecla, La Libertad. It has a small portion serving Antiguo Cuscatlan, La Libertad, and merges with the RN-5 (Autopista Comalapa) (East–West, Boulevard de Los Proceres/Autopista del Aeropuerto) in San Salvador.", "title": "Highways" }, { "paragraph_id": 4, "text": "The total length of the RN-21 is 9.95 kilometres (6.18 mi) and is currently working as a traffic reliever in the metropolitan area. The RN-21 was named in honor of Monseñor Romero. The first phase of the highway was completed in 2009, and the second phase in November 2012.", "title": "Highways" }, { "paragraph_id": 5, "text": "none (1999 est.)", "title": "Merchant marine" }, { "paragraph_id": 6, "text": "75 (2006 est.)", "title": "Airports" }, { "paragraph_id": 7, "text": "1 (2006 est.)", "title": "Airports" } ]
El Salvador has transport links by road, rail, sea and air. El Salvador has over 10,000 km of roads, and one passenger rail service. There are several seaports on the Pacific Ocean, and two international airports.
2022-05-20T21:43:02Z
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https://en.wikipedia.org/wiki/Transport_in_El_Salvador
9,364
Armed Forces of El Salvador
The Armed Forces of El Salvador (Spanish: Fuerza Armada de 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. 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. 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. 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. 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. 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. 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. 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". 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' Atlácatl 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. 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 2021, the strength of the Salvadoran armed forces was estimated to be 24,500 active presonnel. 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. 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.
[ { "paragraph_id": 0, "text": "The Armed Forces of El Salvador (Spanish: Fuerza Armada de 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.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "History" }, { "paragraph_id": 2, "text": "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.", "title": "History" }, { "paragraph_id": 3, "text": "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.", "title": "History" }, { "paragraph_id": 4, "text": "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.", "title": "History" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "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.", "title": "History" }, { "paragraph_id": 7, "text": "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.", "title": "History" }, { "paragraph_id": 8, "text": "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.", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "History" }, { "paragraph_id": 10, "text": "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\".", "title": "History" }, { "paragraph_id": 11, "text": "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.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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\".", "title": "History" }, { "paragraph_id": 14, "text": "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.", "title": "History" }, { "paragraph_id": 15, "text": "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).", "title": "History" }, { "paragraph_id": 16, "text": "In late 1981, soldiers of the national armed forces' Atlácatl 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.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "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.", "title": "History" }, { "paragraph_id": 19, "text": "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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "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.", "title": "History" }, { "paragraph_id": 22, "text": "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.", "title": "History" }, { "paragraph_id": 23, "text": "In 2016, a new armed force was raised in El Salvador with the remit of stopping criminal gangs (especially MS-13) and narcotrafficking.", "title": "History" }, { "paragraph_id": 24, "text": "In 2021, the strength of the Salvadoran armed forces was estimated to be 24,500 active presonnel.", "title": "History" }, { "paragraph_id": 25, "text": "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.", "title": "Structure" }, { "paragraph_id": 26, "text": "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", "title": "Structure" }, { "paragraph_id": 27, "text": "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.", "title": "Structure" }, { "paragraph_id": 28, "text": "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.", "title": "Structure" }, { "paragraph_id": 29, "text": "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.", "title": "Medals" } ]
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.
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https://en.wikipedia.org/wiki/Armed_Forces_of_El_Salvador
9,365
Foreign relations of El Salvador
El Salvador is a member of the United Nations and several of its specialized agencies, the Organization of American States (OAS), the Central American Common Market (CACM), the Central American Parliament (PARLACEN), and the Central American Integration System (SICA). It actively participates in the Central American Security Commission (CASC), which seeks to promote regional arms control. In November, 1950 El Salvador helped 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 Communist China's People's Liberation Army's invasion of Tibet. El Salvador also 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. El Salvador has joined its six Central American neighbors in signing the Alliance for Sustainable Development, known as the Conjunta Centroamerica-USA or CONCAUSA to promote sustainable economic development in the region. List of countries with which El Salvador maintains diplomatic relations with:
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El Salvador is a member of the United Nations and several of its specialized agencies, the Organization of American States (OAS), the Central American Common Market (CACM), the Central American Parliament (PARLACEN), and the Central American Integration System (SICA). It actively participates in the Central American Security Commission (CASC), which seeks to promote regional arms control. In November, 1950 El Salvador helped 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 Communist China's People's Liberation Army's invasion of Tibet. El Salvador also 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. El Salvador has joined its six Central American neighbors in signing the Alliance for Sustainable Development, known as the Conjunta Centroamerica-USA or CONCAUSA to promote sustainable economic development in the region.
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https://en.wikipedia.org/wiki/Foreign_relations_of_El_Salvador
9,366
Equatorial Guinea
Equatorial Guinea (Spanish: Guinea Ecuatorial; French: Guinée équatoriale; Portuguese: Guiné Equatorial), officially the Republic of Equatorial Guinea (Spanish: República de Guinea Ecuatorial, French: République de Guinée équatoriale, Portuguese: República da Guiné Equatorial), is a country on the west coast of Central Africa, with an area of 28,000 square kilometres (11,000 sq mi). Formerly the colony of Spanish Guinea, its post-independence name refers to its location near both the Equator and in the African region of Guinea. As of 2021, the country had a population of 1,468,777, over 85% of whom are members of the Fang people, the country's dominant ethnic group. The Bubi people, indigenous to Bioko, are the second largest group at approximately 6.5% of the population. 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 7.9% of children dying before the age of five. As a former Spanish colony, the country maintains Spanish as its official language alongside French and (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 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." 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. 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. 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 formally took possession of Bioko from Portugal 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 it 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. 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. 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. 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. A group of 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. 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 Caudillo's 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 Movimiento de Unión Nacional de Guinea Ecuatorial [es] (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 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, East Germany 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. 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. 7.9% of 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. As of February 2016, Obiang is Africa's second-longest serving dictator after Cameroon's Paul Biya. Equatorial Guinea was elected as a non-permanent member of the United Nations Security Council 2018–19. 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. In November 2022 Obiang was re-elected in the 2022 Equatorial Guinean general election with 99.7% of the vote amid accusations of fraud by the opposition. 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 or 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. 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. In 2016 Obiang was reelected for an additional seven-year term, in an election which, according to Freedom House, was plagued by police violence, detentions and torture against opposition factions. Following the 2022 general elections, President Obiang's Democratic Party of Equatorial Guinea holds all 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. According to 2023 V-Dem Democracy indices Equatorial Guinea is 7th least democratic country in Africa. 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. 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 40 kilometers (25 mi) off the coast of Cameroon. Annobón Island is about 350 kilometers (220 mi) 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 155 km (96 mi) south of the equator. 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 16 °C (61 °F) to 33 °C (91 °F), though on the southern Moka Plateau normal high temperatures are only 21 °C (70 °F). In Río Muni, the average temperature is about 27 °C (81 °F). Annual rainfall varies from 1,930 mm (76 in) at Malabo to 10,920 mm (430 in) at Ureka, Bioko, but Río Muni is somewhat drier. 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. Equatorial Guinea is home to gorillas, chimpanzees, various monkeys, leopards, buffalo, antelope, elephants, hippopotamuses, crocodiles, and various snakes, including pythons. 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): The provinces are further divided into 19 districts and 37 municipalities. Before the nation's independence from Spain, 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. As of 2004, Equatorial Guinea is the third-largest oil producer in Sub-Saharan Africa. Its oil production has risen to 360,000 barrels per day (57,000 m/d), 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. However, despite its impressive GNI figure, Equatorial Guinea is plagued by extreme poverty brought about by wealth inequality. In 2022, the country's Gini coefficient was 58.8. The economy of Equatorial Guinea was expected to grow about 2.6% in 2021, a projection that was 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 per cent 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. As of 2023, the nation's GDP is expected to reach $11 billion. 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. 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. Since its independence in 1968, the main official language of Equatorial Guinea has been 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 a 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. 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%). Of the population, 2% follows Islam (mainly Sunni). The remaining 5% practise Animism, Baháʼí, and other beliefs, and traditional animist beliefs are often mixed with Catholicism. 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. Among sub-Saharan African countries, Equatorial Guinea has one of the highest literacy rates. According to The World Factbook - Central Intelligence Agency as of 2015, 95.3% of the population age 15 and over can read and write in Equatorial Guinea were respectively literate. 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. 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. 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. The principal means of communication within Equatorial Guinea are three state-operated FM radio stations. The 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. As of 2009, 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. There is little popular music coming out of Equatorial Guinea. Pan-African styles like soukous and makossa are popular, as are reggaeton, Latin trap, reggae and rock and roll. Acoustic guitar bands based on a Spanish model are the country's best-known indigenous popular tradition. 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. 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. This article incorporates public domain material from The World Factbook. CIA. 1°30′N 10°00′E / 1.500°N 10.000°E / 1.500; 10.000
[ { "paragraph_id": 0, "text": "Equatorial Guinea (Spanish: Guinea Ecuatorial; French: Guinée équatoriale; Portuguese: Guiné Equatorial), officially the Republic of Equatorial Guinea (Spanish: República de Guinea Ecuatorial, French: République de Guinée équatoriale, Portuguese: República da Guiné Equatorial), is a country on the west coast of Central Africa, with an area of 28,000 square kilometres (11,000 sq mi). Formerly the colony of Spanish Guinea, its post-independence name refers to its location near both the Equator and in the African region of Guinea. As of 2021, the country had a population of 1,468,777, over 85% of whom are members of the Fang people, the country's dominant ethnic group. The Bubi people, indigenous to Bioko, are the second largest group at approximately 6.5% of the population.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "" }, { "paragraph_id": 2, "text": "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.", "title": "" }, { "paragraph_id": 3, "text": "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 7.9% of children dying before the age of five.", "title": "" }, { "paragraph_id": 4, "text": "As a former Spanish colony, the country maintains Spanish as its official language alongside French and (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.", "title": "" }, { "paragraph_id": 5, "text": "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 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.\"", "title": "" }, { "paragraph_id": 6, "text": "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.", "title": "History" }, { "paragraph_id": 7, "text": "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.", "title": "History" }, { "paragraph_id": 8, "text": "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 formally took possession of Bioko from Portugal 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.", "title": "History" }, { "paragraph_id": 9, "text": "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 it 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.", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "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.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "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.", "title": "History" }, { "paragraph_id": 15, "text": "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.", "title": "History" }, { "paragraph_id": 16, "text": "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.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "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.", "title": "History" }, { "paragraph_id": 19, "text": "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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "The Spanish Civil War had a major impact on the colony. A group of 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.", "title": "History" }, { "paragraph_id": 22, "text": "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.", "title": "History" }, { "paragraph_id": 23, "text": "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.", "title": "History" }, { "paragraph_id": 24, "text": "This \"provincial\" phase saw the beginnings of nationalism, but chiefly among small groups who had taken refuge from the Caudillo's 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.", "title": "History" }, { "paragraph_id": 25, "text": "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 Movimiento de Unión Nacional de Guinea Ecuatorial [es] (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.", "title": "History" }, { "paragraph_id": 26, "text": "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.", "title": "History" }, { "paragraph_id": 27, "text": "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.", "title": "History" }, { "paragraph_id": 28, "text": "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, East Germany 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.", "title": "History" }, { "paragraph_id": 29, "text": "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.", "title": "History" }, { "paragraph_id": 30, "text": "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.", "title": "History" }, { "paragraph_id": 31, "text": "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.", "title": "History" }, { "paragraph_id": 32, "text": "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. 7.9% of 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.", "title": "History" }, { "paragraph_id": 33, "text": "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.", "title": "History" }, { "paragraph_id": 34, "text": "As of February 2016, Obiang is Africa's second-longest serving dictator after Cameroon's Paul Biya.", "title": "History" }, { "paragraph_id": 35, "text": "Equatorial Guinea was elected as a non-permanent member of the United Nations Security Council 2018–19.", "title": "History" }, { "paragraph_id": 36, "text": "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.", "title": "History" }, { "paragraph_id": 37, "text": "In November 2022 Obiang was re-elected in the 2022 Equatorial Guinean general election with 99.7% of the vote amid accusations of fraud by the opposition.", "title": "History" }, { "paragraph_id": 38, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 39, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 40, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 41, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 42, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 43, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 44, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 45, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 46, "text": "In November 2011, a new constitution was approved. The vote on the constitution was taken though neither the text or 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. 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.", "title": "Government and politics" }, { "paragraph_id": 47, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 48, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 49, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 50, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 51, "text": "In 2016 Obiang was reelected for an additional seven-year term, in an election which, according to Freedom House, was plagued by police violence, detentions and torture against opposition factions.", "title": "Government and politics" }, { "paragraph_id": 52, "text": "Following the 2022 general elections, President Obiang's Democratic Party of Equatorial Guinea holds all 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.", "title": "Government and politics" }, { "paragraph_id": 53, "text": "According to 2023 V-Dem Democracy indices Equatorial Guinea is 7th least democratic country in Africa.", "title": "Government and politics" }, { "paragraph_id": 54, "text": "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.", "title": "Government and politics" }, { "paragraph_id": 55, "text": "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 40 kilometers (25 mi) off the coast of Cameroon. Annobón Island is about 350 kilometers (220 mi) 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.", "title": "Geography" }, { "paragraph_id": 56, "text": "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 155 km (96 mi) south of the equator.", "title": "Geography" }, { "paragraph_id": 57, "text": "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 16 °C (61 °F) to 33 °C (91 °F), though on the southern Moka Plateau normal high temperatures are only 21 °C (70 °F). In Río Muni, the average temperature is about 27 °C (81 °F). Annual rainfall varies from 1,930 mm (76 in) at Malabo to 10,920 mm (430 in) at Ureka, Bioko, but Río Muni is somewhat drier.", "title": "Geography" }, { "paragraph_id": 58, "text": "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.", "title": "Geography" }, { "paragraph_id": 59, "text": "The country had a 2018 Forest Landscape Integrity Index mean score of 7.99/10, ranking it 30th globally out of 172 countries.", "title": "Geography" }, { "paragraph_id": 60, "text": "Equatorial Guinea is home to gorillas, chimpanzees, various monkeys, leopards, buffalo, antelope, elephants, hippopotamuses, crocodiles, and various snakes, including pythons.", "title": "Geography" }, { "paragraph_id": 61, "text": "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):", "title": "Geography" }, { "paragraph_id": 62, "text": "The provinces are further divided into 19 districts and 37 municipalities.", "title": "Geography" }, { "paragraph_id": 63, "text": "Before the nation's independence from Spain, 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.", "title": "Economy" }, { "paragraph_id": 64, "text": "The discovery of large oil reserves in 1996 and its subsequent exploitation contributed to a dramatic increase in government revenue. As of 2004, Equatorial Guinea is the third-largest oil producer in Sub-Saharan Africa. Its oil production has risen to 360,000 barrels per day (57,000 m/d), up from 220,000 only two years earlier. Oil companies operating in Equatorial Guinea include ExxonMobil, Marathon Oil, Kosmos Energy and Chevron.", "title": "Economy" }, { "paragraph_id": 65, "text": "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.", "title": "Economy" }, { "paragraph_id": 66, "text": "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.", "title": "Economy" }, { "paragraph_id": 67, "text": "From 2000 to 2010, Equatorial Guinea had the highest average annual increase in GDP (Gross Domestic Product), 17%.", "title": "Economy" }, { "paragraph_id": 68, "text": "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.", "title": "Economy" }, { "paragraph_id": 69, "text": "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. However, despite its impressive GNI figure, Equatorial Guinea is plagued by extreme poverty brought about by wealth inequality.", "title": "Economy" }, { "paragraph_id": 70, "text": "In 2022, the country's Gini coefficient was 58.8.", "title": "Economy" }, { "paragraph_id": 71, "text": "The economy of Equatorial Guinea was expected to grow about 2.6% in 2021, a projection that was 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%.", "title": "Economy" }, { "paragraph_id": 72, "text": "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 per cent 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.", "title": "Economy" }, { "paragraph_id": 73, "text": "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. As of 2023, the nation's GDP is expected to reach $11 billion.", "title": "Economy" }, { "paragraph_id": 74, "text": "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.", "title": "Transportation" }, { "paragraph_id": 75, "text": "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.", "title": "Transportation" }, { "paragraph_id": 76, "text": "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.", "title": "Demographics" }, { "paragraph_id": 77, "text": "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.", "title": "Demographics" }, { "paragraph_id": 78, "text": "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.", "title": "Demographics" }, { "paragraph_id": 79, "text": "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.", "title": "Demographics" }, { "paragraph_id": 80, "text": "Since its independence in 1968, the main official language of Equatorial Guinea has been 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.", "title": "Demographics" }, { "paragraph_id": 81, "text": "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.", "title": "Demographics" }, { "paragraph_id": 82, "text": "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 a 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.", "title": "Demographics" }, { "paragraph_id": 83, "text": "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.", "title": "Demographics" }, { "paragraph_id": 84, "text": "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.", "title": "Demographics" }, { "paragraph_id": 85, "text": "In February 2012, Equatorial Guinea's foreign minister signed an agreement with the IILP on the promotion of Portuguese in the country.", "title": "Demographics" }, { "paragraph_id": 86, "text": "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.", "title": "Demographics" }, { "paragraph_id": 87, "text": "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%). Of the population, 2% follows Islam (mainly Sunni). The remaining 5% practise Animism, Baháʼí, and other beliefs, and traditional animist beliefs are often mixed with Catholicism.", "title": "Demographics" }, { "paragraph_id": 88, "text": "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.", "title": "Demographics" }, { "paragraph_id": 89, "text": "In June 2014 four cases of polio were reported, the country's first outbreak of the disease.", "title": "Demographics" }, { "paragraph_id": 90, "text": "Among sub-Saharan African countries, Equatorial Guinea has one of the highest literacy rates. According to The World Factbook - Central Intelligence Agency as of 2015, 95.3% of the population age 15 and over can read and write in Equatorial Guinea were respectively literate. 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.", "title": "Demographics" }, { "paragraph_id": 91, "text": "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.", "title": "Demographics" }, { "paragraph_id": 92, "text": "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.", "title": "Demographics" }, { "paragraph_id": 93, "text": "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.", "title": "Culture" }, { "paragraph_id": 94, "text": "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.", "title": "Culture" }, { "paragraph_id": 95, "text": "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.", "title": "Culture" }, { "paragraph_id": 96, "text": "The principal means of communication within Equatorial Guinea are three state-operated FM radio stations. The 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.", "title": "Culture" }, { "paragraph_id": 97, "text": "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.", "title": "Culture" }, { "paragraph_id": 98, "text": "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. As of 2009, approximately 40% of the population subscribed to mobile telephone services. The only telephone provider in Equatorial Guinea is Orange.", "title": "Culture" }, { "paragraph_id": 99, "text": "There were more than 42,000 internet users by December 2011.", "title": "Culture" }, { "paragraph_id": 100, "text": "There is little popular music coming out of Equatorial Guinea. Pan-African styles like soukous and makossa are popular, as are reggaeton, Latin trap, reggae and rock and roll. Acoustic guitar bands based on a Spanish model are the country's best-known indigenous popular tradition.", "title": "Culture" }, { "paragraph_id": 101, "text": "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.", "title": "Culture" }, { "paragraph_id": 102, "text": "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.", "title": "Culture" }, { "paragraph_id": 103, "text": "In June 2016, Equatorial Guinea was chosen to host the 12th African Games in 2019.", "title": "Culture" }, { "paragraph_id": 104, "text": "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.", "title": "Culture" }, { "paragraph_id": 105, "text": "Basketball has been increasing in popularity.", "title": "Culture" }, { "paragraph_id": 106, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "Further reading" }, { "paragraph_id": 107, "text": "1°30′N 10°00′E / 1.500°N 10.000°E / 1.500; 10.000", "title": "External links" } ]
Equatorial Guinea, officially the Republic of Equatorial Guinea, is a country on the west coast of Central Africa, with an area of 28,000 square kilometres (11,000 sq mi). Formerly the colony of Spanish Guinea, its post-independence name refers to its location near both the Equator and in the African region of Guinea. As of 2021, the country had a population of 1,468,777, over 85% of whom are members of the Fang people, the country's dominant ethnic group. The Bubi people, indigenous to Bioko, are the second largest group at approximately 6.5% of the population. Equatorial Guinea consists of two parts, an insular and a mainland region. The insular region consists of the islands of Bioko 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 7.9% of children dying before the age of five. As a former Spanish colony, the country maintains Spanish as its official language alongside French and Portuguese, being the only African country where Spanish is an official language. It is also the most widely spoken language; 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 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."
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https://en.wikipedia.org/wiki/Equatorial_Guinea
9,367
History of Equatorial Guinea
The History of Equatorial Guinea is marked by centuries of colonial domination by the Portuguese, British and Spanish colonial empires, and by the local kingdoms. The first inhabitants of the region that is now Equatorial Guinea are believed to have been Pygmies, of whom only isolated pockets remain in northern Río Muni. Bantu migrations between the 17th and 19th centuries brought the coastal groups and later the Fang. Elements of the latter may have generated the Bubi, who emigrated to Bakugan from Cameroon and Río Muni in several waves and succeeded former Neolithic populations. The Igbo of Nigeria (mostly Aro) slave traders arrived and founded small settlements in Bioko and Rio Muni which expanded the Aro Confederacy in the 18th and 19th centuries. The Annobón population, originally from Angola, were brought by the Portuguese via São Tomé. The Portuguese explorer Fernão do Pó, seeking a path to India, is credited as being the first European to discover the island of Bioko in 1472. He called it Formosa ("Beautiful"), but it quickly took on the name of its European discoverer, usually found on maps Hispanized into "Fernando Po". The islands of Fernando Pó and Annobón were colonized by Portugal in 1474. In 1778, Queen Maria I of Portugal and King Charles III of Spain signed the Treaty of El Pardo which ceded the Bioko, adjacent islets, and commercial rights to the Bight of Biafra between the Niger and Ogoue rivers to Spain. Spain intended to start slave-trading operations on the mainland. Between 1778 and 1810, the territory of Equatorial Guinea was administered by the Viceroyalty of the Río de la Plata, based in Buenos Aires. From 1827 to 1843, the United Kingdom had a base on Bioko to suppress the transatlantic slave trade, which was then moved to Sierra Leone upon agreement with Spain in 1843. In 1844, on restoration of Spanish rule, it became known as the "Territorios Españoles del Golfo de Guinea". Spain had neglected to occupy the large area in the Bight of Biafra to which it had treaty rights, and the French had been expanding their occupation at the expense of the area claimed by Spain. The 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 claimed. At the beginning of the 20th century, the plantations of Fernando Po were largely in the hands of a black Creole elite, later known as Fernandinos. The British had settled some 2,000 Sierra Leoneans and freed slaves during their brief control of the island in the early 19th century, and a small trickle of immigration from West Africa and the West Indies continued after the departure of the British. To this core of settlers were added Cubans, Filipinos, Spaniards of various colours deported for political or other crimes, and some assisted settlers. There was also a trickle of immigration from the neighbouring 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 labour recruitment on the Windward coast continued, for they kept family and other connections there and could easily arrange labour supplies. During World War I, due to Spain's neutrality, Rio Muni and Fernando Po were host to large numbers of German troops and refugees who fled German Kamerun after the Entente conquered the colony. They were well-treated by the Spanish authorities, largely because the 180-man militia was not large enough to forcibly intern them. Most of the Cameroonian natives stayed in Muni, while the Germans moved to Fernando Po. From the opening years of the 20th century, the Fernandinos were put on the defensive by a new generation of Spanish immigrants. New land regulations in 1904-5 favoured Spaniards, and most of the big planters of later years arrived in the islands from Spain following these new regulations. The Liberian labour agreement of 1914 favoured wealthy men with ready access to the state, and the shift in labour supplies from Liberia to Rio Muni increased this advantage. In 1940, it was estimated that only 20 per cent of the colony's cocoa production remained in African hands, nearly all of it in the hands of Fernandinos. The greatest constraint to economic development was a chronic shortage of labour. The indigenous Bubi population of Bioko, pushed into the interior of the island and decimated by alcoholic addiction, venereal disease, smallpox and sleeping sickness, refused to work on plantations. Working their own small cocoa farms gave them a considerable degree of autonomy. Moreover, the Bubi were protected from the demands of the planters from the late 19th century by the Spanish Claretian missionaries, who were very influential in the colony and eventually organised the Bubi into small mission theocracies reminiscent of the famous Jesuit Reductions of Paraguay. Catholic penetration was furthered by two small insurrections protesting the conscription of forced labour for the plantations, in 1898 and 1910, which led to the Bubi being disarmed in 1917 and left them dependent on the missionaries. Towards the end of the 19th century Spanish, Portuguese, German and Fernandino planters started developing large cacao plantations. With the indigenous Bubi population decimated by disease and forced labour, the island's economy came to depend on imported agricultural contract workers. A Labour Treaty was signed with the Republic of Liberia in 1914, the transport of up to 15,000 workers was orchestrated by the German Woermann-Linie. The Liberian labour supply was cut off in 1930 after an International Labour Organization (ILO) commission discovered that contract workers had "been recruited under conditions of criminal compulsion scarcely distinguishable from slave raiding and slave trading". 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 made up of immigrant contract labourers from Liberia, Nigeria, and Cameroon. Military 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. However, Rio Muni had a small population, officially put at a little over 100,000 in the 1930s, and escape over the frontiers into Cameroon or Gabon was very easy. Moreover, the timber companies needed growing amounts of labour, and the spread of coffee cultivation offered an alternative means of paying taxes. Fernando Po thus continued to suffer from labour shortages. The French only briefly permitted recruitment in Cameroon, and the main source of labour came to be Igbo smuggled in canoes from Calabar and Oron, Nigeria. The persisting labour shortage in the cacao, coffee and logging industries was only overcome by the mushrooming illegal canoe-based smuggling of Igbo and Ibibio workers from the Eastern Provinces of Nigeria. The number of clandestine contract workers on the island of Fernando Po grew to 20,000 in 1942. A labour treaty was signed in the same year, and a continuous stream of workers arrived in Spanish Guinea. It was this treaty which really permitted Fernando Po to become one of Africa's most productive agricultural areas after the Second World War. By 1968 there were almost 100,000 Nigerians in Spanish Guinea. At the beginning of the Spanish Civil War the colony remained loyal to the Republican government. On July 24, 1936, the Republican cruiser Méndez Núñez arrived at Santa Isabel; on its way back to Spain the officers planned to join the rebellion, but the Spanish government, knowing this, ordered the ship to go back to the colony; on August 14 the Méndez Núñez was back in Fernando Po, where the sailors took control of her; on September 21 the ship arrived in Málaga (Republican Spain). On September 19 the Colonial Guard and the Civil Guard began the rebellion and took control of the island of Fernando Po, while the rest of the colony remained loyal to the Republic. On September 22 a clash took place between a rebel group from Kogo and a loyal detachment from Bata. Finally, on October 14 a force of 200 rebels arrived in the merchant Ciudad de Mahón and took control of Bata and the rest of the colony. The post-war political history of the colony can be divided into three fairly distinct phases: The first of these phases 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. The first local elections were held in 1959, and the first Equatoguinean representatives were seated in the Cortes Generales (Spanish parliament). Under the Basic Law of December 1963, limited autonomy was authorized under a joint legislative body for the territory's two provinces. A paradoxical effect of this autonomy was that Guineans could choose among several political parties while metropolitan Spaniards were under a single-party regime. The name of the country was changed to Equatorial Guinea. Although Spain's commissioner general had extensive powers, the Equatorial Guinean General Assembly had considerable initiative in formulating laws and regulations. Nationalism began to emerge during this "provincial" phase, chiefly among small groups who had taken refuge from General Franco's dictatorship in Cameroon and Gabon. They formed two bodies: the Movimiento Nacional de Liberación de la Guinea (MONALIGE), and the Idea Popular de Guinea Ecuatorial (IPGE). Their pressures were weak, but the general trend in West Africa was not. A decision of 9 August 1963, approved by a referendum of 15 December 1963, introduced the territory to a measure of autonomy and the administrative promotion of a 'moderate' grouping, the Movimiento de Unión Nacional de la Guinea Ecuatorial (MUNGE). This proved a feeble instrument, and, with growing pressure for change from the UN, Spain gave way to the currents of nationalism. Independence was conceded on 12 October 1968 and the Republic of Equatorial Guinea came into being with Francisco Macías Nguema elected as president. In March 1968, under pressure from Equatoguinean nationalists and the United Nations, Spain announced that it would grant independence to Equatorial Guinea. A constitutional convention produced an electoral law and draft constitution. In the presence of a UN observer team, a referendum was held on August 11, 1968, and 63% of the electorate voted in favour of the constitution, which provided for a government with a General Assembly and a Supreme Court with judges appointed by the president. In September 1968, Francisco Macías Nguema was elected first president of Equatorial Guinea, and independence was granted in October. At independence, Equatorial Guinea had one of the highest per capita incomes in Africa, although it was also very unevenly distributed as most of the money was in the hands of colonial and elite planters. In its final years of rule the Spanish colonial government achieved a relatively high literacy rate and developed a good network of health care facilities. However, at the time of independence, the number of African doctors and lawyers was in the single digits. In July 1970, Macias created a single-party state and by May 1971, key portions of the constitution were abrogated. In 1972 Macias took complete control of the government and assumed the title of President for Life. The Macias regime was characterized by human rights abuses, totalitarianism and the abandonment of all government functions except internal security, which was accomplished by terror; this led to the death or exile of up to one-third of the country's population. Due to pilferage, ignorance, and neglect, the country's infrastructure—electricity, water, road, transportation, and health—fell into ruin. The private and public sectors of the economy were devastated. Nigerian contract labourers on Bioko, estimated to have been 60,000, left en masse in early 1976. The economy collapsed, and skilled citizens and foreigners left. Religion was repressed, and education ceased. All schools were ordered closed in 1975, and the country's churches were also closed in 1978. Nguema introduced a campaign of 'authenticity', replacing colonial names with native ones: the capital Santa Isabel became Malabo, the main island of Fernando Po was renamed Masie Nguema Biyogo after himself, and Annobón became Pagalu. As part of the same process, Nguema also ordered the entire population to drop their European names and adopt African ones. His own name underwent several transformations, so that by the end of his rule he was known as Masie Nguema Biyogo Ñegue Ndong. Much of the population residing on the island of Bioko, consisting of Nigerian labourers and traders, were forced to evacuate. In August 1979 Macias' nephew from Mongomo and former director of the infamous Black Beach prison, Teodoro Obiang Nguema Mbasogo, led a successful coup d'état; Macias was arrested, tried, and executed. Obiang assumed the presidency in October 1979. The islands were renamed Bioko and Annobón. The new ruler faced the challenge of restoring order in a country that was in shambles—by the end of Masie Nguema's dictatorship, the state coffers were empty and the population had been reduced to only one-third of what it was at independence. Although President Obiang signed a national anti-torture decree in 2006 to ban 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, human rights abuses continue. Human Rights Watch, Amnesty International and other non-governmental organizations have documented severe human rights abuses in prisons, including torture, beatings, unexplained deaths and illegal detention. According to a March 2004 BBC profile, politics within the country are dominated by tensions between Obiang's son, Teodorin, and other close relatives with powerful positions in the security forces. The tension may be rooted in power shifts arising from the dramatic increase in oil production which has occurred since 1997. The unsuccessful "Wonga Coup" by European and South African mercenaries in 2004 attempted to replace Obiang with a puppet ruler who would open the country's mineral wealth to the plotters. Simon Mann, a former officer in the SAS, led the plot, which also included former members of the South African Army 32 Battalion. Financial backers included Sir Mark Thatcher, son of former Prime Minister Margaret Thatcher and possibly the novelist Jeffrey Archer. Somewhere between $3 million and $20 million was expended on the failed coup, which has been claimed by some to have had the tacit support of some Western governments and international corporations. In 2011 the government announced it was planning a new capital for the country, named Oyala.
[ { "paragraph_id": 0, "text": "The History of Equatorial Guinea is marked by centuries of colonial domination by the Portuguese, British and Spanish colonial empires, and by the local kingdoms.", "title": "" }, { "paragraph_id": 1, "text": "The first inhabitants of the region that is now Equatorial Guinea are believed to have been Pygmies, of whom only isolated pockets remain in northern Río Muni. Bantu migrations between the 17th and 19th centuries brought the coastal groups and later the Fang. Elements of the latter may have generated the Bubi, who emigrated to Bakugan from Cameroon and Río Muni in several waves and succeeded former Neolithic populations. The Igbo of Nigeria (mostly Aro) slave traders arrived and founded small settlements in Bioko and Rio Muni which expanded the Aro Confederacy in the 18th and 19th centuries. The Annobón population, originally from Angola, were brought by the Portuguese via São Tomé.", "title": "Pre-colonial history" }, { "paragraph_id": 2, "text": "The Portuguese explorer Fernão do Pó, seeking a path to India, is credited as being the first European to discover the island of Bioko in 1472. He called it Formosa (\"Beautiful\"), but it quickly took on the name of its European discoverer, usually found on maps Hispanized into \"Fernando Po\". The islands of Fernando Pó and Annobón were colonized by Portugal in 1474.", "title": "Colonial era" }, { "paragraph_id": 3, "text": "In 1778, Queen Maria I of Portugal and King Charles III of Spain signed the Treaty of El Pardo which ceded the Bioko, adjacent islets, and commercial rights to the Bight of Biafra between the Niger and Ogoue rivers to Spain. Spain intended to start slave-trading operations on the mainland. Between 1778 and 1810, the territory of Equatorial Guinea was administered by the Viceroyalty of the Río de la Plata, based in Buenos Aires.", "title": "Colonial era" }, { "paragraph_id": 4, "text": "From 1827 to 1843, the United Kingdom had a base on Bioko to suppress the transatlantic slave trade, which was then moved to Sierra Leone upon agreement with Spain in 1843. In 1844, on restoration of Spanish rule, it became known as the \"Territorios Españoles del Golfo de Guinea\". Spain had neglected to occupy the large area in the Bight of Biafra to which it had treaty rights, and the French had been expanding their occupation at the expense of the area claimed by Spain. The 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 claimed.", "title": "Colonial era" }, { "paragraph_id": 5, "text": "At the beginning of the 20th century, the plantations of Fernando Po were largely in the hands of a black Creole elite, later known as Fernandinos. The British had settled some 2,000 Sierra Leoneans and freed slaves during their brief control of the island in the early 19th century, and a small trickle of immigration from West Africa and the West Indies continued after the departure of the British. To this core of settlers were added Cubans, Filipinos, Spaniards of various colours deported for political or other crimes, and some assisted settlers. There was also a trickle of immigration from the neighbouring 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 labour recruitment on the Windward coast continued, for they kept family and other connections there and could easily arrange labour supplies.", "title": "Colonial era" }, { "paragraph_id": 6, "text": "During World War I, due to Spain's neutrality, Rio Muni and Fernando Po were host to large numbers of German troops and refugees who fled German Kamerun after the Entente conquered the colony. They were well-treated by the Spanish authorities, largely because the 180-man militia was not large enough to forcibly intern them. Most of the Cameroonian natives stayed in Muni, while the Germans moved to Fernando Po.", "title": "Colonial era" }, { "paragraph_id": 7, "text": "From the opening years of the 20th century, the Fernandinos were put on the defensive by a new generation of Spanish immigrants. New land regulations in 1904-5 favoured Spaniards, and most of the big planters of later years arrived in the islands from Spain following these new regulations. The Liberian labour agreement of 1914 favoured wealthy men with ready access to the state, and the shift in labour supplies from Liberia to Rio Muni increased this advantage. In 1940, it was estimated that only 20 per cent of the colony's cocoa production remained in African hands, nearly all of it in the hands of Fernandinos.", "title": "Colonial era" }, { "paragraph_id": 8, "text": "The greatest constraint to economic development was a chronic shortage of labour. The indigenous Bubi population of Bioko, pushed into the interior of the island and decimated by alcoholic addiction, venereal disease, smallpox and sleeping sickness, refused to work on plantations. Working their own small cocoa farms gave them a considerable degree of autonomy. Moreover, the Bubi were protected from the demands of the planters from the late 19th century by the Spanish Claretian missionaries, who were very influential in the colony and eventually organised the Bubi into small mission theocracies reminiscent of the famous Jesuit Reductions of Paraguay. Catholic penetration was furthered by two small insurrections protesting the conscription of forced labour for the plantations, in 1898 and 1910, which led to the Bubi being disarmed in 1917 and left them dependent on the missionaries.", "title": "Colonial era" }, { "paragraph_id": 9, "text": "Towards the end of the 19th century Spanish, Portuguese, German and Fernandino planters started developing large cacao plantations. With the indigenous Bubi population decimated by disease and forced labour, the island's economy came to depend on imported agricultural contract workers. A Labour Treaty was signed with the Republic of Liberia in 1914, the transport of up to 15,000 workers was orchestrated by the German Woermann-Linie. The Liberian labour supply was cut off in 1930 after an International Labour Organization (ILO) commission discovered that contract workers had \"been recruited under conditions of criminal compulsion scarcely distinguishable from slave raiding and slave trading\".", "title": "Colonial era" }, { "paragraph_id": 10, "text": "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 made up of immigrant contract labourers from Liberia, Nigeria, and Cameroon. Military 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. However, Rio Muni had a small population, officially put at a little over 100,000 in the 1930s, and escape over the frontiers into Cameroon or Gabon was very easy. Moreover, the timber companies needed growing amounts of labour, and the spread of coffee cultivation offered an alternative means of paying taxes. Fernando Po thus continued to suffer from labour shortages. The French only briefly permitted recruitment in Cameroon, and the main source of labour came to be Igbo smuggled in canoes from Calabar and Oron, Nigeria. The persisting labour shortage in the cacao, coffee and logging industries was only overcome by the mushrooming illegal canoe-based smuggling of Igbo and Ibibio workers from the Eastern Provinces of Nigeria. The number of clandestine contract workers on the island of Fernando Po grew to 20,000 in 1942. A labour treaty was signed in the same year, and a continuous stream of workers arrived in Spanish Guinea. It was this treaty which really permitted Fernando Po to become one of Africa's most productive agricultural areas after the Second World War. By 1968 there were almost 100,000 Nigerians in Spanish Guinea.", "title": "Colonial era" }, { "paragraph_id": 11, "text": "At the beginning of the Spanish Civil War the colony remained loyal to the Republican government. On July 24, 1936, the Republican cruiser Méndez Núñez arrived at Santa Isabel; on its way back to Spain the officers planned to join the rebellion, but the Spanish government, knowing this, ordered the ship to go back to the colony; on August 14 the Méndez Núñez was back in Fernando Po, where the sailors took control of her; on September 21 the ship arrived in Málaga (Republican Spain). On September 19 the Colonial Guard and the Civil Guard began the rebellion and took control of the island of Fernando Po, while the rest of the colony remained loyal to the Republic. On September 22 a clash took place between a rebel group from Kogo and a loyal detachment from Bata. Finally, on October 14 a force of 200 rebels arrived in the merchant Ciudad de Mahón and took control of Bata and the rest of the colony.", "title": "Colonial era" }, { "paragraph_id": 12, "text": "The post-war political history of the colony can be divided into three fairly distinct phases:", "title": "Colonial era" }, { "paragraph_id": 13, "text": "The first of these phases 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. The first local elections were held in 1959, and the first Equatoguinean representatives were seated in the Cortes Generales (Spanish parliament). Under the Basic Law of December 1963, limited autonomy was authorized under a joint legislative body for the territory's two provinces. A paradoxical effect of this autonomy was that Guineans could choose among several political parties while metropolitan Spaniards were under a single-party regime. The name of the country was changed to Equatorial Guinea. Although Spain's commissioner general had extensive powers, the Equatorial Guinean General Assembly had considerable initiative in formulating laws and regulations.", "title": "Colonial era" }, { "paragraph_id": 14, "text": "Nationalism began to emerge during this \"provincial\" phase, chiefly among small groups who had taken refuge from General Franco's dictatorship in Cameroon and Gabon. They formed two bodies: the Movimiento Nacional de Liberación de la Guinea (MONALIGE), and the Idea Popular de Guinea Ecuatorial (IPGE). Their pressures were weak, but the general trend in West Africa was not. A decision of 9 August 1963, approved by a referendum of 15 December 1963, introduced the territory to a measure of autonomy and the administrative promotion of a 'moderate' grouping, the Movimiento de Unión Nacional de la Guinea Ecuatorial (MUNGE). This proved a feeble instrument, and, with growing pressure for change from the UN, Spain gave way to the currents of nationalism. Independence was conceded on 12 October 1968 and the Republic of Equatorial Guinea came into being with Francisco Macías Nguema elected as president.", "title": "Colonial era" }, { "paragraph_id": 15, "text": "In March 1968, under pressure from Equatoguinean nationalists and the United Nations, Spain announced that it would grant independence to Equatorial Guinea. A constitutional convention produced an electoral law and draft constitution. In the presence of a UN observer team, a referendum was held on August 11, 1968, and 63% of the electorate voted in favour of the constitution, which provided for a government with a General Assembly and a Supreme Court with judges appointed by the president.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 16, "text": "In September 1968, Francisco Macías Nguema was elected first president of Equatorial Guinea, and independence was granted in October.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 17, "text": "At independence, Equatorial Guinea had one of the highest per capita incomes in Africa, although it was also very unevenly distributed as most of the money was in the hands of colonial and elite planters. In its final years of rule the Spanish colonial government achieved a relatively high literacy rate and developed a good network of health care facilities. However, at the time of independence, the number of African doctors and lawyers was in the single digits.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 18, "text": "In July 1970, Macias created a single-party state and by May 1971, key portions of the constitution were abrogated. In 1972 Macias took complete control of the government and assumed the title of President for Life. The Macias regime was characterized by human rights abuses, totalitarianism and the abandonment of all government functions except internal security, which was accomplished by terror; this led to the death or exile of up to one-third of the country's population. Due to pilferage, ignorance, and neglect, the country's infrastructure—electricity, water, road, transportation, and health—fell into ruin. The private and public sectors of the economy were devastated. Nigerian contract labourers on Bioko, estimated to have been 60,000, left en masse in early 1976. The economy collapsed, and skilled citizens and foreigners left.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 19, "text": "Religion was repressed, and education ceased. All schools were ordered closed in 1975, and the country's churches were also closed in 1978. Nguema introduced a campaign of 'authenticity', replacing colonial names with native ones: the capital Santa Isabel became Malabo, the main island of Fernando Po was renamed Masie Nguema Biyogo after himself, and Annobón became Pagalu. As part of the same process, Nguema also ordered the entire population to drop their European names and adopt African ones. His own name underwent several transformations, so that by the end of his rule he was known as Masie Nguema Biyogo Ñegue Ndong. Much of the population residing on the island of Bioko, consisting of Nigerian labourers and traders, were forced to evacuate.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 20, "text": "In August 1979 Macias' nephew from Mongomo and former director of the infamous Black Beach prison, Teodoro Obiang Nguema Mbasogo, led a successful coup d'état; Macias was arrested, tried, and executed. Obiang assumed the presidency in October 1979. The islands were renamed Bioko and Annobón. The new ruler faced the challenge of restoring order in a country that was in shambles—by the end of Masie Nguema's dictatorship, the state coffers were empty and the population had been reduced to only one-third of what it was at independence.", "title": "Independence and Macias government (1968-1979)" }, { "paragraph_id": 21, "text": "Although President Obiang signed a national anti-torture decree in 2006 to ban 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, human rights abuses continue. Human Rights Watch, Amnesty International and other non-governmental organizations have documented severe human rights abuses in prisons, including torture, beatings, unexplained deaths and illegal detention.", "title": "Obiang government (1979-present)" }, { "paragraph_id": 22, "text": "According to a March 2004 BBC profile, politics within the country are dominated by tensions between Obiang's son, Teodorin, and other close relatives with powerful positions in the security forces. The tension may be rooted in power shifts arising from the dramatic increase in oil production which has occurred since 1997.", "title": "Obiang government (1979-present)" }, { "paragraph_id": 23, "text": "The unsuccessful \"Wonga Coup\" by European and South African mercenaries in 2004 attempted to replace Obiang with a puppet ruler who would open the country's mineral wealth to the plotters. Simon Mann, a former officer in the SAS, led the plot, which also included former members of the South African Army 32 Battalion. Financial backers included Sir Mark Thatcher, son of former Prime Minister Margaret Thatcher and possibly the novelist Jeffrey Archer. Somewhere between $3 million and $20 million was expended on the failed coup, which has been claimed by some to have had the tacit support of some Western governments and international corporations.", "title": "Obiang government (1979-present)" }, { "paragraph_id": 24, "text": "In 2011 the government announced it was planning a new capital for the country, named Oyala.", "title": "Obiang government (1979-present)" } ]
The History of Equatorial Guinea is marked by centuries of colonial domination by the Portuguese, British and Spanish colonial empires, and by the local kingdoms.
2002-02-25T15:51:15Z
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https://en.wikipedia.org/wiki/History_of_Equatorial_Guinea
9,368
Geography of Equatorial Guinea
The Republic of Equatorial Guinea is located in west central Africa. Bioko Island lies about 40 kilometers (24.9 mi) from Cameroon. Annobón Island lies about 595 kilometres (370 mi) southwest of Bioko Island. The larger continental region of Río Muni lies between Cameroon and Gabon on the mainland; it includes the islands of Corisco, Elobey Grande, Elobey Chico, and adjacent islets. The total land area is 28,051 km (10,831 sq mi). It has an Exclusive Economic Zone of 303,509 km (117,185 sq mi). Bioko Island, called Fernando Po until the 1970s, is the largest island in the Gulf of Guinea - 2,017 square kilometers (779 sq mi). It is shaped like a boot, with two large volcanic formations separated by a valley that bisects the island at its narrowest point. The 195-kilometer (121 mi) coastline is steep and rugged in the south but lower and more accessible in the north, with excellent harbors at Malabo and Luba, and several scenic beaches between those towns. On the continent, Río Muni covers 26,003 square kilometers (10,040 sq mi). The coastal plain gives way to a succession of valleys separated by low hills and spurs of the Crystal Mountains. The Rio Benito (Mbini) which divides Río Muni in half, is unnavigable except for a 20-kilometer stretch at its estuary. Temperatures and humidity in Río Muni are generally lower than on Bioko Island. Annobon Island, named for its discovery on New Year's Day 1472, is a small volcanic island covering 18 square kilometers (6.9 sq mi). The coastline is abrupt except in the north; the principal volcanic cone contains a small lake. Most of the estimated 1,900 inhabitants are fisherman specializing in traditional, smallscale tuna fishing and whaling. The climate is tropical—heavy rainfall, high humidity, and frequent seasonal changes with violent windstorms. Location: Central Africa, bordering the Bight of Biafra, between Cameroon and Gabon. Equatorial Guinea's land boundaries total 539 km. It borders Cameroon (189 km) in the north and Gabon (350 km) in the east and south. Maritime claims: territorial sea: 12 nmi (22.2 km; 13.8 mi) Exclusive economic zone: 303,509 km (117,185 sq mi) with 200 nmi (370.4 km; 230.2 mi) The climate of both the continental region and the islands is typically equatorial, with high temperatures, heavy rainfall, and much cloud cover most of the year. Local variations are due to differences in altitude and proximity to the sea. The wet seasons in the continental region are from February to June and from September to December. Rainfall is higher on the coast than inland. In Bata the rainiest months are September, October, and November, with rainfall averaging more than 94 in (2,388 mm) a year. At Calatrava, farther south on the coast, it sometimes reaches 180 in (4,572 mm). Inland, however, rainfall diminishes; Mikomeseng, for example, receives only about 58 in (1,473 mm). The average annual temperature is about 79 °F (26.1 °C) and is fairly constant throughout the year. The temperature maxima are somewhat lower than in Bioko. The relative humidity, however, is higher than in Bioko. Bioko has a rather debilitating climate. The so-called dry season lasts from November to March, and the rest of the year is rainy. The average annual temperature of about 77 °F (25 °C) varies little throughout the year. Afternoon temperatures reach the high 80s °F (low 30s °C) and drop to only about 70 °F (21.1 °C) at night. Most of the time the sky is cloudy and overcast. Extreme rainfall occurs in the south, with rain brought by monsoon winds amounting to about 450 in (11,430 mm) a year around San Antonio de Ureca. Coastal plains rise to interior hills; islands are volcanic. Total renewable water resources: 26 km (2011) Natural hazards: violent windstorms, flash floods Environment - current issues: tap water is not potable; deforestation Environment - international agreements: party to: Biodiversity, Desertification, Endangered Species, Hazardous Wastes, Law of the Sea, Marine Dumping, Ozone Layer Protection, Ship Pollution, Wetlands Geography - note: insular and continental regions rather widely separated This is a list of the extreme points of Equatorial Guinea, the points that are farther north, south, east or west than any other location. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "The Republic of Equatorial Guinea is located in west central Africa. Bioko Island lies about 40 kilometers (24.9 mi) from Cameroon. Annobón Island lies about 595 kilometres (370 mi) southwest of Bioko Island. The larger continental region of Río Muni lies between Cameroon and Gabon on the mainland; it includes the islands of Corisco, Elobey Grande, Elobey Chico, and adjacent islets. The total land area is 28,051 km (10,831 sq mi). It has an Exclusive Economic Zone of 303,509 km (117,185 sq mi).", "title": "" }, { "paragraph_id": 1, "text": "Bioko Island, called Fernando Po until the 1970s, is the largest island in the Gulf of Guinea - 2,017 square kilometers (779 sq mi). It is shaped like a boot, with two large volcanic formations separated by a valley that bisects the island at its narrowest point. The 195-kilometer (121 mi) coastline is steep and rugged in the south but lower and more accessible in the north, with excellent harbors at Malabo and Luba, and several scenic beaches between those towns.", "title": "" }, { "paragraph_id": 2, "text": "On the continent, Río Muni covers 26,003 square kilometers (10,040 sq mi). The coastal plain gives way to a succession of valleys separated by low hills and spurs of the Crystal Mountains. The Rio Benito (Mbini) which divides Río Muni in half, is unnavigable except for a 20-kilometer stretch at its estuary. Temperatures and humidity in Río Muni are generally lower than on Bioko Island.", "title": "" }, { "paragraph_id": 3, "text": "Annobon Island, named for its discovery on New Year's Day 1472, is a small volcanic island covering 18 square kilometers (6.9 sq mi). The coastline is abrupt except in the north; the principal volcanic cone contains a small lake. Most of the estimated 1,900 inhabitants are fisherman specializing in traditional, smallscale tuna fishing and whaling. The climate is tropical—heavy rainfall, high humidity, and frequent seasonal changes with violent windstorms.", "title": "" }, { "paragraph_id": 4, "text": "Location: Central Africa, bordering the Bight of Biafra, between Cameroon and Gabon.", "title": "" }, { "paragraph_id": 5, "text": "Equatorial Guinea's land boundaries total 539 km. It borders Cameroon (189 km) in the north and Gabon (350 km) in the east and south.", "title": "Boundaries" }, { "paragraph_id": 6, "text": "Maritime claims: territorial sea: 12 nmi (22.2 km; 13.8 mi)", "title": "Boundaries" }, { "paragraph_id": 7, "text": "Exclusive economic zone: 303,509 km (117,185 sq mi) with 200 nmi (370.4 km; 230.2 mi)", "title": "Boundaries" }, { "paragraph_id": 8, "text": "The climate of both the continental region and the islands is typically equatorial, with high temperatures, heavy rainfall, and much cloud cover most of the year. Local variations are due to differences in altitude and proximity to the sea. The wet seasons in the continental region are from February to June and from September to December. Rainfall is higher on the coast than inland. In Bata the rainiest months are September, October, and November, with rainfall averaging more than 94 in (2,388 mm) a year. At Calatrava, farther south on the coast, it sometimes reaches 180 in (4,572 mm). Inland, however, rainfall diminishes; Mikomeseng, for example, receives only about 58 in (1,473 mm). The average annual temperature is about 79 °F (26.1 °C) and is fairly constant throughout the year. The temperature maxima are somewhat lower than in Bioko. The relative humidity, however, is higher than in Bioko. Bioko has a rather debilitating climate. The so-called dry season lasts from November to March, and the rest of the year is rainy. The average annual temperature of about 77 °F (25 °C) varies little throughout the year. Afternoon temperatures reach the high 80s °F (low 30s °C) and drop to only about 70 °F (21.1 °C) at night. Most of the time the sky is cloudy and overcast. Extreme rainfall occurs in the south, with rain brought by monsoon winds amounting to about 450 in (11,430 mm) a year around San Antonio de Ureca.", "title": "Climate" }, { "paragraph_id": 9, "text": "", "title": "Climate" }, { "paragraph_id": 10, "text": "Coastal plains rise to interior hills; islands are volcanic.", "title": "Terrain" }, { "paragraph_id": 11, "text": "Total renewable water resources: 26 km (2011)", "title": "Terrain" }, { "paragraph_id": 12, "text": "Natural hazards: violent windstorms, flash floods", "title": "Terrain" }, { "paragraph_id": 13, "text": "Environment - current issues: tap water is not potable; deforestation", "title": "Terrain" }, { "paragraph_id": 14, "text": "Environment - international agreements: party to: Biodiversity, Desertification, Endangered Species, Hazardous Wastes, Law of the Sea, Marine Dumping, Ozone Layer Protection, Ship Pollution, Wetlands", "title": "Terrain" }, { "paragraph_id": 15, "text": "Geography - note: insular and continental regions rather widely separated", "title": "Terrain" }, { "paragraph_id": 16, "text": "This is a list of the extreme points of Equatorial Guinea, the points that are farther north, south, east or west than any other location.", "title": "Extreme points" }, { "paragraph_id": 17, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "References" } ]
The Republic of Equatorial Guinea is located in west central Africa. Bioko Island lies about 40 kilometers (24.9 mi) from Cameroon. Annobón Island lies about 595 kilometres (370 mi) southwest of Bioko Island. The larger continental region of Río Muni lies between Cameroon and Gabon on the mainland; it includes the islands of Corisco, Elobey Grande, Elobey Chico, and adjacent islets. The total land area is 28,051 km2 (10,831 sq mi). It has an Exclusive Economic Zone of 303,509 km2 (117,185 sq mi). Bioko Island, called Fernando Po until the 1970s, is the largest island in the Gulf of Guinea - 2,017 square kilometers (779 sq mi). It is shaped like a boot, with two large volcanic formations separated by a valley that bisects the island at its narrowest point. The 195-kilometer (121 mi) coastline is steep and rugged in the south but lower and more accessible in the north, with excellent harbors at Malabo and Luba, and several scenic beaches between those towns. On the continent, Río Muni covers 26,003 square kilometers (10,040 sq mi). The coastal plain gives way to a succession of valleys separated by low hills and spurs of the Crystal Mountains. The Rio Benito (Mbini) which divides Río Muni in half, is unnavigable except for a 20-kilometer stretch at its estuary. Temperatures and humidity in Río Muni are generally lower than on Bioko Island. Annobon Island, named for its discovery on New Year's Day 1472, is a small volcanic island covering 18 square kilometers (6.9 sq mi). The coastline is abrupt except in the north; the principal volcanic cone contains a small lake. Most of the estimated 1,900 inhabitants are fisherman specializing in traditional, smallscale tuna fishing and whaling. The climate is tropical—heavy rainfall, high humidity, and frequent seasonal changes with violent windstorms. Location: Central Africa, bordering the Bight of Biafra, between Cameroon and Gabon.
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https://en.wikipedia.org/wiki/Geography_of_Equatorial_Guinea
9,369
Demographics of Equatorial Guinea
Demographic features of the population of Equatorial Guinea include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population. According to the 2022 revision of the world factbook the total population was 1,679,172 in 2022. The proportion of children below the age of 14 in 2020 was 38.73%, 57.35% was between 15 and 65 years of age, while 3.92% was 65 years or older. Population Estimates by Sex and Age Group (01.VII.2020) (Estimates or projections based on the 2015 population census.): Registration of vital events is in Equatorial Guinea not complete. The Population Department of the United Nations prepared the following estimates. Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR): Fertility data as of 2011 (DHS Program): The majority of the people of Equatorial Guinea are of Niger-Congo origin. The largest ethnic group, the Fang, are indigenous to the mainland, but substantial migration to Bioko Island has resulted in Fang dominance over the earlier Bubi inhabitants. The Fang constitute 80% of the population and are themselves divided into 67 clans. Those in the northern part of Rio Muni speak Fang-Ntumu, while those in the south speak Fang-Okah; the two dialects are mutually unintelligible. The Bubi, who constitute 15% of the population, are indigenous to Bioko Island. In addition, there are coastal ethnic groups, collectively referred to as Ndowe or Playeros ("Beach People" in Spanish): Combes, Bujebas, Balengues and Bengas on the mainland and small islands and a Fernandino community of Krio descended people on Bioko. Together, these groups compose 5% of the population. Two small groups of Pygmies also inhabit the country, the Beyele and the Bokuign, the former being located in the Altos de Nsork region. Their population is dwindling, them being subjected to heavy pressure from their neighbours, who don't even consider them as human. 8,800 black and white mixed race people, named Fernandino peoples, also live in Equatorial Guinea. The Asian Africans, the Fernandino peoples and the White Africans represent 10% of the total population of Equatorial Guinea. Some Europeans (largely of Spanish or Portuguese descent) – among them mixed with African ethnicity – also live in the nation. Most Spaniards left after independence. There is a growing number of foreigners from neighboring Cameroon, Nigeria, and Gabon. Equatorial Guinea received Asians and black Africans from other countries as workers on cocoa and coffee plantations. In the late 20th century, Equatorial Guinea became home to more than 80,000 Hispanics from Mexico, Central America, and other Spanish speaking nations in the Americas. 17,000 Spanish people and 5,000 Chinese people also live in Equatorial Guinea. The non-Africans living in Equatorial Guinea represent almost 10% of the nation's total population. Other black Africans came from Liberia, Angola, and Mozambique, and Asians are mostly Chinese with small numbers of Indians. Equatorial Guinea also allowed many fortune-seeking European settlers of other nationalities, including British, French and Germans. After independence, thousands of Equatorial Guineans went to Spain. Another 100,000 Equatorial Guineans went to Cameroon, Gabon, and Nigeria because of dictatorship of Francisco Macías Nguema. Some of its communities also live in Brazil, United States, Spain, Colombia, Mexico, Argentina, Peru, Portugal, and France. Spanish, French and Portuguese are the official languages and spoken as second languages. Spanish is the language of education, and for this reason a majority of the population (about 88%) can speak it, though only about 10–15% have a high competence in the language. Annobonese speak a Portuguese Creole, named Annobonese, as their first language. Asian migrants and descendants of European settlers (mostly Spaniards, Britons and Portuguese) usually speak their ancestral languages along with Spanish. Other Africans usually speak their native languages and their nation's official languages – English and Igbo for Nigerians; English for Cameroonians and Liberians; French for Cameroonians and Gabonese; and Portuguese for Angolans and Mozambicans. The latter was made an official language since July 13, 2007. 82% of first foreign language learners choose the French language and 18% the English language. The Roman Catholic Church has greatly influenced both religion and education. Equatoguineans tend to have both a Spanish first name and an African first and last name. When written, the Spanish and African first names are followed by the father's first name (which becomes the principal surname) and the mother's first name. Thus people may have up to four names, with a different surname for each generation. Demographic statistics according to the World Population Review in 2022. The following demographic statistics are from the CIA World Factbook. Spanish (official) 67.6%, other (includes Fang, Bubi, Portuguese (official), French (official), Portuguese-based Creoles spoken in Ano Bom) 32.4% (1994 est.) Roman Catholic 80%, Protestant 5%, Muslim 2%, other 5% (animist, Baha'i, Jewish) (2010 est.) at birth: 1.03 male(s)/female under 15 years: 1.03 male(s)/female 15–64 years: 0.93 male(s)/female 65 years and over: 0.7 male(s)/female total population: 1 male(s)/female (2020 est.) definition: age 15 and over can read and write (2015 est.) This article incorporates public domain material from The World Factbook (2023 ed.). CIA. (Archived 2006 edition)
[ { "paragraph_id": 0, "text": "Demographic features of the population of Equatorial Guinea include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.", "title": "" }, { "paragraph_id": 1, "text": "According to the 2022 revision of the world factbook the total population was 1,679,172 in 2022. The proportion of children below the age of 14 in 2020 was 38.73%, 57.35% was between 15 and 65 years of age, while 3.92% was 65 years or older.", "title": "Population" }, { "paragraph_id": 2, "text": "Population Estimates by Sex and Age Group (01.VII.2020) (Estimates or projections based on the 2015 population census.):", "title": "Population" }, { "paragraph_id": 3, "text": "Registration of vital events is in Equatorial Guinea not complete. The Population Department of the United Nations prepared the following estimates.", "title": "Vital statistics" }, { "paragraph_id": 4, "text": "Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR):", "title": "Vital statistics" }, { "paragraph_id": 5, "text": "Fertility data as of 2011 (DHS Program):", "title": "Vital statistics" }, { "paragraph_id": 6, "text": "The majority of the people of Equatorial Guinea are of Niger-Congo origin. The largest ethnic group, the Fang, are indigenous to the mainland, but substantial migration to Bioko Island has resulted in Fang dominance over the earlier Bubi inhabitants. The Fang constitute 80% of the population and are themselves divided into 67 clans. Those in the northern part of Rio Muni speak Fang-Ntumu, while those in the south speak Fang-Okah; the two dialects are mutually unintelligible. The Bubi, who constitute 15% of the population, are indigenous to Bioko Island.", "title": "Ethnic groups" }, { "paragraph_id": 7, "text": "In addition, there are coastal ethnic groups, collectively referred to as Ndowe or Playeros (\"Beach People\" in Spanish): Combes, Bujebas, Balengues and Bengas on the mainland and small islands and a Fernandino community of Krio descended people on Bioko. Together, these groups compose 5% of the population.", "title": "Ethnic groups" }, { "paragraph_id": 8, "text": "Two small groups of Pygmies also inhabit the country, the Beyele and the Bokuign, the former being located in the Altos de Nsork region. Their population is dwindling, them being subjected to heavy pressure from their neighbours, who don't even consider them as human.", "title": "Ethnic groups" }, { "paragraph_id": 9, "text": "8,800 black and white mixed race people, named Fernandino peoples, also live in Equatorial Guinea. The Asian Africans, the Fernandino peoples and the White Africans represent 10% of the total population of Equatorial Guinea.", "title": "Ethnic groups" }, { "paragraph_id": 10, "text": "Some Europeans (largely of Spanish or Portuguese descent) – among them mixed with African ethnicity – also live in the nation. Most Spaniards left after independence. There is a growing number of foreigners from neighboring Cameroon, Nigeria, and Gabon. Equatorial Guinea received Asians and black Africans from other countries as workers on cocoa and coffee plantations. In the late 20th century, Equatorial Guinea became home to more than 80,000 Hispanics from Mexico, Central America, and other Spanish speaking nations in the Americas. 17,000 Spanish people and 5,000 Chinese people also live in Equatorial Guinea. The non-Africans living in Equatorial Guinea represent almost 10% of the nation's total population. Other black Africans came from Liberia, Angola, and Mozambique, and Asians are mostly Chinese with small numbers of Indians. Equatorial Guinea also allowed many fortune-seeking European settlers of other nationalities, including British, French and Germans. After independence, thousands of Equatorial Guineans went to Spain. Another 100,000 Equatorial Guineans went to Cameroon, Gabon, and Nigeria because of dictatorship of Francisco Macías Nguema. Some of its communities also live in Brazil, United States, Spain, Colombia, Mexico, Argentina, Peru, Portugal, and France.", "title": "Ethnic groups" }, { "paragraph_id": 11, "text": "Spanish, French and Portuguese are the official languages and spoken as second languages. Spanish is the language of education, and for this reason a majority of the population (about 88%) can speak it, though only about 10–15% have a high competence in the language. Annobonese speak a Portuguese Creole, named Annobonese, as their first language. Asian migrants and descendants of European settlers (mostly Spaniards, Britons and Portuguese) usually speak their ancestral languages along with Spanish. Other Africans usually speak their native languages and their nation's official languages – English and Igbo for Nigerians; English for Cameroonians and Liberians; French for Cameroonians and Gabonese; and Portuguese for Angolans and Mozambicans. The latter was made an official language since July 13, 2007. 82% of first foreign language learners choose the French language and 18% the English language. The Roman Catholic Church has greatly influenced both religion and education.", "title": "Languages" }, { "paragraph_id": 12, "text": "Equatoguineans tend to have both a Spanish first name and an African first and last name. When written, the Spanish and African first names are followed by the father's first name (which becomes the principal surname) and the mother's first name. Thus people may have up to four names, with a different surname for each generation.", "title": "Languages" }, { "paragraph_id": 13, "text": "Demographic statistics according to the World Population Review in 2022.", "title": "Other demographic statistics" }, { "paragraph_id": 14, "text": "The following demographic statistics are from the CIA World Factbook.", "title": "Other demographic statistics" }, { "paragraph_id": 15, "text": "Spanish (official) 67.6%, other (includes Fang, Bubi, Portuguese (official), French (official), Portuguese-based Creoles spoken in Ano Bom) 32.4% (1994 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 16, "text": "Roman Catholic 80%, Protestant 5%, Muslim 2%, other 5% (animist, Baha'i, Jewish) (2010 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 17, "text": "at birth: 1.03 male(s)/female under 15 years: 1.03 male(s)/female 15–64 years: 0.93 male(s)/female 65 years and over: 0.7 male(s)/female total population: 1 male(s)/female (2020 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 18, "text": "definition: age 15 and over can read and write (2015 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 19, "text": "This article incorporates public domain material from The World Factbook (2023 ed.). CIA. (Archived 2006 edition)", "title": "References" } ]
Demographic features of the population of Equatorial Guinea include population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.
2001-04-29T05:17:42Z
2023-08-11T13:17:00Z
[ "Template:PD-notice", "Template:CIA World Factbook", "Template:Ethnic groups in Equatorial Guinea", "Template:Short description", "Template:Cite web", "Template:Equatorial Guinea topics", "Template:Africa in topic", "Template:See also", "Template:Reflist", "Template:Commons category", "Template:Increase", "Template:Bar box", "Template:Citation", "Template:Infobox place demographics", "Template:Cite book" ]
https://en.wikipedia.org/wiki/Demographics_of_Equatorial_Guinea
9,370
Politics of Equatorial Guinea
The politics of Equatorial Guinea take place in a framework of a presidential republic, whereby the President is both the head of state and head of government. Executive power is exercised by the government. Legislative power is vested in both the government and the Chamber of People's Representatives A great deal of political party activity ensued when Equatorial Guinea attained autonomy from Spain in 1963. Bubi and Fernandino parties on the island preferred separation from Río Muni or a loose federation. Ethnically-based parties in Río Muni favored independence for a united country comprising Bioko and Río Muni, an approach that was adopted. The Movement for the Self-Determination of Bioko Island (MAIB), which advocates independence for the island under Bubi control, is one of the offshoots of the era immediately preceding independence. Equatorial Guinea became independent from Spain on October 12, 1968. Since then, the country has had two presidents: Francisco Macías Nguema, who had been the mayor of Mongomo under the Spanish colonial government, and Teodoro Obiang Nguema Mbasogo Macías's nephew, who has ruled since 1979, when he staged a military coup d'état and executed his uncle. When Macías came to power, political activity largely ceased. Opposition figures among the exile communities in Spain and elsewhere agitated for reforms; some of them had been employed in the Macías and Obiang governments. After political activities in Equatorial Guinea were legalized in the early 1990s, some opposition leaders returned to test the waters, but repressive actions have continued sporadically. The 1982 Constitution gives Obiang extensive powers, including the right to name, and dismiss, members of the cabinet. The 1982 constitution also give him the power to make laws by decree, dissolve the Chamber of Representatives, negotiate and ratify international treaties, and calling legislative elections. Obiang retained his role as commander-in-chief of the armed forces and minister of defense when he became president and he maintains close supervision of military activity. The Prime Minister is appointed by the President and operates under powers designated by the president. The prime minister coordinates government activities in areas other than foreign affairs, national defense and security. With the prodding of the United Nations, the United States, Spain, and other donor countries, the government undertook an electoral census in 1995 and held freely contested municipal elections, the country's first, in September. Most observers agree that these elections were relatively free and transparent and also that the opposition parties garnered between 2/3 and 3/4 of the total vote. The government delayed announcing the results, then claimed a highly dubious overall 52% victory, and capture of 19 of the 27 municipal councils. The council of Malabo, the capital, went to the opposition however. In early January 1996 Obiang called presidential elections, to be held in six weeks. The campaign was marred by allegations of fraud, and most of the other candidates withdrew in the final week. Obiang claimed re-election with 98% of the vote. International observers agreed the election was neither free nor fair. In an attempt to mollify his critics, Obiang announced a new cabinet, giving minor portfolios to some people identified by the government as opposition figures. Since President Obiang has been constrained only by a need to maintain a consensus among his advisers and political supporters in the Democratic Party of Equatorial Guinea, most of whom are drawn from the Nguema family in Mongomo, part of the Esangu subclan of the Fang in the eastern part of Río Muni. Alleged coup attempts in 1981 and 1983 raised little sympathy among the populace. Under Obiang, schools reopened and primary education expanded, public utilities and roads were restored, a favorable contrast with Macías' tyranny and terror, but his administration has been criticized for not implementing genuine democratic reforms. Corruption and a dysfunctional judicial system disrupt development of Equatorial Guinea's economy and society. In March 2001 the President appointed a new Prime Minister, Cándido Muatetema Rivas, and replaced several ministers perceived to be especially corrupt. However, the government budget still does not include all revenues and expenditures. The United Nations Development Programme has proposed a broad governance reform program, but the Equatorial Guinean Government has not moved very rapidly to implement it. Although Equatorial Guinea lacks a well-established democratic tradition comparable to the developed democracies of the West, it has progressed toward developing a participatory political system out of the anarchic, chaotic, and repressive conditions of the Macías years. In power since 1979, the Obiang government has made little progress in stimulating the economy. Extremely serious health and sanitary conditions persist, and the educational system remains in desperate condition. Although the abuses and atrocities that characterized the Macías years have been eliminated, effective rule of law does not exist. Religious freedom is tolerated. On December 15, 2002, Equatorial Guinea's four main opposition parties withdrew from the country's presidential election. Obiang won an election widely considered fraudulent by members of the western press. According to a March 2004 BBC profile, politics within the country are currently dominated by tensions between Obiang's son Teodoro (known by the nickname Teodorín, meaning Little Teodoro), 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 since 1997 in oil production. A November 2004 report named Mark Thatcher as a financial backer of a March 2004 attempt to topple Obiang organized by Simon Mann. Various accounts also name the UK's MI6, the US Central Intelligence Agency, and Spain as having been tacit supporters of the coup attempt. Nevertheless, an Amnesty International report on the ensuing trial highlights the government's failure to demonstrate in court that the alleged coup attempt had ever actually taken place. The 1982 constitution of Equatorial Guinea gives the President extensive powers, including naming and dismissing members of the cabinet, making laws by decree, dissolving the Chamber of Representatives, negotiating and ratifying treaties and calling legislative elections. The President retains his role as commander in chief of the armed forces and minister of defense, and he maintains close supervision of military activity. The Prime Minister is appointed by the President and operates under powers designated by the President. The Prime Minister coordinates government activities in areas other than foreign affairs, national defense and security. Teodoro Obiang Nguema Mbasogo seized power in a military coup. He is elected by popular vote to a seven-year term. Another branch of the government is the State Council. The State Council's main function is to serve as caretaker in case of death or physical incapacity of the President. It comprises the following ex-officio members: the President of the Republic, the Prime Minister, the Minister of Defense, the President of the National Assembly and the Chairman of the Social and Economic Council. The Chamber of People's Representatives (Cámara de Representantes del Pueblo) has 100 members, elected for a five-year term by proportional representation in multi-member constituencies. Equatorial Guinea is a dominant-party state. This means that only one political party, the Democratic Party of Equatorial Guinea, is in fact allowed to hold effective power. Although minor parties are allowed, they are required to accept the de facto leadership of the ruling party. The Convergence for Social Democracy is the only true opposition party to operate legally in the county, which holds only a single seat in each house of parliament. The government announced on 28 April 2016 that Obiang had won the election by an overwhelming margin, as expected. Provisional results showed him with 93.7% of the vote on a turnout of 92.9%. He was sworn in for another term at a ceremony in Malabo on 20 May 2016. The judicial system follows similar administrative levels. At the top are the President and his judicial advisors (the Supreme Court). In descending rank are the appeals courts, chief judges for the divisions, and local magistrates. Tribal laws and customs are honored in the formal court system when not in conflict with national law. The court system, which often uses customary law, is a combination of traditional, civil, and military justice, and it operates in an ad hoc manner for lack of established procedures and experienced judicial personnel. As for the legal profession, the Equatorial Guinea Bar Association (Colegio de Abogados de Guinea Ecuatorial) was dissolved by the government in 2002. Although a new bar association was created in 2003, a report issued the same year claimed that " there are few independent lawyers and judges" unless they are "a member of [or sympathetic to] the ruling party." It was reported in 2014 (and later reconfirmed in 2016) that the association does not have an official headquarters. Equatorial Guinea is divided in seven provinces (provincias); Annobon, Bioko Norte, Bioko Sur, Centro Sur, Kie-Ntem, Litoral, Wele-Nzas. The President appoints the governors of the seven provinces. Each province is divided administratively into districts and municipalities. The internal administrative system falls under the Ministry of Territorial Administration; several other ministries are represented at the provincial and district levels.
[ { "paragraph_id": 0, "text": "The politics of Equatorial Guinea take place in a framework of a presidential republic, whereby the President is both the head of state and head of government. Executive power is exercised by the government. Legislative power is vested in both the government and the Chamber of People's Representatives", "title": "" }, { "paragraph_id": 1, "text": "A great deal of political party activity ensued when Equatorial Guinea attained autonomy from Spain in 1963. Bubi and Fernandino parties on the island preferred separation from Río Muni or a loose federation. Ethnically-based parties in Río Muni favored independence for a united country comprising Bioko and Río Muni, an approach that was adopted. The Movement for the Self-Determination of Bioko Island (MAIB), which advocates independence for the island under Bubi control, is one of the offshoots of the era immediately preceding independence.", "title": "Political conditions" }, { "paragraph_id": 2, "text": "Equatorial Guinea became independent from Spain on October 12, 1968. Since then, the country has had two presidents: Francisco Macías Nguema, who had been the mayor of Mongomo under the Spanish colonial government, and Teodoro Obiang Nguema Mbasogo Macías's nephew, who has ruled since 1979, when he staged a military coup d'état and executed his uncle. When Macías came to power, political activity largely ceased. Opposition figures among the exile communities in Spain and elsewhere agitated for reforms; some of them had been employed in the Macías and Obiang governments. After political activities in Equatorial Guinea were legalized in the early 1990s, some opposition leaders returned to test the waters, but repressive actions have continued sporadically.", "title": "Political conditions" }, { "paragraph_id": 3, "text": "The 1982 Constitution gives Obiang extensive powers, including the right to name, and dismiss, members of the cabinet. The 1982 constitution also give him the power to make laws by decree, dissolve the Chamber of Representatives, negotiate and ratify international treaties, and calling legislative elections. Obiang retained his role as commander-in-chief of the armed forces and minister of defense when he became president and he maintains close supervision of military activity. The Prime Minister is appointed by the President and operates under powers designated by the president. The prime minister coordinates government activities in areas other than foreign affairs, national defense and security.", "title": "Political conditions" }, { "paragraph_id": 4, "text": "With the prodding of the United Nations, the United States, Spain, and other donor countries, the government undertook an electoral census in 1995 and held freely contested municipal elections, the country's first, in September. Most observers agree that these elections were relatively free and transparent and also that the opposition parties garnered between 2/3 and 3/4 of the total vote. The government delayed announcing the results, then claimed a highly dubious overall 52% victory, and capture of 19 of the 27 municipal councils. The council of Malabo, the capital, went to the opposition however. In early January 1996 Obiang called presidential elections, to be held in six weeks. The campaign was marred by allegations of fraud, and most of the other candidates withdrew in the final week. Obiang claimed re-election with 98% of the vote. International observers agreed the election was neither free nor fair. In an attempt to mollify his critics, Obiang announced a new cabinet, giving minor portfolios to some people identified by the government as opposition figures.", "title": "Political conditions" }, { "paragraph_id": 5, "text": "Since President Obiang has been constrained only by a need to maintain a consensus among his advisers and political supporters in the Democratic Party of Equatorial Guinea, most of whom are drawn from the Nguema family in Mongomo, part of the Esangu subclan of the Fang in the eastern part of Río Muni. Alleged coup attempts in 1981 and 1983 raised little sympathy among the populace.", "title": "Political conditions" }, { "paragraph_id": 6, "text": "Under Obiang, schools reopened and primary education expanded, public utilities and roads were restored, a favorable contrast with Macías' tyranny and terror, but his administration has been criticized for not implementing genuine democratic reforms. Corruption and a dysfunctional judicial system disrupt development of Equatorial Guinea's economy and society. In March 2001 the President appointed a new Prime Minister, Cándido Muatetema Rivas, and replaced several ministers perceived to be especially corrupt. However, the government budget still does not include all revenues and expenditures. The United Nations Development Programme has proposed a broad governance reform program, but the Equatorial Guinean Government has not moved very rapidly to implement it.", "title": "Political conditions" }, { "paragraph_id": 7, "text": "Although Equatorial Guinea lacks a well-established democratic tradition comparable to the developed democracies of the West, it has progressed toward developing a participatory political system out of the anarchic, chaotic, and repressive conditions of the Macías years. In power since 1979, the Obiang government has made little progress in stimulating the economy. Extremely serious health and sanitary conditions persist, and the educational system remains in desperate condition. Although the abuses and atrocities that characterized the Macías years have been eliminated, effective rule of law does not exist. Religious freedom is tolerated.", "title": "Political conditions" }, { "paragraph_id": 8, "text": "On December 15, 2002, Equatorial Guinea's four main opposition parties withdrew from the country's presidential election. Obiang won an election widely considered fraudulent by members of the western press.", "title": "Political conditions" }, { "paragraph_id": 9, "text": "According to a March 2004 BBC profile, politics within the country are currently dominated by tensions between Obiang's son Teodoro (known by the nickname Teodorín, meaning Little Teodoro), 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 since 1997 in oil production.", "title": "Political conditions" }, { "paragraph_id": 10, "text": "A November 2004 report named Mark Thatcher as a financial backer of a March 2004 attempt to topple Obiang organized by Simon Mann. Various accounts also name the UK's MI6, the US Central Intelligence Agency, and Spain as having been tacit supporters of the coup attempt. Nevertheless, an Amnesty International report on the ensuing trial highlights the government's failure to demonstrate in court that the alleged coup attempt had ever actually taken place.", "title": "Political conditions" }, { "paragraph_id": 11, "text": "The 1982 constitution of Equatorial Guinea gives the President extensive powers, including naming and dismissing members of the cabinet, making laws by decree, dissolving the Chamber of Representatives, negotiating and ratifying treaties and calling legislative elections. The President retains his role as commander in chief of the armed forces and minister of defense, and he maintains close supervision of military activity. The Prime Minister is appointed by the President and operates under powers designated by the President. The Prime Minister coordinates government activities in areas other than foreign affairs, national defense and security.", "title": "Executive branch" }, { "paragraph_id": 12, "text": "Teodoro Obiang Nguema Mbasogo seized power in a military coup. He is elected by popular vote to a seven-year term.", "title": "Executive branch" }, { "paragraph_id": 13, "text": "Another branch of the government is the State Council. The State Council's main function is to serve as caretaker in case of death or physical incapacity of the President. It comprises the following ex-officio members: the President of the Republic, the Prime Minister, the Minister of Defense, the President of the National Assembly and the Chairman of the Social and Economic Council.", "title": "Executive branch" }, { "paragraph_id": 14, "text": "The Chamber of People's Representatives (Cámara de Representantes del Pueblo) has 100 members, elected for a five-year term by proportional representation in multi-member constituencies. Equatorial Guinea is a dominant-party state. This means that only one political party, the Democratic Party of Equatorial Guinea, is in fact allowed to hold effective power. Although minor parties are allowed, they are required to accept the de facto leadership of the ruling party. The Convergence for Social Democracy is the only true opposition party to operate legally in the county, which holds only a single seat in each house of parliament.", "title": "Legislative branch" }, { "paragraph_id": 15, "text": "The government announced on 28 April 2016 that Obiang had won the election by an overwhelming margin, as expected. Provisional results showed him with 93.7% of the vote on a turnout of 92.9%. He was sworn in for another term at a ceremony in Malabo on 20 May 2016.", "title": "Political parties and elections" }, { "paragraph_id": 16, "text": "The judicial system follows similar administrative levels. At the top are the President and his judicial advisors (the Supreme Court). In descending rank are the appeals courts, chief judges for the divisions, and local magistrates. Tribal laws and customs are honored in the formal court system when not in conflict with national law. The court system, which often uses customary law, is a combination of traditional, civil, and military justice, and it operates in an ad hoc manner for lack of established procedures and experienced judicial personnel.", "title": "Judicial branch" }, { "paragraph_id": 17, "text": "As for the legal profession, the Equatorial Guinea Bar Association (Colegio de Abogados de Guinea Ecuatorial) was dissolved by the government in 2002. Although a new bar association was created in 2003, a report issued the same year claimed that \" there are few independent lawyers and judges\" unless they are \"a member of [or sympathetic to] the ruling party.\" It was reported in 2014 (and later reconfirmed in 2016) that the association does not have an official headquarters.", "title": "Judicial branch" }, { "paragraph_id": 18, "text": "Equatorial Guinea is divided in seven provinces (provincias); Annobon, Bioko Norte, Bioko Sur, Centro Sur, Kie-Ntem, Litoral, Wele-Nzas.", "title": "Administrative divisions" }, { "paragraph_id": 19, "text": "The President appoints the governors of the seven provinces. Each province is divided administratively into districts and municipalities. The internal administrative system falls under the Ministry of Territorial Administration; several other ministries are represented at the provincial and district levels.", "title": "Administrative divisions" } ]
The politics of Equatorial Guinea take place in a framework of a presidential republic, whereby the President is both the head of state and head of government. Executive power is exercised by the government. Legislative power is vested in both the government and the Chamber of People's Representatives
2023-07-04T14:42:49Z
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https://en.wikipedia.org/wiki/Politics_of_Equatorial_Guinea
9,371
Economy of Equatorial Guinea
The economy of Equatorial Guinea has traditionally been dependent on commodities such as cocoa and coffee, but is now heavily dependent on petroleum due to the discovery and exploitation of significant oil reserves in the 1980s. In 2017, it graduated from "Least Developed Country" status, the only Sub-Saharan African nation that managed to do so besides Botswana, Gabon, Namibia, Seychelles, and Angola. However, despite the economic growth and improving infrastructure, the country has been ranked only 138th out of 188 countries on the United Nations Human Development Index in 2015 and despite its impressive GNI figure, it is still plagued by extreme poverty because its Gini coefficient of 65.0 is the highest in the entire world . After the oil price collapsed in 2014, the economy went into a free fall which put growth in a downward spiral from around 15% to −10%. Pre-independence Equatorial Guinea counted on cocoa production for hard currency earnings. In 1959 it had the highest per capita income of Africa which it still has, after several decades as one of the poorest countries in the world. The discovery of large oil reserves in 1996 and their subsequent exploitation have contributed to a dramatic increase in government revenue. As of 2004, Equatorial Guinea was the third-largest oil producer in Sub-Saharan Africa. Its oil production had then risen to 360,000 barrels per day (57,000 m/d), up from 220,000 barrels per day (35,000 m/d) only two years earlier. Forestry, farming, and fishing are also major components of GDP. Subsistence farming predominates. Although pre-independence Equatorial Guinea counted on cocoa production for hard currency earnings, the neglect of the rural economy under successive regimes has diminished potential for agriculture-led growth. However, the government has stated its intention to reinvest some oil revenue into agriculture. A number of aid programs sponsored by the World Bank and the IMF have been cut off since 1993 because of corruption and mismanagement. No longer eligible for concessional financing because of large oil revenues, the government has been unsuccessfully trying to agree on a "shadow" fiscal management program with the World Bank and IMF. Businesses, for the most part, are owned by government officials and their family members. Undeveloped natural resources include titanium, iron ore, manganese, uranium, and alluvial gold (Mining in Equatorial Guinea). Growth remained strong in 2005 and 2006, led by oil. Oil and gas exports have increased substantially and will drive the economy for years to come. Real GDP growth reached 23% in 1999, and initial estimates suggested growth of about 15% in 2001, according to IMF 2001 forecast. Per capita income grew from about $1,000 in 1998 to about $2,000 in 2000. The energy export sector is responsible for this rapid growth. Oil production has increased from 81,000 barrels per day (12,900 m/d) to 210,000 barrels per day (33,000 m/d) between 1998 and early 2001. There is ongoing additional development of existing commercially viable oil and gas deposits as well as new exploration in other offshore concessions. Equatorial Guinea has other largely unexploited human and natural resources, including a tropical climate, fertile soils, rich expanses of water, deepwater ports, and an untapped, if unskilled, source of labor. Following independence in 1968, the country suffered under a repressive dictatorship for 11 years, which devastated the economy. The agricultural sector, which historically was known for cocoa of the highest quality, has never fully recovered. In 1969 Equatorial Guinea produced 36,161 tons of highly bid cocoa, but production dropped to 4,800 tons in 2000. Coffee production also dropped sharply during this period to bounce back to 100,000 metric tons in 2000. Timber is the main source of foreign exchange after oil, accounting for about 12.4% of total export earnings in 1996–99. Timber production increased steadily during the 1990s; wood exports reached a record 789,000 cubic meters in 1999 as demand in Asia (mainly China) gathered pace after the 1998 economic crisis. Most of the production (mainly Okoume) goes to exports, and only 3% is processed locally. Environmentalists fear that exploitation at this level is unsustainable and point out to the permanent damage already inflicted on the forestry reserves on Bioko. Consumer price inflation has declined from the 38.8% experienced in 1994 following the CFA franc devaluation, to 7.8% in 1998, and 1.0% in 1999, according to BEAC data. Consumer prices rose about 6% in 2000, according to initial estimates, and there was anecdotal evidence that price inflation was accelerating in 2001. Equatorial Guinea's policies, as defined by law, comprise an open investment regime. Qualitative restrictions on imports, non-tariff protection, and many import licensing requirements were lifted when in 1992 the government adopted a public investment program endorsed by the World Bank. The Government of the Republic of Equatorial Guinea has sold some state enterprises. It is attempting to create a more favourable investment climate, and its investment code contains numerous incentives for job creation, training, promotion of non-traditional exports, support of development projects and indigenous capital participation, freedom for repatriation of profits, exemption from certain taxes and capital, and other benefits. Trade regulations have been further liberalized since implementation in 1994 of the ICN turnover tax, in conformity with Central African tax and custom reform codes. The reform included elimination of quota restrictions and reductions in the range and amounts of tariffs. The CEMAC countries agreed to replace the ICN with a value added tax (VAT) in 1999. While business laws promote a liberalized economy, the business climate remains difficult. Application of the laws remains selective. Corruption among officials is widespread, and many business deals are concluded under non-transparent circumstances. There is little industry in the country, and the local market for industrial products is small. The government seeks to expand the role of free enterprise and to promote foreign investment but has had little success in creating an atmosphere conducive to investor interest. The Equato-Guinean budget has grown enormously in the past 3 years as royalties and taxes on foreign company oil and gas production have provided new resources to a once poor government. The 2001 budget foresaw revenues of about 154 billion CFA francs (154 GCFAF) (about U.S.$200 million), up about 50% from 2000 levels. Oil revenues account for about two-thirds of government revenue, and VAT and trade taxes are the other large revenue sources. Year 2001 government expenditures were planned to reach 158 billion CFA francs, up about 50% from 2000 levels. New investment projects represented about 40% of the budget, and personnel and internal and external debt payments represented about one-third of planned expenditures. The Equato-Guinean Government has undertaken a number of reforms since 1991 to reduce its predominant role in the economy and promote private sector development. Its role is a diminishing one, although many government interactions with the private sector are at times capricious. Beginning in early 1997, the government initiated efforts to attract significant private sector involvement through a Corporate Council on Africa visit and numerous ministerial efforts. In 1998, the government privatized distribution of petroleum products. There are now Total and Mobil stations in the country. The government has expressed interest in privatizing the outmoded electricity utility. A French company operates cellular telephone service in cooperation with a state enterprise. The government is anxious for greater U.S. investment, and President Obiang visited the U.S. three times between 1999 and 2001 to encourage greater U.S. corporate interest. Investment in agriculture, fishing, livestock, and tourism are among sectors the government would like targeted. Equatorial Guinea's balance-of-payments situation has improved substantially since the mid-1990s because of new oil and gas production and favorable world energy prices. Exports totaled about francs CFA 915 billion in 2000 (1.25 G$US), up from CFA 437 billion (700 M$US) in 1999. Crude oil exports accounted for more than 90% of export earnings in 2000. Timber exports, by contrast, represented only about 5% of export revenues in 2000. Additional oil production coming on line in 2001, combined with methanol gas exports from the new CMS-Nomeco plant, should increase export earnings substantially. Imports into Equatorial Guinea also are growing very quickly. Imports totaled francs CFA 380 billion (530 M$US), up from franc CFA 261 million (420 M$US) in 1999. Imports of equipment used for the oil and gas sector accounted for about three-quarters of imports in 2000. Imports of capital equipment for public investment projects reached francs CFA 30 billion in 2000, up 40% from 1999 levels. Equatorial Guinea's foreign debt stock was approximately francs CFA 69 billion (100 M$US) in 2000, slightly less than the debt stock in 1999, according to BEAC data. Equatorial Guinea's debt service ratio fell from 20% of GDP in 1994 to only 1% in 2000. Foreign exchange reserves were increasing slightly, although they were relatively low in terms of import coverage. According to the terms of the franc CFA zone, some of these reserves are kept in an account with the French Ministry of Finance. Equatorial Guinea in the 1980s and 1990s received foreign assistance from numerous bilateral and multilateral donors, including European countries, the United States, and the World Bank. Many of these aid programs have ceased altogether or have diminished. Spain, France, and the European Union continue to provide some project assistance, as do China and Cuba. The government also has discussed working with World Bank assistance to develop government administrative capacity. Equatorial Guinea operated under an IMF-negotiated Enhanced Structural Adjustment Facility (ESAF) until 1996. Since then, there have been no formal agreements or arrangements. The International monetary Fund held Article IV consultations (periodic country evaluations) in 1996, 1997, and in August 1999. After the 1999 consultations, IMF directors stressed the need for Equatorial Guinea to establish greater fiscal discipline, accountability, and more transparent management of public sector resources, especially energy sector revenue. IMF officials also have emphasized the need for economic data. In 1999, the Equato-Guinean Government began attempting to meet IMF-imposed requirements, maintaining contact with IMF and the World Bank representatives. However, the newfound oil wealth allowed the government to avoid improving fiscal discipline, transparency and accountability. Infrastructure is generally old and in poor condition. As of 2002, surface transport is extremely limited, with little more than 700 kilometres of paved roads. The African Development Bank is helping to improve the paved roads from Malabo to Luba and Riaba; the Chinese are undertaking a project to link Mongomo to Bata on the mainland, and the European Union is financing an inter-states road network linking Equatorial Guinea to Cameroon and Gabon. Road maintenance is often inadequate. Electricity is available in Equatorial Guinea's larger towns thanks to three small overworked hydropower facilities and a number of aged generators. In 1999, national production was about 13 MWh. In Malabo, the American company, CMS-Nomeco, built a 10 megawatt electricity plant financed by the government, which came in line in mid-2000, and plans to double capacity are advancing. This plant provides improved service to the capital, although there are still occasional outages. On the mainland the largest city, Bata, still has regular blackouts. Water is only available in the major towns and is not always reliable because of poor maintenance and mismanagement. Some villages and rural areas are equipped with generators and water pumps, usually owned by private individuals. Parastatal Getesa, a joint venture with a minority ownership stake held by a French subsidiary of Orange, provides telephone service in the major cities. The regular system is overextended, but Orange has introduced a popular GSM system, which is generally reliable in Malabo and Bata. Equatorial Guinea has two of the deepest Atlantic seaports of the region, including the main business and commercial port city of Bata. The ports of both Malabo and Bata are severely overextended and require extensive rehabilitation and reconditioning. The British company, Incat, has an ongoing project with the government to renovate and expand Luba, the country's third-largest port which is located on Bioko Island. The government hopes Luba will become a major transportation hub for offshore oil and gas companies operating in the Gulf of Guinea. Luba is located some 50 kilometres from Malabo and had been virtually inactive except for minor fishing activities and occasional use to ease congestion in Malabo. A new jetty is also being built at km 5 on the way from Malabo to the airport. It is a project mainly supposed to service the oil industry, but can also relieve the congested Malabo Port due to its closeness. The Oil Jetty at km 5 was supposed to open the end of March 2003. Riaba is the other port of any scale on Bioko but is less active. The continental ports of Mbini and Cogo have deteriorated as well and are now used primarily for timber activities. There are both air and sea connections between the two cities of Malabo and Bata. As of 2002, a few aging Soviet-built aircraft constituted the national air fleet. Since then, most Soviet-built aircraft have been replaced by ATR and Boeing. The runway at Malabo (3,200 m) is equipped with lights and can service aircraft similar to Boeing 777s and Ilyushin Il-76s. The one at Bata (2,400 m) does not operate at night but can accommodate aircraft as large as Boeing 737s. Their primary users are the national airline (EGA) and a private company (GEASA). Two minor airstrips (800 m) are located at Mongomo and Annobon. There are international connections out of Malabo to Madrid and Zurich in Europe and to Cotonou, Douala and Libreville in West Africa. After a slow start, Equatorial Guinea has recently (as of 2002) emerged as a major oil producer in the Gulf of Guinea, one of the most promising hydrocarbon regions in the world. The main oil fields, Zafiro and Alba, both lie offshore of Bioko island. In 1999 oil production was about five times its 1996 level; Zafiro Field, operated by ExxonMobil and Ocean Energy, produced about 100,000 barrels per day (16,000 m/d), and CMS Nomeco extracted approximately 6,700 barrels per day (1,070 m/d). In 2002, production was nearly 200,000 barrels per day. In 1995 Mobil (now ExxonMobil) discovered the large Zafiro field, with estimated reserves of 400,000,000 barrels (64,000,000 m). Production began in 1996. The company announced a 3-year U.S.$1bn rapid-development program to boost output to 130,000 barrels per day (21,000 m/d) by early 2001. Progress was delayed due to a contractual dispute with the government and by unexpectedly difficult geology. The difference with the government was eventually resolved. In 1998 a more liberal regulatory and profit-sharing arrangement for hydrocarbon exploration and production activities was introduced. It revised and updated the production-sharing contract, which, until then, had favoured Western operators heavily. As a result, domestic oil receipts rose from 13% to 20% of oil export revenue. However, the government's share remains relatively poor by international standards. In 1997 CMS Nomeco moved to expand its operation with a U.S.$300m methanol plant. The plant entered production in 2000 and helped boost natural gas condensate output from Alba field. In August 1999 the government closed bidding on a new petroleum-licensing round for 53 unexplored deepwater blocks and seven shallow-water blocks. The response was small due to a combination of factors, including falling oil prices, restructuring within the oil industry, and uncertainty over an undemarcated maritime border with Nigeria (which was not resolved until 2000). In late 1999 Triton Energy, a U.S. independent, discovered La Ceiba in block G in an entirely new area offshore the mainland of the country. Triton expected a U.S.$200m development program to enable La Ceiba and associated fields to produce 100,000 barrels per day (16,000 m/d) by late 2001, despite disappointments and technical problems at the beginning of the year. With an upturn in oil prices, exploration intensified in 2000. In April 2000 U.S.-based Vanco Energy signed a production-sharing contract for the offshore block of Corisco Deep. In May 2000, Chevron was granted block L, offshore Río Muni, and a further three production-sharing contracts (for blocks J, I, and H) were signed with Atlas Petroleum, a Nigerian company. In early 2001 the government announced plans to establish a national oil company, to allow Equatorial Guinea to take a greater stake in the sector and to facilitate the more rapid transfer of skills. However, critics fear that such a company may become a vehicle for opaque accounting and inertia of the sort that has hindered development in neighbouring countries including Angola, Cameroon, and Nigeria. Since 2001 the government has created GEPetrol, a national oil company; and Sonagas, a national natural-gas company. The company EG LNG has been created to construct and operate the Bioko Island LNG plant and terminal. The plant began to operate in May 2007 and a second plant is now under development. Equatorial Guinea became a member of OPEC in May 2017. The following table shows the main economic indicators in 1980–2017.
[ { "paragraph_id": 0, "text": "The economy of Equatorial Guinea has traditionally been dependent on commodities such as cocoa and coffee, but is now heavily dependent on petroleum due to the discovery and exploitation of significant oil reserves in the 1980s. In 2017, it graduated from \"Least Developed Country\" status, the only Sub-Saharan African nation that managed to do so besides Botswana, Gabon, Namibia, Seychelles, and Angola.", "title": "" }, { "paragraph_id": 1, "text": "However, despite the economic growth and improving infrastructure, the country has been ranked only 138th out of 188 countries on the United Nations Human Development Index in 2015 and despite its impressive GNI figure, it is still plagued by extreme poverty because its Gini coefficient of 65.0 is the highest in the entire world . After the oil price collapsed in 2014, the economy went into a free fall which put growth in a downward spiral from around 15% to −10%.", "title": "" }, { "paragraph_id": 2, "text": "Pre-independence Equatorial Guinea counted on cocoa production for hard currency earnings. In 1959 it had the highest per capita income of Africa which it still has, after several decades as one of the poorest countries in the world.", "title": "Economy overview" }, { "paragraph_id": 3, "text": "The discovery of large oil reserves in 1996 and their subsequent exploitation have contributed to a dramatic increase in government revenue. As of 2004, Equatorial Guinea was the third-largest oil producer in Sub-Saharan Africa. Its oil production had then risen to 360,000 barrels per day (57,000 m/d), up from 220,000 barrels per day (35,000 m/d) only two years earlier.", "title": "Economy overview" }, { "paragraph_id": 4, "text": "Forestry, farming, and fishing are also major components of GDP. Subsistence farming predominates. Although pre-independence Equatorial Guinea counted on cocoa production for hard currency earnings, the neglect of the rural economy under successive regimes has diminished potential for agriculture-led growth. However, the government has stated its intention to reinvest some oil revenue into agriculture. A number of aid programs sponsored by the World Bank and the IMF have been cut off since 1993 because of corruption and mismanagement. No longer eligible for concessional financing because of large oil revenues, the government has been unsuccessfully trying to agree on a \"shadow\" fiscal management program with the World Bank and IMF. Businesses, for the most part, are owned by government officials and their family members. Undeveloped natural resources include titanium, iron ore, manganese, uranium, and alluvial gold (Mining in Equatorial Guinea). Growth remained strong in 2005 and 2006, led by oil.", "title": "Economy overview" }, { "paragraph_id": 5, "text": "Oil and gas exports have increased substantially and will drive the economy for years to come. Real GDP growth reached 23% in 1999, and initial estimates suggested growth of about 15% in 2001, according to IMF 2001 forecast. Per capita income grew from about $1,000 in 1998 to about $2,000 in 2000. The energy export sector is responsible for this rapid growth. Oil production has increased from 81,000 barrels per day (12,900 m/d) to 210,000 barrels per day (33,000 m/d) between 1998 and early 2001. There is ongoing additional development of existing commercially viable oil and gas deposits as well as new exploration in other offshore concessions.", "title": "In greater depth" }, { "paragraph_id": 6, "text": "Equatorial Guinea has other largely unexploited human and natural resources, including a tropical climate, fertile soils, rich expanses of water, deepwater ports, and an untapped, if unskilled, source of labor. Following independence in 1968, the country suffered under a repressive dictatorship for 11 years, which devastated the economy. The agricultural sector, which historically was known for cocoa of the highest quality, has never fully recovered. In 1969 Equatorial Guinea produced 36,161 tons of highly bid cocoa, but production dropped to 4,800 tons in 2000. Coffee production also dropped sharply during this period to bounce back to 100,000 metric tons in 2000. Timber is the main source of foreign exchange after oil, accounting for about 12.4% of total export earnings in 1996–99. Timber production increased steadily during the 1990s; wood exports reached a record 789,000 cubic meters in 1999 as demand in Asia (mainly China) gathered pace after the 1998 economic crisis. Most of the production (mainly Okoume) goes to exports, and only 3% is processed locally. Environmentalists fear that exploitation at this level is unsustainable and point out to the permanent damage already inflicted on the forestry reserves on Bioko.", "title": "In greater depth" }, { "paragraph_id": 7, "text": "Consumer price inflation has declined from the 38.8% experienced in 1994 following the CFA franc devaluation, to 7.8% in 1998, and 1.0% in 1999, according to BEAC data. Consumer prices rose about 6% in 2000, according to initial estimates, and there was anecdotal evidence that price inflation was accelerating in 2001.", "title": "In greater depth" }, { "paragraph_id": 8, "text": "Equatorial Guinea's policies, as defined by law, comprise an open investment regime. Qualitative restrictions on imports, non-tariff protection, and many import licensing requirements were lifted when in 1992 the government adopted a public investment program endorsed by the World Bank. The Government of the Republic of Equatorial Guinea has sold some state enterprises. It is attempting to create a more favourable investment climate, and its investment code contains numerous incentives for job creation, training, promotion of non-traditional exports, support of development projects and indigenous capital participation, freedom for repatriation of profits, exemption from certain taxes and capital, and other benefits. Trade regulations have been further liberalized since implementation in 1994 of the ICN turnover tax, in conformity with Central African tax and custom reform codes. The reform included elimination of quota restrictions and reductions in the range and amounts of tariffs. The CEMAC countries agreed to replace the ICN with a value added tax (VAT) in 1999.", "title": "In greater depth" }, { "paragraph_id": 9, "text": "While business laws promote a liberalized economy, the business climate remains difficult. Application of the laws remains selective. Corruption among officials is widespread, and many business deals are concluded under non-transparent circumstances.", "title": "In greater depth" }, { "paragraph_id": 10, "text": "There is little industry in the country, and the local market for industrial products is small. The government seeks to expand the role of free enterprise and to promote foreign investment but has had little success in creating an atmosphere conducive to investor interest.", "title": "In greater depth" }, { "paragraph_id": 11, "text": "The Equato-Guinean budget has grown enormously in the past 3 years as royalties and taxes on foreign company oil and gas production have provided new resources to a once poor government. The 2001 budget foresaw revenues of about 154 billion CFA francs (154 GCFAF) (about U.S.$200 million), up about 50% from 2000 levels. Oil revenues account for about two-thirds of government revenue, and VAT and trade taxes are the other large revenue sources.", "title": "In greater depth" }, { "paragraph_id": 12, "text": "Year 2001 government expenditures were planned to reach 158 billion CFA francs, up about 50% from 2000 levels. New investment projects represented about 40% of the budget, and personnel and internal and external debt payments represented about one-third of planned expenditures.", "title": "In greater depth" }, { "paragraph_id": 13, "text": "The Equato-Guinean Government has undertaken a number of reforms since 1991 to reduce its predominant role in the economy and promote private sector development. Its role is a diminishing one, although many government interactions with the private sector are at times capricious. Beginning in early 1997, the government initiated efforts to attract significant private sector involvement through a Corporate Council on Africa visit and numerous ministerial efforts. In 1998, the government privatized distribution of petroleum products. There are now Total and Mobil stations in the country. The government has expressed interest in privatizing the outmoded electricity utility. A French company operates cellular telephone service in cooperation with a state enterprise. The government is anxious for greater U.S. investment, and President Obiang visited the U.S. three times between 1999 and 2001 to encourage greater U.S. corporate interest. Investment in agriculture, fishing, livestock, and tourism are among sectors the government would like targeted.", "title": "In greater depth" }, { "paragraph_id": 14, "text": "Equatorial Guinea's balance-of-payments situation has improved substantially since the mid-1990s because of new oil and gas production and favorable world energy prices. Exports totaled about francs CFA 915 billion in 2000 (1.25 G$US), up from CFA 437 billion (700 M$US) in 1999. Crude oil exports accounted for more than 90% of export earnings in 2000. Timber exports, by contrast, represented only about 5% of export revenues in 2000. Additional oil production coming on line in 2001, combined with methanol gas exports from the new CMS-Nomeco plant, should increase export earnings substantially.", "title": "In greater depth" }, { "paragraph_id": 15, "text": "Imports into Equatorial Guinea also are growing very quickly. Imports totaled francs CFA 380 billion (530 M$US), up from franc CFA 261 million (420 M$US) in 1999. Imports of equipment used for the oil and gas sector accounted for about three-quarters of imports in 2000. Imports of capital equipment for public investment projects reached francs CFA 30 billion in 2000, up 40% from 1999 levels.", "title": "In greater depth" }, { "paragraph_id": 16, "text": "Equatorial Guinea's foreign debt stock was approximately francs CFA 69 billion (100 M$US) in 2000, slightly less than the debt stock in 1999, according to BEAC data. Equatorial Guinea's debt service ratio fell from 20% of GDP in 1994 to only 1% in 2000. Foreign exchange reserves were increasing slightly, although they were relatively low in terms of import coverage. According to the terms of the franc CFA zone, some of these reserves are kept in an account with the French Ministry of Finance.", "title": "In greater depth" }, { "paragraph_id": 17, "text": "Equatorial Guinea in the 1980s and 1990s received foreign assistance from numerous bilateral and multilateral donors, including European countries, the United States, and the World Bank. Many of these aid programs have ceased altogether or have diminished. Spain, France, and the European Union continue to provide some project assistance, as do China and Cuba. The government also has discussed working with World Bank assistance to develop government administrative capacity.", "title": "In greater depth" }, { "paragraph_id": 18, "text": "Equatorial Guinea operated under an IMF-negotiated Enhanced Structural Adjustment Facility (ESAF) until 1996. Since then, there have been no formal agreements or arrangements. The International monetary Fund held Article IV consultations (periodic country evaluations) in 1996, 1997, and in August 1999. After the 1999 consultations, IMF directors stressed the need for Equatorial Guinea to establish greater fiscal discipline, accountability, and more transparent management of public sector resources, especially energy sector revenue. IMF officials also have emphasized the need for economic data. In 1999, the Equato-Guinean Government began attempting to meet IMF-imposed requirements, maintaining contact with IMF and the World Bank representatives. However, the newfound oil wealth allowed the government to avoid improving fiscal discipline, transparency and accountability.", "title": "In greater depth" }, { "paragraph_id": 19, "text": "Infrastructure is generally old and in poor condition. As of 2002, surface transport is extremely limited, with little more than 700 kilometres of paved roads. The African Development Bank is helping to improve the paved roads from Malabo to Luba and Riaba; the Chinese are undertaking a project to link Mongomo to Bata on the mainland, and the European Union is financing an inter-states road network linking Equatorial Guinea to Cameroon and Gabon. Road maintenance is often inadequate.", "title": "Infrastructure" }, { "paragraph_id": 20, "text": "Electricity is available in Equatorial Guinea's larger towns thanks to three small overworked hydropower facilities and a number of aged generators. In 1999, national production was about 13 MWh. In Malabo, the American company, CMS-Nomeco, built a 10 megawatt electricity plant financed by the government, which came in line in mid-2000, and plans to double capacity are advancing. This plant provides improved service to the capital, although there are still occasional outages. On the mainland the largest city, Bata, still has regular blackouts.", "title": "Infrastructure" }, { "paragraph_id": 21, "text": "Water is only available in the major towns and is not always reliable because of poor maintenance and mismanagement. Some villages and rural areas are equipped with generators and water pumps, usually owned by private individuals.", "title": "Infrastructure" }, { "paragraph_id": 22, "text": "Parastatal Getesa, a joint venture with a minority ownership stake held by a French subsidiary of Orange, provides telephone service in the major cities. The regular system is overextended, but Orange has introduced a popular GSM system, which is generally reliable in Malabo and Bata.", "title": "Infrastructure" }, { "paragraph_id": 23, "text": "Equatorial Guinea has two of the deepest Atlantic seaports of the region, including the main business and commercial port city of Bata. The ports of both Malabo and Bata are severely overextended and require extensive rehabilitation and reconditioning. The British company, Incat, has an ongoing project with the government to renovate and expand Luba, the country's third-largest port which is located on Bioko Island. The government hopes Luba will become a major transportation hub for offshore oil and gas companies operating in the Gulf of Guinea. Luba is located some 50 kilometres from Malabo and had been virtually inactive except for minor fishing activities and occasional use to ease congestion in Malabo. A new jetty is also being built at km 5 on the way from Malabo to the airport. It is a project mainly supposed to service the oil industry, but can also relieve the congested Malabo Port due to its closeness. The Oil Jetty at km 5 was supposed to open the end of March 2003. Riaba is the other port of any scale on Bioko but is less active. The continental ports of Mbini and Cogo have deteriorated as well and are now used primarily for timber activities.", "title": "Infrastructure" }, { "paragraph_id": 24, "text": "There are both air and sea connections between the two cities of Malabo and Bata. As of 2002, a few aging Soviet-built aircraft constituted the national air fleet. Since then, most Soviet-built aircraft have been replaced by ATR and Boeing. The runway at Malabo (3,200 m) is equipped with lights and can service aircraft similar to Boeing 777s and Ilyushin Il-76s. The one at Bata (2,400 m) does not operate at night but can accommodate aircraft as large as Boeing 737s. Their primary users are the national airline (EGA) and a private company (GEASA). Two minor airstrips (800 m) are located at Mongomo and Annobon. There are international connections out of Malabo to Madrid and Zurich in Europe and to Cotonou, Douala and Libreville in West Africa.", "title": "Infrastructure" }, { "paragraph_id": 25, "text": "After a slow start, Equatorial Guinea has recently (as of 2002) emerged as a major oil producer in the Gulf of Guinea, one of the most promising hydrocarbon regions in the world. The main oil fields, Zafiro and Alba, both lie offshore of Bioko island. In 1999 oil production was about five times its 1996 level; Zafiro Field, operated by ExxonMobil and Ocean Energy, produced about 100,000 barrels per day (16,000 m/d), and CMS Nomeco extracted approximately 6,700 barrels per day (1,070 m/d). In 2002, production was nearly 200,000 barrels per day.", "title": "Energy developments" }, { "paragraph_id": 26, "text": "In 1995 Mobil (now ExxonMobil) discovered the large Zafiro field, with estimated reserves of 400,000,000 barrels (64,000,000 m). Production began in 1996. The company announced a 3-year U.S.$1bn rapid-development program to boost output to 130,000 barrels per day (21,000 m/d) by early 2001. Progress was delayed due to a contractual dispute with the government and by unexpectedly difficult geology. The difference with the government was eventually resolved.", "title": "Energy developments" }, { "paragraph_id": 27, "text": "In 1998 a more liberal regulatory and profit-sharing arrangement for hydrocarbon exploration and production activities was introduced. It revised and updated the production-sharing contract, which, until then, had favoured Western operators heavily. As a result, domestic oil receipts rose from 13% to 20% of oil export revenue. However, the government's share remains relatively poor by international standards.", "title": "Energy developments" }, { "paragraph_id": 28, "text": "In 1997 CMS Nomeco moved to expand its operation with a U.S.$300m methanol plant. The plant entered production in 2000 and helped boost natural gas condensate output from Alba field.", "title": "Energy developments" }, { "paragraph_id": 29, "text": "In August 1999 the government closed bidding on a new petroleum-licensing round for 53 unexplored deepwater blocks and seven shallow-water blocks. The response was small due to a combination of factors, including falling oil prices, restructuring within the oil industry, and uncertainty over an undemarcated maritime border with Nigeria (which was not resolved until 2000).", "title": "Energy developments" }, { "paragraph_id": 30, "text": "In late 1999 Triton Energy, a U.S. independent, discovered La Ceiba in block G in an entirely new area offshore the mainland of the country. Triton expected a U.S.$200m development program to enable La Ceiba and associated fields to produce 100,000 barrels per day (16,000 m/d) by late 2001, despite disappointments and technical problems at the beginning of the year.", "title": "Energy developments" }, { "paragraph_id": 31, "text": "With an upturn in oil prices, exploration intensified in 2000. In April 2000 U.S.-based Vanco Energy signed a production-sharing contract for the offshore block of Corisco Deep. In May 2000, Chevron was granted block L, offshore Río Muni, and a further three production-sharing contracts (for blocks J, I, and H) were signed with Atlas Petroleum, a Nigerian company.", "title": "Energy developments" }, { "paragraph_id": 32, "text": "In early 2001 the government announced plans to establish a national oil company, to allow Equatorial Guinea to take a greater stake in the sector and to facilitate the more rapid transfer of skills. However, critics fear that such a company may become a vehicle for opaque accounting and inertia of the sort that has hindered development in neighbouring countries including Angola, Cameroon, and Nigeria.", "title": "Energy developments" }, { "paragraph_id": 33, "text": "Since 2001 the government has created GEPetrol, a national oil company; and Sonagas, a national natural-gas company. The company EG LNG has been created to construct and operate the Bioko Island LNG plant and terminal. The plant began to operate in May 2007 and a second plant is now under development.", "title": "Energy developments" }, { "paragraph_id": 34, "text": "Equatorial Guinea became a member of OPEC in May 2017.", "title": "Energy developments" }, { "paragraph_id": 35, "text": "The following table shows the main economic indicators in 1980–2017.", "title": "Data" } ]
The economy of Equatorial Guinea has traditionally been dependent on commodities such as cocoa and coffee, but is now heavily dependent on petroleum due to the discovery and exploitation of significant oil reserves in the 1980s. In 2017, it graduated from "Least Developed Country" status, the only Sub-Saharan African nation that managed to do so besides Botswana, Gabon, Namibia, Seychelles, and Angola. However, despite the economic growth and improving infrastructure, the country has been ranked only 138th out of 188 countries on the United Nations Human Development Index in 2015 and despite its impressive GNI figure, it is still plagued by extreme poverty because its Gini coefficient of 65.0 is the highest in the entire world. After the oil price collapsed in 2014, the economy went into a free fall which put growth in a downward spiral from around 15% to −10%.
2002-06-15T12:27:46Z
2023-12-10T21:23:47Z
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https://en.wikipedia.org/wiki/Economy_of_Equatorial_Guinea
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Telecommunications in Equatorial Guinea
Telecommunications in Equatorial Guinea include radio, television, fixed and mobile telephones, and the Internet. The state maintains direct or indirect control of all broadcast media. The government owns the only national radio and television broadcast system, RTVGE. The president's eldest son owns the only private radio station. Satellite broadcasts are widely available, including the French language Africa24 television news channel that occasionally carries opposition criticism. Foreign channels, including Radio France International (RFI) and the BBC World Service, were broadcast uncensored throughout the country. There are no government restrictions on access to the Internet or credible reports the government monitors e-mail or Internet chat rooms without judicial oversight. Most overt criticism of the government comes from the country's community in exile, and the Internet has replaced broadcast media as the primary way opposition views were expressed and disseminated. Although the constitution and law provide for freedom of speech and press, the law grants authorities extensive powers to restrict media activities, which the government uses to limit these rights. While criticism of government policies is allowed, individuals generally can not criticize the president, his family, other high-ranking officials, or the security forces without fear of reprisal. Libel is a criminal offense, but there were no instances of the government using these laws to suppress criticism during 2012. The constitution and law prohibit arbitrary interference with privacy, family, home, or correspondence, but the government often does not respect these prohibitions. Search warrants are required unless the crime is in progress or for reasons of national security. Security forces enter homes without authorization and arrest alleged criminals, foreign nationals, and others, often without required judicial orders. The government reportedly attempts to impede criticism by monitoring the activities of the political opposition, journalists, and others. Journalists are subject to surveillance and practice self-censorship.
[ { "paragraph_id": 0, "text": "Telecommunications in Equatorial Guinea include radio, television, fixed and mobile telephones, and the Internet.", "title": "" }, { "paragraph_id": 1, "text": "The state maintains direct or indirect control of all broadcast media. The government owns the only national radio and television broadcast system, RTVGE. The president's eldest son owns the only private radio station. Satellite broadcasts are widely available, including the French language Africa24 television news channel that occasionally carries opposition criticism. Foreign channels, including Radio France International (RFI) and the BBC World Service, were broadcast uncensored throughout the country.", "title": "Radio and television" }, { "paragraph_id": 2, "text": "There are no government restrictions on access to the Internet or credible reports the government monitors e-mail or Internet chat rooms without judicial oversight. Most overt criticism of the government comes from the country's community in exile, and the Internet has replaced broadcast media as the primary way opposition views were expressed and disseminated.", "title": "Internet" }, { "paragraph_id": 3, "text": "Although the constitution and law provide for freedom of speech and press, the law grants authorities extensive powers to restrict media activities, which the government uses to limit these rights. While criticism of government policies is allowed, individuals generally can not criticize the president, his family, other high-ranking officials, or the security forces without fear of reprisal. Libel is a criminal offense, but there were no instances of the government using these laws to suppress criticism during 2012.", "title": "Internet" }, { "paragraph_id": 4, "text": "The constitution and law prohibit arbitrary interference with privacy, family, home, or correspondence, but the government often does not respect these prohibitions. Search warrants are required unless the crime is in progress or for reasons of national security. Security forces enter homes without authorization and arrest alleged criminals, foreign nationals, and others, often without required judicial orders. The government reportedly attempts to impede criticism by monitoring the activities of the political opposition, journalists, and others. Journalists are subject to surveillance and practice self-censorship.", "title": "Internet" } ]
Telecommunications in Equatorial Guinea include radio, television, fixed and mobile telephones, and the Internet.
2023-03-02T10:41:55Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Equatorial_Guinea
9,373
Transport in Equatorial Guinea
This article lists transport in Equatorial Guinea. There are currently no railways in Equatorial Guinea. There are 2,880 km (1,790 mi) of highways in Equatorial Guinea, the majority of which were not paved in 2002. Equatorial Guinea's roads and highways are underdeveloped, but improving. During the rainy season, roads are frequently impassable without four-wheel drive vehicles. Furthermore, the country has recently built a 175-km long two-lane expressway that runs between Bata and President Obiang Nguema International Airport, and it is expected to soon reach the city of Mongomo, located on the border with Gabon. In 2005, the country had one merchant ship of over 1,000 GT in service; a cargo vessel of 6,556 GT. There are seven airports in Equatorial Guinea. Its main airport is Malabo International Airport in Punta Europa, Bioko Island. International flights operate from: From Malabo airport, you can fly to any of the other airports in the country. These airports are located in the region of Annobón, Bata, Mongomoyen, and Corisco.
[ { "paragraph_id": 0, "text": "This article lists transport in Equatorial Guinea.", "title": "" }, { "paragraph_id": 1, "text": "There are currently no railways in Equatorial Guinea.", "title": "Railways" }, { "paragraph_id": 2, "text": "There are 2,880 km (1,790 mi) of highways in Equatorial Guinea, the majority of which were not paved in 2002. Equatorial Guinea's roads and highways are underdeveloped, but improving. During the rainy season, roads are frequently impassable without four-wheel drive vehicles.", "title": "Highways" }, { "paragraph_id": 3, "text": "Furthermore, the country has recently built a 175-km long two-lane expressway that runs between Bata and President Obiang Nguema International Airport, and it is expected to soon reach the city of Mongomo, located on the border with Gabon.", "title": "Highways" }, { "paragraph_id": 4, "text": "In 2005, the country had one merchant ship of over 1,000 GT in service; a cargo vessel of 6,556 GT.", "title": "Merchant marine" }, { "paragraph_id": 5, "text": "There are seven airports in Equatorial Guinea. Its main airport is Malabo International Airport in Punta Europa, Bioko Island. International flights operate from:", "title": "Airports" }, { "paragraph_id": 6, "text": "From Malabo airport, you can fly to any of the other airports in the country. These airports are located in the region of Annobón, Bata, Mongomoyen, and Corisco.", "title": "Airports" } ]
This article lists transport in Equatorial Guinea.
2023-06-28T14:17:59Z
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https://en.wikipedia.org/wiki/Transport_in_Equatorial_Guinea
9,374
Armed Forces of Equatorial Guinea
The Armed Forces of Equatorial Guinea (Spanish: Fuerzas Armadas de Guinea Ecuatorial; French: Forces armées de la Guinée équatoriale; Portuguese: Forças Armadas da Guiné Equatorial) consists of approximately 2,500 service members. The army has almost 1,400 soldiers, 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. 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. Cooper and Weinert 2010 says that all aircraft are based on the military side of Malabo International Airport. In 2002, an International Consortium of Investigative Journalists report said: "The oil companies do not view Equatorial Guinea's military – a product of decades of brutal dictatorial rule – with much confidence. The army is believed to have only about 1,320 men under arms, the navy 120, and the air force 100. Seven of the army's nine generals are relatives of the president; the other two are from his tribe. There is no clear command structure, the level of discipline is low, and professionalism and training are almost non-existent, according to locals and foreign oil workers. Even the presidential guard – an indication of the lack of trust in the country's forces – is composed of 350 Moroccan troops." The Equatorial Guinea Air Corps was founded in 1979 with mainly French and Spanish air frames. In 2005, 4 Su 25s including 2 Su-25UB combat trainers were delivered to the Equatorial Guinea Air Corps. The current status of the aircraft is unknown. In 2015 two CASA C-295 (one transport and one surveillance) aircraft were ordered for delivery from September 2016. 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, as of 2014 no further news has been announced. On 3 June 2014, the frigate Wele Nzas was commissioned and became the navy's flagship. 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.
[ { "paragraph_id": 0, "text": "The Armed Forces of Equatorial Guinea (Spanish: Fuerzas Armadas de Guinea Ecuatorial; French: Forces armées de la Guinée équatoriale; Portuguese: Forças Armadas da Guiné Equatorial) consists of approximately 2,500 service members. The army has almost 1,400 soldiers, 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.", "title": "" }, { "paragraph_id": 1, "text": "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. Cooper and Weinert 2010 says that all aircraft are based on the military side of Malabo International Airport.", "title": "History" }, { "paragraph_id": 2, "text": "In 2002, an International Consortium of Investigative Journalists report said:", "title": "History" }, { "paragraph_id": 3, "text": "\"The oil companies do not view Equatorial Guinea's military – a product of decades of brutal dictatorial rule – with much confidence. The army is believed to have only about 1,320 men under arms, the navy 120, and the air force 100. Seven of the army's nine generals are relatives of the president; the other two are from his tribe. There is no clear command structure, the level of discipline is low, and professionalism and training are almost non-existent, according to locals and foreign oil workers. Even the presidential guard – an indication of the lack of trust in the country's forces – is composed of 350 Moroccan troops.\"", "title": "History" }, { "paragraph_id": 4, "text": "The Equatorial Guinea Air Corps was founded in 1979 with mainly French and Spanish air frames. In 2005, 4 Su 25s including 2 Su-25UB combat trainers were delivered to the Equatorial Guinea Air Corps. The current status of the aircraft is unknown. In 2015 two CASA C-295 (one transport and one surveillance) aircraft were ordered for delivery from September 2016.", "title": "Equipment" }, { "paragraph_id": 5, "text": "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, as of 2014 no further news has been announced. On 3 June 2014, the frigate Wele Nzas was commissioned and became the navy's flagship.", "title": "Navy" }, { "paragraph_id": 6, "text": "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.", "title": "Higher education and training" } ]
The Armed Forces of Equatorial Guinea consists of approximately 2,500 service members. The army has almost 1,400 soldiers, 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.
2002-02-25T15:51:15Z
2023-10-01T18:30:41Z
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https://en.wikipedia.org/wiki/Armed_Forces_of_Equatorial_Guinea
9,375
Foreign relations of Equatorial Guinea
The government's official policy is one of nonalignment. In its search for assistance to meet the goal of national reconstruction, the government of Equatorial Guinea has established diplomatic relations with numerous European and Third World countries. Having achieved independence under UN sponsorship, Equatorial Guinea feels a special kinship with that organization. It became the 126th UN member on November 12, 1968. Equatorial Guinea served as a non-permanent member on the United Nations Security Council from 2017 to 2019.
[ { "paragraph_id": 0, "text": "The government's official policy is one of nonalignment. In its search for assistance to meet the goal of national reconstruction, the government of Equatorial Guinea has established diplomatic relations with numerous European and Third World countries. Having achieved independence under UN sponsorship, Equatorial Guinea feels a special kinship with that organization. It became the 126th UN member on November 12, 1968. Equatorial Guinea served as a non-permanent member on the United Nations Security Council from 2017 to 2019.", "title": "" } ]
The government's official policy is one of nonalignment. In its search for assistance to meet the goal of national reconstruction, the government of Equatorial Guinea has established diplomatic relations with numerous European and Third World countries. Having achieved independence under UN sponsorship, Equatorial Guinea feels a special kinship with that organization. It became the 126th UN member on November 12, 1968. Equatorial Guinea served as a non-permanent member on the United Nations Security Council from 2017 to 2019.
2002-02-25T15:51:15Z
2023-12-29T20:01:41Z
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https://en.wikipedia.org/wiki/Foreign_relations_of_Equatorial_Guinea
9,377
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 Ocean, then called the Erythræan Sea, from the Greek for "red", ἐρυθρός, erythros. But earlier Eritrea was called Mdre Bahri. 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 annexed to Ethiopia. Following the communist Ethiopian government's defeat in 1991 by the coalition created by various armed groups notably the EPLF and the TPLF among others, Eritrea declared its independence. Eritrea officially celebrated its 1st anniversary of independence on May 24,1994. At Buya in Eritrea, one of the oldest hominids representing a possible link between Homo erectus and an archaic Homo sapiens was discovered by Eritrean and 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. Together with Djibouti, Tigray Region, Northern Somalia, and the Red Sea coast of Sudan, Eritrea is considered one of 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 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. 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. 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. 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. 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. 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. Beginning in the 12th century, however, the Ethiopian Zagwe and Solomonid dynasties held control to a fluctuating extent over the entire plateau and the Red Sea coast of Eritrea. 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. The Red Sea coast, having its strategic and commercial importance, was contested by many powers. In the 16th century the Ottomans occupied the Dahlak Archipelago and then Massawa. Also in the 16th century, Eritrea was affected by the invasions of Ahmad Gragn, the Muslim leader of the Sultanate of Adal. After the expulsion of the Adalites, the Ottomans occupied even more of Eritrea’s coastal area. The Ottoman Empire maintained only tenuous control over much of the territory over the following centuries until 1865, when the Egyptians obtained Massawa from the Ottomans. From there they pushed inland to the plateau, until 1876, when the Egyptians were defeated during the Egyptian-Ethiopian War. 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. 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 failed in their attempts take over the ports and other places on this coast, 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. 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 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 while praying, 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 praying, He was murdered. 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 5 pm to 5 am, 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 laid flowers on the graveyards 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, which the Ethiopian Liaison 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. Militant opposition to the incorporation of Eritrea into Ethiopia had begun in 1958 with the founding of the Eritrean Liberation Movement (ELM,Arabic: حركات تحرير إريتريا (Movements for liberation of Eritrea), Tigrinya: ማህበር ሸውዓተ Mahber showate (Association of Seven)), 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. 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 expressed its commitment 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). 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. 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 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": In relation to the Djiboutian–Eritrean border conflict: 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." Since November 2020, Eritrea has been involved in the Tigray War (see Eritrean involvement in the Tigray War).
[ { "paragraph_id": 0, "text": "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 Ocean, then called the Erythræan Sea, from the Greek for \"red\", ἐρυθρός, erythros. But earlier Eritrea was called Mdre Bahri. 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 annexed to Ethiopia. Following the communist Ethiopian government's defeat in 1991 by the coalition created by various armed groups notably the EPLF and the TPLF among others, Eritrea declared its independence. Eritrea officially celebrated its 1st anniversary of independence on May 24,1994.", "title": "" }, { "paragraph_id": 1, "text": "At Buya in Eritrea, one of the oldest hominids representing a possible link between Homo erectus and an archaic Homo sapiens was discovered by Eritrean and 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.", "title": "Prehistory" }, { "paragraph_id": 2, "text": "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.", "title": "Prehistory" }, { "paragraph_id": 3, "text": "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.", "title": "Prehistory" }, { "paragraph_id": 4, "text": "Together with Djibouti, Tigray Region, Northern Somalia, and the Red Sea coast of Sudan, Eritrea is considered one of 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.", "title": "Antiquity" }, { "paragraph_id": 5, "text": "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 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.", "title": "Antiquity" }, { "paragraph_id": 6, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 7, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 8, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 9, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 10, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 11, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 12, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 13, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 14, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 15, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 16, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 17, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 18, "text": "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.", "title": "Antiquity" }, { "paragraph_id": 19, "text": "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.", "title": "Post-classical period" }, { "paragraph_id": 20, "text": "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.", "title": "Post-classical period" }, { "paragraph_id": 21, "text": "Beginning in the 12th century, however, the Ethiopian Zagwe and Solomonid dynasties held control to a fluctuating extent over the entire plateau and the Red Sea coast of Eritrea. 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.", "title": "Post-classical period" }, { "paragraph_id": 22, "text": "The Red Sea coast, having its strategic and commercial importance, was contested by many powers. In the 16th century the Ottomans occupied the Dahlak Archipelago and then Massawa. Also in the 16th century, Eritrea was affected by the invasions of Ahmad Gragn, the Muslim leader of the Sultanate of Adal. After the expulsion of the Adalites, the Ottomans occupied even more of Eritrea’s coastal area. The Ottoman Empire maintained only tenuous control over much of the territory over the following centuries until 1865, when the Egyptians obtained Massawa from the Ottomans. From there they pushed inland to the plateau, until 1876, when the Egyptians were defeated during the Egyptian-Ethiopian War.", "title": "Post-classical period" }, { "paragraph_id": 23, "text": "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.", "title": "Post-classical period" }, { "paragraph_id": 24, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 25, "text": "Later, as the Egyptians retreated out of Sudan during the Mahdist rebellion and failed in their attempts take over the ports and other places on this coast, 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.", "title": "Italian Eritrea" }, { "paragraph_id": 26, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 27, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 28, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 29, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 30, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 31, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 32, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 33, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 34, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 35, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 36, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 37, "text": "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.", "title": "Italian Eritrea" }, { "paragraph_id": 38, "text": "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).", "title": "Italian Eritrea" }, { "paragraph_id": 39, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 40, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 41, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 42, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 43, "text": "An active Muslim League local leader, from Mai Derese, Bashai Nessredin Saeed was killed by the Unionist Shifta while praying, 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 praying, He was murdered. 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 5 pm to 5 am, but the riots continued, On Friday the curfew was extended to 22 hours.", "title": "British administration and federalisation" }, { "paragraph_id": 44, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 45, "text": "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 laid flowers on the graveyards 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, which the Ethiopian Liaison Officer played a big role to ignite, was brought to an end by the wise religious leaders and elders of both sides.", "title": "British administration and federalisation" }, { "paragraph_id": 46, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 47, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 48, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 49, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 50, "text": "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.", "title": "British administration and federalisation" }, { "paragraph_id": 51, "text": "Militant opposition to the incorporation of Eritrea into Ethiopia had begun in 1958 with the founding of the Eritrean Liberation Movement (ELM,Arabic: حركات تحرير إريتريا (Movements for liberation of Eritrea), Tigrinya: ማህበር ሸውዓተ Mahber showate (Association of Seven)), 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.", "title": "War for independence" }, { "paragraph_id": 52, "text": "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.", "title": "War for independence" }, { "paragraph_id": 53, "text": "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.", "title": "War for independence" }, { "paragraph_id": 54, "text": "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.", "title": "War for independence" }, { "paragraph_id": 55, "text": "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.", "title": "War for independence" }, { "paragraph_id": 56, "text": "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.", "title": "War for independence" }, { "paragraph_id": 57, "text": "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.", "title": "War for independence" }, { "paragraph_id": 58, "text": "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.\"", "title": "War for independence" }, { "paragraph_id": 59, "text": "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.", "title": "War for independence" }, { "paragraph_id": 60, "text": "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 expressed its commitment 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.", "title": "War for independence" }, { "paragraph_id": 61, "text": "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.", "title": "War for independence" }, { "paragraph_id": 62, "text": "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).", "title": "War for independence" }, { "paragraph_id": 63, "text": "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.", "title": "After independence" }, { "paragraph_id": 64, "text": "In July 1996 the Constitution of Eritrea was ratified, but it has yet to be implemented.", "title": "After independence" }, { "paragraph_id": 65, "text": "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.", "title": "After independence" }, { "paragraph_id": 66, "text": "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.", "title": "After independence" }, { "paragraph_id": 67, "text": "The UNMEE mission was formally abandoned in July 2008, after experiencing serious difficulties in sustaining its troops after fuel stoppages.", "title": "After independence" }, { "paragraph_id": 68, "text": "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.", "title": "After independence" }, { "paragraph_id": 69, "text": "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.", "title": "After independence" }, { "paragraph_id": 70, "text": "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%.", "title": "After independence" }, { "paragraph_id": 71, "text": "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.\"", "title": "After independence" }, { "paragraph_id": 72, "text": "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.", "title": "After independence" }, { "paragraph_id": 73, "text": "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.", "title": "After independence" }, { "paragraph_id": 74, "text": "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.", "title": "After independence" }, { "paragraph_id": 75, "text": "In September 2018, President Isaias Afwerki and Prime Minister of Ethiopia, Abiy Ahmed, signed a historic peace agreement between the two countries.", "title": "After independence" }, { "paragraph_id": 76, "text": "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.", "title": "After independence" }, { "paragraph_id": 77, "text": "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", "title": "After independence" }, { "paragraph_id": 78, "text": "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\":", "title": "After independence" }, { "paragraph_id": 79, "text": "In relation to the Djiboutian–Eritrean border conflict:", "title": "After independence" }, { "paragraph_id": 80, "text": "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.\"", "title": "After independence" }, { "paragraph_id": 81, "text": "Since November 2020, Eritrea has been involved in the Tigray War (see Eritrean involvement in the Tigray War).", "title": "After independence" } ]
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 Ocean, then called the Erythræan Sea, from the Greek for "red", ἐρυθρός, erythros. But earlier Eritrea was called Mdre Bahri. 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 annexed to Ethiopia. Following the communist Ethiopian government's defeat in 1991 by the coalition created by various armed groups notably the EPLF and the TPLF among others, Eritrea declared its independence. Eritrea officially celebrated its 1st anniversary of independence on May 24,1994.
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https://en.wikipedia.org/wiki/History_of_Eritrea
9,378
Geography of Eritrea
Eritrea is located in the Horn of Africa and is bordered on the northeast and east by the Red Sea, on the west and northwest by Sudan, on the south by Ethiopia, and on the southeast by Djibouti. The country has a high central plateau that varies from 1,800 to 3,000 meters (5,906–9,843 ft) above sea level. A coastal plain, western lowlands, and some 350 islands comprise the remainder of Eritrea's land mass. The climate of Eritrea is shaped by its diverse topography and its location within the tropics. The diversity in landscape and topography in the highlands and lowlands of Eritrea results in the diversity of climate across the country. The highlands have temperate climate throughout the year. The climate of most lowland zones is arid and semiarid. The distribution of rainfall and vegetation types varies markedly throughout the country. Eritrean climate varies on the basis of seasonal and altitudinal differences. Based on variations in temperature Eritrea can be broadly divided into three major climate zones: a temperate zone, a subtropical climate zone and a tropical climate zone. Eritrea can be divided into three major climate zones: the central highlands, the coastal region, and the western lowlands. Each has a different climate pattern. According to Köppen climate classification, Eritrea have either a hot semi-arid climate (BSh) or a hot desert climate (BWh), although temperatures are much moderated at the highest elevations. In the central highlands, the hottest month is usually May to June with highs around 27 °C (80.6 °F) to 30 °C (86 °F). Winter is between December and February with lows at night that can be near freezing point. Asmara itself enjoys a pleasant climate all year round, although it can be quite cold at night in winter. There are two rainy seasons: the short rains in March and April and the main rains from late June to the beginning of September. Over there, the climate is usually sunny and dry as sunshine durations turn around 3,000 h and averages annual rainfall hover around 500 mm (19.68 in). On the coast along the Red Sea, the summertime is long, from June to September and extremely hot with averages high temperatures ranging from 40 °C (104 °F) to 46 °C (114.8 °F), and it's even hotter in Denkalia. The wintertime is nearly non-existent and averages high temperatures remain above 28 °C (82.4 °F) during the least hot month of the year and averages low temperatures exceed 20 °C (68 °F). The rainy season along the coast north of Denkalia falls during the winter months but rainy days still remain scarce ; rainfall is even more rare in Denkalia Region. The climate is always sunny and dry in this zone and cloudy days are rare. In the western lowlands, the high temperatures are comparable to those on the coast in the hottest months of April until June. December is the coolest month with averages low temperatures falling as low as 15 °C (59 °F). The rainy seasons are the same as for the highlands. Location: Eastern Africa, bordering the Red Sea, between Djibouti and Sudan, also bordering Ethiopia. Geographic coordinates: 15°00′N 39°00′E / 15.000°N 39.000°E / 15.000; 39.000 Continent: Africa Area: total: 117,600 km land: 101,000 km water: 16,600 km Area - comparative: slightly smaller than Malawi Land boundaries: total: 1,840 km border countries: Djibouti 125 km, Ethiopia 1,033 km, Sudan 682 km Note that the border between Eritrea and Ethiopia is disputed. Coastline: 2,234 km total; mainland on Red Sea 1,151 km, islands in Red Sea 1,083 km Maritime claims: territorial sea: 12 nm Terrain: dominated by extension of Ethiopian north-south trending highlands, descending on the east to a coastal desert plain, on the northwest to hilly terrain and on the southwest to flat-to-rolling plains Ecoregions: Most of Eritrea's coast is part of the Ethiopian xeric grasslands and shrublands semi-desert ecoregion. The southern part of the Red Sea coast, along with the Red Sea coast of Djibouti, has been described as the Eritrean coastal desert, a harsh sand and gravel coastal strip covered in dune grasses and shrubs that is important as a channel for the mass migration of birds of prey. Elevation extremes: lowest point: near Lake Kulul within the Afar Depression −75 m highest point: Soira 3,018 m Natural resources: gold, potash, zinc, copper, salt, possibly petroleum and natural gas, fish Land use: arable land: 6.83% permanent crops: 0.02% other: 93.15% (2012 est.) Irrigated land: 215.9 km (2003) Total renewable water resources: 6.3 km Freshwater withdrawal (domestic/industrial/agricultural): total: 0.58 km/yr (5%/0%/95%) per capita: 121.3 m/yr (2004) Natural hazards: frequent droughts, rare earthquakes and volcanic activity, and locust storms Environment - current issues: deforestation; desertification; soil erosion; overgrazing; loss of infrastructure from civil warfare; Environment - international agreements: party to: Biodiversity, Climate Change, Desertification, Endangered Species, Hazardous Wastes, Ozone Layer Protection Geography - note: strategic geopolitical position along world's busiest shipping lanes; Eritrea retained the entire coastline of Ethiopia along the Red Sea upon de jure independence from Ethiopia on 24 May 1993. This is a list of the extreme points of Eritrea, the points that are farther north, south, east or west than any other location. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "Eritrea is located in the Horn of Africa and is bordered on the northeast and east by the Red Sea, on the west and northwest by Sudan, on the south by Ethiopia, and on the southeast by Djibouti. The country has a high central plateau that varies from 1,800 to 3,000 meters (5,906–9,843 ft) above sea level. A coastal plain, western lowlands, and some 350 islands comprise the remainder of Eritrea's land mass.", "title": "" }, { "paragraph_id": 1, "text": "The climate of Eritrea is shaped by its diverse topography and its location within the tropics. The diversity in landscape and topography in the highlands and lowlands of Eritrea results in the diversity of climate across the country. The highlands have temperate climate throughout the year. The climate of most lowland zones is arid and semiarid. The distribution of rainfall and vegetation types varies markedly throughout the country. Eritrean climate varies on the basis of seasonal and altitudinal differences. Based on variations in temperature Eritrea can be broadly divided into three major climate zones: a temperate zone, a subtropical climate zone and a tropical climate zone.", "title": "Climate" }, { "paragraph_id": 2, "text": "Eritrea can be divided into three major climate zones: the central highlands, the coastal region, and the western lowlands. Each has a different climate pattern. According to Köppen climate classification, Eritrea have either a hot semi-arid climate (BSh) or a hot desert climate (BWh), although temperatures are much moderated at the highest elevations.", "title": "Climate" }, { "paragraph_id": 3, "text": "In the central highlands, the hottest month is usually May to June with highs around 27 °C (80.6 °F) to 30 °C (86 °F). Winter is between December and February with lows at night that can be near freezing point. Asmara itself enjoys a pleasant climate all year round, although it can be quite cold at night in winter. There are two rainy seasons: the short rains in March and April and the main rains from late June to the beginning of September. Over there, the climate is usually sunny and dry as sunshine durations turn around 3,000 h and averages annual rainfall hover around 500 mm (19.68 in).", "title": "Climate" }, { "paragraph_id": 4, "text": "On the coast along the Red Sea, the summertime is long, from June to September and extremely hot with averages high temperatures ranging from 40 °C (104 °F) to 46 °C (114.8 °F), and it's even hotter in Denkalia. The wintertime is nearly non-existent and averages high temperatures remain above 28 °C (82.4 °F) during the least hot month of the year and averages low temperatures exceed 20 °C (68 °F). The rainy season along the coast north of Denkalia falls during the winter months but rainy days still remain scarce ; rainfall is even more rare in Denkalia Region. The climate is always sunny and dry in this zone and cloudy days are rare.", "title": "Climate" }, { "paragraph_id": 5, "text": "In the western lowlands, the high temperatures are comparable to those on the coast in the hottest months of April until June. December is the coolest month with averages low temperatures falling as low as 15 °C (59 °F). The rainy seasons are the same as for the highlands.", "title": "Climate" }, { "paragraph_id": 6, "text": "Location: Eastern Africa, bordering the Red Sea, between Djibouti and Sudan, also bordering Ethiopia.", "title": "Data" }, { "paragraph_id": 7, "text": "Geographic coordinates: 15°00′N 39°00′E / 15.000°N 39.000°E / 15.000; 39.000", "title": "Data" }, { "paragraph_id": 8, "text": "Continent: Africa", "title": "Data" }, { "paragraph_id": 9, "text": "Area: total: 117,600 km land: 101,000 km water: 16,600 km", "title": "Data" }, { "paragraph_id": 10, "text": "Area - comparative: slightly smaller than Malawi", "title": "Data" }, { "paragraph_id": 11, "text": "Land boundaries: total: 1,840 km border countries: Djibouti 125 km, Ethiopia 1,033 km, Sudan 682 km", "title": "Data" }, { "paragraph_id": 12, "text": "Note that the border between Eritrea and Ethiopia is disputed.", "title": "Data" }, { "paragraph_id": 13, "text": "Coastline: 2,234 km total; mainland on Red Sea 1,151 km, islands in Red Sea 1,083 km", "title": "Data" }, { "paragraph_id": 14, "text": "Maritime claims: territorial sea: 12 nm", "title": "Data" }, { "paragraph_id": 15, "text": "Terrain: dominated by extension of Ethiopian north-south trending highlands, descending on the east to a coastal desert plain, on the northwest to hilly terrain and on the southwest to flat-to-rolling plains", "title": "Data" }, { "paragraph_id": 16, "text": "Ecoregions: Most of Eritrea's coast is part of the Ethiopian xeric grasslands and shrublands semi-desert ecoregion. The southern part of the Red Sea coast, along with the Red Sea coast of Djibouti, has been described as the Eritrean coastal desert, a harsh sand and gravel coastal strip covered in dune grasses and shrubs that is important as a channel for the mass migration of birds of prey.", "title": "Data" }, { "paragraph_id": 17, "text": "Elevation extremes: lowest point: near Lake Kulul within the Afar Depression −75 m highest point: Soira 3,018 m", "title": "Data" }, { "paragraph_id": 18, "text": "Natural resources: gold, potash, zinc, copper, salt, possibly petroleum and natural gas, fish", "title": "Data" }, { "paragraph_id": 19, "text": "Land use: arable land: 6.83% permanent crops: 0.02% other: 93.15% (2012 est.)", "title": "Data" }, { "paragraph_id": 20, "text": "Irrigated land: 215.9 km (2003)", "title": "Data" }, { "paragraph_id": 21, "text": "Total renewable water resources: 6.3 km", "title": "Data" }, { "paragraph_id": 22, "text": "Freshwater withdrawal (domestic/industrial/agricultural): total: 0.58 km/yr (5%/0%/95%) per capita: 121.3 m/yr (2004)", "title": "Data" }, { "paragraph_id": 23, "text": "Natural hazards: frequent droughts, rare earthquakes and volcanic activity, and locust storms", "title": "Data" }, { "paragraph_id": 24, "text": "Environment - current issues: deforestation; desertification; soil erosion; overgrazing; loss of infrastructure from civil warfare;", "title": "Data" }, { "paragraph_id": 25, "text": "Environment - international agreements: party to: Biodiversity, Climate Change, Desertification, Endangered Species, Hazardous Wastes, Ozone Layer Protection", "title": "Data" }, { "paragraph_id": 26, "text": "Geography - note: strategic geopolitical position along world's busiest shipping lanes; Eritrea retained the entire coastline of Ethiopia along the Red Sea upon de jure independence from Ethiopia on 24 May 1993.", "title": "Data" }, { "paragraph_id": 27, "text": "This is a list of the extreme points of Eritrea, the points that are farther north, south, east or west than any other location.", "title": "Extreme points" }, { "paragraph_id": 28, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "References" } ]
Eritrea is located in the Horn of Africa and is bordered on the northeast and east by the Red Sea, on the west and northwest by Sudan, on the south by Ethiopia, and on the southeast by Djibouti. The country has a high central plateau that varies from 1,800 to 3,000 meters (5,906–9,843 ft) above sea level. A coastal plain, western lowlands, and some 350 islands comprise the remainder of Eritrea's land mass.
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[ "Template:Geography of Africa", "Template:Africa topic", "Template:Short description", "Template:Convert", "Template:Reflist", "Template:CIA World Factbook", "Template:Weather box", "Template:Coord", "Template:Cite book", "Template:Eritrea topics" ]
https://en.wikipedia.org/wiki/Geography_of_Eritrea
9,379
Demographics of Eritrea
Sources disagree as to the current population of Eritrea, with some proposing numbers as low as 3.6 million and others as high as 6.7 million. Eritrea has never conducted an official government census. The nation has nine recognized ethnic groups. Of these, the largest is the Tigriniya, who make up 50% of the population; the Tigre people, who also speak a Ethiosemitic language, constitute around 30% of residents. Most of the rest of the population belong to other Afro-Asiatic-speaking communities of the Cushitic branch. Additionally, there are a number of Nilo-Saharan-speaking ethnic minorities and other smaller groups. The two most followed religions are Christianity (47%-63% of the total population) and Islam (37%-52%). Ethnicity in Eritrea (2021) Eritrea's population comprises nine recognized ethnic groups, most of whom speak languages from the Ethiopian Semitic branch of the Afro-Asiatic family. The East African Semitic languages spoken in Eritrea are Tigre, Tigrinya, and the newly recognized Dahlik. Other Afro-Asiatic languages belonging to the Cushitic branch are also widely spoken in the country. The latter include Afar, Beja, Blin, and Saho. In addition, languages belonging to the Nilo-Saharan language family (Kunama and Nara) are spoken as a mother tongue by the Kunama and Nara Nilotic ethnic minorities that live in the north and northwestern part of the country. The Rashaida speak Arabic, while there are also a number of Italians who speak their native Italian language. The majority of the Tigrinya inhabit the highlands of Eritrea; however, migration to other parts of the country has occurred. Their language is called Tigrinya. They are the largest ethnic group in the country, constituting about 50% of the population. The predominantly Tigrinya populated urban centers in Eritrea are the capital Asmara, Mendefera, Dekemhare, Adi Keyh, Adi Quala and Senafe, while there is a significant population of Tigrinya in other cities including Keren, and Massawa. They are 92% Christians, (of which 90% are of the Eritrean Orthodox faith, 5% Roman Catholic and Eastern Catholic (whose mass is held in Ge'ez as opposed to Latin), and 5% belonging to various Protestant and other Christian denominations, the majority of which belong to the (Lutheran) Evangelical Church of Eritrea). The Tigre reside in the western lowlands in Eritrea. Many also migrated to Sudan at the time of the Ethiopian-Eritrean conflict and lived there since. They are a nomadic and pastoralist people, related to the Tigrinya and to the Beja people. They are a predominantly Muslim nomadic people who inhabit the northern, western, and coastal lowlands of Eritrea, and constitute 30% of the country's population. Some also inhabit areas in eastern Sudan. 95% of the Tigre people adhere to the Islamic religion Sunni Islam, but there are a small number of Christians among them as well (often referred to as the Mensaï in Eritrea). Their language is called Tigre. The Rashaida are one of Eritrea's nine recognized ethnic groups. They represent around 1% of the population of Eritrea. The Rashaida reside in the northern coastal lowlands of Eritrea and the northern eastern coasts of Sudan. They are predominantly Muslim and are the only ethnic group in Eritrea to have Arabic as their communal language, specifically the Hejazi dialect. The Rashaida first came to Eritrea in the 19th century from the Arabian Coast. The Jeberti people in Eritrea trace descent from early Muslim adherents. The term Jeberti is also locally sometimes used to generically refer to all Islamic inhabitants of the highlands. The Jeberti in Eritrea speak Arabic and Tigrinya. They account for about 8% of the Tigrinya speakers in the nation. According to the CIA, the Afar constitute 4% of the nation's population. They live in the Debubawi Keyih Bahri Region of Eritrea, as well as the Afar Region in Ethiopia, and Djibouti. They speak the Afar language as a mother tongue, and are predominantly Muslim. Afars in Eritrea number about 600,000 individuals, the smallest population out of the countries they reside in. In Djibouti, there are about 780,000 group members, and in Ethiopia, they number approximately 2,100,000. The Saho represent 4% of Eritrea's population. They principally reside in the Debubawi Keyih Bahri Region and the Northern Red Sea Region of Eritrea. Their language is called Saho. They are predominantly Muslim, although a few Christians known as the Irob live in the Debub Region of Eritrea and the Tigray region of Ethiopia. The Bilen in Eritrea represent around 3% of the country's population. They are primarily concentrated in the north-central areas, in and around the city of Keren, and south towards Asmara, the nation's capital. Many of them entered Eritrea from Kush (central Sudan) in the 8th century and settled at Merara, after which they went to Lalibela and Lasta. The Bilen then returned to Axum in Ethiopia's Tigray Province, and battled with the natives; in the resulting aftermath, the Bilen returned to their main base at Merara. The Bilen include adherents of both Islam and Christianity. They speak the Bilen language as a mother tongue. Christian adherents are mainly urban and have interbred with the Tigrinya who live in the area. Muslim adherents are mainly rural and have intermingled with the adjacent Tigre. The Beja in Eritrea, or Hedareb, constitute 2% of local residents. They mainly live along the north-western border with Sudan. Group members are predominantly Muslim and communicate in Hedareb as a first or second language. The Beja also include the Beni-Amer people, who have retained their native Beja language alongside Hedareb. According to the CIA, the Kunama constitute around 4% of Eritrea's population. They mainly live in the country's Gash Barka Region, as well as in adjacent parts of Ethiopia's Tigray Region. Many of them reside in the contested border village of Badme. Their language is called Kunama. Although some Kunama still practice traditional beliefs, most are converts to either Christianity (Roman Catholic and Protestant) or Islam. The Nara represent 2% of the nation's population. They principally reside along the south-western border with Sudan and Ethiopia. They are generally Muslim, with a few Christians and some practising their indigenous beliefs. Their language is called Nara. A few monolingual Italian Eritreans remain. As of 2008, they were estimated at 900 people, down from around 38,000 residents at the end of World War II. People in Eritrea practice various religions. According to the Pew Research Center (2010), 62.9% of the population are Christian, mostly followers of Eritrean Orthodox Tewahdo, and to a lesser extent, Roman Catholicism, with the second-largest religion being Muslims. In general, most local residents who adhere to Christianity live in the Maekel and Debub regions, whereas those who follow Islam predominantly inhabit the Anseba, Northern Red Sea, Southern Red Sea and Gash-Barka regions. A few adherents of traditional faiths can also be found, particularly in the lowlands. Sources disagree as to the current population of Eritrea, with UN DESA proposing a low estimate of 3.6 million for 2021 and the Common Market for Eastern and Southern Africa proposing a high estimate of 6.7 million for 2019. Eritrea has never conducted an official government census. In its 2019 data release, UN DESA described why its estimate was much lower than earlier estimates, stating, "The decrease is due to the availability of new official population estimates for several years (population count in 2000, official estimates up to 2018) that contribute to lower the size of the population in the recent years, as well as to revised past estimates since 1950." In the 2010s, worsening conditions fueled migration pressure, with Eritreans trying to reach Europe illegally. The UN Department of Economic and Social Affairs expects Eritrean population growth to accelerate to 1.8% per year from 2020-2030, vs. 1.1% per year from 2010-2020. The proportion of children below the age of 15 in 2020 was 41.1%, 54.3% were between 15 and 65 years of age, while 4.5% were 65 or older. Population Estimates by Sex and Age Group (1 July 2020) (Estimates based on the 2000 quick population count results and 1995, 2002 and 2010 Eritrea Demographic and Health Surveys.): The United Nations Department of Economic and Social Affairs (UN DESA) Population Division published its UN DESA 2019 Revision (World Population Prospects 2019) data release based on several data samples, including the 1995 and 2002 Demographic and Health Surveys (1995 DHS, 2002 DHS) and the 2010 Population and Health Survey (2010 PHS), since a full census had not been carried out in Eritrea as of 2010. The 1995 DHS survey was carried out in Eritrea by the Eritrean National Statistics Office (NSO) and Macro International Inc., collecting data by interviewing 5,054 women aged 15–49 and 1,114 men aged 15–59, chosen to be a statistically representative sample, from September 1995 to January 1996. The 2002 DHS survey was carried out by the NSO (renamed as the National Statistics and Evaluation Office), with support from the United States Agency for International Development (USAID) and ORC Macro, collecting data with interviews of 8,754 women in Eritrea in the 15–49 age range, in what was considered to be a statistically representative sample of the full population. Key findings of the survey included a drop from 1995 to 2002 of fertility from 6.1 to 4.8 children per woman; improved knowledge of contraception; a drop in post-neonatal mortality; improved antenatal care; a doubling of the full vaccination rate for 12–23 month old babies from 41 to 76 percent; 38 percent of children under five years old were chronically malnourished or stunted; and near universal knowledge of HIV and AIDS. In 2010, the NSO, supported by the Fafo Institute for Applied International Studies, published a Population and Health Survey (EPHS2010), based on a survey covering 34,423 households by choosing 900 areas around Eritrea, 525 rural and 375 urban, and randomly selecting 40 households in each cluster. Interviews aimed to include all women aged 15–49 and men aged 15–59 who were either residents or visitors in any selected household on the night preceding the interview. Key findings compared to the 1995 DHS survey included a decrease in early childhood mortality, increased children's vaccination, decreased maternal death, and a "wide gap between knowledge and use of family planning". Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR) (1995 DHS, Table 3.1; 2002 DHS, Table 4.1;) Fertility geographical distribution as of 2010 (PHS, Table 4-2): In 2015, there was a major outflow of emigrants from Eritrea. The Guardian attributed the emigration to Eritrea being "a totalitarian state where most citizens fear arrest at any moment and dare not speak to their neighbours, gather in groups or linger long outside their homes", with a major factor being the conditions and long durations of conscription in the Eritrean Army. At the end of 2018, the United Nations High Commissioner for Refugees (UNHCR) estimated that about 507,300 Eritreans were refugees who had fled Eritrea. Factors corresponding to emigration include the "lack of political, religious and social freedom", economic reasons and indefinite military service. Young people choosing to flee Eritrea often keep their plans secret from their families in order to decrease their families' stress and risk of being fined or imprisoned. Payment to people smugglers is typically made when a refugee arrives in Libya and provides the smugglers with a telephone number of a diaspora contact who is expected to pay. Several refugees given educational opportunities while residing in refugee camps in Ethiopia felt that they lacked long-term life opportunities beyond obtaining academic degrees, motivating them to attempt further emigration to Europe. During the first four half decades of the twenty-first century, UN DESA Population Division, in its 2019 Revision of World Population Prospects, estimated that Eritrea had 227 thousand more immigrants than emigrants during 2000–2005 (more people arrived than left), and had net outflows afterwards, with 80 thousand net emigrants during 2005–2010, 246 thousand during 2010–2015 and 199 thousand during 2015-2020. Demographic statistics according to the World Population Review in 2022. The following demographic statistics are from the CIA World Factbook. Eritrean(s) Eritrean Tigrinya 55%, Tigre 30%, Saho 4%, Kunama 2%, Rashaida 2%, Bilen 2%, other (Afar, Beni-Amer, Nera) 5% (2010 est.) definition: age 15 and over can read and write (2015 est.) Attribution: This article incorporates public domain material from The World Factbook (2023 ed.). CIA. (Archived 2008 edition)
[ { "paragraph_id": 0, "text": "Sources disagree as to the current population of Eritrea, with some proposing numbers as low as 3.6 million and others as high as 6.7 million. Eritrea has never conducted an official government census.", "title": "" }, { "paragraph_id": 1, "text": "The nation has nine recognized ethnic groups. Of these, the largest is the Tigriniya, who make up 50% of the population; the Tigre people, who also speak a Ethiosemitic language, constitute around 30% of residents. Most of the rest of the population belong to other Afro-Asiatic-speaking communities of the Cushitic branch. Additionally, there are a number of Nilo-Saharan-speaking ethnic minorities and other smaller groups.", "title": "" }, { "paragraph_id": 2, "text": "The two most followed religions are Christianity (47%-63% of the total population) and Islam (37%-52%).", "title": "" }, { "paragraph_id": 3, "text": "Ethnicity in Eritrea (2021)", "title": "Ethno-linguistic groups" }, { "paragraph_id": 4, "text": "Eritrea's population comprises nine recognized ethnic groups, most of whom speak languages from the Ethiopian Semitic branch of the Afro-Asiatic family. The East African Semitic languages spoken in Eritrea are Tigre, Tigrinya, and the newly recognized Dahlik. Other Afro-Asiatic languages belonging to the Cushitic branch are also widely spoken in the country. The latter include Afar, Beja, Blin, and Saho.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 5, "text": "In addition, languages belonging to the Nilo-Saharan language family (Kunama and Nara) are spoken as a mother tongue by the Kunama and Nara Nilotic ethnic minorities that live in the north and northwestern part of the country. The Rashaida speak Arabic, while there are also a number of Italians who speak their native Italian language.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 6, "text": "The majority of the Tigrinya inhabit the highlands of Eritrea; however, migration to other parts of the country has occurred. Their language is called Tigrinya. They are the largest ethnic group in the country, constituting about 50% of the population. The predominantly Tigrinya populated urban centers in Eritrea are the capital Asmara, Mendefera, Dekemhare, Adi Keyh, Adi Quala and Senafe, while there is a significant population of Tigrinya in other cities including Keren, and Massawa.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 7, "text": "They are 92% Christians, (of which 90% are of the Eritrean Orthodox faith, 5% Roman Catholic and Eastern Catholic (whose mass is held in Ge'ez as opposed to Latin), and 5% belonging to various Protestant and other Christian denominations, the majority of which belong to the (Lutheran) Evangelical Church of Eritrea).", "title": "Ethno-linguistic groups" }, { "paragraph_id": 8, "text": "The Tigre reside in the western lowlands in Eritrea. Many also migrated to Sudan at the time of the Ethiopian-Eritrean conflict and lived there since. They are a nomadic and pastoralist people, related to the Tigrinya and to the Beja people. They are a predominantly Muslim nomadic people who inhabit the northern, western, and coastal lowlands of Eritrea, and constitute 30% of the country's population. Some also inhabit areas in eastern Sudan. 95% of the Tigre people adhere to the Islamic religion Sunni Islam, but there are a small number of Christians among them as well (often referred to as the Mensaï in Eritrea). Their language is called Tigre.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 9, "text": "The Rashaida are one of Eritrea's nine recognized ethnic groups. They represent around 1% of the population of Eritrea. The Rashaida reside in the northern coastal lowlands of Eritrea and the northern eastern coasts of Sudan. They are predominantly Muslim and are the only ethnic group in Eritrea to have Arabic as their communal language, specifically the Hejazi dialect. The Rashaida first came to Eritrea in the 19th century from the Arabian Coast.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 10, "text": "The Jeberti people in Eritrea trace descent from early Muslim adherents. The term Jeberti is also locally sometimes used to generically refer to all Islamic inhabitants of the highlands. The Jeberti in Eritrea speak Arabic and Tigrinya. They account for about 8% of the Tigrinya speakers in the nation.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 11, "text": "According to the CIA, the Afar constitute 4% of the nation's population. They live in the Debubawi Keyih Bahri Region of Eritrea, as well as the Afar Region in Ethiopia, and Djibouti. They speak the Afar language as a mother tongue, and are predominantly Muslim. Afars in Eritrea number about 600,000 individuals, the smallest population out of the countries they reside in. In Djibouti, there are about 780,000 group members, and in Ethiopia, they number approximately 2,100,000.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 12, "text": "The Saho represent 4% of Eritrea's population. They principally reside in the Debubawi Keyih Bahri Region and the Northern Red Sea Region of Eritrea. Their language is called Saho. They are predominantly Muslim, although a few Christians known as the Irob live in the Debub Region of Eritrea and the Tigray region of Ethiopia.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 13, "text": "The Bilen in Eritrea represent around 3% of the country's population. They are primarily concentrated in the north-central areas, in and around the city of Keren, and south towards Asmara, the nation's capital. Many of them entered Eritrea from Kush (central Sudan) in the 8th century and settled at Merara, after which they went to Lalibela and Lasta. The Bilen then returned to Axum in Ethiopia's Tigray Province, and battled with the natives; in the resulting aftermath, the Bilen returned to their main base at Merara. The Bilen include adherents of both Islam and Christianity. They speak the Bilen language as a mother tongue. Christian adherents are mainly urban and have interbred with the Tigrinya who live in the area. Muslim adherents are mainly rural and have intermingled with the adjacent Tigre.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 14, "text": "The Beja in Eritrea, or Hedareb, constitute 2% of local residents. They mainly live along the north-western border with Sudan. Group members are predominantly Muslim and communicate in Hedareb as a first or second language. The Beja also include the Beni-Amer people, who have retained their native Beja language alongside Hedareb.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 15, "text": "According to the CIA, the Kunama constitute around 4% of Eritrea's population. They mainly live in the country's Gash Barka Region, as well as in adjacent parts of Ethiopia's Tigray Region. Many of them reside in the contested border village of Badme. Their language is called Kunama. Although some Kunama still practice traditional beliefs, most are converts to either Christianity (Roman Catholic and Protestant) or Islam.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 16, "text": "The Nara represent 2% of the nation's population. They principally reside along the south-western border with Sudan and Ethiopia. They are generally Muslim, with a few Christians and some practising their indigenous beliefs. Their language is called Nara.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 17, "text": "A few monolingual Italian Eritreans remain. As of 2008, they were estimated at 900 people, down from around 38,000 residents at the end of World War II.", "title": "Ethno-linguistic groups" }, { "paragraph_id": 18, "text": "People in Eritrea practice various religions. According to the Pew Research Center (2010), 62.9% of the population are Christian, mostly followers of Eritrean Orthodox Tewahdo, and to a lesser extent, Roman Catholicism, with the second-largest religion being Muslims. In general, most local residents who adhere to Christianity live in the Maekel and Debub regions, whereas those who follow Islam predominantly inhabit the Anseba, Northern Red Sea, Southern Red Sea and Gash-Barka regions. A few adherents of traditional faiths can also be found, particularly in the lowlands.", "title": "Religion" }, { "paragraph_id": 19, "text": "Sources disagree as to the current population of Eritrea, with UN DESA proposing a low estimate of 3.6 million for 2021 and the Common Market for Eastern and Southern Africa proposing a high estimate of 6.7 million for 2019. Eritrea has never conducted an official government census. In its 2019 data release, UN DESA described why its estimate was much lower than earlier estimates, stating, \"The decrease is due to the availability of new official population estimates for several years (population count in 2000, official estimates up to 2018) that contribute to lower the size of the population in the recent years, as well as to revised past estimates since 1950.\"", "title": "Population" }, { "paragraph_id": 20, "text": "In the 2010s, worsening conditions fueled migration pressure, with Eritreans trying to reach Europe illegally. The UN Department of Economic and Social Affairs expects Eritrean population growth to accelerate to 1.8% per year from 2020-2030, vs. 1.1% per year from 2010-2020.", "title": "Population" }, { "paragraph_id": 21, "text": "The proportion of children below the age of 15 in 2020 was 41.1%, 54.3% were between 15 and 65 years of age, while 4.5% were 65 or older.", "title": "Population" }, { "paragraph_id": 22, "text": "Population Estimates by Sex and Age Group (1 July 2020) (Estimates based on the 2000 quick population count results and 1995, 2002 and 2010 Eritrea Demographic and Health Surveys.):", "title": "Population" }, { "paragraph_id": 23, "text": "The United Nations Department of Economic and Social Affairs (UN DESA) Population Division published its UN DESA 2019 Revision (World Population Prospects 2019) data release based on several data samples, including the 1995 and 2002 Demographic and Health Surveys (1995 DHS, 2002 DHS) and the 2010 Population and Health Survey (2010 PHS), since a full census had not been carried out in Eritrea as of 2010.", "title": "Vital statistics" }, { "paragraph_id": 24, "text": "The 1995 DHS survey was carried out in Eritrea by the Eritrean National Statistics Office (NSO) and Macro International Inc., collecting data by interviewing 5,054 women aged 15–49 and 1,114 men aged 15–59, chosen to be a statistically representative sample, from September 1995 to January 1996.", "title": "Vital statistics" }, { "paragraph_id": 25, "text": "The 2002 DHS survey was carried out by the NSO (renamed as the National Statistics and Evaluation Office), with support from the United States Agency for International Development (USAID) and ORC Macro, collecting data with interviews of 8,754 women in Eritrea in the 15–49 age range, in what was considered to be a statistically representative sample of the full population. Key findings of the survey included a drop from 1995 to 2002 of fertility from 6.1 to 4.8 children per woman; improved knowledge of contraception; a drop in post-neonatal mortality; improved antenatal care; a doubling of the full vaccination rate for 12–23 month old babies from 41 to 76 percent; 38 percent of children under five years old were chronically malnourished or stunted; and near universal knowledge of HIV and AIDS.", "title": "Vital statistics" }, { "paragraph_id": 26, "text": "In 2010, the NSO, supported by the Fafo Institute for Applied International Studies, published a Population and Health Survey (EPHS2010), based on a survey covering 34,423 households by choosing 900 areas around Eritrea, 525 rural and 375 urban, and randomly selecting 40 households in each cluster. Interviews aimed to include all women aged 15–49 and men aged 15–59 who were either residents or visitors in any selected household on the night preceding the interview. Key findings compared to the 1995 DHS survey included a decrease in early childhood mortality, increased children's vaccination, decreased maternal death, and a \"wide gap between knowledge and use of family planning\".", "title": "Vital statistics" }, { "paragraph_id": 27, "text": "Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR) (1995 DHS, Table 3.1; 2002 DHS, Table 4.1;)", "title": "Vital statistics" }, { "paragraph_id": 28, "text": "Fertility geographical distribution as of 2010 (PHS, Table 4-2):", "title": "Vital statistics" }, { "paragraph_id": 29, "text": "In 2015, there was a major outflow of emigrants from Eritrea. The Guardian attributed the emigration to Eritrea being \"a totalitarian state where most citizens fear arrest at any moment and dare not speak to their neighbours, gather in groups or linger long outside their homes\", with a major factor being the conditions and long durations of conscription in the Eritrean Army. At the end of 2018, the United Nations High Commissioner for Refugees (UNHCR) estimated that about 507,300 Eritreans were refugees who had fled Eritrea. Factors corresponding to emigration include the \"lack of political, religious and social freedom\", economic reasons and indefinite military service. Young people choosing to flee Eritrea often keep their plans secret from their families in order to decrease their families' stress and risk of being fined or imprisoned. Payment to people smugglers is typically made when a refugee arrives in Libya and provides the smugglers with a telephone number of a diaspora contact who is expected to pay. Several refugees given educational opportunities while residing in refugee camps in Ethiopia felt that they lacked long-term life opportunities beyond obtaining academic degrees, motivating them to attempt further emigration to Europe.", "title": "Vital statistics" }, { "paragraph_id": 30, "text": "During the first four half decades of the twenty-first century, UN DESA Population Division, in its 2019 Revision of World Population Prospects, estimated that Eritrea had 227 thousand more immigrants than emigrants during 2000–2005 (more people arrived than left), and had net outflows afterwards, with 80 thousand net emigrants during 2005–2010, 246 thousand during 2010–2015 and 199 thousand during 2015-2020.", "title": "Vital statistics" }, { "paragraph_id": 31, "text": "Demographic statistics according to the World Population Review in 2022.", "title": "Demographic statistics" }, { "paragraph_id": 32, "text": "The following demographic statistics are from the CIA World Factbook.", "title": "Demographic statistics" }, { "paragraph_id": 33, "text": "Eritrean(s)", "title": "Demographic statistics" }, { "paragraph_id": 34, "text": "Eritrean", "title": "Demographic statistics" }, { "paragraph_id": 35, "text": "Tigrinya 55%, Tigre 30%, Saho 4%, Kunama 2%, Rashaida 2%, Bilen 2%, other (Afar, Beni-Amer, Nera) 5% (2010 est.)", "title": "Demographic statistics" }, { "paragraph_id": 36, "text": "definition: age 15 and over can read and write (2015 est.)", "title": "Demographic statistics" }, { "paragraph_id": 37, "text": "Attribution: This article incorporates public domain material from The World Factbook (2023 ed.). CIA. (Archived 2008 edition)", "title": "References" } ]
Sources disagree as to the current population of Eritrea, with some proposing numbers as low as 3.6 million and others as high as 6.7 million. Eritrea has never conducted an official government census. The nation has nine recognized ethnic groups. Of these, the largest is the Tigriniya, who make up 50% of the population; the Tigre people, who also speak a Ethiosemitic language, constitute around 30% of residents. Most of the rest of the population belong to other Afro-Asiatic-speaking communities of the Cushitic branch. Additionally, there are a number of Nilo-Saharan-speaking ethnic minorities and other smaller groups. The two most followed religions are Christianity and Islam (37%-52%).
2001-04-29T05:21:43Z
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https://en.wikipedia.org/wiki/Demographics_of_Eritrea
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Politics of Eritrea
The Politics of Eritrea and the Government of Eritrea takes place in a framework of a single-party presidential republican totalitarian dictatorship. The President officially serves as both head of state and head of government. The People's Front for Democracy and Justice is the only political party legally permitted to exist in Eritrea. The popularly elected National Assembly of 150 seats, formed in 1993 shortly after independence from Ethiopia, elected the current president, Isaias Afwerki. There have been no general elections since its official independence in 1993. A new constitution was drafted in 1993 and ratified in 1997, but has not been implemented. Since the National Assembly last met in January 2002, President Isaias Afwerki has exercised the powers of both the executive and legislative branches of government. Independent local sources of political information on Eritrean domestic politics are scarce; in September 2001 the government closed down all of the nation's privately owned print media, and outspoken critics of the government have been arrested and held without trial, according to domestic and international observers, including Human Rights Watch and Amnesty International. In 2004 the U.S. State Department declared Eritrea a Country of Particular Concern (CPC) for its alleged record of religious persecution. The President nominates individuals to head the various ministries, authorities, commissions, and offices, and the National Assembly ratifies those nominations. The cabinet is the country's executive branch. It is composed of 18 ministries and chaired by the president. It implements policies, regulations, and laws and is, in theory, accountable to the National Assembly. The Ministries are: The legislature, the National Assembly appointed in 1993, includes 75 members of the People's Front for Democracy and Justice (PFDJ) and 75 additional 'popularly elected' members. Those elected by the general population must include 11 women and representation of 15 Eritreans not currently living in the state. The National Assembly is the highest legal power in the government until the establishment of a democratic, constitutional government. Within the Eritrean Constitution, the legislature would remain the strongest arm of the government. The legislature sets the internal and external policies of the government, regulates the implementation of those policies, approves the budget, and elects the president of the country. Its membership has not been renewed through national elections, and its latest session was in January 2002. Lower Regional Assemblies are also in each of Eritrea's six zones. These Assemblies are responsible for setting a local agenda in the case that they are not overruled by the National Assembly. These Regional Assemblies are popularly elected within each region. Unlike the National Assembly, however, the Regional administrator is not selected by the Regional Assembly. Eritrea is a single-party state run by the People's Front for Democracy and Justice (PFDJ). No other political groups are legally allowed to organize. The PFDJ's most recent party congress was held in January 2002, and its members have not met since. Legislative elections were set for 1997 and then postponed until 2001, it was then decided that because 20% of Eritrea's land was under occupation that elections would be postponed until the resolution of the conflict with Ethiopia. Local elections have continued in Eritrea. The most recent round of local government elections was held in May 2003. On further elections, the President's Chief of Staff, Yemane Ghebremeskel said, The electoral commission is handling these elections this time round so that may be the new element in this process. The national assembly has also mandated the electoral commission to set the date for national elections, so whenever the electoral commission sets the date there will be national elections. It’s not dependent on regional elections, although that might be a very helpful process. Multipartyism, in general principle yes, it is there but the law on political parties has to be approved by the national assembly. It was not approved the last time. The view from the beginning was that you don’t necessarily need a party law to hold national elections. You can have national elections and the party law can be adopted at any time. So in terms of commitment it’s very clear, in terms of the process it has its own pace, its own characteristics. Eritrea has had rough relations with most of its neighbors in the 1990s and initiated both small-scale and large-scale battles against Sudan, Djibouti, Yemen and Ethiopia. Eritrea invaded the Hanish islands of Yemen, Sudan blamed Eritrea for attacks in Eastern Sudan, UN commission accused Eritrea for invading Ethiopia and Djibouti officials accused Eritrea for shelling towns in Djibouti in 1996. After this, Eritrea has made efforts to solve relations with Sudan and Djibouti, though relations with Yemen and Ethiopia remain sour. In 2008, an attack on Djibouti led by the Eritrean Army on the tip South end of the country led to several civilians being killed, and further international tensions. Eritrea abandoned the regional bloc IGAD which is membered by the four nations and Kenya. Due to the nature of its environment, many Eritreans risk their lives to flee the country and reach the Mediterranean and Europe. The judiciary operates independently of both the legislative and executive bodies, with a court system that extends from the village through to the regional and national levels. Such isolation, in fact, can be seen in the judiciary’s exclusion from Proclamation no. 86/1996 for the Establishment of Regional Administration (PERA). PERA outlines the responsibilities and discretions of the legislative and executive branches but notably excludes the judiciary branch. In addition to its separation, the constitution also upholds the courts to protect the meselat (rights), rebhatat (rights), and natznetat (freedoms) of government, organizations, associations, and individuals. With regard to the legal profession, according to a 2015 source, there is not a bar association in Eritrea. The Legal Committee of the Ministry of Justice oversees the admission and requirements to practice law. Although the source goes on to state that there have been female judges, there is no indication as to how demographic groups, such as women, have fared in the legal field. The Eritrean judicial system is split into three different courts: the Civil Court, the Military Court, and the Special Court. Indeed, each level possesses distinct characteristics and responsibilities to uphold the rule of law in Eritrea. At the lowest level of the Eritrean judiciary, the Civil Court eases the pressures of the higher courts by ruling on minor infractions of the law with sums less than 110,000 nakfa, or 7,299 US dollars. Notably, there are multiple divisions within the Civil Court; the structure has three tiers, the local "community courts," the regional courts and the national High Court. The community courts work on the basis of the area, the local rules and customs. At the bottom tier, they operate on a single-judge bench system where only one judge presides over each case. Here, village judges are elected, though typically they are the village elders and do not possess formal training. Although these judges mainly preside over civil cases, those who are well-versed in criminal law may rule on these kinds of cases, as well. Within Eritrea, There are a total of 683 community courts across the country with the number of magistrates totalling to 2,049, i.e. 55 in the Central Region, 213 in the South, 178 in Gash-Barka, 109 in Anseba, 98 in the Northern and 30 in the Southern Red Sea regions." If a dispute cannot be resolved in the community courts it can be appealed to the next level of judicial administration, the regional courts, natively known as Zoba Courts, which operate on a three-judge bench system. The Zoba Courts adjudicate civil, criminal, and Shari’a law, the last of which handles cases regarding members of the Islam faith. Decisions in the Zoba Courts can be appealed to the High Courts, which is primarily appellate in nature but also operates as a first-instance court for murder, rape, and serious felonies. This three-judge bench system holds jurisdiction in civil, criminal, commercial, and Shari’a law. Final appeals from the High Court are taken to the Supreme Court with a panel of five judges. The president of this Supreme Court is the president of the High Court, as well, and is accompanied by four other judges from the High Court to interpret the law. The Military Court composes another component of the Eritrean judicial system. The Military Court’s jurisdiction falls under cases brought against members of the armed forces as well as crimes committed by and against the members of the armed forces. In addition, this court may also sentence military personnel that express criticism of the government. As one may expect, all presiding judges are veterans of the military. There are two levels to the Military Branch, but neither are appellate courts; in fact, the Eritrean High Court (from the Civil Court) fulfils this task. Given the large presence and popularity of militarization in Eritrea, the Military Court embodies an “enormous - and unchecked - judicial importance in the country”. The Special Court, the third and final element to the Eritrean judicial system, operates on a three-judge bench system and works under three themes: general criminal cases, corruption, and illegal foreign exchange and smuggling. Judges in this branch are either senior military members or former members of the Eritrean People's Liberation Front, the leading group that fought for Eritrea’s independence from Ethiopia. The Special Court is defined by its high level of autonomy and discretion; in fact, the Special Court operates in complete secrecy, so no published records of its procedures available. Although the Office of the Attorney-General decides which cases are heard, judges are not bound by the Code of Criminal Procedure, Penal Code, or any precedence in law; rather, judges rely on their “conscience” to make most decisions. Furthermore, the court can re-open and adjudicate cases that have already been processed through federal courts, allowing for the occurrence of double jeopardy. Judges can also, without limit, intensify punishments that the government sees as insufficient. Moreover, during a trial, defendants are denied any form of representation and may even be asked to defend themselves in person. Except for rare instances when appeals are made to the Office of the President, there are no ways to challenge the rulings that result from the Special Court. By Constitutional measures, the law prohibits “indefinite and arbitrary” detention, requires arrested persons be brought before a court within 48 hours, and sets a limit of 28 days in which an arrested person may be held without being charged for a criminal offense. However, this statute is often not practiced, especially in regard to political crimes. The Constitution also grants defendants the right to be present during the trial with legal representation for punishments exceeding ten years; yet, many lack the resources to retain a lawyer and the Eritrean judicial system lacks qualified lawyers who can serve as defense attorneys. Although the High Court does uphold the right to confront and question witnesses, present evidence, gain access to government-held evidence, and appeal against a decision, the Special Court disregards the above qualities. In addition, Eritrea’s absence of civil judicial procedures addressing human rights violations by the government contradicts Article 24 of the constitution that allows for this redress for citizens. The last contradiction is of the judges, themselves. Of course, the judges are physically able, for Proclamation on the Establishment of Community Courts No. 132/2003 bars citizens with mental disabilities from standing for elections as judges; however, judges do not receive training or do not have prior experience in law. Many are military men who form their decision based on conscience and the political values of the Eritrean Liberation Front (ELF). Lastly, despite constitutional calls for an independent judiciary, the president of Eritrea continues to intervene in the judicial decision-making. Eritrea is divided into 6 regions (or zobas) and subdivided into approximately 55 districts or sub-zobas. The regions are based on the hydrological properties of area. This has the dual effect of providing each administration with ample control over its agricultural capacity and eliminating historical intra-regional conflicts. The regions are included followed by the Sub-region: External issues include an undemarcated border with the Sudan, a brief war with Yemen over the Hanish Islands in 1996, and a recent border conflict with Ethiopia. The undemarcated border with Sudan poses a problem for Eritrean external relations. After a high-level delegation to the Sudan from the Eritrean Ministry of Foreign Affairs ties are being normalized. While normalization of ties continues, Eritrea has been recognized as a broker for peace between the separate factions of the Sudanese civil war, with Hassan al-Turabi crediting Eritrea in playing a role in the peace agreement between the Southern Sudanese and the government. Additionally, the Sudanese Government and Eastern Front rebels requested that Eritrea mediate their peace talks in 2006. A dispute with Yemen over the Hanish Islands in 1996 resulted in a brief war. As part of an agreement to cease hostilities the two nations agreed to refer the issue to the Permanent Court of Arbitration at the Hague. At the conclusion of the proceedings, both nations acquiesced to the decision. Since 1996 both governments have remained wary of one another but relations are relatively normal. The undemarcated border with Ethiopia is the primary external issue facing Eritrea. This led to a long and bloody border war between 1998 and 2000. As a result, the United Nations Mission in Ethiopia and Eritrea (UNMEE) is occupying a 25 km by 900 km area on the border to help stabilize the region. Disagreements following the war have resulted in stalemate punctuated by periods of elevated tension and renewed threats of war. Central to the continuation of the stalemate is Ethiopia's failure to abide by the border delimitation ruling and reneging on its commitment to demarcation. The stalemate has led the President of Eritrea to write his Eleven Letters to the United Nations Security Council, which urges the UN to take action on Ethiopia. Relations between the two countries is further strained by the continued effort of the Eritrean and Ethiopian leaders in supporting each other's opposition. The 8–9 July 2018 took place the 2018 Eritrea–Ethiopia summit (also 2018 Eritrea–Ethiopia peace summit) in Asmara, Eritrea, between Eritrean President Isaias Afwerki and Ethiopian Prime Minister Abiy Ahmed and officials from the two countries. The two leaders signed a joint declaration on 9 July, formally ending the border conflict between both countries, restoring full diplomatic relations, and agreeing to open their borders to each other for persons, goods and services. The joint statement was also considered to close all chapters regarding the Eritrean–Ethiopian War (1998–2000) and of the following Eritrean–Ethiopian border conflict (2000–2018) with sporadic clashes.
[ { "paragraph_id": 0, "text": "The Politics of Eritrea and the Government of Eritrea takes place in a framework of a single-party presidential republican totalitarian dictatorship. The President officially serves as both head of state and head of government. The People's Front for Democracy and Justice is the only political party legally permitted to exist in Eritrea. The popularly elected National Assembly of 150 seats, formed in 1993 shortly after independence from Ethiopia, elected the current president, Isaias Afwerki. There have been no general elections since its official independence in 1993. A new constitution was drafted in 1993 and ratified in 1997, but has not been implemented. Since the National Assembly last met in January 2002, President Isaias Afwerki has exercised the powers of both the executive and legislative branches of government.", "title": "" }, { "paragraph_id": 1, "text": "Independent local sources of political information on Eritrean domestic politics are scarce; in September 2001 the government closed down all of the nation's privately owned print media, and outspoken critics of the government have been arrested and held without trial, according to domestic and international observers, including Human Rights Watch and Amnesty International. In 2004 the U.S. State Department declared Eritrea a Country of Particular Concern (CPC) for its alleged record of religious persecution.", "title": "" }, { "paragraph_id": 2, "text": "The President nominates individuals to head the various ministries, authorities, commissions, and offices, and the National Assembly ratifies those nominations. The cabinet is the country's executive branch. It is composed of 18 ministries and chaired by the president. It implements policies, regulations, and laws and is, in theory, accountable to the National Assembly.", "title": "Executive branch" }, { "paragraph_id": 3, "text": "The Ministries are:", "title": "Executive branch" }, { "paragraph_id": 4, "text": "The legislature, the National Assembly appointed in 1993, includes 75 members of the People's Front for Democracy and Justice (PFDJ) and 75 additional 'popularly elected' members. Those elected by the general population must include 11 women and representation of 15 Eritreans not currently living in the state. The National Assembly is the highest legal power in the government until the establishment of a democratic, constitutional government. Within the Eritrean Constitution, the legislature would remain the strongest arm of the government. The legislature sets the internal and external policies of the government, regulates the implementation of those policies, approves the budget, and elects the president of the country. Its membership has not been renewed through national elections, and its latest session was in January 2002.", "title": "Legislative branch" }, { "paragraph_id": 5, "text": "Lower Regional Assemblies are also in each of Eritrea's six zones. These Assemblies are responsible for setting a local agenda in the case that they are not overruled by the National Assembly. These Regional Assemblies are popularly elected within each region. Unlike the National Assembly, however, the Regional administrator is not selected by the Regional Assembly.", "title": "Legislative branch" }, { "paragraph_id": 6, "text": "Eritrea is a single-party state run by the People's Front for Democracy and Justice (PFDJ). No other political groups are legally allowed to organize. The PFDJ's most recent party congress was held in January 2002, and its members have not met since.", "title": "Political parties and elections" }, { "paragraph_id": 7, "text": "Legislative elections were set for 1997 and then postponed until 2001, it was then decided that because 20% of Eritrea's land was under occupation that elections would be postponed until the resolution of the conflict with Ethiopia. Local elections have continued in Eritrea. The most recent round of local government elections was held in May 2003. On further elections, the President's Chief of Staff, Yemane Ghebremeskel said,", "title": "Political parties and elections" }, { "paragraph_id": 8, "text": "The electoral commission is handling these elections this time round so that may be the new element in this process. The national assembly has also mandated the electoral commission to set the date for national elections, so whenever the electoral commission sets the date there will be national elections. It’s not dependent on regional elections, although that might be a very helpful process. Multipartyism, in general principle yes, it is there but the law on political parties has to be approved by the national assembly. It was not approved the last time. The view from the beginning was that you don’t necessarily need a party law to hold national elections. You can have national elections and the party law can be adopted at any time. So in terms of commitment it’s very clear, in terms of the process it has its own pace, its own characteristics.", "title": "Political parties and elections" }, { "paragraph_id": 9, "text": "Eritrea has had rough relations with most of its neighbors in the 1990s and initiated both small-scale and large-scale battles against Sudan, Djibouti, Yemen and Ethiopia. Eritrea invaded the Hanish islands of Yemen, Sudan blamed Eritrea for attacks in Eastern Sudan, UN commission accused Eritrea for invading Ethiopia and Djibouti officials accused Eritrea for shelling towns in Djibouti in 1996. After this, Eritrea has made efforts to solve relations with Sudan and Djibouti, though relations with Yemen and Ethiopia remain sour. In 2008, an attack on Djibouti led by the Eritrean Army on the tip South end of the country led to several civilians being killed, and further international tensions. Eritrea abandoned the regional bloc IGAD which is membered by the four nations and Kenya. Due to the nature of its environment, many Eritreans risk their lives to flee the country and reach the Mediterranean and Europe.", "title": "Political parties and elections" }, { "paragraph_id": 10, "text": "The judiciary operates independently of both the legislative and executive bodies, with a court system that extends from the village through to the regional and national levels. Such isolation, in fact, can be seen in the judiciary’s exclusion from Proclamation no. 86/1996 for the Establishment of Regional Administration (PERA). PERA outlines the responsibilities and discretions of the legislative and executive branches but notably excludes the judiciary branch. In addition to its separation, the constitution also upholds the courts to protect the meselat (rights), rebhatat (rights), and natznetat (freedoms) of government, organizations, associations, and individuals. With regard to the legal profession, according to a 2015 source, there is not a bar association in Eritrea. The Legal Committee of the Ministry of Justice oversees the admission and requirements to practice law. Although the source goes on to state that there have been female judges, there is no indication as to how demographic groups, such as women, have fared in the legal field.", "title": "Judicial branch" }, { "paragraph_id": 11, "text": "The Eritrean judicial system is split into three different courts: the Civil Court, the Military Court, and the Special Court. Indeed, each level possesses distinct characteristics and responsibilities to uphold the rule of law in Eritrea.", "title": "Judicial branch" }, { "paragraph_id": 12, "text": "At the lowest level of the Eritrean judiciary, the Civil Court eases the pressures of the higher courts by ruling on minor infractions of the law with sums less than 110,000 nakfa, or 7,299 US dollars. Notably, there are multiple divisions within the Civil Court; the structure has three tiers, the local \"community courts,\" the regional courts and the national High Court.", "title": "Judicial branch" }, { "paragraph_id": 13, "text": "The community courts work on the basis of the area, the local rules and customs. At the bottom tier, they operate on a single-judge bench system where only one judge presides over each case. Here, village judges are elected, though typically they are the village elders and do not possess formal training. Although these judges mainly preside over civil cases, those who are well-versed in criminal law may rule on these kinds of cases, as well. Within Eritrea, There are a total of 683 community courts across the country with the number of magistrates totalling to 2,049, i.e. 55 in the Central Region, 213 in the South, 178 in Gash-Barka, 109 in Anseba, 98 in the Northern and 30 in the Southern Red Sea regions.\" If a dispute cannot be resolved in the community courts it can be appealed to the next level of judicial administration, the regional courts, natively known as Zoba Courts, which operate on a three-judge bench system. The Zoba Courts adjudicate civil, criminal, and Shari’a law, the last of which handles cases regarding members of the Islam faith. Decisions in the Zoba Courts can be appealed to the High Courts, which is primarily appellate in nature but also operates as a first-instance court for murder, rape, and serious felonies. This three-judge bench system holds jurisdiction in civil, criminal, commercial, and Shari’a law. Final appeals from the High Court are taken to the Supreme Court with a panel of five judges. The president of this Supreme Court is the president of the High Court, as well, and is accompanied by four other judges from the High Court to interpret the law.", "title": "Judicial branch" }, { "paragraph_id": 14, "text": "The Military Court composes another component of the Eritrean judicial system. The Military Court’s jurisdiction falls under cases brought against members of the armed forces as well as crimes committed by and against the members of the armed forces. In addition, this court may also sentence military personnel that express criticism of the government. As one may expect, all presiding judges are veterans of the military. There are two levels to the Military Branch, but neither are appellate courts; in fact, the Eritrean High Court (from the Civil Court) fulfils this task. Given the large presence and popularity of militarization in Eritrea, the Military Court embodies an “enormous - and unchecked - judicial importance in the country”.", "title": "Judicial branch" }, { "paragraph_id": 15, "text": "The Special Court, the third and final element to the Eritrean judicial system, operates on a three-judge bench system and works under three themes: general criminal cases, corruption, and illegal foreign exchange and smuggling. Judges in this branch are either senior military members or former members of the Eritrean People's Liberation Front, the leading group that fought for Eritrea’s independence from Ethiopia. The Special Court is defined by its high level of autonomy and discretion; in fact, the Special Court operates in complete secrecy, so no published records of its procedures available. Although the Office of the Attorney-General decides which cases are heard, judges are not bound by the Code of Criminal Procedure, Penal Code, or any precedence in law; rather, judges rely on their “conscience” to make most decisions. Furthermore, the court can re-open and adjudicate cases that have already been processed through federal courts, allowing for the occurrence of double jeopardy. Judges can also, without limit, intensify punishments that the government sees as insufficient. Moreover, during a trial, defendants are denied any form of representation and may even be asked to defend themselves in person. Except for rare instances when appeals are made to the Office of the President, there are no ways to challenge the rulings that result from the Special Court.", "title": "Judicial branch" }, { "paragraph_id": 16, "text": "By Constitutional measures, the law prohibits “indefinite and arbitrary” detention, requires arrested persons be brought before a court within 48 hours, and sets a limit of 28 days in which an arrested person may be held without being charged for a criminal offense. However, this statute is often not practiced, especially in regard to political crimes. The Constitution also grants defendants the right to be present during the trial with legal representation for punishments exceeding ten years; yet, many lack the resources to retain a lawyer and the Eritrean judicial system lacks qualified lawyers who can serve as defense attorneys. Although the High Court does uphold the right to confront and question witnesses, present evidence, gain access to government-held evidence, and appeal against a decision, the Special Court disregards the above qualities. In addition, Eritrea’s absence of civil judicial procedures addressing human rights violations by the government contradicts Article 24 of the constitution that allows for this redress for citizens. The last contradiction is of the judges, themselves. Of course, the judges are physically able, for Proclamation on the Establishment of Community Courts No. 132/2003 bars citizens with mental disabilities from standing for elections as judges; however, judges do not receive training or do not have prior experience in law. Many are military men who form their decision based on conscience and the political values of the Eritrean Liberation Front (ELF). Lastly, despite constitutional calls for an independent judiciary, the president of Eritrea continues to intervene in the judicial decision-making.", "title": "Judicial branch" }, { "paragraph_id": 17, "text": "Eritrea is divided into 6 regions (or zobas) and subdivided into approximately 55 districts or sub-zobas. The regions are based on the hydrological properties of area. This has the dual effect of providing each administration with ample control over its agricultural capacity and eliminating historical intra-regional conflicts.", "title": "Administrative divisions" }, { "paragraph_id": 18, "text": "The regions are included followed by the Sub-region:", "title": "Administrative divisions" }, { "paragraph_id": 19, "text": "External issues include an undemarcated border with the Sudan, a brief war with Yemen over the Hanish Islands in 1996, and a recent border conflict with Ethiopia.", "title": "Foreign relations" }, { "paragraph_id": 20, "text": "The undemarcated border with Sudan poses a problem for Eritrean external relations. After a high-level delegation to the Sudan from the Eritrean Ministry of Foreign Affairs ties are being normalized. While normalization of ties continues, Eritrea has been recognized as a broker for peace between the separate factions of the Sudanese civil war, with Hassan al-Turabi crediting Eritrea in playing a role in the peace agreement between the Southern Sudanese and the government. Additionally, the Sudanese Government and Eastern Front rebels requested that Eritrea mediate their peace talks in 2006.", "title": "Foreign relations" }, { "paragraph_id": 21, "text": "A dispute with Yemen over the Hanish Islands in 1996 resulted in a brief war. As part of an agreement to cease hostilities the two nations agreed to refer the issue to the Permanent Court of Arbitration at the Hague. At the conclusion of the proceedings, both nations acquiesced to the decision. Since 1996 both governments have remained wary of one another but relations are relatively normal.", "title": "Foreign relations" }, { "paragraph_id": 22, "text": "The undemarcated border with Ethiopia is the primary external issue facing Eritrea. This led to a long and bloody border war between 1998 and 2000. As a result, the United Nations Mission in Ethiopia and Eritrea (UNMEE) is occupying a 25 km by 900 km area on the border to help stabilize the region. Disagreements following the war have resulted in stalemate punctuated by periods of elevated tension and renewed threats of war. Central to the continuation of the stalemate is Ethiopia's failure to abide by the border delimitation ruling and reneging on its commitment to demarcation. The stalemate has led the President of Eritrea to write his Eleven Letters to the United Nations Security Council, which urges the UN to take action on Ethiopia. Relations between the two countries is further strained by the continued effort of the Eritrean and Ethiopian leaders in supporting each other's opposition.", "title": "Foreign relations" }, { "paragraph_id": 23, "text": "The 8–9 July 2018 took place the 2018 Eritrea–Ethiopia summit (also 2018 Eritrea–Ethiopia peace summit) in Asmara, Eritrea, between Eritrean President Isaias Afwerki and Ethiopian Prime Minister Abiy Ahmed and officials from the two countries.", "title": "Foreign relations" }, { "paragraph_id": 24, "text": "The two leaders signed a joint declaration on 9 July, formally ending the border conflict between both countries, restoring full diplomatic relations, and agreeing to open their borders to each other for persons, goods and services. The joint statement was also considered to close all chapters regarding the Eritrean–Ethiopian War (1998–2000) and of the following Eritrean–Ethiopian border conflict (2000–2018) with sporadic clashes.", "title": "Foreign relations" } ]
The Politics of Eritrea and the Government of Eritrea takes place in a framework of a single-party presidential republican totalitarian dictatorship. The President officially serves as both head of state and head of government. The People's Front for Democracy and Justice is the only political party legally permitted to exist in Eritrea. The popularly elected National Assembly of 150 seats, formed in 1993 shortly after independence from Ethiopia, elected the current president, Isaias Afwerki. There have been no general elections since its official independence in 1993. A new constitution was drafted in 1993 and ratified in 1997, but has not been implemented. Since the National Assembly last met in January 2002, President Isaias Afwerki has exercised the powers of both the executive and legislative branches of government. Independent local sources of political information on Eritrean domestic politics are scarce; in September 2001 the government closed down all of the nation's privately owned print media, and outspoken critics of the government have been arrested and held without trial, according to domestic and international observers, including Human Rights Watch and Amnesty International. In 2004 the U.S. State Department declared Eritrea a Country of Particular Concern (CPC) for its alleged record of religious persecution.
2001-04-29T05:22:07Z
2023-10-28T00:02:11Z
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https://en.wikipedia.org/wiki/Politics_of_Eritrea
9,381
Economy of Eritrea
The economy of Eritrea has undergone extreme changes after the War of Independence. It experienced considerable growth in recent years, indicated by an improvement in gross domestic product in 2011 of 8.7 percent and in 2012 of 7.5% over 2011, and has a total of $8.090 billion as of 2020. However, worker remittances from abroad are estimated to account for 32 percent of gross domestic product. Eritrea has an extensive amount of resources such as copper, gold, granite, marble, and potash. As of 2012, 20 mining companies had obtained licenses to prospect and exploit mines. Eritrea's recent growth performance has been marked by significant volatility in part due to its dependence on a predominantly rain-fed agriculture sector, accounting for about one-third of the economy and which has a significant impact on distribution services which account for around 20% of gross domestic product (GDP), and on a narrow mining sector which also accounts for 20% of the economy. Real GDP growth is estimated to have recovered to around 12% in 2018, while averaging -2.7% during 2015–18 on account of frequent droughts and a decline in mining production. Reported inflation has been negative during 2016–18, following the exchange of currency in circulation in November 2015 that resulted in a monetary contraction. Deflation continued in 2018 as increased trade with Ethiopia resulted in further put downward pressure on prices. In recent years, Eritrea has significantly tightened fiscal policy to reverse the chronic deficits it suffered after the increase in regional insecurity in 1998. In 2018, the fiscal surplus widened to around 11% of GDP. This was largely achieved by a sharp drop in capital spending as well as some revenue measures. However, fiscal pressures, both recurrent and wage-related are likely to mount. Short-term growth prospects remain challenging given fiscal constraints and limited opportunities under existing restrictions. The recovery in agriculture is expected to slow. The country remains in a difficult macroeconomic situation with an unsustainable debt burden (including arrears to the World Bank) and vulnerable financial and external sectors. Eritrea's GDP, estimated at $4.037 billion in 2011, was 8.7 percent above the GDP in 2010. The growth was due to increased agricultural output and the expansion of the mining industry along with increasing gold prices. Breakdowns of the Eritrean economy by sector have not been readily available; however, according to some estimates, in 2011 services accounted for 55 percent of the GDP, industry for 34 percent, and agriculture for the remaining 11 percent. The growth of the GDP, however, is compromised by the ongoing and tensions with the country's borders. In 2004, agriculture employed nearly 80 percent of the population but accounted for only 12.4 percent of gross domestic product (GDP) in Eritrea. The agricultural sector has improved with the use of modern farming equipment and techniques, and dams. Nevertheless, it is compromised by a lack of financial services and investment. Major agricultural products are sorghum, barley, beans, dairy products, lentils, meat, millet, leather, teff, and wheat. The displacement of 1 million Eritreans as a result of the war with Ethiopia, and the widespread presence of land mines have played a role in the declining productivity of the agricultural sector. Almost a quarter of the country's most productive land remains unoccupied because of the lingering effects of the 1998–2000 war with Ethiopia. Forestry is not a significant economic activity in Eritrea. As of 2011, the government encouraged large-scale cultivation of cactus to help alleviate the human suffering and, in the future, increase export revenues. Cactus plants are said to have been introduced in 1839 by a French catholic missionary who planted the cactus in Digsa, Akrur and Hebo, Southern region. The second generation cactus plants were introduced by the Italians, who planted them at Arberebu while they were building the Asmara rail lines. Reliable figures on the extent and value of the fishing industry in Eritrea are difficult to obtain. However, Eritrea's long coastline offers the opportunity for significant expansion of the fishing industry from its current, largely artisanal, stage. Eritrea exports fish and sea cucumbers from the Red Sea to markets in Europe and Asia, and there is hope that the construction of a new, jet-capable airport in Massawa, as well as rehabilitation of the port there, may support increased exports of high-value seafood. In 2002, exports were about 14,000 tons, but the maximum stable yield is thought to be nearly 80,000 tons. A fish processing plant was built in 1998 that now exports 150 tons of frozen fish every month to markets in Britain, Germany, and the Netherlands. Tensions with Yemen over fishing rights in the Red Sea flared up in 1995 and again in 2002, and Eritrea's difficult relations with other nations could hamper further development of the industry. As of 2001, Eritrea's substantial mineral deposits were largely unexplored. According to the Eritrean government, artisanal mining in 1998 collected 573.4 kilograms of gold, however the number of gold reserves was unknown. International observers also have noted Eritrea's potential for quarrying ornamental marble and granite. As of 2001, some 10 mining companies had obtained licenses to prospect for different minerals in Eritrea. The government of Eritrea reportedly was in the process of conducting a geological survey for use by potential investors in the mining sector. The presence of hundreds of thousands of land mines in Eritrea, particularly along the border with Ethiopia, has presented a serious impediment to future development of the mining sector. In 2011, AngloGold Ashanti moved into Eritrea to explore the Arabian-Nubian Shield for gold through a 50/50 joint venture set up in 2009 with Thani Dubai Mining. In 2011, the Australian Chalice mining company applied through a 60/40 joint venture for a mining license for 18 years. Also in 2011, Nevsun Resources completed construction of its Bisha gold mining project. Estimated production was to be 350,000 ounces of gold per year until the gold ore is exhausted, at which point the mine would produce copper and zinc. As of 2012, nine explorer companies operated in Eritrea from Canada (NGEx Resources), Australia (Chalice Gold Mines, South Boulder Mines, Sunridge Gold Corp), China (Sichuan Road and Bridge Group, Zhong Chang Mining Co, China Africa Huakan Investment Co.,Land Energy Group (China) Ltd, Beijing Donia Resources Co. ) , UK (London Africa Ltd, Andiamo Exploration Ltd.), UAE and Barbados. During the period of federation, industrial capacity largely shifted to Ethiopia, leaving the Eritrean industrial sector with outmoded capital equipment. In 2003 industry accounted for 25.3 percent of gross domestic product. Major products include processed food and dairy products, alcoholic beverages, glass, leather goods, marble, textiles, and salt. Households consume more than 80 percent of total energy production. Electricity production in 2001 was estimated at 220.5 million kilowatt-hours. Consumption for that year was estimated at 205.1-kilowatt hours. An 88-megawatt electricity plant funded by Saudi Arabia, Kuwait, and Abu Dhabi was completed just south of Massawa in 2003, its completion delayed nearly three years by the war with Ethiopia. Annual consumption of petroleum in 2001 was estimated at 370,000 tons. Eritrea has no domestic petroleum production; the Eritrean Petroleum Corporation conducts purchases through international competitive tender. According to the U.S. Department of Commerce, opportunities exist for both on- and offshore oil and natural gas exploration; however, these prospects have yet to come to fruition. The use of Wind energy and solar power have slightly increased, due to the growth of solar power manufacturing companies in the country. The Eritrean government has expressed interest in developing alternative energy sources, including geothermal, solar, and wind power. In 2011, services accounted for 55 percent of gross domestic product. Financial services, the bulk of the services sector, are principally rendered by the National Bank of Eritrea (the nation's central bank), the Commercial Bank of Eritrea, the Housing and Commerce Bank of Eritrea, the Agricultural and Industrial Bank of Eritrea, the Eritrean Investment and Development Bank, and the National Insurance Corporation of Eritrea. Eritrea's lack of access to funds, the presence of large numbers of land mines, and the continued tensions that flare up between Eritrea and Ethiopia have deterred the development of a tourist industry in Eritrea. According to the World Tourism Organization, international tourism receipts in 2002 were only US$73 million. According to the International Monetary Fund, commercial banks in Eritrea—all government owned and operated—appear to be in compliance with prudent regulations. Although the commercial banking sector is largely profitable, mostly owing to income from foreign exchange transactions, the sector is burdened by a high proportion of non-performing loans. Core lending activities do not generate sufficient income to cover operating costs at most commercial banks. Agriculture employs about 80 percent of the population in Eritrea, and the remaining 20 percent are employed in industry and services. The GDP per capita at nominal value was $475 in 2011. The official currency is the Eritrean nakfa (ERN), introduced in November 1997. In early 2005, likely in an effort to increase foreign capital reserves, the Eritrean government decreed that all transactions in Eritrea must be conducted in nakfa. It soon became illegal for individuals to hold and exchange foreign currency. As of January 1, 2005, the government set the foreign exchange rate at US$1=ERN15. Inflation continues to be a problem in Eritrea, particularly as years of drought push grain prices higher and defense expenditures remain high. The International Monetary Fund estimates that in 2003 (the most recent year for which figures are available) average inflation reached 23 percent. Eritrea does not publish a budget, making its fiscal condition difficult to assess. According to the International Monetary Fund, the overall fiscal deficit in 2003 was 17 percent of gross domestic product (GDP). Government expenditures for that year were estimated to be US$375 million, with revenues of only US$235.7 million. In 2002 the fiscal deficit was 32 percent of GDP. Current expenditures continue to exceed budgeted spending, particularly in defense and other discretionary expenditures. Monetary policy remains subservient to the financing demands of the government, and debt is unsustainably high. This situation is not likely to change until demobilization of the military occurs. According to the CIA World Factbook, the Eritrean Government has revenues of $715.2 million, and outlays of $1.021 billion. China, India, South Korea, Italy, South Africa, and Germany are aggressively pursuing market opportunities in Eritrea. There is growing interest in U.S. products and services in Eritrea, although U.S. investment in Eritrea is still small. In 2011, Eritrea imported goods worth US$899.9 million, including machinery, petroleum products, food, and manufactured goods. Eritrea's main suppliers were Brazil, China, Egypt, India, Italy, Germany, Saudi Arabia, and South Africa. In 2011 exports from Eritrea were valued at US$415.4 million, and the bulk were food, livestock, small manufactures, sorghum, and textiles. The major markets for Eritrean goods were China, Egypt, Italy, Saudi Arabia, Sudan, and the UK. More recently, fish, flowers, and salt have joined the list of exports. Foreign investment is hindered by government regulations that seek to protect domestic industries from foreign competition and by a generally unfavorable investment climate. Major foreign investors in Eritrea include China, South Korea, Italy, South Africa, and Germany, as well as the World Bank. The government prefers private-sector investment to official aid programs and declines foreign aid; therefore its relations with aid-dispensing nations and international institutions have often been difficult. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "The economy of Eritrea has undergone extreme changes after the War of Independence. It experienced considerable growth in recent years, indicated by an improvement in gross domestic product in 2011 of 8.7 percent and in 2012 of 7.5% over 2011, and has a total of $8.090 billion as of 2020. However, worker remittances from abroad are estimated to account for 32 percent of gross domestic product.", "title": "" }, { "paragraph_id": 1, "text": "Eritrea has an extensive amount of resources such as copper, gold, granite, marble, and potash. As of 2012, 20 mining companies had obtained licenses to prospect and exploit mines.", "title": "" }, { "paragraph_id": 2, "text": "Eritrea's recent growth performance has been marked by significant volatility in part due to its dependence on a predominantly rain-fed agriculture sector, accounting for about one-third of the economy and which has a significant impact on distribution services which account for around 20% of gross domestic product (GDP), and on a narrow mining sector which also accounts for 20% of the economy. Real GDP growth is estimated to have recovered to around 12% in 2018, while averaging -2.7% during 2015–18 on account of frequent droughts and a decline in mining production.", "title": "Economic history" }, { "paragraph_id": 3, "text": "Reported inflation has been negative during 2016–18, following the exchange of currency in circulation in November 2015 that resulted in a monetary contraction. Deflation continued in 2018 as increased trade with Ethiopia resulted in further put downward pressure on prices.", "title": "Economic history" }, { "paragraph_id": 4, "text": "In recent years, Eritrea has significantly tightened fiscal policy to reverse the chronic deficits it suffered after the increase in regional insecurity in 1998. In 2018, the fiscal surplus widened to around 11% of GDP. This was largely achieved by a sharp drop in capital spending as well as some revenue measures. However, fiscal pressures, both recurrent and wage-related are likely to mount.", "title": "Economic history" }, { "paragraph_id": 5, "text": "Short-term growth prospects remain challenging given fiscal constraints and limited opportunities under existing restrictions. The recovery in agriculture is expected to slow. The country remains in a difficult macroeconomic situation with an unsustainable debt burden (including arrears to the World Bank) and vulnerable financial and external sectors.", "title": "Economic history" }, { "paragraph_id": 6, "text": "Eritrea's GDP, estimated at $4.037 billion in 2011, was 8.7 percent above the GDP in 2010. The growth was due to increased agricultural output and the expansion of the mining industry along with increasing gold prices. Breakdowns of the Eritrean economy by sector have not been readily available; however, according to some estimates, in 2011 services accounted for 55 percent of the GDP, industry for 34 percent, and agriculture for the remaining 11 percent. The growth of the GDP, however, is compromised by the ongoing and tensions with the country's borders.", "title": "Gross domestic product (GDP)" }, { "paragraph_id": 7, "text": "In 2004, agriculture employed nearly 80 percent of the population but accounted for only 12.4 percent of gross domestic product (GDP) in Eritrea. The agricultural sector has improved with the use of modern farming equipment and techniques, and dams. Nevertheless, it is compromised by a lack of financial services and investment. Major agricultural products are sorghum, barley, beans, dairy products, lentils, meat, millet, leather, teff, and wheat. The displacement of 1 million Eritreans as a result of the war with Ethiopia, and the widespread presence of land mines have played a role in the declining productivity of the agricultural sector. Almost a quarter of the country's most productive land remains unoccupied because of the lingering effects of the 1998–2000 war with Ethiopia.", "title": "Industries" }, { "paragraph_id": 8, "text": "Forestry is not a significant economic activity in Eritrea.", "title": "Industries" }, { "paragraph_id": 9, "text": "As of 2011, the government encouraged large-scale cultivation of cactus to help alleviate the human suffering and, in the future, increase export revenues. Cactus plants are said to have been introduced in 1839 by a French catholic missionary who planted the cactus in Digsa, Akrur and Hebo, Southern region. The second generation cactus plants were introduced by the Italians, who planted them at Arberebu while they were building the Asmara rail lines.", "title": "Industries" }, { "paragraph_id": 10, "text": "Reliable figures on the extent and value of the fishing industry in Eritrea are difficult to obtain. However, Eritrea's long coastline offers the opportunity for significant expansion of the fishing industry from its current, largely artisanal, stage. Eritrea exports fish and sea cucumbers from the Red Sea to markets in Europe and Asia, and there is hope that the construction of a new, jet-capable airport in Massawa, as well as rehabilitation of the port there, may support increased exports of high-value seafood. In 2002, exports were about 14,000 tons, but the maximum stable yield is thought to be nearly 80,000 tons. A fish processing plant was built in 1998 that now exports 150 tons of frozen fish every month to markets in Britain, Germany, and the Netherlands. Tensions with Yemen over fishing rights in the Red Sea flared up in 1995 and again in 2002, and Eritrea's difficult relations with other nations could hamper further development of the industry.", "title": "Industries" }, { "paragraph_id": 11, "text": "As of 2001, Eritrea's substantial mineral deposits were largely unexplored. According to the Eritrean government, artisanal mining in 1998 collected 573.4 kilograms of gold, however the number of gold reserves was unknown. International observers also have noted Eritrea's potential for quarrying ornamental marble and granite. As of 2001, some 10 mining companies had obtained licenses to prospect for different minerals in Eritrea. The government of Eritrea reportedly was in the process of conducting a geological survey for use by potential investors in the mining sector. The presence of hundreds of thousands of land mines in Eritrea, particularly along the border with Ethiopia, has presented a serious impediment to future development of the mining sector.", "title": "Industries" }, { "paragraph_id": 12, "text": "In 2011, AngloGold Ashanti moved into Eritrea to explore the Arabian-Nubian Shield for gold through a 50/50 joint venture set up in 2009 with Thani Dubai Mining.", "title": "Industries" }, { "paragraph_id": 13, "text": "In 2011, the Australian Chalice mining company applied through a 60/40 joint venture for a mining license for 18 years.", "title": "Industries" }, { "paragraph_id": 14, "text": "Also in 2011, Nevsun Resources completed construction of its Bisha gold mining project. Estimated production was to be 350,000 ounces of gold per year until the gold ore is exhausted, at which point the mine would produce copper and zinc.", "title": "Industries" }, { "paragraph_id": 15, "text": "As of 2012, nine explorer companies operated in Eritrea from Canada (NGEx Resources), Australia (Chalice Gold Mines, South Boulder Mines, Sunridge Gold Corp), China (Sichuan Road and Bridge Group, Zhong Chang Mining Co, China Africa Huakan Investment Co.,Land Energy Group (China) Ltd, Beijing Donia Resources Co. ) , UK (London Africa Ltd, Andiamo Exploration Ltd.), UAE and Barbados.", "title": "Industries" }, { "paragraph_id": 16, "text": "During the period of federation, industrial capacity largely shifted to Ethiopia, leaving the Eritrean industrial sector with outmoded capital equipment. In 2003 industry accounted for 25.3 percent of gross domestic product. Major products include processed food and dairy products, alcoholic beverages, glass, leather goods, marble, textiles, and salt.", "title": "Industries" }, { "paragraph_id": 17, "text": "Households consume more than 80 percent of total energy production. Electricity production in 2001 was estimated at 220.5 million kilowatt-hours. Consumption for that year was estimated at 205.1-kilowatt hours. An 88-megawatt electricity plant funded by Saudi Arabia, Kuwait, and Abu Dhabi was completed just south of Massawa in 2003, its completion delayed nearly three years by the war with Ethiopia. Annual consumption of petroleum in 2001 was estimated at 370,000 tons. Eritrea has no domestic petroleum production; the Eritrean Petroleum Corporation conducts purchases through international competitive tender. According to the U.S. Department of Commerce, opportunities exist for both on- and offshore oil and natural gas exploration; however, these prospects have yet to come to fruition. The use of Wind energy and solar power have slightly increased, due to the growth of solar power manufacturing companies in the country. The Eritrean government has expressed interest in developing alternative energy sources, including geothermal, solar, and wind power.", "title": "Industries" }, { "paragraph_id": 18, "text": "In 2011, services accounted for 55 percent of gross domestic product. Financial services, the bulk of the services sector, are principally rendered by the National Bank of Eritrea (the nation's central bank), the Commercial Bank of Eritrea, the Housing and Commerce Bank of Eritrea, the Agricultural and Industrial Bank of Eritrea, the Eritrean Investment and Development Bank, and the National Insurance Corporation of Eritrea.", "title": "Industries" }, { "paragraph_id": 19, "text": "Eritrea's lack of access to funds, the presence of large numbers of land mines, and the continued tensions that flare up between Eritrea and Ethiopia have deterred the development of a tourist industry in Eritrea. According to the World Tourism Organization, international tourism receipts in 2002 were only US$73 million.", "title": "Industries" }, { "paragraph_id": 20, "text": "According to the International Monetary Fund, commercial banks in Eritrea—all government owned and operated—appear to be in compliance with prudent regulations. Although the commercial banking sector is largely profitable, mostly owing to income from foreign exchange transactions, the sector is burdened by a high proportion of non-performing loans. Core lending activities do not generate sufficient income to cover operating costs at most commercial banks.", "title": "Industries" }, { "paragraph_id": 21, "text": "Agriculture employs about 80 percent of the population in Eritrea, and the remaining 20 percent are employed in industry and services. The GDP per capita at nominal value was $475 in 2011.", "title": "Labor force" }, { "paragraph_id": 22, "text": "The official currency is the Eritrean nakfa (ERN), introduced in November 1997. In early 2005, likely in an effort to increase foreign capital reserves, the Eritrean government decreed that all transactions in Eritrea must be conducted in nakfa. It soon became illegal for individuals to hold and exchange foreign currency. As of January 1, 2005, the government set the foreign exchange rate at US$1=ERN15.", "title": "Currency, exchange rate, and inflation" }, { "paragraph_id": 23, "text": "Inflation continues to be a problem in Eritrea, particularly as years of drought push grain prices higher and defense expenditures remain high. The International Monetary Fund estimates that in 2003 (the most recent year for which figures are available) average inflation reached 23 percent.", "title": "Currency, exchange rate, and inflation" }, { "paragraph_id": 24, "text": "Eritrea does not publish a budget, making its fiscal condition difficult to assess. According to the International Monetary Fund, the overall fiscal deficit in 2003 was 17 percent of gross domestic product (GDP). Government expenditures for that year were estimated to be US$375 million, with revenues of only US$235.7 million. In 2002 the fiscal deficit was 32 percent of GDP. Current expenditures continue to exceed budgeted spending, particularly in defense and other discretionary expenditures. Monetary policy remains subservient to the financing demands of the government, and debt is unsustainably high. This situation is not likely to change until demobilization of the military occurs. According to the CIA World Factbook, the Eritrean Government has revenues of $715.2 million, and outlays of $1.021 billion.", "title": "Government budget" }, { "paragraph_id": 25, "text": "China, India, South Korea, Italy, South Africa, and Germany are aggressively pursuing market opportunities in Eritrea. There is growing interest in U.S. products and services in Eritrea, although U.S. investment in Eritrea is still small.", "title": "Foreign economic relations" }, { "paragraph_id": 26, "text": "In 2011, Eritrea imported goods worth US$899.9 million, including machinery, petroleum products, food, and manufactured goods. Eritrea's main suppliers were Brazil, China, Egypt, India, Italy, Germany, Saudi Arabia, and South Africa. In 2011 exports from Eritrea were valued at US$415.4 million, and the bulk were food, livestock, small manufactures, sorghum, and textiles. The major markets for Eritrean goods were China, Egypt, Italy, Saudi Arabia, Sudan, and the UK. More recently, fish, flowers, and salt have joined the list of exports.", "title": "Foreign economic relations" }, { "paragraph_id": 27, "text": "Foreign investment is hindered by government regulations that seek to protect domestic industries from foreign competition and by a generally unfavorable investment climate. Major foreign investors in Eritrea include China, South Korea, Italy, South Africa, and Germany, as well as the World Bank.", "title": "Foreign economic relations" }, { "paragraph_id": 28, "text": "The government prefers private-sector investment to official aid programs and declines foreign aid; therefore its relations with aid-dispensing nations and international institutions have often been difficult.", "title": "Foreign economic relations" }, { "paragraph_id": 29, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "References" } ]
The economy of Eritrea has undergone extreme changes after the War of Independence. It experienced considerable growth in recent years, indicated by an improvement in gross domestic product in 2011 of 8.7 percent and in 2012 of 7.5% over 2011, and has a total of $8.090 billion as of 2020. However, worker remittances from abroad are estimated to account for 32 percent of gross domestic product. Eritrea has an extensive amount of resources such as copper, gold, granite, marble, and potash. As of 2012, 20 mining companies had obtained licenses to prospect and exploit mines.
2001-04-29T05:22:27Z
2023-12-28T01:23:49Z
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https://en.wikipedia.org/wiki/Economy_of_Eritrea
9,382
Telecommunications in Eritrea
Telecommunications in Eritrea are under the authority of the Government of Eritrea. The Eritrea Telecommunication Services Corporation, more commonly known as EriTel, is the sole operator of both landline and mobile telephone communication infrastructure in Eritrea. However, it is one of several internet service providers in the country. The domestic telecommunications infrastructure is very inadequate. Most fixed line telephones are located in Asmara, the capital and largest city. Cell phones are in increasing use throughout the country. The government is seeking international tenders to improve the system. On 13 April 2006, Eritrea received a soft loan from the government of China to upgrade their communication infrastructure. The total sum loaned to EriTel was $23 million. All major cities are connected to the mobile telephone system in Eritrea except for Assab, as of 2023. Eritrea has not set up a widespread automatic Internet filtering system, but it does not hesitate to order blocking of several diaspora websites critical of the regime. Access to these sites is blocked by two of the Internet service providers, Erson and Ewan, as are pornographic websitesand YouTube. Self-censorship is said to be widespread.
[ { "paragraph_id": 0, "text": "Telecommunications in Eritrea are under the authority of the Government of Eritrea.", "title": "" }, { "paragraph_id": 1, "text": "The Eritrea Telecommunication Services Corporation, more commonly known as EriTel, is the sole operator of both landline and mobile telephone communication infrastructure in Eritrea. However, it is one of several internet service providers in the country.", "title": "Infrastructure" }, { "paragraph_id": 2, "text": "The domestic telecommunications infrastructure is very inadequate. Most fixed line telephones are located in Asmara, the capital and largest city. Cell phones are in increasing use throughout the country. The government is seeking international tenders to improve the system.", "title": "Infrastructure" }, { "paragraph_id": 3, "text": "On 13 April 2006, Eritrea received a soft loan from the government of China to upgrade their communication infrastructure. The total sum loaned to EriTel was $23 million. All major cities are connected to the mobile telephone system in Eritrea except for Assab, as of 2023.", "title": "Infrastructure" }, { "paragraph_id": 4, "text": "Eritrea has not set up a widespread automatic Internet filtering system, but it does not hesitate to order blocking of several diaspora websites critical of the regime. Access to these sites is blocked by two of the Internet service providers, Erson and Ewan, as are pornographic websitesand YouTube. Self-censorship is said to be widespread.", "title": "Internet" }, { "paragraph_id": 5, "text": "", "title": "External links" } ]
Telecommunications in Eritrea are under the authority of the Government of Eritrea.
2023-03-21T17:26:22Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Eritrea
9,383
Transport in Eritrea
Transport in Eritrea includes highways, airports and seaports, in addition to various forms of public and private vehicular, maritime and aerial transportation. As of 1999, there was a total of 317 kilometres of 950 mm (3 ft 1+3⁄8 in) (narrow gauge) rail line in Eritrea. The railway links Agordat and Asmara with the port of Massawa; however, it was nonoperational since 1978 except for about a 5 kilometre stretch that was reopened in Massawa in 1994. Rehabilitation of the remainder and of the rolling stock has occurred in recent years. By 2003, the line had been restored from Massawa all the way through to Asmara. There are no rail links with adjacent countries. The Eritrean highway system is named according to the road classification. The three levels of classification are: primary (P), secondary (S), and tertiary (T). The lowest level road is tertiary and serves local interests. Typically they are improved earth roads which are occasionally paved. During the wet seasons these roads typically become impassable. The next higher level road is a secondary road and typically is a single-layered asphalt road that connects district capitals together and those to the regional capitals. Roads that are considered primary roads are those that are fully asphalted (throughout their entire length) and in general they carry traffic between all the major towns in Eritrea. total: 4,010 km paved: 874 km unpaved: 3,136 km (1996 est.) total: 5 ships (with a volume of 1,000 gross tonnage (GT) or over) totaling 16,069 GT/19,549 tonnes deadweight (DWT) ships by type: bulk carrier 1, cargo ship 1, liquefied gas 1, petroleum tanker 1, roll-on/roll-off ship 1 (1999 est.) There are three international airports, one in the capital, Asmara International Airport, and the two others in the coastal cities, Massawa (Massawa International Airport) and Assab (Assab International Airport). The airport in Asmara received all international flights into the country as of March 2007, as well as being the main airport for domestic flights. 21 (1999 est.) total: 18 over 3,047 m: 2 2,438 to 3,047 m: 2 1,524 to 2,437 m: 6 914 to 1,523 m: 6 under 914 m: 2 (1999 est.) The Asmara-Massawa Cableway, built by Italy in the 1930s, connected the port of Massawa with the city of Asmara. The British later dismantled it during their eleven-year occupation after defeating Italy in World War II.
[ { "paragraph_id": 0, "text": "Transport in Eritrea includes highways, airports and seaports, in addition to various forms of public and private vehicular, maritime and aerial transportation.", "title": "" }, { "paragraph_id": 1, "text": "As of 1999, there was a total of 317 kilometres of 950 mm (3 ft 1+3⁄8 in) (narrow gauge) rail line in Eritrea. The railway links Agordat and Asmara with the port of Massawa; however, it was nonoperational since 1978 except for about a 5 kilometre stretch that was reopened in Massawa in 1994. Rehabilitation of the remainder and of the rolling stock has occurred in recent years. By 2003, the line had been restored from Massawa all the way through to Asmara.", "title": "Railways" }, { "paragraph_id": 2, "text": "There are no rail links with adjacent countries.", "title": "Railways" }, { "paragraph_id": 3, "text": "The Eritrean highway system is named according to the road classification. The three levels of classification are: primary (P), secondary (S), and tertiary (T). The lowest level road is tertiary and serves local interests. Typically they are improved earth roads which are occasionally paved. During the wet seasons these roads typically become impassable. The next higher level road is a secondary road and typically is a single-layered asphalt road that connects district capitals together and those to the regional capitals. Roads that are considered primary roads are those that are fully asphalted (throughout their entire length) and in general they carry traffic between all the major towns in Eritrea.", "title": "Highways" }, { "paragraph_id": 4, "text": "total: 4,010 km paved: 874 km unpaved: 3,136 km (1996 est.)", "title": "Highways" }, { "paragraph_id": 5, "text": "total: 5 ships (with a volume of 1,000 gross tonnage (GT) or over) totaling 16,069 GT/19,549 tonnes deadweight (DWT) ships by type: bulk carrier 1, cargo ship 1, liquefied gas 1, petroleum tanker 1, roll-on/roll-off ship 1 (1999 est.)", "title": "Merchant marine" }, { "paragraph_id": 6, "text": "There are three international airports, one in the capital, Asmara International Airport, and the two others in the coastal cities, Massawa (Massawa International Airport) and Assab (Assab International Airport). The airport in Asmara received all international flights into the country as of March 2007, as well as being the main airport for domestic flights.", "title": "Airports" }, { "paragraph_id": 7, "text": "21 (1999 est.)", "title": "Airports" }, { "paragraph_id": 8, "text": "total: 18 over 3,047 m: 2 2,438 to 3,047 m: 2 1,524 to 2,437 m: 6 914 to 1,523 m: 6 under 914 m: 2 (1999 est.)", "title": "Airports" }, { "paragraph_id": 9, "text": "The Asmara-Massawa Cableway, built by Italy in the 1930s, connected the port of Massawa with the city of Asmara. The British later dismantled it during their eleven-year occupation after defeating Italy in World War II.", "title": "Cableway" } ]
Transport in Eritrea includes highways, airports and seaports, in addition to various forms of public and private vehicular, maritime and aerial transportation.
2022-01-14T04:02:42Z
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https://en.wikipedia.org/wiki/Transport_in_Eritrea
9,384
Eritrean Defence Forces
The Eritrean Defence Forces (EDF) (Tigrinya: ሓይልታት ምክልኻል ኤርትራ) 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. 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). 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. 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. As of 26 February 2021, 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". 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. As of 2014, the Chief of Staff is Filipos Woldeyohannes. 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. 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 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. 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. Since the 1990s, conscription has been effectively open-ended; this draft policy has been likened to "slavery" and has earned international condemnation. 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. 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. Attribution
[ { "paragraph_id": 0, "text": "The Eritrean Defence Forces (EDF) (Tigrinya: ሓይልታት ምክልኻል ኤርትራ) 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.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "History" }, { "paragraph_id": 2, "text": "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.", "title": "History" }, { "paragraph_id": 3, "text": "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).", "title": "History" }, { "paragraph_id": 4, "text": "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.", "title": "History" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "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. As of 26 February 2021, 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\".", "title": "History" }, { "paragraph_id": 7, "text": "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\".", "title": "History" }, { "paragraph_id": 8, "text": "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. As of 2014, the Chief of Staff is Filipos Woldeyohannes.", "title": "Leadership" }, { "paragraph_id": 9, "text": "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.", "title": "Manpower" }, { "paragraph_id": 10, "text": "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 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. 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. Since the 1990s, conscription has been effectively open-ended; this draft policy has been likened to \"slavery\" and has earned international condemnation.", "title": "Manpower" }, { "paragraph_id": 11, "text": "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.\"", "title": "Manpower" }, { "paragraph_id": 12, "text": "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.", "title": "Manpower" }, { "paragraph_id": 13, "text": "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.", "title": "Manpower" }, { "paragraph_id": 14, "text": "Attribution", "title": "References" } ]
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.
2001-04-29T05:23:19Z
2023-12-17T17:07:14Z
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https://en.wikipedia.org/wiki/Eritrean_Defence_Forces
9,385
Foreign relations of Eritrea
The foreign relations of Eritrea are the policies of the Eritrean government by which it administers its external relations with other nations. Since its independence, Eritrea's foreign relations have been dominated by conflict and confrontation, both in the regional and international arenas. It has maintained often troubled, and usually violent, relations with its neighbors, including brief armed conflicts with Yemen and Djibouti and a destructive war with its bigger-neighbour, Ethiopia. At present, Eritrea has very tense relations with neighboring Ethiopia and Djibouti. Relations in the international arena also have been strained since the last decade, particularly with major powers. What appeared cordial relations with the US in the 1990s turned acrimonious following the border war with Ethiopia, 1998-2000. Although the two nations have a close working relationship regarding the ongoing war on terror, there has been a growing tension in other areas. Ties with international organizations such as the United Nations, the African Union, and the European Union have also been complicated in part because of Eritrea's outrage at their reluctance to force Ethiopia to accept a boundary commission ruling issued in 2002. Eritrea is a member of the United Nations, the African Union, and is an observing member of the Arab League. Eritrea holds a seat on the United Nations' Advisory Committee on Administrative and Budgetary Questions (ACABQ). Eritrea also holds memberships in the International Bank for Reconstruction and Development, International Finance Corporation, International Criminal Police Organization (INTERPOL), Non-Aligned Movement, Organisation for the Prohibition of Chemical Weapons, Permanent Court of Arbitration, Port Management Association of Eastern and Southern Africa, and the World Customs Organization. List of countries which Eritrea maintains diplomatic relations with:
[ { "paragraph_id": 0, "text": "The foreign relations of Eritrea are the policies of the Eritrean government by which it administers its external relations with other nations. Since its independence, Eritrea's foreign relations have been dominated by conflict and confrontation, both in the regional and international arenas. It has maintained often troubled, and usually violent, relations with its neighbors, including brief armed conflicts with Yemen and Djibouti and a destructive war with its bigger-neighbour, Ethiopia. At present, Eritrea has very tense relations with neighboring Ethiopia and Djibouti. Relations in the international arena also have been strained since the last decade, particularly with major powers. What appeared cordial relations with the US in the 1990s turned acrimonious following the border war with Ethiopia, 1998-2000. Although the two nations have a close working relationship regarding the ongoing war on terror, there has been a growing tension in other areas. Ties with international organizations such as the United Nations, the African Union, and the European Union have also been complicated in part because of Eritrea's outrage at their reluctance to force Ethiopia to accept a boundary commission ruling issued in 2002.", "title": "" }, { "paragraph_id": 1, "text": "Eritrea is a member of the United Nations, the African Union, and is an observing member of the Arab League.", "title": "International organizations" }, { "paragraph_id": 2, "text": "Eritrea holds a seat on the United Nations' Advisory Committee on Administrative and Budgetary Questions (ACABQ).", "title": "International organizations" }, { "paragraph_id": 3, "text": "Eritrea also holds memberships in the International Bank for Reconstruction and Development, International Finance Corporation, International Criminal Police Organization (INTERPOL), Non-Aligned Movement, Organisation for the Prohibition of Chemical Weapons, Permanent Court of Arbitration, Port Management Association of Eastern and Southern Africa, and the World Customs Organization.", "title": "International organizations" }, { "paragraph_id": 4, "text": "List of countries which Eritrea maintains diplomatic relations with:", "title": "Diplomatic relations" } ]
The foreign relations of Eritrea are the policies of the Eritrean government by which it administers its external relations with other nations. Since its independence, Eritrea's foreign relations have been dominated by conflict and confrontation, both in the regional and international arenas. It has maintained often troubled, and usually violent, relations with its neighbors, including brief armed conflicts with Yemen and Djibouti and a destructive war with its bigger-neighbour, Ethiopia. At present, Eritrea has very tense relations with neighboring Ethiopia and Djibouti. Relations in the international arena also have been strained since the last decade, particularly with major powers. What appeared cordial relations with the US in the 1990s turned acrimonious following the border war with Ethiopia, 1998-2000. Although the two nations have a close working relationship regarding the ongoing war on terror, there has been a growing tension in other areas. Ties with international organizations such as the United Nations, the African Union, and the European Union have also been complicated in part because of Eritrea's outrage at their reluctance to force Ethiopia to accept a boundary commission ruling issued in 2002.
2001-04-29T05:23:36Z
2023-12-30T18:32:54Z
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https://en.wikipedia.org/wiki/Foreign_relations_of_Eritrea
9,388
Geography of Estonia
Between 57.3 and 59.5 latitude and 21.5 and 28.1 longitude, Estonia lies on the eastern coast of the Baltic Sea on the level northwestern part of the rising East European Platform. Estonia's continental mainland is bordered to the north by the Gulf of Finland (part of the Baltic Sea) across from Finland, to the east by Lake Peipus and Russia, and to the south by Latvia. Besides the part of the European continent, Estonian territory also includes the larger islands of Saaremaa and Hiiumaa, and over 2,200 other islands and islets in the Baltic Sea, off the western and northern shores of the country's mainland. Average elevation in Estonia reaches 50 m (164 ft). The climate is maritime, wet, with moderate winters and cool summers. Oil shale and limestone deposits, along with forests which cover 47% of the land, play key economic roles in this generally resource-poor country. Estonia boasts over 1,500 lakes, numerous bogs, and 3,794 kilometers of coastline marked by numerous bays, straits, and inlets. Estonia is a flat country covering 45,339 km (17,505 sq mi), of which internal waters comprise 4.6%. Estonia has a long, shallow coastline (3,794 km or 2,357 mi) along the Baltic Sea, with 1,520 islands dotting the shore. The two largest islands are Saaremaa (literally, island land), at 2,673 km (1,032 sq mi), and Hiiumaa, at 989 km (382 sq mi). The two islands are favorite Estonian vacation spots. The country's highest point, Suur Munamägi (Egg Mountain), is in the hilly southeast and reaches 318 m (1,043 ft) above sea level. Estonia is covered by about 18,000 km (6,950 sq mi) of forest. Arable land amounts to about 9,260 km (3,575 sq mi). Meadows cover about 2,520 km (973 sq mi), and pastureland covers about 1,810 km (699 sq mi). There are more than 1,400 natural and artificial lakes in Estonia. The largest of them, Lake Peipus (3,555 km or 1,373 sq mi), forms much of the border between Estonia and Russia. Located in central Estonia, Võrtsjärv is the second-largest lake (270 km or 104 sq mi). The Narva and Emajõgi are among the most important of the country's many rivers. A small, recent cluster of meteorite craters, the largest of which is called Kaali are found on the Estonian island of Saaremaa. The impact may have been witnessed by the Iron Age inhabitants of the area. Estonia has a temperate climate, with four seasons of near-equal length. Average temperatures range from 16.3 °C (61.3 °F) on the Baltic islands to 17.1 °C (62.8 °F) inland in July, the warmest month, and from −3.5 °C (25.7 °F) on the Baltic islands to −7.6 °C (18.3 °F) inland in February, the coldest month. Precipitation averages 568 mm (22.4 in) per year and is heaviest in late summer. Estonia's land border with Latvia runs 333 km (207 mi); the Russian border runs 324 km (201 mi). From 1920 to 1945, Estonia's border with Russia, set by the 1920 Tartu Peace Treaty, extended beyond the Narva river in the northeast and beyond the town of Petseri in the southeast. This territory, amounting to some 2,300 km (888 sq mi), was transferred to Soviet Russia at the end of World War II. There live 65 different species of mammals in the Estonian forests. There are an estimated 700 brown bears, over 150 wolves, 400 lynxes, 14,000–16,000 beavers, 3,400 wild boars, 10,000–11,000 moose and 120,000–130,000 deer. There are also red deer and other wild animals. One of the most burdensome legacies of the 1944–1991 Soviet occupation of Estonia is widespread environmental pollution. The worst offender in this regard was the Soviet army. Across military installations covering more than 800 square kilometres (310 sq mi) of Estonian territory, the army dumped hundreds of thousands of tons of jet fuel into the ground, improperly disposed of toxic chemicals, and discarded outdated explosives and weapons in coastal and inland waters. In the 1990s, during the army's withdrawal from Estonia, extensive damage was done to discarded buildings and equipment. In October 1993, the Estonian Ministry of Environment issued a preliminary report summing up part of the degradation it had surveyed thus far. The report described the worst damage as having been done to Estonia's topsoil and underground water supply by the systematic dumping of jet fuel at six Soviet army air bases. At the air base near Tapa, site of the worst damage, officials estimated that 6 square kilometres (2.3 sq mi) of land were covered by a layer of fuel; 11 square kilometres (4.2 sq mi) of underground water were said to be contaminated. The water in the surrounding area was undrinkable, and was sometimes set fire by locals to provide heat during the winter. With Danish help, Estonian crews began cleaning up the site, although they estimated the likely cost to be as much as 4 million EEK. The Ministry of Environment assigned a monetary cost of more than 10 billion EEK to the damage to the country's topsoil and water supply. However, the ministry was able to allocate only 5 million EEK in 1993 for cleanup operations. In a 1992 government report to the United Nations Conference on the Environment and Development, Estonia detailed other major environmental concerns. For instance, for several consecutive years Estonia had led the world in the production of sulfur dioxide per capita. Nearly 75% of Estonia's air pollution was reported to come from two oil shale-based thermal power stations operating near Narva. The mining of oil shale in northeastern Estonia has also left large mounds of limestone tailings dotting the region. Near the town of Sillamäe, site of a former uranium enrichment plant, about 1,200 tons of uranium and about 750 tons of thorium had been dumped into a reservoir on the shore of the Gulf of Finland. This was said to have caused severe health problems among area residents. In the coastal town of Paldiski, the removal of waste left by Soviet army nuclear reactors was also a major concern. The combined cost of environmental cleanup at both towns was put at more than EEK3.5 billion. Natural hazards: flooding occurs frequently in the spring in certain areas Environment – current issues: air polluted with sulfur dioxide from oil-shale burning power plants in northeast; however, the amounts of pollutants emitted to the air have fallen dramatically and the pollution load of wastewater at purification plants has decreased substantially due to improved technology and environmental monitoring; Estonia has more than 1,400 natural and manmade lakes, the smaller of which in agricultural areas need to be monitored; coastal seawater is polluted in certain locations. Environment – international agreements: party to: Air Pollution, Air Pollution-Heavy Metals, Air Pollution-Nitrogen Oxides, Air Pollution-Persistent Organic Pollutants, Air Pollution-Sulphur 85, Air Pollution-Volatile Organic Compounds, Antarctic Treaty, Biodiversity, Climate Change, Climate Change-Kyoto Protocol, Climate Change-Paris Agreement, Comprehensive Nuclear Test Ban, Desertification, Endangered Species, Environmental Modification, Hazardous Wastes, Law of the Sea, Marine Dumping-London Protocol, Ozone Layer Protection, Ship Pollution, Tropical Timber 2006, Wetlands, Whaling Area: total: 45,228 square kilometres (17,463 sq mi) land: 42,338 square kilometres (16,347 sq mi) water: 2,840 square kilometres (1,100 sq mi) note: includes 1,520 islands in the Baltic Sea Land boundaries: total: 657 km (408 mi) border countries: Latvia 333 km (207 mi), Russia 324 km (201 mi) Coastline: 3,794 km (2,357 mi) Maritime claims: territorial sea: 12 nmi (22.2 km; 13.8 mi) exclusive economic zone: limits as agreed to by Estonia, Finland, Latvia, Sweden, and Russia Elevation extremes: lowest point: Baltic Sea 0 m highest point: Suur Munamägi 318 metres (1,043 ft) Natural resources: oil shale (kukersite), peat, rare earth elements, phosphorite, clay, limestone, sand, dolomite, arable land, sea mud Land use (2018 est.): Irrigated land: 40 km (15 sq mi) Total renewable water resources: 12.806 km (3.072 cu mi) (2017 est.)
[ { "paragraph_id": 0, "text": "Between 57.3 and 59.5 latitude and 21.5 and 28.1 longitude, Estonia lies on the eastern coast of the Baltic Sea on the level northwestern part of the rising East European Platform. Estonia's continental mainland is bordered to the north by the Gulf of Finland (part of the Baltic Sea) across from Finland, to the east by Lake Peipus and Russia, and to the south by Latvia. Besides the part of the European continent, Estonian territory also includes the larger islands of Saaremaa and Hiiumaa, and over 2,200 other islands and islets in the Baltic Sea, off the western and northern shores of the country's mainland.", "title": "" }, { "paragraph_id": 1, "text": "Average elevation in Estonia reaches 50 m (164 ft).", "title": "" }, { "paragraph_id": 2, "text": "The climate is maritime, wet, with moderate winters and cool summers. Oil shale and limestone deposits, along with forests which cover 47% of the land, play key economic roles in this generally resource-poor country. Estonia boasts over 1,500 lakes, numerous bogs, and 3,794 kilometers of coastline marked by numerous bays, straits, and inlets.", "title": "" }, { "paragraph_id": 3, "text": "Estonia is a flat country covering 45,339 km (17,505 sq mi), of which internal waters comprise 4.6%. Estonia has a long, shallow coastline (3,794 km or 2,357 mi) along the Baltic Sea, with 1,520 islands dotting the shore. The two largest islands are Saaremaa (literally, island land), at 2,673 km (1,032 sq mi), and Hiiumaa, at 989 km (382 sq mi). The two islands are favorite Estonian vacation spots. The country's highest point, Suur Munamägi (Egg Mountain), is in the hilly southeast and reaches 318 m (1,043 ft) above sea level. Estonia is covered by about 18,000 km (6,950 sq mi) of forest. Arable land amounts to about 9,260 km (3,575 sq mi). Meadows cover about 2,520 km (973 sq mi), and pastureland covers about 1,810 km (699 sq mi). There are more than 1,400 natural and artificial lakes in Estonia. The largest of them, Lake Peipus (3,555 km or 1,373 sq mi), forms much of the border between Estonia and Russia. Located in central Estonia, Võrtsjärv is the second-largest lake (270 km or 104 sq mi). The Narva and Emajõgi are among the most important of the country's many rivers.", "title": "Geographic features" }, { "paragraph_id": 4, "text": "A small, recent cluster of meteorite craters, the largest of which is called Kaali are found on the Estonian island of Saaremaa. The impact may have been witnessed by the Iron Age inhabitants of the area.", "title": "Geographic features" }, { "paragraph_id": 5, "text": "Estonia has a temperate climate, with four seasons of near-equal length. Average temperatures range from 16.3 °C (61.3 °F) on the Baltic islands to 17.1 °C (62.8 °F) inland in July, the warmest month, and from −3.5 °C (25.7 °F) on the Baltic islands to −7.6 °C (18.3 °F) inland in February, the coldest month. Precipitation averages 568 mm (22.4 in) per year and is heaviest in late summer.", "title": "Geographic features" }, { "paragraph_id": 6, "text": "Estonia's land border with Latvia runs 333 km (207 mi); the Russian border runs 324 km (201 mi). From 1920 to 1945, Estonia's border with Russia, set by the 1920 Tartu Peace Treaty, extended beyond the Narva river in the northeast and beyond the town of Petseri in the southeast. This territory, amounting to some 2,300 km (888 sq mi), was transferred to Soviet Russia at the end of World War II.", "title": "Geographic features" }, { "paragraph_id": 7, "text": "There live 65 different species of mammals in the Estonian forests. There are an estimated 700 brown bears, over 150 wolves, 400 lynxes, 14,000–16,000 beavers, 3,400 wild boars, 10,000–11,000 moose and 120,000–130,000 deer. There are also red deer and other wild animals.", "title": "Fauna" }, { "paragraph_id": 8, "text": "One of the most burdensome legacies of the 1944–1991 Soviet occupation of Estonia is widespread environmental pollution. The worst offender in this regard was the Soviet army. Across military installations covering more than 800 square kilometres (310 sq mi) of Estonian territory, the army dumped hundreds of thousands of tons of jet fuel into the ground, improperly disposed of toxic chemicals, and discarded outdated explosives and weapons in coastal and inland waters. In the 1990s, during the army's withdrawal from Estonia, extensive damage was done to discarded buildings and equipment. In October 1993, the Estonian Ministry of Environment issued a preliminary report summing up part of the degradation it had surveyed thus far. The report described the worst damage as having been done to Estonia's topsoil and underground water supply by the systematic dumping of jet fuel at six Soviet army air bases. At the air base near Tapa, site of the worst damage, officials estimated that 6 square kilometres (2.3 sq mi) of land were covered by a layer of fuel; 11 square kilometres (4.2 sq mi) of underground water were said to be contaminated. The water in the surrounding area was undrinkable, and was sometimes set fire by locals to provide heat during the winter. With Danish help, Estonian crews began cleaning up the site, although they estimated the likely cost to be as much as 4 million EEK. The Ministry of Environment assigned a monetary cost of more than 10 billion EEK to the damage to the country's topsoil and water supply. However, the ministry was able to allocate only 5 million EEK in 1993 for cleanup operations.", "title": "Environmental issues" }, { "paragraph_id": 9, "text": "In a 1992 government report to the United Nations Conference on the Environment and Development, Estonia detailed other major environmental concerns. For instance, for several consecutive years Estonia had led the world in the production of sulfur dioxide per capita. Nearly 75% of Estonia's air pollution was reported to come from two oil shale-based thermal power stations operating near Narva. The mining of oil shale in northeastern Estonia has also left large mounds of limestone tailings dotting the region. Near the town of Sillamäe, site of a former uranium enrichment plant, about 1,200 tons of uranium and about 750 tons of thorium had been dumped into a reservoir on the shore of the Gulf of Finland. This was said to have caused severe health problems among area residents. In the coastal town of Paldiski, the removal of waste left by Soviet army nuclear reactors was also a major concern. The combined cost of environmental cleanup at both towns was put at more than EEK3.5 billion.", "title": "Environmental issues" }, { "paragraph_id": 10, "text": "Natural hazards: flooding occurs frequently in the spring in certain areas", "title": "Environmental issues" }, { "paragraph_id": 11, "text": "Environment – current issues: air polluted with sulfur dioxide from oil-shale burning power plants in northeast; however, the amounts of pollutants emitted to the air have fallen dramatically and the pollution load of wastewater at purification plants has decreased substantially due to improved technology and environmental monitoring; Estonia has more than 1,400 natural and manmade lakes, the smaller of which in agricultural areas need to be monitored; coastal seawater is polluted in certain locations.", "title": "Environmental issues" }, { "paragraph_id": 12, "text": "Environment – international agreements: party to: Air Pollution, Air Pollution-Heavy Metals, Air Pollution-Nitrogen Oxides, Air Pollution-Persistent Organic Pollutants, Air Pollution-Sulphur 85, Air Pollution-Volatile Organic Compounds, Antarctic Treaty, Biodiversity, Climate Change, Climate Change-Kyoto Protocol, Climate Change-Paris Agreement, Comprehensive Nuclear Test Ban, Desertification, Endangered Species, Environmental Modification, Hazardous Wastes, Law of the Sea, Marine Dumping-London Protocol, Ozone Layer Protection, Ship Pollution, Tropical Timber 2006, Wetlands, Whaling", "title": "Environmental issues" }, { "paragraph_id": 13, "text": "Area: total: 45,228 square kilometres (17,463 sq mi) land: 42,338 square kilometres (16,347 sq mi) water: 2,840 square kilometres (1,100 sq mi) note: includes 1,520 islands in the Baltic Sea", "title": "Area and boundaries" }, { "paragraph_id": 14, "text": "Land boundaries: total: 657 km (408 mi) border countries: Latvia 333 km (207 mi), Russia 324 km (201 mi)", "title": "Area and boundaries" }, { "paragraph_id": 15, "text": "Coastline: 3,794 km (2,357 mi)", "title": "Area and boundaries" }, { "paragraph_id": 16, "text": "Maritime claims: territorial sea: 12 nmi (22.2 km; 13.8 mi)", "title": "Area and boundaries" }, { "paragraph_id": 17, "text": "exclusive economic zone: limits as agreed to by Estonia, Finland, Latvia, Sweden, and Russia", "title": "Area and boundaries" }, { "paragraph_id": 18, "text": "Elevation extremes: lowest point: Baltic Sea 0 m highest point: Suur Munamägi 318 metres (1,043 ft)", "title": "Area and boundaries" }, { "paragraph_id": 19, "text": "Natural resources: oil shale (kukersite), peat, rare earth elements, phosphorite, clay, limestone, sand, dolomite, arable land, sea mud", "title": "Resources and land use" }, { "paragraph_id": 20, "text": "Land use (2018 est.):", "title": "Resources and land use" }, { "paragraph_id": 21, "text": "Irrigated land: 40 km (15 sq mi)", "title": "Resources and land use" }, { "paragraph_id": 22, "text": "Total renewable water resources: 12.806 km (3.072 cu mi) (2017 est.)", "title": "Resources and land use" } ]
Between 57.3 and 59.5 latitude and 21.5 and 28.1 longitude, Estonia lies on the eastern coast of the Baltic Sea on the level northwestern part of the rising East European Platform. Estonia's continental mainland is bordered to the north by the Gulf of Finland across from Finland, to the east by Lake Peipus and Russia, and to the south by Latvia. Besides the part of the European continent, Estonian territory also includes the larger islands of Saaremaa and Hiiumaa, and over 2,200 other islands and islets in the Baltic Sea, off the western and northern shores of the country's mainland. Average elevation in Estonia reaches 50 m (164 ft). The climate is maritime, wet, with moderate winters and cool summers. Oil shale and limestone deposits, along with forests which cover 47% of the land, play key economic roles in this generally resource-poor country. Estonia boasts over 1,500 lakes, numerous bogs, and 3,794 kilometers of coastline marked by numerous bays, straits, and inlets.
2001-04-29T05:25:09Z
2023-11-13T13:16:47Z
[ "Template:See also", "Template:Cite journal", "Template:Estonia topics", "Template:Main", "Template:Commons category", "Template:Reflist", "Template:Citation-attribution", "Template:Geography of Europe", "Template:Short description", "Template:Country geography", "Template:Convert" ]
https://en.wikipedia.org/wiki/Geography_of_Estonia
9,389
Demographics of Estonia
The demographics of Estonia in the 21st century result from historical trends over more than a thousand years, as with most European countries, but have been disproportionately influenced by events in the second half of the 20th century. The Soviet occupation (1944–1991), extensive immigration from Russia and other parts of the former USSR, and the eventual restoration of independence of Estonia, have all had a major effect on Estonia's current ethnic makeup. Languages spoken in Estonia largely reflect the composition of the indigenous and immigrant ethnic groups residing in Estonia, and thus have changed with historical trends affecting the ethnic makeup of the country. Similarly to other northern European peoples, religion plays a rather small part in the lives of most Estonians. Overall, the quality-of-life indices for Estonia indicate a modern industrial state. The population declined annually from 1991 until 2016, except for a brief pause in 2010. Since 2016 immigration has exceeded emigration, making the overall population grow. According to the data of Statistics Estonia, on 1 January 2023, the population of Estonia was 1,365,884 persons. The population increased from 1,351,640 in January 1970 to 1,570,599 in January 1990. After 1990, Estonia lost about 15% of its population (230,000 people). The population decreased to 1,294,455 by December 2011, a figure lower than that recorded in 1970. Decreasing population pressures are explained by a higher death than birth rate and periods of an excess of emigrants over immigrants. Since 2015 the country has experienced population growth. The population mainly increased as a result of net immigration of European Union citizens. Citizens of Russia and Ukraine made up the bulk of non-EU immigration. The increase was detected through methodological changes in data collection. Initially a population decrease had been reported. Between 1970 and 1990 the age structure of Estonia was rather stable with around 22% of the population in the age group 0–14 years, 66% between 15 and 65, while 12% were 65 years or older. Due to the low birth rates after 1990, the proportion of the population 0–14 years of age dropped to 15% in 2009, while the proportion of 65 years or older gradually increased to 17% in 2009. The proportion of the age group 15–64 also slightly increased to 68% in 2009. From 1947 to 1989 the number of births was higher than the number of deaths, but from 1990 onwards the number of deaths outnumbered the number of births. The crude birth rate of 2011 was 10.96 (14,679 births) and the crude death rate of 2011 was 11.38 (15,244 deaths), making the rate of natural increase −0.42 (−565). For more detailed historic data, see the table of birth and death rates below. Between 1970 and 1990, the total fertility rate (TFR) was little over 2 children born per woman. A fast decrease of the TFR occurred after independence. In 1998 the lowest rate was recorded: 1.28 children born per woman. The TFR slightly recovered in the subsequent years. The TFR was 1.66 in 2008 and 1.52 in 2011. The infant mortality rate in Estonia has decreased considerably during the past decades. In 1970 the rate was 17.7 per 1,000 live births. The rate decreased to 17.1 in 1980, 12.3 in 1990 and 8.4 in 2000. The lowest infant mortality rate was recorded in 2011: 2.6. Life expectancy in Estonia is lower than in most Western European countries. During the Soviet era life expectancy in males was between 64 and 66 years and in females between 73 and 75 years. After the independence, life expectancy decreased for a number of years. In 1994, the lowest life expectancy was recorded: 60.5 years in males and 72.8 in females. After 1994, life expectancy gradually increased to reach 68.3 years in males and 79.2 in females in 2012. By data from Statistics Estonia life expectancy at birth in both 2019 and 2020 was 74.4 years for males and 82.8 years for females, on average for all 78,8 years. Life expectancy has increased during last years for both sexes, men are expected to live disability-free for 54.1 years and women for 57.6 years. Males live 72.7 percent of their life in good health and females 70 percent. For comparison, in 2018 the average life expectancy for men in Europe was 78.3 years and for women 83.6 years. As the cumulative negative natural growth was about 82,000 during 1991–2010, the remainder of the population decline of Estonia since 1990 (230,000 people in total) was caused by emigration (150,000 people or about 10% of the population of Estonia in 1990). Mainly ethnic Russians, Ukrainians and Belarusians emigrated. Consequently, the proportion of these ethnic groups decreased as can be seen in the results of the 2000 census (see below). Data from 2000 to 2009 also shows that the number of emigrants is larger than the number of immigrants, but on a much lower lever than in the 1990s. Foreign-born population by census in 2000, 2011 and 2021: There were a total of 201,265 foreign-born people in Estonia at 31 December 2021, representing 15% of the population. 55% of them were born in Russia, and a total of 82% in a Post-Soviet countries. In 2022, according to the data on registered migration (from the Population Register), 49,414 persons immigrated to Estonia and 9,657 persons emigrated from Estonia. Net migration was positive, 39,757 persons more staying than leaving Estonia. Both registered immigration and net migration were several times bigger than the average of recent years, due to the arrival of war refugees from Ukraine. Based on citizenship, the largest number of immigrants settling in Estonia had Ukrainian citizenship (33,217). In 2021, the population of Estonia decreased by 5,315 persons due to negative natural increase and increased by 7,043 persons as a result of positive net migration – 19,524 persons immigrated to Estonia and 12,481 persons emigrated from Estonia (In 2020: 16,209 persons immigrated and 12,427 persons emigrated). The destination countries for migration were Finland, Ukraine and Russia in both directions. Today, Estonia is an ethnically fairly diverse country, ranking 97th out of 239 countries and territories in 2001 study by Kok Kheng Yeoh. In 2008, thirteen of Estonia's fifteen counties were over 80% ethnic Estonian. The counties with the highest percentage Estonians are Hiiu County (98.4%) and Saare County (98.3%). However, in Harju County (which includes the national capital, Tallinn) and Ida-Viru County, ethnic Estonians make up only 59.6% (55.0% in Tallinn) and 19.7% of the population, respectively. In those two counties, Russians account for 32.4% (36.4% in Tallinn) and 71.2% of the population, respectively. In the nation as a whole, Russians make up 23% of the total population. After gaining independence following World War I a population census was held in 1922 and 1934. At that time Estonians were still the predominant ethnic group, while all others constituted 12% of the population of Estonia. Major Jewish communities were present in Estonia between 1918 and 1940 in Tallinn, Pärnu, Kilingi-Nõmme, Narva, Tartu, Valga, and Võru. Population of Estonia by ethnic group 1897–2021 As a result of the Soviet occupation from 1944 to 1991 and Soviet policies, the share of ethnic Estonians in the population resident within currently defined boundaries of Estonia dropped to 61.5% in 1989, compared to 88% in 1934. But in the decade following the restoration of independence, large scale emigration by ethnic Russians, as well as ethnic groups of other former Soviet countries, and the removal of the Russian military bases in 1994 caused the proportion of ethnic Estonians in Estonia to increase from 61.5% in 1989 to 68.7% in 2008. In the same period the proportion of ethnic Russians decreased from 30.0% to 25.6%, the proportion of ethnic Ukrainians decreased from 3.1% to 2.1%, and the proportion of ethnic Belarusians decreased from 1.8% to 1.2%. In 2008, the largest ethnic groups in Estonia were Estonians 68.7%, Russians 25.6%, Ukrainians 2.1%, Belarusians 1.2%, and Finns 0.8%. These five groups made up 98.4% of Estonia's population. The numbers had changed a little by the time of the 2021 census, when they were reported as Estonians 69.1%, Russians 23.6%, Ukrainians 2.1%, Belarusians 0.9%, and Finns 0.6%. Many languages are spoken in Estonia, including Estonian (official), Võro, Russian, Ukrainian, English, Finnish, German and others. According to the census of 2000, 109 languages were spoken natively in Estonia. By 2011, the number of languages spoken natively had increased to 157, mainly due to new immigrants. However, most of these languages were used only between relatives or compatriots, while only 30 languages were spoken on a daily basis in families. Estonian and Finnish are closely related, belonging to the same Finnic branch of the Uralic language family. The two languages are only partially mutually intelligible, although learning to comprehend and speak each other's languages is fairly easy for native speakers. Estonian and Finnish are only distantly related to the Hungarian language. Written with the Latin script, Estonian is the language of the Estonian people and the official language of the country. One-third of the standard vocabulary is derived from adding suffixes to root words. The oldest known examples of written Estonian originate in 13th century chronicles. During the Soviet era, the Russian language was imposed in parallel to, and often instead of, Estonian in official use. Population of Estonia by command of foreign languages (as not the first language) Census data show that in 2021 an estimated 76% of Estonia’s population speak a foreign language. While 10 years ago the most widely spoken foreign language in Estonia was Russian, today it is English. Estonian is spoken by 84% of the population: 67% speak it as a mother tongue and 17% as a foreign language. Religion in Estonia (2011) According to the most recent Eurobarometer Poll 2010, 18% of Estonian citizens responded that "they believe there is a God", whereas 50% answered that "they believe there is some sort of spirit or life force" and 29% that "they do not believe there is any sort of spirit, god, or life force". This, according to the survey, would have made Estonians the most non-religious people in the then 27-member European Union. A survey conducted in 2006–2008 by Gallup showed that 14% of Estonians answered positively to the question: "Is religion an important part of your daily life?", which was the lowest among 143 countries polled. In 2000, according to the census, 29.2% of the population considered themselves to be related to any religion, thereof: In 2011, according to the census, 29.31% of the population considered themselves to be related to any religion: There are also a number of smaller Jewish, and Buddhist groups. The organisation Maavalla Koda (Taaraism) unites adherents of animist traditional religions. The Russian neopagan organisation "Vene Rahvausu Kogudus Eestis" is registered in Tartu. The irrereligiousity of Estonians is a relic of Soviet occupation time, but culturally Estonia still belongs to the Lutheran culture sphere, like most of Northern Europe. The Governorate of Estonia comprised the northern part of present-day Estonia. The southern part was part of the Governorate of Livonia. Source: Statistics Estonia Population figures from 2000 on were revised based on the 2011 Estonian census and various registers. According to the data of Statistics Estonia, 1,365,884 persons lived in Estonia on 1 January 2023. At 1 January 2022 lived in Estonia 1,331,796 persons, increase in 2022 34,088 persons (1,330,068 at 1 January 2021, increase in 2021 1,728 persons).
[ { "paragraph_id": 0, "text": "The demographics of Estonia in the 21st century result from historical trends over more than a thousand years, as with most European countries, but have been disproportionately influenced by events in the second half of the 20th century. The Soviet occupation (1944–1991), extensive immigration from Russia and other parts of the former USSR, and the eventual restoration of independence of Estonia, have all had a major effect on Estonia's current ethnic makeup.", "title": "" }, { "paragraph_id": 1, "text": "Languages spoken in Estonia largely reflect the composition of the indigenous and immigrant ethnic groups residing in Estonia, and thus have changed with historical trends affecting the ethnic makeup of the country. Similarly to other northern European peoples, religion plays a rather small part in the lives of most Estonians.", "title": "" }, { "paragraph_id": 2, "text": "Overall, the quality-of-life indices for Estonia indicate a modern industrial state. The population declined annually from 1991 until 2016, except for a brief pause in 2010. Since 2016 immigration has exceeded emigration, making the overall population grow.", "title": "" }, { "paragraph_id": 3, "text": "According to the data of Statistics Estonia, on 1 January 2023, the population of Estonia was 1,365,884 persons.", "title": "Population" }, { "paragraph_id": 4, "text": "The population increased from 1,351,640 in January 1970 to 1,570,599 in January 1990. After 1990, Estonia lost about 15% of its population (230,000 people). The population decreased to 1,294,455 by December 2011, a figure lower than that recorded in 1970.", "title": "Population" }, { "paragraph_id": 5, "text": "Decreasing population pressures are explained by a higher death than birth rate and periods of an excess of emigrants over immigrants.", "title": "Population" }, { "paragraph_id": 6, "text": "Since 2015 the country has experienced population growth. The population mainly increased as a result of net immigration of European Union citizens. Citizens of Russia and Ukraine made up the bulk of non-EU immigration. The increase was detected through methodological changes in data collection. Initially a population decrease had been reported.", "title": "Population" }, { "paragraph_id": 7, "text": "Between 1970 and 1990 the age structure of Estonia was rather stable with around 22% of the population in the age group 0–14 years, 66% between 15 and 65, while 12% were 65 years or older. Due to the low birth rates after 1990, the proportion of the population 0–14 years of age dropped to 15% in 2009, while the proportion of 65 years or older gradually increased to 17% in 2009. The proportion of the age group 15–64 also slightly increased to 68% in 2009.", "title": "Population" }, { "paragraph_id": 8, "text": "From 1947 to 1989 the number of births was higher than the number of deaths, but from 1990 onwards the number of deaths outnumbered the number of births. The crude birth rate of 2011 was 10.96 (14,679 births) and the crude death rate of 2011 was 11.38 (15,244 deaths), making the rate of natural increase −0.42 (−565). For more detailed historic data, see the table of birth and death rates below.", "title": "Population" }, { "paragraph_id": 9, "text": "Between 1970 and 1990, the total fertility rate (TFR) was little over 2 children born per woman. A fast decrease of the TFR occurred after independence. In 1998 the lowest rate was recorded: 1.28 children born per woman. The TFR slightly recovered in the subsequent years. The TFR was 1.66 in 2008 and 1.52 in 2011.", "title": "Population" }, { "paragraph_id": 10, "text": "The infant mortality rate in Estonia has decreased considerably during the past decades. In 1970 the rate was 17.7 per 1,000 live births. The rate decreased to 17.1 in 1980, 12.3 in 1990 and 8.4 in 2000. The lowest infant mortality rate was recorded in 2011: 2.6.", "title": "Population" }, { "paragraph_id": 11, "text": "Life expectancy in Estonia is lower than in most Western European countries. During the Soviet era life expectancy in males was between 64 and 66 years and in females between 73 and 75 years. After the independence, life expectancy decreased for a number of years. In 1994, the lowest life expectancy was recorded: 60.5 years in males and 72.8 in females. After 1994, life expectancy gradually increased to reach 68.3 years in males and 79.2 in females in 2012.", "title": "Population" }, { "paragraph_id": 12, "text": "By data from Statistics Estonia life expectancy at birth in both 2019 and 2020 was 74.4 years for males and 82.8 years for females, on average for all 78,8 years. Life expectancy has increased during last years for both sexes, men are expected to live disability-free for 54.1 years and women for 57.6 years. Males live 72.7 percent of their life in good health and females 70 percent.", "title": "Population" }, { "paragraph_id": 13, "text": "For comparison, in 2018 the average life expectancy for men in Europe was 78.3 years and for women 83.6 years.", "title": "Population" }, { "paragraph_id": 14, "text": "As the cumulative negative natural growth was about 82,000 during 1991–2010, the remainder of the population decline of Estonia since 1990 (230,000 people in total) was caused by emigration (150,000 people or about 10% of the population of Estonia in 1990). Mainly ethnic Russians, Ukrainians and Belarusians emigrated. Consequently, the proportion of these ethnic groups decreased as can be seen in the results of the 2000 census (see below). Data from 2000 to 2009 also shows that the number of emigrants is larger than the number of immigrants, but on a much lower lever than in the 1990s.", "title": "Immigration" }, { "paragraph_id": 15, "text": "Foreign-born population by census in 2000, 2011 and 2021:", "title": "Immigration" }, { "paragraph_id": 16, "text": "There were a total of 201,265 foreign-born people in Estonia at 31 December 2021, representing 15% of the population. 55% of them were born in Russia, and a total of 82% in a Post-Soviet countries.", "title": "Immigration" }, { "paragraph_id": 17, "text": "In 2022, according to the data on registered migration (from the Population Register), 49,414 persons immigrated to Estonia and 9,657 persons emigrated from Estonia. Net migration was positive, 39,757 persons more staying than leaving Estonia. Both registered immigration and net migration were several times bigger than the average of recent years, due to the arrival of war refugees from Ukraine. Based on citizenship, the largest number of immigrants settling in Estonia had Ukrainian citizenship (33,217).", "title": "Immigration" }, { "paragraph_id": 18, "text": "In 2021, the population of Estonia decreased by 5,315 persons due to negative natural increase and increased by 7,043 persons as a result of positive net migration – 19,524 persons immigrated to Estonia and 12,481 persons emigrated from Estonia (In 2020: 16,209 persons immigrated and 12,427 persons emigrated). The destination countries for migration were Finland, Ukraine and Russia in both directions.", "title": "Immigration" }, { "paragraph_id": 19, "text": "Today, Estonia is an ethnically fairly diverse country, ranking 97th out of 239 countries and territories in 2001 study by Kok Kheng Yeoh. In 2008, thirteen of Estonia's fifteen counties were over 80% ethnic Estonian. The counties with the highest percentage Estonians are Hiiu County (98.4%) and Saare County (98.3%). However, in Harju County (which includes the national capital, Tallinn) and Ida-Viru County, ethnic Estonians make up only 59.6% (55.0% in Tallinn) and 19.7% of the population, respectively. In those two counties, Russians account for 32.4% (36.4% in Tallinn) and 71.2% of the population, respectively. In the nation as a whole, Russians make up 23% of the total population.", "title": "Ethnic groups" }, { "paragraph_id": 20, "text": "After gaining independence following World War I a population census was held in 1922 and 1934. At that time Estonians were still the predominant ethnic group, while all others constituted 12% of the population of Estonia.", "title": "Ethnic groups" }, { "paragraph_id": 21, "text": "Major Jewish communities were present in Estonia between 1918 and 1940 in Tallinn, Pärnu, Kilingi-Nõmme, Narva, Tartu, Valga, and Võru.", "title": "Ethnic groups" }, { "paragraph_id": 22, "text": "Population of Estonia by ethnic group 1897–2021", "title": "Ethnic groups" }, { "paragraph_id": 23, "text": "As a result of the Soviet occupation from 1944 to 1991 and Soviet policies, the share of ethnic Estonians in the population resident within currently defined boundaries of Estonia dropped to 61.5% in 1989, compared to 88% in 1934. But in the decade following the restoration of independence, large scale emigration by ethnic Russians, as well as ethnic groups of other former Soviet countries, and the removal of the Russian military bases in 1994 caused the proportion of ethnic Estonians in Estonia to increase from 61.5% in 1989 to 68.7% in 2008. In the same period the proportion of ethnic Russians decreased from 30.0% to 25.6%, the proportion of ethnic Ukrainians decreased from 3.1% to 2.1%, and the proportion of ethnic Belarusians decreased from 1.8% to 1.2%.", "title": "Ethnic groups" }, { "paragraph_id": 24, "text": "In 2008, the largest ethnic groups in Estonia were Estonians 68.7%, Russians 25.6%, Ukrainians 2.1%, Belarusians 1.2%, and Finns 0.8%. These five groups made up 98.4% of Estonia's population.", "title": "Ethnic groups" }, { "paragraph_id": 25, "text": "The numbers had changed a little by the time of the 2021 census, when they were reported as Estonians 69.1%, Russians 23.6%, Ukrainians 2.1%, Belarusians 0.9%, and Finns 0.6%.", "title": "Ethnic groups" }, { "paragraph_id": 26, "text": "Many languages are spoken in Estonia, including Estonian (official), Võro, Russian, Ukrainian, English, Finnish, German and others. According to the census of 2000, 109 languages were spoken natively in Estonia. By 2011, the number of languages spoken natively had increased to 157, mainly due to new immigrants. However, most of these languages were used only between relatives or compatriots, while only 30 languages were spoken on a daily basis in families.", "title": "Languages" }, { "paragraph_id": 27, "text": "Estonian and Finnish are closely related, belonging to the same Finnic branch of the Uralic language family. The two languages are only partially mutually intelligible, although learning to comprehend and speak each other's languages is fairly easy for native speakers. Estonian and Finnish are only distantly related to the Hungarian language.", "title": "Languages" }, { "paragraph_id": 28, "text": "Written with the Latin script, Estonian is the language of the Estonian people and the official language of the country. One-third of the standard vocabulary is derived from adding suffixes to root words. The oldest known examples of written Estonian originate in 13th century chronicles. During the Soviet era, the Russian language was imposed in parallel to, and often instead of, Estonian in official use.", "title": "Languages" }, { "paragraph_id": 29, "text": "Population of Estonia by command of foreign languages (as not the first language)", "title": "Languages" }, { "paragraph_id": 30, "text": "Census data show that in 2021 an estimated 76% of Estonia’s population speak a foreign language. While 10 years ago the most widely spoken foreign language in Estonia was Russian, today it is English. Estonian is spoken by 84% of the population: 67% speak it as a mother tongue and 17% as a foreign language.", "title": "Languages" }, { "paragraph_id": 31, "text": "Religion in Estonia (2011)", "title": "Religion" }, { "paragraph_id": 32, "text": "According to the most recent Eurobarometer Poll 2010, 18% of Estonian citizens responded that \"they believe there is a God\", whereas 50% answered that \"they believe there is some sort of spirit or life force\" and 29% that \"they do not believe there is any sort of spirit, god, or life force\". This, according to the survey, would have made Estonians the most non-religious people in the then 27-member European Union. A survey conducted in 2006–2008 by Gallup showed that 14% of Estonians answered positively to the question: \"Is religion an important part of your daily life?\", which was the lowest among 143 countries polled.", "title": "Religion" }, { "paragraph_id": 33, "text": "In 2000, according to the census, 29.2% of the population considered themselves to be related to any religion, thereof:", "title": "Religion" }, { "paragraph_id": 34, "text": "In 2011, according to the census, 29.31% of the population considered themselves to be related to any religion:", "title": "Religion" }, { "paragraph_id": 35, "text": "There are also a number of smaller Jewish, and Buddhist groups. The organisation Maavalla Koda (Taaraism) unites adherents of animist traditional religions. The Russian neopagan organisation \"Vene Rahvausu Kogudus Eestis\" is registered in Tartu.", "title": "Religion" }, { "paragraph_id": 36, "text": "The irrereligiousity of Estonians is a relic of Soviet occupation time, but culturally Estonia still belongs to the Lutheran culture sphere, like most of Northern Europe.", "title": "Religion" }, { "paragraph_id": 37, "text": "The Governorate of Estonia comprised the northern part of present-day Estonia. The southern part was part of the Governorate of Livonia.", "title": "Vital statistics" }, { "paragraph_id": 38, "text": "Source: Statistics Estonia", "title": "Vital statistics" }, { "paragraph_id": 39, "text": "Population figures from 2000 on were revised based on the 2011 Estonian census and various registers.", "title": "Vital statistics" }, { "paragraph_id": 40, "text": "According to the data of Statistics Estonia, 1,365,884 persons lived in Estonia on 1 January 2023. At 1 January 2022 lived in Estonia 1,331,796 persons, increase in 2022 34,088 persons (1,330,068 at 1 January 2021, increase in 2021 1,728 persons).", "title": "Vital statistics" }, { "paragraph_id": 41, "text": "", "title": "Vital statistics" } ]
The demographics of Estonia in the 21st century result from historical trends over more than a thousand years, as with most European countries, but have been disproportionately influenced by events in the second half of the 20th century. The Soviet occupation (1944–1991), extensive immigration from Russia and other parts of the former USSR, and the eventual restoration of independence of Estonia, have all had a major effect on Estonia's current ethnic makeup. Languages spoken in Estonia largely reflect the composition of the indigenous and immigrant ethnic groups residing in Estonia, and thus have changed with historical trends affecting the ethnic makeup of the country. Similarly to other northern European peoples, religion plays a rather small part in the lives of most Estonians. Overall, the quality-of-life indices for Estonia indicate a modern industrial state. The population declined annually from 1991 until 2016, except for a brief pause in 2010. Since 2016 immigration has exceeded emigration, making the overall population grow.
2001-04-29T05:25:28Z
2023-12-17T15:43:25Z
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https://en.wikipedia.org/wiki/Demographics_of_Estonia
9,390
Politics of Estonia
Politics in Estonia takes place in a framework of a parliamentary representative democratic republic, whereby the Prime Minister of Estonia is the head of government, and of a multi-party system. Legislative power is vested in the Estonian parliament. Executive power is exercised by the government, which is led by the prime minister. The judiciary is independent of the executive and the legislature. Estonia is a member of the United Nations, the European Union, and NATO. The Estonian Declaration of Independence was issued on 21 February 1918. A parliamentary republic was formed by the Estonian Constituent Assembly and the first Constitution of Estonia was adopted on 15 June 1920. The Parliament of Estonia (State Assembly) elected a Riigivanem who acted both as Head of Government and Head of State. During the Era of Silence, political parties were banned and the parliament was not in session between 1934 and 1938 because the country was ruled by decree of Konstantin Päts, who was elected as the first President of Estonia in 1938. In 1938 a new constitution was passed and the Parliament of Estonia was convened once again, this time bicamerally, consisting of Riigivolikogu (lower house) and Riiginõukogu (upper house), both meaning State Council in direct translation. In 1940, Estonia was occupied by the Soviet Union. It was soon followed by the German occupation of 1941–1944. During the course of the two occupations, legal institutions, elected according to the Estonian constitution, were removed from power. In September 1944, after German forces left, legal power was briefly restored, as Otto Tief formed a new government in accordance with the 1938 constitution. The Tief government lasted for only five days, as Estonia was again occupied by the Soviet Union. Estonia declared independence in 1991 as the Republic of Estonia on the basis of continuity of the constitution prior to 1938, putting into motion the transition from a state socialist economy to a capitalist market economy; in 1992, the public approved a new constitution. On 1 May 2004, Estonia was accepted into the European Union. On 1 January 2011, Estonia joined the eurozone and adopted the EU single currency as the first former Soviet Union state. The leader of the Reform Party Andrus Ansip was the Prime Minister of Estonia since 2005 until 2014. By the end of his nine-year tenure he was the longest-serving prime minister in the European Union. In August 2011, President of Estonia Toomas Hendrik Ilves, in office since 2006, was re-elected. In March 2014, after the resignation of Ansip, Taavi Rõivas of the Reform Party became new prime minister. 34-year-old Rõivas was the youngest prime minister in Europe at that time. In March 2015, the ruling Reform party, led by Prime Minister Taavi Rõivas, won the parliamentary election In October 2016, Estonian parliament elected Kersti Kaljulaid as the new President of Estonia. She was the first female president of Estonia. In November 2016, the new chairman of the Centre Party Jüri Ratas became the new Prime Minister of Estonia. He succeeded prime minister Rõivas whose government lost a parliamentary vote of no-confidence. In the parliamentary election of 2019, five parties gained seats at Riigikogu. The head of the Centre Party, Jüri Ratas, formed the government together with Conservative People's Party and Isamaa, while Reform Party and Social Democratic Party became the opposition. On January 13, 2021 Ratas resigned as prime minister in the wake of a corruption scandal. On 26 January 2021, Reform Party leader Kaja Kallas became Estonia's first female prime minister, making Estonia the only country in the world to currently be led by both a female President and Prime Minister. The new government was a two-party coalition between country's two biggest political parties Reform Party and Centre Party. However, Alar Karis was sworn in as Estonia's sixth President on October 11, 2021. In July 2022, Prime Minister Kaja Kallas formed a new three-party coalition by her liberal Reform Party, the Social Democrats and the conservative Isamaa party. Her previous government had lost its parliamentary majority after the center-left Center Party left the coalition. In March 2023, the Reform party, led by Prime Minister Kaja Kallas, won the parliamentary election, taking 31,4% of the vote. Far-right Conservative People's Party came second with 16,1 % and the third was the Centre Party with 15% of the vote. In April 2023, Kallas formed her third government, which included, in addition to Reform Party, also the liberal Estonia 200 and the Social Democratic (SDE) parties. The framework for the political institutions of Estonia is provided by the Constitution of Estonia (Estonian: Eesti Vabariigi põhiseadus). The constitution follows the principle of separation of powers. Legislative power is wielded by the Parliament, executive power by the Government and judicial power by the courts. Each institution is further defined by their respective legislative acts. The Riigikogu is the representative legislative authority of the Republic of Estonia. It comprises 101 members who are elected at free elections for a four-year term according to the principle of proportional representation. The work of the Parliament is coordinated by the Board of the Riigikogu, which is led by the President of the Riigikogu and is elected for a term of one year. There are also factions within the Parliament, which carry out the programmes of their respective political parties. The work of the Parliament is supported by various committees, which are staffed by members of the factions. They prepare draft legislation and exercise parliamentary control over their fields of activity. The Chancellery of the Riigikogu is tasked with servicing the Parliament. It is headed by the Secretary General of the Riigikogu, who is appointed by the Board of the Riigikogu. Legislation is passed by an open majority vote. The quorum for the Parliament is provided in the Riigikogu Rules of Procedure and Internal Rules Act. Citizens of Estonia who are at least 21 years of age and are eligible to vote may stand to be elected to the Parliament of Estonia. Citizens who are at least 18 years of age and are not convicted of a criminal offence have the right to participate in the voting for the Parliament of Estonia. Elections are called by the President of the Republic. After the election of the Parliament, the first sitting is convened by the President of the Republic, where the members of the Parliament will take an oath of office and then elect the President and Vice Presidents of the Parliament. After the election of the President and Vice Presidents, who are nominated by members of the Parliament, the Prime Minister announces the resignation of the Government so a new one could take its place. The procedure of elections is defined in the Riigikogu Election Act. The President is the head of state of the Republic of Estonia and serves as the highest representative of the state. Furthermore, the President can have limited participation in legislation by issuing decrees, resolutions and directives. Presidential legislation is administered by the Government of the Republic. In addition, the President can refuse to proclaim a law and return it to the Parliament for review. The President is assisted by the Office of the President, which is managed by the Head of the Office of the President. There are also several institutions under the jurisdiction of the President. These include: President's Academic Advisory Board, Roundtable on Regional Development, Estonian Memory Institute, Cultural Foundation of the President, Estonian Cooperation Assembly and National Defence Council. The mandate of the President is determined by the President of the Republic Work Procedure Act. The President is elected by the Parliament of Estonia for a five-year term, but no more than two terms. If the Parliament does not secure at least two-thirds of the votes after three rounds of balloting, then an Electoral College (made up of the Parliament and representatives of local authority councils) elects the president, choosing between the two candidates with the largest percentage of votes. The President candidate is nominated with at least one-fifth support by members of the Parliament. Candidates have to be citizens of Estonia by birth and at least 40 years of age. The procedure for election of the President is provided in the President of the Republic Election Act. The President of the Riigikogu can also perform the duties of the President of the Republic in cases outlined in the constitution. The Government of the Republic (Estonian: Vabariigi Valitsus) is the executive authority of the Republic of Estonia. Its main task is governing the state and implementing policies. It comprises the Prime Minister of Estonia and ministers, who also serve as representatives in the Council of the European Union. The Prime Minister is the head of Government who represents the institution and directs its activities. Different areas of government are managed by various ministries, each of which is headed by a minister. Ministries are further divided into departments, divisions and bureaus. The work of the ministry is managed by a secretary general, who is recommended by the minister and appointed by the Government. Executive power is also exercised by executive agencies and inspectorates under the authority of a ministry. The Government of the Republic is assisted by the Government Office, which is led by the State Secretary. The State Secretary is appointed by the Prime Minister. The activities and organisation of the Government is regulated in the Government of the Republic Act. After the appointment of the Parliament, the Prime Minister candidate is nominated by the President. The Parliament then decides whether to authorise the candidate to form the Government. If approved, the candidate presents a list of members of the Government to the President, who appoints the Government within three days. The Government of the Republic assumes office by taking an oath before the Parliament. The Bank of Estonia (Estonian: Eesti Pank) is the central bank of the Republic of Estonia. Its mission is to maintain the stability of the Estonian financial system. It administers the circulation of currency, implements monetary policy, advises the Government and reports to the Parliament. However, it operates independently of other national government agencies. It is a member of the European System of Central Banks and may receive instructions from the European Central Bank. It is overseen by the Supervisory Board, which includes a Chairman together with seven members. The Chairman of the Supervisory Board is recommended by the President and appointed by the Parliament for a term of five years. The Bank of Estonia is headed by the Governor of the Bank of Estonia, who is recommended by the Supervisory Board and appointed by the President for a term of five years, but no more than one consecutive term. The Governor is also the Chairman of the Executive Board, which is responsible for planning and organising the work of the institution. Furthermore, the Governor represents the Republic of Estonia in the Board of Governors of the International Monetary Fund. The Bank of Estonia is governed by strict confidentiality rules regarding banking secrets. The organisation and activities of the Bank of Estonia is regulated by the Bank of Estonia Act. The National Audit Office (Estonian: Riigikontroll) is an independent public body that carries out audits concerning public spending and assets, including the use of European Union funds. It mainly reports to the Parliament, but can and does share information with the Government and the public. It is headed by the Auditor General, who is recommended by the President and appointed by the Parliament for a term of five years. Every year the Auditor General presents reports about public assets to the Parliament, which are also made public. The National Audit Office has two main departments, the Audit Department and Development and Administrative Service. The Audit Department carries out various audits and the Development and Administrative Service supports its function. The National Audit Office also cooperates with the European Court of Auditors. The organisation and activities of the National Audit Office is regulated by the National Audit Office Act. The Chancellor of Justice (Estonian: Õiguskantsler) is a public official who is tasked with supervising the conformity of legislation with the Constitution of Estonia and laws, protecting fundamental rights, performing the functions of the Ombudsman for Children and solving discrimination disputes. Anybody can turn to the Chancellor of Justice with issues of fundamental rights and freedoms or conformance of an act or legislation with the constitution or law. Every year a report is presented to the Parliament about the activities of the Chancellor of Justice. If the Chancellor of Justice finds that some legislation is not in conformance with the constitution or law, then it can be sent back to the body that passed it to be brought into conformity. If the legislation is not brought in conformity within 20 days, then the Chancellor of Justice can make a proposal to the Supreme Court to repeal it. The Chancellor of Justice also regularly inspects places of detention to prevent and protect detainees of ill-treatment. The working body of the Chancellor of Justice is the Office of Chancellor of Justice. The Chancellor of Justice is recommended by the President and appointed to office by the Parliament for a term of seven years. The status and the organisation of the office of the Chancellor of Justice is determined by the Chancellor of Justice Act. Courts form the judiciary of the Republic of Estonia, which consists of three instances. The first instance courts include county and city courts and administrative courts. Circuit courts are the second instance and review the rulings of the courts of first instance on appeal. The Supreme Court (Estonian: Riigikohus) is the highest court instance and reviews rulings of other courts upon request for a motion to quash, but also acts as a constitutional court. The Chief Justice of the Supreme Court is recommended by the President and appointed by the Parliament. Justices of the Supreme Court are recommended by the Chief Justice and appointed by the Parliament. Other judges are recommended by the Supreme Court and appointed to office for life by the President. First and second instance courts are administered by the Ministry of Justice with the support of Council for Administration of Courts. The Supreme Court administers itself with the aid of self-government bodies. These include: Court en banc, Council for Administration of Courts, Disciplinary Chamber, Judge's examination committee and Judicial Training Council. First and second order courts are headed by Chairmen, who are elected from among judges for a term of seven years. The organisation of the courts and their rules of procedure are established in the Courts Act. The local self-government (Estonian: Kohalik omavalitsus) is the authority responsible for all local matters. They are based on rural municipalities and cities. The local authority is represented by its council, which is elected for a term of four years on free local elections, in conformance with the Municipal Council Election Act. The council can have no less than seven members. The work of the council is managed by the chairman, who is elected from among the members of the council. The executive body of the local authority is the municipal administration (government). The municipal administration is formed and managed by the mayor, who is appointed by the council. The mayor is also tasked with representing the local authority. The council has the right to impose taxes, duties and regulations according to law. These are only valid within the administrative territory of the local government. The council may also decide to form committees, law enforcement units and other administrative agencies. Residents of the municipality have the right to initiate passage, amendment or repeal of legislation of the local authority. Issues in the domain of the council are decided by an open vote. The functions, responsibility and organisation of local governments is determined by the Local Government Organisation Act. Estonia has a multi-party system in which parties usually need to form coalition governments. However, some local self-governments have been formed by a single party. Parties gain authority for implementing their policies by participating in local self-government council, state parliament and/or European Parliament elections. The political landscape is relatively stable, though fractured, and polarization on the left-right scale tends to be fairly weak. Most of the polarization is centered on ethnicity, which is infused with conflict over Estonia's history and identity inherited from the Soviet Union. A party is founded by a memorandum of association as a non-profit association. It needs to have at least 1000 members and a platform approved by the leadership to be registered. Parties receive funding through donations and from state budget if they are either represented in the state parliament or managed to receive at least one percent of the votes in the elections of the parliament. Funding is reviewed by the political party funding supervision committee, which consists of members appointed for a term of five years by the Chancellor of Justice, Auditor General, National Electoral Committee and political parties represented in the parliament. Any Estonian citizen or a citizen of European Union with permanent residence in Estonia who is at least 18 years old can become a member of a political party. The organisation and activities of political parties is regulated by the Political Parties Act and Non-profit Associations Act. Mandate to implement policies is attained through elections. Political parties determine their program based on their platform and the input of members. Parties that get elected to a position of authority then have a chance to deliberate with other elected parties to decide which policies to implement and how. There are four types of public elections in Estonia: local government council elections, state parliament elections, European Parliament elections and referendums. Referendums can be initiated by the Parliament. The rules of procedure for elections are established in the Municipal Council Election Act, Riigikogu Election Act, European Parliament Election Act and Referendum Act. Elections are overseen by the National Electoral Committee and managed by the State Electoral Office, county heads of elections and voting district committees. Members of the National Electoral Committee, which is established for a term of four years, are appointed by the Chief Justice of the Supreme Court, Chancellor of Justice, Auditor General, Chief Public Prosecutor, State Secretary and Board of Auditors. The State Electoral Office is part of the Chancellery of the Riigikogu and its members are appointed by the Secretary General of the Parliament. It organises electronic voting and supervises the election managers. County heads of elections manage elections in the county by instructing and supervising voting district committees. They are either the county secretary or someone recommended by the country secretary and appointed by the Head of the State Electoral Office. A voting district committee is formed by the municipal council and comprises at least five members, with half of the members being presented by the municipal secretary and half by participating political parties. The activities of the National Electoral Committee and election managers can be observed by everyone. Electronic voting was first used in Estonia during the municipal council elections of 2005. Since then the share of people voting electronically has continuously risen. Electronic voting is managed by the State Electoral Office, which establishes the technical requirements and organisation of electronic voting. Voting is based on the Estonian ID card. Every voter has the right to verify and change their vote electronically. If the voter has also voted with a ballot paper, then only the ballot paper will be taken into account. Residents without Estonian citizenship may not elect the Riigikogu. Residents without citizenship of any European Union member state may not elect the European Parliament. All permanent residents, regardless of citizenship, are eligible to vote in the Estonian municipal elections. Estonia operates an advanced free-market economy, which is integrated into the wider European economy by being part of the European Union and the Eurozone. The Estonian monetary system is managed by the Estonian Central Bank, the national budget is drafted by the Government of the Republic and approved by the Parliament. The draft must be presented to the Parliament at least three months before the beginning of the budget year. The rules for drafting and passage of the state budget are described in the State Budget Act. Financial supervision is provided by the Financial Supervision Authority. It supervises securities market, banks, insurance providers, insurance mediators, investment associations and management companies. Drafting of the national budget is annually co-ordinated by the Ministry of Finance and supported by other ministries. The ministries prepare plans for at least the next three years and then negotiate the draft budget with the Ministry of Finance, while the Government of the Republic acts as a mediator. After the draft has been finalized by the Government of the Republic, it is then presented to the Parliament for approval. The implementation of the budget is then organized by the Ministry of Finance. Rearrangement of the budget, so that the total revenues and expenses don't change, is passed as amendments, but changes to the total revenues and expenses have to be made through an additional budget. Revenues and expenses are accounted by the State Treasury. Estonia has one of the lowest national debts in Europe. Part of the reason is that the State Budget Act requires the structural budget position to be in balance. There has also traditionally been a general political consensus over keeping the budget in balance and holding a decent reserve. The Estonian economy is frequently rated as one of the freest in the world and maintains a stable international credit rating. High efficiency is provided through an advanced internet banking system and e-governance. Foreign relations are managed mainly by the Parliament, the Government of the Republic (including various ministries) and the President of the Republic, who mostly serves a representative role. The government can enter into international agreements and present them to the parliament for ratification. Agreements that are in conflict with the Constitution can not be ratified. One notable example of such a case was when Estonia decided to join the European Union, which required the amendment of the Constitution in order to ratify the Accession Treaty. The mandate for the amendment of the Constitution was gained through a public referendum. Estonia's main foreign policy goals are to maintain national security and stability of international relations, ensuring the functioning of Estonian economy, protecting citizens abroad, maintaining good influence and reputation, and promoting democracy, human rights, rule of law and economic freedom. To achieve these goals, Estonia has set its priorities on involvement and integration into the European Union and NATO, and forming strong relations with countries that share its values, especially its close Baltic and Nordic neighbours. Baltic and Nordic cooperation is coordinated through such formats as: Baltic Council of Ministers, Baltic Assembly, Nordic-Baltic Eight (NB8), Council of the Baltic Sea States and Nordic Council of Ministers. Estonia is also a member of the UN, OECD, OSCE and WTO, among others. Treaties can be initiated or concluded by the Ministry of Foreign Affairs. Other ministries and the State Chancellery can make proposals on treaties to the Ministry of Foreign Affairs, which then reviews the proposals. If the submission meets requirements, the ministry can then send it to the Government of the Republic for approval. Ratification of treaties is performed by the parliament. The performance of treaties is guaranteed by the Government of the Republic. The procedures pertaining to foreign relations are described in the Foreign Relations Act. After decades of Soviet occupation, Estonia decided to re-establish its independence in 1991. Because the annexation of Estonia was never recognized, and on the basis of the historical continuity of statehood, the state inherited the full responsibility for the rights and obligations of the Republic of Estonia that existed before the occupation. This means, that multilateral treaties, which were approved before the occupation, were considered to be still in effect. Thus, Estonia has re-assumed its international obligations through the restoration of old treaties. Estonia's national defence is based on initial self-defence capability and membership in NATO. Estonia's security policy utilizes a broad concept of security, similar to the concept of total defence in several Nordic countries, in which all sectors of society are involved. According to the constitution, all citizens of Estonia have a duty to participate in national defence. Male citizens between the ages of 17-27 must partake in 8-12 month military service, though female citizens are also free to serve. Peace-time and war-time organisation of national defence is determined by the National Defence Act. The supreme commander of national defence is the President of the Republic. The president is advised by the National Defence Council, which consists of the President of the Parliament, Chairman of the National Defence Committee, Chairman of the Foreign Affairs Committee, the Prime Minister with other ministers and the Commander of the Defence Forces. Planning, development and organisation of national defence is coordinated by the Security Committee of the Government of the Republic. Management of defence readiness, state of emergency and state of war are directed by the Prime Minister. Increase of defence readiness needs to be approved by the parliament. Beginning and end of state of war and mobilisation is proposed by the president and declared by the parliament. In case of aggression against the Republic of Estonia, state of war can be declared by the president without a corresponding resolution from the parliament. Use of the Defence forces in international cooperation is decided by the parliament. The activities of the Defence Forces are directed and organised by the Commander of the Estonian Defence Forces.
[ { "paragraph_id": 0, "text": "Politics in Estonia takes place in a framework of a parliamentary representative democratic republic, whereby the Prime Minister of Estonia is the head of government, and of a multi-party system. Legislative power is vested in the Estonian parliament. Executive power is exercised by the government, which is led by the prime minister. The judiciary is independent of the executive and the legislature. Estonia is a member of the United Nations, the European Union, and NATO.", "title": "" }, { "paragraph_id": 1, "text": "The Estonian Declaration of Independence was issued on 21 February 1918. A parliamentary republic was formed by the Estonian Constituent Assembly and the first Constitution of Estonia was adopted on 15 June 1920. The Parliament of Estonia (State Assembly) elected a Riigivanem who acted both as Head of Government and Head of State. During the Era of Silence, political parties were banned and the parliament was not in session between 1934 and 1938 because the country was ruled by decree of Konstantin Päts, who was elected as the first President of Estonia in 1938. In 1938 a new constitution was passed and the Parliament of Estonia was convened once again, this time bicamerally, consisting of Riigivolikogu (lower house) and Riiginõukogu (upper house), both meaning State Council in direct translation. In 1940, Estonia was occupied by the Soviet Union. It was soon followed by the German occupation of 1941–1944. During the course of the two occupations, legal institutions, elected according to the Estonian constitution, were removed from power. In September 1944, after German forces left, legal power was briefly restored, as Otto Tief formed a new government in accordance with the 1938 constitution. The Tief government lasted for only five days, as Estonia was again occupied by the Soviet Union. Estonia declared independence in 1991 as the Republic of Estonia on the basis of continuity of the constitution prior to 1938, putting into motion the transition from a state socialist economy to a capitalist market economy; in 1992, the public approved a new constitution. On 1 May 2004, Estonia was accepted into the European Union. On 1 January 2011, Estonia joined the eurozone and adopted the EU single currency as the first former Soviet Union state.", "title": "History" }, { "paragraph_id": 2, "text": "The leader of the Reform Party Andrus Ansip was the Prime Minister of Estonia since 2005 until 2014. By the end of his nine-year tenure he was the longest-serving prime minister in the European Union. In August 2011, President of Estonia Toomas Hendrik Ilves, in office since 2006, was re-elected. In March 2014, after the resignation of Ansip, Taavi Rõivas of the Reform Party became new prime minister. 34-year-old Rõivas was the youngest prime minister in Europe at that time. In March 2015, the ruling Reform party, led by Prime Minister Taavi Rõivas, won the parliamentary election In October 2016, Estonian parliament elected Kersti Kaljulaid as the new President of Estonia. She was the first female president of Estonia. In November 2016, the new chairman of the Centre Party Jüri Ratas became the new Prime Minister of Estonia. He succeeded prime minister Rõivas whose government lost a parliamentary vote of no-confidence.", "title": "History" }, { "paragraph_id": 3, "text": "In the parliamentary election of 2019, five parties gained seats at Riigikogu. The head of the Centre Party, Jüri Ratas, formed the government together with Conservative People's Party and Isamaa, while Reform Party and Social Democratic Party became the opposition. On January 13, 2021 Ratas resigned as prime minister in the wake of a corruption scandal.", "title": "History" }, { "paragraph_id": 4, "text": "On 26 January 2021, Reform Party leader Kaja Kallas became Estonia's first female prime minister, making Estonia the only country in the world to currently be led by both a female President and Prime Minister. The new government was a two-party coalition between country's two biggest political parties Reform Party and Centre Party. However, Alar Karis was sworn in as Estonia's sixth President on October 11, 2021. In July 2022, Prime Minister Kaja Kallas formed a new three-party coalition by her liberal Reform Party, the Social Democrats and the conservative Isamaa party. Her previous government had lost its parliamentary majority after the center-left Center Party left the coalition.", "title": "History" }, { "paragraph_id": 5, "text": "In March 2023, the Reform party, led by Prime Minister Kaja Kallas, won the parliamentary election, taking 31,4% of the vote. Far-right Conservative People's Party came second with 16,1 % and the third was the Centre Party with 15% of the vote. In April 2023, Kallas formed her third government, which included, in addition to Reform Party, also the liberal Estonia 200 and the Social Democratic (SDE) parties.", "title": "History" }, { "paragraph_id": 6, "text": "The framework for the political institutions of Estonia is provided by the Constitution of Estonia (Estonian: Eesti Vabariigi põhiseadus). The constitution follows the principle of separation of powers. Legislative power is wielded by the Parliament, executive power by the Government and judicial power by the courts. Each institution is further defined by their respective legislative acts.", "title": "Institutions" }, { "paragraph_id": 7, "text": "The Riigikogu is the representative legislative authority of the Republic of Estonia. It comprises 101 members who are elected at free elections for a four-year term according to the principle of proportional representation. The work of the Parliament is coordinated by the Board of the Riigikogu, which is led by the President of the Riigikogu and is elected for a term of one year. There are also factions within the Parliament, which carry out the programmes of their respective political parties. The work of the Parliament is supported by various committees, which are staffed by members of the factions. They prepare draft legislation and exercise parliamentary control over their fields of activity. The Chancellery of the Riigikogu is tasked with servicing the Parliament. It is headed by the Secretary General of the Riigikogu, who is appointed by the Board of the Riigikogu. Legislation is passed by an open majority vote. The quorum for the Parliament is provided in the Riigikogu Rules of Procedure and Internal Rules Act.", "title": "Institutions" }, { "paragraph_id": 8, "text": "Citizens of Estonia who are at least 21 years of age and are eligible to vote may stand to be elected to the Parliament of Estonia. Citizens who are at least 18 years of age and are not convicted of a criminal offence have the right to participate in the voting for the Parliament of Estonia. Elections are called by the President of the Republic. After the election of the Parliament, the first sitting is convened by the President of the Republic, where the members of the Parliament will take an oath of office and then elect the President and Vice Presidents of the Parliament. After the election of the President and Vice Presidents, who are nominated by members of the Parliament, the Prime Minister announces the resignation of the Government so a new one could take its place. The procedure of elections is defined in the Riigikogu Election Act.", "title": "Institutions" }, { "paragraph_id": 9, "text": "The President is the head of state of the Republic of Estonia and serves as the highest representative of the state. Furthermore, the President can have limited participation in legislation by issuing decrees, resolutions and directives. Presidential legislation is administered by the Government of the Republic. In addition, the President can refuse to proclaim a law and return it to the Parliament for review. The President is assisted by the Office of the President, which is managed by the Head of the Office of the President. There are also several institutions under the jurisdiction of the President. These include: President's Academic Advisory Board, Roundtable on Regional Development, Estonian Memory Institute, Cultural Foundation of the President, Estonian Cooperation Assembly and National Defence Council. The mandate of the President is determined by the President of the Republic Work Procedure Act.", "title": "Institutions" }, { "paragraph_id": 10, "text": "The President is elected by the Parliament of Estonia for a five-year term, but no more than two terms. If the Parliament does not secure at least two-thirds of the votes after three rounds of balloting, then an Electoral College (made up of the Parliament and representatives of local authority councils) elects the president, choosing between the two candidates with the largest percentage of votes. The President candidate is nominated with at least one-fifth support by members of the Parliament. Candidates have to be citizens of Estonia by birth and at least 40 years of age. The procedure for election of the President is provided in the President of the Republic Election Act. The President of the Riigikogu can also perform the duties of the President of the Republic in cases outlined in the constitution.", "title": "Institutions" }, { "paragraph_id": 11, "text": "The Government of the Republic (Estonian: Vabariigi Valitsus) is the executive authority of the Republic of Estonia. Its main task is governing the state and implementing policies. It comprises the Prime Minister of Estonia and ministers, who also serve as representatives in the Council of the European Union. The Prime Minister is the head of Government who represents the institution and directs its activities. Different areas of government are managed by various ministries, each of which is headed by a minister. Ministries are further divided into departments, divisions and bureaus. The work of the ministry is managed by a secretary general, who is recommended by the minister and appointed by the Government. Executive power is also exercised by executive agencies and inspectorates under the authority of a ministry. The Government of the Republic is assisted by the Government Office, which is led by the State Secretary. The State Secretary is appointed by the Prime Minister. The activities and organisation of the Government is regulated in the Government of the Republic Act.", "title": "Institutions" }, { "paragraph_id": 12, "text": "After the appointment of the Parliament, the Prime Minister candidate is nominated by the President. The Parliament then decides whether to authorise the candidate to form the Government. If approved, the candidate presents a list of members of the Government to the President, who appoints the Government within three days. The Government of the Republic assumes office by taking an oath before the Parliament.", "title": "Institutions" }, { "paragraph_id": 13, "text": "The Bank of Estonia (Estonian: Eesti Pank) is the central bank of the Republic of Estonia. Its mission is to maintain the stability of the Estonian financial system. It administers the circulation of currency, implements monetary policy, advises the Government and reports to the Parliament. However, it operates independently of other national government agencies. It is a member of the European System of Central Banks and may receive instructions from the European Central Bank. It is overseen by the Supervisory Board, which includes a Chairman together with seven members. The Chairman of the Supervisory Board is recommended by the President and appointed by the Parliament for a term of five years. The Bank of Estonia is headed by the Governor of the Bank of Estonia, who is recommended by the Supervisory Board and appointed by the President for a term of five years, but no more than one consecutive term. The Governor is also the Chairman of the Executive Board, which is responsible for planning and organising the work of the institution. Furthermore, the Governor represents the Republic of Estonia in the Board of Governors of the International Monetary Fund. The Bank of Estonia is governed by strict confidentiality rules regarding banking secrets. The organisation and activities of the Bank of Estonia is regulated by the Bank of Estonia Act.", "title": "Institutions" }, { "paragraph_id": 14, "text": "The National Audit Office (Estonian: Riigikontroll) is an independent public body that carries out audits concerning public spending and assets, including the use of European Union funds. It mainly reports to the Parliament, but can and does share information with the Government and the public. It is headed by the Auditor General, who is recommended by the President and appointed by the Parliament for a term of five years. Every year the Auditor General presents reports about public assets to the Parliament, which are also made public. The National Audit Office has two main departments, the Audit Department and Development and Administrative Service. The Audit Department carries out various audits and the Development and Administrative Service supports its function. The National Audit Office also cooperates with the European Court of Auditors. The organisation and activities of the National Audit Office is regulated by the National Audit Office Act.", "title": "Institutions" }, { "paragraph_id": 15, "text": "The Chancellor of Justice (Estonian: Õiguskantsler) is a public official who is tasked with supervising the conformity of legislation with the Constitution of Estonia and laws, protecting fundamental rights, performing the functions of the Ombudsman for Children and solving discrimination disputes. Anybody can turn to the Chancellor of Justice with issues of fundamental rights and freedoms or conformance of an act or legislation with the constitution or law. Every year a report is presented to the Parliament about the activities of the Chancellor of Justice. If the Chancellor of Justice finds that some legislation is not in conformance with the constitution or law, then it can be sent back to the body that passed it to be brought into conformity. If the legislation is not brought in conformity within 20 days, then the Chancellor of Justice can make a proposal to the Supreme Court to repeal it. The Chancellor of Justice also regularly inspects places of detention to prevent and protect detainees of ill-treatment. The working body of the Chancellor of Justice is the Office of Chancellor of Justice. The Chancellor of Justice is recommended by the President and appointed to office by the Parliament for a term of seven years. The status and the organisation of the office of the Chancellor of Justice is determined by the Chancellor of Justice Act.", "title": "Institutions" }, { "paragraph_id": 16, "text": "Courts form the judiciary of the Republic of Estonia, which consists of three instances. The first instance courts include county and city courts and administrative courts. Circuit courts are the second instance and review the rulings of the courts of first instance on appeal. The Supreme Court (Estonian: Riigikohus) is the highest court instance and reviews rulings of other courts upon request for a motion to quash, but also acts as a constitutional court. The Chief Justice of the Supreme Court is recommended by the President and appointed by the Parliament. Justices of the Supreme Court are recommended by the Chief Justice and appointed by the Parliament. Other judges are recommended by the Supreme Court and appointed to office for life by the President. First and second instance courts are administered by the Ministry of Justice with the support of Council for Administration of Courts. The Supreme Court administers itself with the aid of self-government bodies. These include: Court en banc, Council for Administration of Courts, Disciplinary Chamber, Judge's examination committee and Judicial Training Council. First and second order courts are headed by Chairmen, who are elected from among judges for a term of seven years. The organisation of the courts and their rules of procedure are established in the Courts Act.", "title": "Institutions" }, { "paragraph_id": 17, "text": "The local self-government (Estonian: Kohalik omavalitsus) is the authority responsible for all local matters. They are based on rural municipalities and cities. The local authority is represented by its council, which is elected for a term of four years on free local elections, in conformance with the Municipal Council Election Act. The council can have no less than seven members. The work of the council is managed by the chairman, who is elected from among the members of the council. The executive body of the local authority is the municipal administration (government). The municipal administration is formed and managed by the mayor, who is appointed by the council. The mayor is also tasked with representing the local authority. The council has the right to impose taxes, duties and regulations according to law. These are only valid within the administrative territory of the local government. The council may also decide to form committees, law enforcement units and other administrative agencies. Residents of the municipality have the right to initiate passage, amendment or repeal of legislation of the local authority. Issues in the domain of the council are decided by an open vote. The functions, responsibility and organisation of local governments is determined by the Local Government Organisation Act.", "title": "Institutions" }, { "paragraph_id": 18, "text": "Estonia has a multi-party system in which parties usually need to form coalition governments. However, some local self-governments have been formed by a single party. Parties gain authority for implementing their policies by participating in local self-government council, state parliament and/or European Parliament elections. The political landscape is relatively stable, though fractured, and polarization on the left-right scale tends to be fairly weak. Most of the polarization is centered on ethnicity, which is infused with conflict over Estonia's history and identity inherited from the Soviet Union.", "title": "Institutions" }, { "paragraph_id": 19, "text": "A party is founded by a memorandum of association as a non-profit association. It needs to have at least 1000 members and a platform approved by the leadership to be registered. Parties receive funding through donations and from state budget if they are either represented in the state parliament or managed to receive at least one percent of the votes in the elections of the parliament. Funding is reviewed by the political party funding supervision committee, which consists of members appointed for a term of five years by the Chancellor of Justice, Auditor General, National Electoral Committee and political parties represented in the parliament. Any Estonian citizen or a citizen of European Union with permanent residence in Estonia who is at least 18 years old can become a member of a political party. The organisation and activities of political parties is regulated by the Political Parties Act and Non-profit Associations Act.", "title": "Institutions" }, { "paragraph_id": 20, "text": "Mandate to implement policies is attained through elections. Political parties determine their program based on their platform and the input of members. Parties that get elected to a position of authority then have a chance to deliberate with other elected parties to decide which policies to implement and how.", "title": "Policies" }, { "paragraph_id": 21, "text": "There are four types of public elections in Estonia: local government council elections, state parliament elections, European Parliament elections and referendums. Referendums can be initiated by the Parliament. The rules of procedure for elections are established in the Municipal Council Election Act, Riigikogu Election Act, European Parliament Election Act and Referendum Act. Elections are overseen by the National Electoral Committee and managed by the State Electoral Office, county heads of elections and voting district committees. Members of the National Electoral Committee, which is established for a term of four years, are appointed by the Chief Justice of the Supreme Court, Chancellor of Justice, Auditor General, Chief Public Prosecutor, State Secretary and Board of Auditors. The State Electoral Office is part of the Chancellery of the Riigikogu and its members are appointed by the Secretary General of the Parliament. It organises electronic voting and supervises the election managers. County heads of elections manage elections in the county by instructing and supervising voting district committees. They are either the county secretary or someone recommended by the country secretary and appointed by the Head of the State Electoral Office. A voting district committee is formed by the municipal council and comprises at least five members, with half of the members being presented by the municipal secretary and half by participating political parties. The activities of the National Electoral Committee and election managers can be observed by everyone.", "title": "Policies" }, { "paragraph_id": 22, "text": "Electronic voting was first used in Estonia during the municipal council elections of 2005. Since then the share of people voting electronically has continuously risen. Electronic voting is managed by the State Electoral Office, which establishes the technical requirements and organisation of electronic voting. Voting is based on the Estonian ID card. Every voter has the right to verify and change their vote electronically. If the voter has also voted with a ballot paper, then only the ballot paper will be taken into account.", "title": "Policies" }, { "paragraph_id": 23, "text": "Residents without Estonian citizenship may not elect the Riigikogu. Residents without citizenship of any European Union member state may not elect the European Parliament. All permanent residents, regardless of citizenship, are eligible to vote in the Estonian municipal elections.", "title": "Policies" }, { "paragraph_id": 24, "text": "Estonia operates an advanced free-market economy, which is integrated into the wider European economy by being part of the European Union and the Eurozone. The Estonian monetary system is managed by the Estonian Central Bank, the national budget is drafted by the Government of the Republic and approved by the Parliament. The draft must be presented to the Parliament at least three months before the beginning of the budget year. The rules for drafting and passage of the state budget are described in the State Budget Act. Financial supervision is provided by the Financial Supervision Authority. It supervises securities market, banks, insurance providers, insurance mediators, investment associations and management companies.", "title": "Policies" }, { "paragraph_id": 25, "text": "Drafting of the national budget is annually co-ordinated by the Ministry of Finance and supported by other ministries. The ministries prepare plans for at least the next three years and then negotiate the draft budget with the Ministry of Finance, while the Government of the Republic acts as a mediator. After the draft has been finalized by the Government of the Republic, it is then presented to the Parliament for approval. The implementation of the budget is then organized by the Ministry of Finance. Rearrangement of the budget, so that the total revenues and expenses don't change, is passed as amendments, but changes to the total revenues and expenses have to be made through an additional budget. Revenues and expenses are accounted by the State Treasury.", "title": "Policies" }, { "paragraph_id": 26, "text": "Estonia has one of the lowest national debts in Europe. Part of the reason is that the State Budget Act requires the structural budget position to be in balance. There has also traditionally been a general political consensus over keeping the budget in balance and holding a decent reserve. The Estonian economy is frequently rated as one of the freest in the world and maintains a stable international credit rating. High efficiency is provided through an advanced internet banking system and e-governance.", "title": "Policies" }, { "paragraph_id": 27, "text": "Foreign relations are managed mainly by the Parliament, the Government of the Republic (including various ministries) and the President of the Republic, who mostly serves a representative role. The government can enter into international agreements and present them to the parliament for ratification. Agreements that are in conflict with the Constitution can not be ratified. One notable example of such a case was when Estonia decided to join the European Union, which required the amendment of the Constitution in order to ratify the Accession Treaty. The mandate for the amendment of the Constitution was gained through a public referendum.", "title": "Policies" }, { "paragraph_id": 28, "text": "Estonia's main foreign policy goals are to maintain national security and stability of international relations, ensuring the functioning of Estonian economy, protecting citizens abroad, maintaining good influence and reputation, and promoting democracy, human rights, rule of law and economic freedom. To achieve these goals, Estonia has set its priorities on involvement and integration into the European Union and NATO, and forming strong relations with countries that share its values, especially its close Baltic and Nordic neighbours. Baltic and Nordic cooperation is coordinated through such formats as: Baltic Council of Ministers, Baltic Assembly, Nordic-Baltic Eight (NB8), Council of the Baltic Sea States and Nordic Council of Ministers. Estonia is also a member of the UN, OECD, OSCE and WTO, among others.", "title": "Policies" }, { "paragraph_id": 29, "text": "Treaties can be initiated or concluded by the Ministry of Foreign Affairs. Other ministries and the State Chancellery can make proposals on treaties to the Ministry of Foreign Affairs, which then reviews the proposals. If the submission meets requirements, the ministry can then send it to the Government of the Republic for approval. Ratification of treaties is performed by the parliament. The performance of treaties is guaranteed by the Government of the Republic. The procedures pertaining to foreign relations are described in the Foreign Relations Act. After decades of Soviet occupation, Estonia decided to re-establish its independence in 1991. Because the annexation of Estonia was never recognized, and on the basis of the historical continuity of statehood, the state inherited the full responsibility for the rights and obligations of the Republic of Estonia that existed before the occupation. This means, that multilateral treaties, which were approved before the occupation, were considered to be still in effect. Thus, Estonia has re-assumed its international obligations through the restoration of old treaties.", "title": "Policies" }, { "paragraph_id": 30, "text": "Estonia's national defence is based on initial self-defence capability and membership in NATO. Estonia's security policy utilizes a broad concept of security, similar to the concept of total defence in several Nordic countries, in which all sectors of society are involved. According to the constitution, all citizens of Estonia have a duty to participate in national defence. Male citizens between the ages of 17-27 must partake in 8-12 month military service, though female citizens are also free to serve. Peace-time and war-time organisation of national defence is determined by the National Defence Act.", "title": "Policies" }, { "paragraph_id": 31, "text": "The supreme commander of national defence is the President of the Republic. The president is advised by the National Defence Council, which consists of the President of the Parliament, Chairman of the National Defence Committee, Chairman of the Foreign Affairs Committee, the Prime Minister with other ministers and the Commander of the Defence Forces. Planning, development and organisation of national defence is coordinated by the Security Committee of the Government of the Republic. Management of defence readiness, state of emergency and state of war are directed by the Prime Minister. Increase of defence readiness needs to be approved by the parliament. Beginning and end of state of war and mobilisation is proposed by the president and declared by the parliament. In case of aggression against the Republic of Estonia, state of war can be declared by the president without a corresponding resolution from the parliament. Use of the Defence forces in international cooperation is decided by the parliament. The activities of the Defence Forces are directed and organised by the Commander of the Estonian Defence Forces.", "title": "Policies" } ]
Politics in Estonia takes place in a framework of a parliamentary representative democratic republic, whereby the Prime Minister of Estonia is the head of government, and of a multi-party system. Legislative power is vested in the Estonian parliament. Executive power is exercised by the government, which is led by the prime minister. The judiciary is independent of the executive and the legislature. Estonia is a member of the United Nations, the European Union, and NATO.
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https://en.wikipedia.org/wiki/Politics_of_Estonia
9,391
Economy of Estonia
The economy of Estonia is an advanced economy and the country is a member of the European Union and the eurozone. Estonia's economy is heavily influenced by developments in the Finnish and Swedish economies. Before the Second World War, Estonia's economy was based on agriculture, but there was a significant knowledge sector, with the university city of Tartu known for scientific contributions, and a growing industrial sector, similar to that of neighbouring Finland. Products, such as butter, milk, and cheese were widely known in the west European markets. The main markets were Germany and the United Kingdom, and only 3% of all commerce was with the neighbouring USSR. Estonia and Finland had a relatively similar standard of living. The USSR's occupation and annexation of Estonia in 1940 and the ensuing Nazi German and Stalinist Soviet destruction during World War II crippled the Estonian economy. The subsequent Soviet occupation and post-war Sovietization of life continued with the integration of Estonia's economy and industry into the USSR's centrally planned structure. After Estonia moved away from communism in the late 1980s, restored its independence in 1991 and became a market economy, it emerged as a pioneer in the global economy. In 1992, the country adopted the Estonian kroon as its own currency, and this greatly stabilised the economy. In 1994, it became one of the first countries in the world to adopt a flat tax, with a uniform rate of 26% regardless of personal income. Estonia received more foreign investment per capita in the second half of the 1990s than any other country in Central and Eastern Europe. Between 2005 and 2008, the personal income tax rate was reduced from 26% to 21% in several steps. The country has been quickly catching up with the EU-15; its GDP per capita having grown from 34.8% of the EU-15 average in 1996 to 65% in 2007, similar to that of Central European countries. It is already rated a high-income country by the World Bank. The GDP (PPP) per capita of the country, a good indicator of wealth, was $35,974 in 2018 according to the World Bank, between that of Lithuania and Cyprus, but below that of most long-time EU members such as Spain or Italy. Because of its economic performance after regaining independence in 1991, Estonia has been termed one of the Baltic Tigers. In 2008, Estonia was ranked 12th of 162 countries in the Index of Economic Freedom 2008, the best of any post-Soviet states. The same year, the country was at the bottom of the list of European states by labour market freedom, but the government is drafting improvements. For Estonia, the financial crisis of 2007–2008 was comparatively easier to weather, because Estonia's budget has consistently been kept balanced, and this meant that Estonia's public debt relative to the country's GDP has remained the lowest in Europe. The economy recovered in 2010. On 1 January 2011, Estonia adopted the euro, and became the first ex-Soviet republic to join the eurozone. In 2013, the World Bank Group rated Estonia as 21st on the Ease of Doing Business Index. Until the early 13th century, the territory that is now known as Estonia was independent. The economy was largely an agricultural one, but Estonia being a country with a long coastline, there were also many maritime activities. Autonomous development was brought to an end by the Northern Crusades undertaken by the King of Denmark, the German Livonian and the Teutonic military orders. The Estonian world was transformed by military conquest. The war against the invaders lasted from 1208 to 1227. The last Estonian county to fall was the island of Saaremaa in 1261. Thereafter, through many centuries until WWI, Estonian agriculture consisted of native peasants working large feudal-type estates held by ethnic German landlords. In the decades prior to independence, centralised Czarist rule had created a rather large industrial sector dominated by the Kreenholm Manufacturing Company, then the world's largest cotton mill. After declaring independence in 1918, the Estonian War of Independence and the subsequent signing of the Treaty of Tartu in 1920, the new Estonian state inherited a ruined post-war economy and an inflated ruble currency. Despite considerable hardship, dislocation, and unemployment, Estonia spent the first decade of independence entirely transforming its economy. In 1918, The Czarist ruble was replaced by the Estonian mark, which was in circulation until 1927. By 1929, a stable currency, the kroon, had been established. It was issued by the Bank of Estonia, the country's central bank. Compensating the German landowners for their holdings, the government confiscated the estates and divided them into small farms, which subsequently formed the basis of Estonian prosperity. Trade focused on the local market and the West, particularly Germany and the United Kingdom. Only 3% of all commerce was with the USSR. The USSR's forcible annexation of Estonia in 1940 and the ensuing Nazi and Soviet destruction during World War II crippled the Estonian economy. Post-war Soviet occupation and Sovietisation of life continued with the integration of Estonia's economy and industry into the USSR's centrally planned structure. More than 56% of Estonian farms were collectivised in the month of April 1949 alone after mass deportations to Siberia the previous month. Moscow expanded on those Estonian industries which had locally available raw materials, such as oil shale mining and phosphorites. "Since reestablishing independence, Estonia has styled itself as the gateway between East and West and pursued economic reform and integration with the West." Estonia's market reforms put it among the economic leaders in the former COMECON area. A balanced budget, almost non-existent public debt, flat-rate income tax, free trade regime, fully convertible currency backed by a currency board and a strong peg to the euro, competitive commercial banking sector, hospitable environment for foreign investment, innovative e-Services and mobile-based services are all hallmarks of Estonia's free-market-based economy. In June 1992, Estonia replaced the ruble with its own freely convertible currency, the kroon (EEK). A currency board was created and the new currency was pegged to the German Mark at the rate of 8 Estonian kroons for 1 Deutsche Mark. When Germany introduced the euro the peg was changed to 15.6466 kroons for 1 euro. Estonia was set to adopt the euro in 2008, but due to the inflation rate being above the required 3%, the adoption date was delayed to 2011. On 1 January 2011, Estonia adopted the euro and became the 17th eurozone member state. The privatisation of state-owned firms is virtually complete, with only the port and the main power plants remaining in government hands. The constitution requires a balanced budget, and the protection afforded by Estonia's intellectual property laws is on a par of that of Europe's. In early 1992, both liquidity problems and structural weakness stemming from the communist era precipitated a banking crisis. As a result, effective bankruptcy legislation was enacted and privately owned; well-managed banks emerged as market leaders. Today, near-ideal conditions for the banking sector exist. Foreigners are not restricted from buying bank shares or acquiring majority holdings. The fully electronic Tallinn Stock Exchange opened in early 1996, and was purchased by Finland's Helsinki Stock Exchange in 2001. Estonia joined the World Trade Organization in 1999. From the early 2000s to the latter part of that decade, the Estonian economy experienced considerable growth. In the year 2000, Estonian GDP grew by 6.4%. Upon accession to the European Union in 2004, double-digit growth was soon after observed. GDP grew by 7.9% in 2007 alone. Increases in labor costs, the imposition of tax on tobacco, alcohol, electricity, fuel, gas, and other external pressures (growing prices of oil and food on the global market) were expected to inflate price levels by 10% in the first months of 2009. The financial crisis of 2007–2008 has had a deep effect on the Estonian economy, primarily as a result of an investment and consumption slump that followed the burst of the real estate market bubble that had been building up during the preceding years. After a long period of very high growth of GDP, the GDP of Estonia decreased. In the first quarter 2008, GDP grew only 0.1%, and then decreased: negative growth was −1.4% in the 2nd quarter, a little over −3% (on a year-to-year basis) in the 3rd quarter, and −9.4% in the 4th quarter of that year. The government made a supplementary negative budget, which was passed by the Riigikogu. The revenue of the budget was decreased for 2008 by EEK 6.1 billion and the expenditure by EEK 3.2 billion. A current account-deficit was extant, but began to shrink in the last months of 2008, and had been expected to continue to do so in the near future. In 2009, the Estonian economy further contracted by 15.1% in the first quarter. Low domestic and foreign demand had depressed the economy's overall output. The Estonian economy's 33.7% industrial production drop was the sharpest decrease in industrial production in the entire European Union. That year, Estonia was one of the five worst-performing economies in the world in terms of annual GDP growth rate, and had one of the greatest rates of unemployment in the EU, which rose from 3.9% in May 2008 to 15.6% in May 2009. In December 2008, Estonia became one of the donor countries to the IMF-led rescue package for Latvia. In response to the crisis, the Ansip government opted for fiscal consolidation and retrenchment by maintaining fiscal discipline and a balanced budget in combination with austerity packages: The government increased taxes, and reduced public spending by slashing expenditures and public salaries across the board. In July 2009, the value-added tax was increased from 18% to 20%. The recorded budget deficit for 2009 was just 1.7% of GDP. The result was, that Estonia was one of only five EU countries in 2009 that had met the Maastricht criteria for debt and deficit, and had the third-lowest deficit after Luxembourg and Sweden. Neither did Estonia need to ask help from the IMF. Despite the third-largest drop in GDP, the country had the lowest budget deficit and the lowest public debt among Central and Eastern European countries. In 2009, the Estonian economy began to rebound, and economic growth resumed in the second half of 2010. The country's unemployment rate has since dropped significantly to pre-recession levels. To top it off, Estonia was granted permission in 2010 to join the eurozone in 2011. Before joining the eurozone, the Estonian kroon had been pegged to the euro at a rate of 15.64664 EEK to one euro; before then, the kroon was pegged to the German mark at approximately 8 EEK to 1 DEM. The design of Estonian euro coins was finalized in late 2004. Estonia's journey towards the euro took longer than originally projected, owing to the inflation rate continually being above the required 3% before 2010, which prevented the country from fulfilling the entry criteria. The country originally planned to adopt the euro on 1 January 2007 and officially changed its target date twice: first to 1 January 2008, and later to 1 January 2011. On 12 May 2010, the European Commission announced that Estonia had met all criteria to join the eurozone. On 8 June 2010, EU finance ministers. On 13 July 2010, Estonia received the final approval from ECOFIN to adopt the euro onwards from 1 January 2011. The switchover to the euro took place on 1 January 2011. With that, Estonia became one of the first post-Soviet states to join the eurozone. On 9 August 2011, just days after Standard & Poor's raised Estonia's credit rating from A to AA-. Among the factors, S&P cited as contributing to its decision was confidence in Estonia's ability to "sustain strong economic growth." Estonia's GDP growth rate in 2011 was above 8%, despite having negative population growth. In the second quarter of 2013, the average monthly gross wage in Estonia was €976 (15,271 kroons, US$1,328). This figure has grown consistently to €1,310 (20,497 kroons, US$1,473) as of 2018 and to €1,586 (20,816 kroons, US$1,876) as of June 2021. The Estonian economy was hit by the COVID-19 recession before bouncing back with an 8.6% rise in GDP in 2021, this was followed by the economic effect of the Russian invasion of Ukraine in February 2022 resulting in a fall in GDP of 1.3% in 2022 and high inflation which hit 24.2% in 2022 before falling to single digits in 2023. Long-term prospects for the Estonian economy remain among the most promising in Europe. In 2011, the real GDP growth in Estonia was 8.0%, and according to projections made by CEPII, the GDP per capita could rise to the level of Nordic economies of Sweden, Finland, Denmark, and Norway by 2025. According to the same projections, by 2050, Estonia could become the most productive country in the EU, after Luxembourg, and thus join the top five most productive nations in the world. According to the Ministry of Environment, has committed to developing a circular economy strategic document and action plan by the end of 2021 which focuses on developing circular economy indicators by 2019 and mapping the current situation of Estonian circular economy, compiling a strategic document and action plan for circular economy in Estonia, and stakeholder involvement throughout the process as of 2020–2021. In March 2020, Margit Rüütelmann, executive of Estonian Circular Economy Industries Association, specified that the new Circular Economy Action Plan followed through the European Commission persisted to depend totally on fossil fuels and non-renewable herbal assets with inside the framework of the substantial improvement model, then through 2050, the sector could be the usage of assets as though it had 3 planets to make use of. She further added, the EU may even make investments withinside the financial system. This method that now's the best time to stimulate a round financial system and spend money on modern trends and technologies, which, in turn, reduces the carbon footprint of merchandise in the course of their beneficial lifestyles and extensively extends the duration of use of substances already in circulation. Estonia has around 600,000 employees, yet the country has a shortage of skilled labor, and since skill shortages are experienced everywhere in Europe, the government has increased working visa quota for non-EEA citizens, although it has nevertheless been criticized for being inadequate for addressing the shortages. The late-2000s recession in the world, the near-concurrent local property bust with changes in Estonian legislation to increase labour market flexibility (making it easier for companies to lay off workers) saw Estonia's unemployment rate shoot up to 18.8% throughout the duration of the crisis, then stabilise to 13.8% by summer 2011, as the economy recovered on the basis of strong exports. Internal consumption, and therefore imports, plummeted; and cuts were made in public finances. Some of the reduction in unemployment has been attributed to some Estonians' emigrating for employment to Finland, the UK, Australia, and elsewhere. After the recession, the unemployment rate went lower, and throughout 2015 and 2016, the rate stayed near the levels that preceded the economic downturn, staying at just above 6%. In 2020-2023 the unemployment rate moved around between 5.2% and 7.7%. Tallinn has emerged as the country's financial center. According to Invest in Estonia, advantages of Estonian financial sector are unbureaucratic cooperation between companies and authorities, and relative abundance of educated people although young educated Estonians tend to emigrate to western Europe for greater income. The largest banks are Swedbank, SEB Pank, and Nordea. Several IPOs have been made recently on the Tallinn Stock Exchange, a member OMX system. The Estonian service sector employs over 60% of workforce. Estonia has a strong information technology (IT) sector, partly due to the Tiigrihüpe project undertaken in mid-1990s, and has been mentioned as the most "wired" and advanced country in Europe in the terms of e-government. Farming, which had been forcibly collectivized for decades until the transition era of 1990–1992, has become privatized and more efficient, and the total farming area has increased in the period following Estonia's restoration of independence. The share of agriculture in the gross domestic product decreased from 15% to 3.3% during 1991–2000, while employment in agriculture decreased from 15% to 5.2%. The mining industry makes up 1% of the GDP. Mined commodities include oil shale, peat, and industrial minerals, such as clays, limestone, sand and gravel. Soviets created badly polluting industry in the early 1950s, concentrated in the north-east of the country. Socialist economy and military areas left the country highly polluted, and mainly because of oil shale industry in Ida-Virumaa, sulfur dioxide emissions per person are almost as high as in the Czech Republic. The coastal seawater is polluted in certain locations, mainly the east. The government is looking for ways to reduce pollution further. In 2000, the emissions were 80% smaller than in 1980, and the amount of unpurified wastewater discharged to water bodies was 95% smaller than in 1980. Estonian productivity is experiencing rapid growth, and consequently wages are also rising quickly, with a rise in private consumption of about 8% in 2005. According to Estonian Institute of Economic Research, the largest contributors to GDP growth in 2005 were processing industry, financial intermediation, retailing and wholesale trade, transport and communications. Estonia produced in 2018: In addition to smaller productions of other agricultural products. In 2022, the sector with the highest number of companies registered in Estonia is Services with 144,514 companies followed by Finance, Insurance, and Real Estate and Retail Trade with 47,001 and 26,635 companies respectively. Railway transport dominates the cargo sector, comprising 70% of all carried goods, domestic and international. Road transport is the one that prevails in the passenger sector, accounting for over 90% of all transported passengers. 5 major cargo ports offer easy navigational access, deep waters, and good ice conditions. There are 12 airports and 1 heliport in Estonia. Lennart Meri Tallinn Airport is the largest airport in Estonia, with 1,73 million passengers and 22,764 tons of cargo (annual cargo growth 119.7%) in 2007. International flight companies such as SAS, Finnair, Lufthansa, EasyJet, and Nordic Aviation Group provide direct flights to 27 destinations. Approximately 7.5% of the country's workforce is employed in transportation and the sector contributes over 10% of GDP. Estonia is getting much business from traffic between European Union and Russia, especially oil cargo through Estonian ports. Transit trade's share of GDP is disputed, but many agree that Russia's increased hostility is decreasing the share. Instead of coal, electricity is generated by burning oil shale, with largest stations in Narva. Oil shale supplies around 70% of the country's primary energy. Other energy sources are natural gas imported from Russia, wood, motor fuels, and fuel oils. Wind power in Estonia amounts to 58.1 megawatts, whilst roughly 399 megawatts worth of projects are currently being developed. Estonian energy liberalization is lagging far behind the Nordic energy market. During the accession negotiations with the EU, Estonia agreed that at least 35% of the market are opened before 2009 and all of non-household market, which totals around 77% of consumption, before 2013. Estonia is concerned that Russia could use energy markets to bully it. In 2009, the government considered granting permits to nuclear power companies, and there were plans for a shared nuclear facility with Latvia and Lithuania. Those plans were shelved after the Fukushima Daiichi nuclear disaster in March 2011. Estonia has high Internet penetration, and connections are available throughout most of the country. Estonia exports machinery and equipment (33% of all exports annually), wood and paper (15% of all exports annually), textiles (14% of all exports annually), food products (8% of all exports annually), furniture (7% of all exports annually), and metals and chemical products. Estonia also exports 1.562 million megawatt hours of electricity annually. Estonia imports machinery and equipment (33.5% of all imports annually), chemical products (11.6% of all imports annually), textiles (10.3'% of all imports annually), food products (9.4% of all imports annually), and transportation equipment (8.9% of all imports annually). Estonia imports 200 thousand megawatt hours of electricity annually. The following table shows the main economic indicators in 1993–2018. Gross domestic product by county
[ { "paragraph_id": 0, "text": "The economy of Estonia is an advanced economy and the country is a member of the European Union and the eurozone. Estonia's economy is heavily influenced by developments in the Finnish and Swedish economies.", "title": "" }, { "paragraph_id": 1, "text": "Before the Second World War, Estonia's economy was based on agriculture, but there was a significant knowledge sector, with the university city of Tartu known for scientific contributions, and a growing industrial sector, similar to that of neighbouring Finland. Products, such as butter, milk, and cheese were widely known in the west European markets. The main markets were Germany and the United Kingdom, and only 3% of all commerce was with the neighbouring USSR. Estonia and Finland had a relatively similar standard of living.", "title": "Overview" }, { "paragraph_id": 2, "text": "The USSR's occupation and annexation of Estonia in 1940 and the ensuing Nazi German and Stalinist Soviet destruction during World War II crippled the Estonian economy. The subsequent Soviet occupation and post-war Sovietization of life continued with the integration of Estonia's economy and industry into the USSR's centrally planned structure.", "title": "Overview" }, { "paragraph_id": 3, "text": "After Estonia moved away from communism in the late 1980s, restored its independence in 1991 and became a market economy, it emerged as a pioneer in the global economy. In 1992, the country adopted the Estonian kroon as its own currency, and this greatly stabilised the economy. In 1994, it became one of the first countries in the world to adopt a flat tax, with a uniform rate of 26% regardless of personal income. Estonia received more foreign investment per capita in the second half of the 1990s than any other country in Central and Eastern Europe. Between 2005 and 2008, the personal income tax rate was reduced from 26% to 21% in several steps.", "title": "Overview" }, { "paragraph_id": 4, "text": "The country has been quickly catching up with the EU-15; its GDP per capita having grown from 34.8% of the EU-15 average in 1996 to 65% in 2007, similar to that of Central European countries. It is already rated a high-income country by the World Bank. The GDP (PPP) per capita of the country, a good indicator of wealth, was $35,974 in 2018 according to the World Bank, between that of Lithuania and Cyprus, but below that of most long-time EU members such as Spain or Italy. Because of its economic performance after regaining independence in 1991, Estonia has been termed one of the Baltic Tigers.", "title": "Overview" }, { "paragraph_id": 5, "text": "In 2008, Estonia was ranked 12th of 162 countries in the Index of Economic Freedom 2008, the best of any post-Soviet states. The same year, the country was at the bottom of the list of European states by labour market freedom, but the government is drafting improvements.", "title": "Overview" }, { "paragraph_id": 6, "text": "For Estonia, the financial crisis of 2007–2008 was comparatively easier to weather, because Estonia's budget has consistently been kept balanced, and this meant that Estonia's public debt relative to the country's GDP has remained the lowest in Europe. The economy recovered in 2010.", "title": "Overview" }, { "paragraph_id": 7, "text": "On 1 January 2011, Estonia adopted the euro, and became the first ex-Soviet republic to join the eurozone.", "title": "Overview" }, { "paragraph_id": 8, "text": "In 2013, the World Bank Group rated Estonia as 21st on the Ease of Doing Business Index.", "title": "Overview" }, { "paragraph_id": 9, "text": "Until the early 13th century, the territory that is now known as Estonia was independent. The economy was largely an agricultural one, but Estonia being a country with a long coastline, there were also many maritime activities. Autonomous development was brought to an end by the Northern Crusades undertaken by the King of Denmark, the German Livonian and the Teutonic military orders. The Estonian world was transformed by military conquest. The war against the invaders lasted from 1208 to 1227. The last Estonian county to fall was the island of Saaremaa in 1261.", "title": "History" }, { "paragraph_id": 10, "text": "Thereafter, through many centuries until WWI, Estonian agriculture consisted of native peasants working large feudal-type estates held by ethnic German landlords. In the decades prior to independence, centralised Czarist rule had created a rather large industrial sector dominated by the Kreenholm Manufacturing Company, then the world's largest cotton mill.", "title": "History" }, { "paragraph_id": 11, "text": "After declaring independence in 1918, the Estonian War of Independence and the subsequent signing of the Treaty of Tartu in 1920, the new Estonian state inherited a ruined post-war economy and an inflated ruble currency. Despite considerable hardship, dislocation, and unemployment, Estonia spent the first decade of independence entirely transforming its economy. In 1918, The Czarist ruble was replaced by the Estonian mark, which was in circulation until 1927. By 1929, a stable currency, the kroon, had been established. It was issued by the Bank of Estonia, the country's central bank. Compensating the German landowners for their holdings, the government confiscated the estates and divided them into small farms, which subsequently formed the basis of Estonian prosperity. Trade focused on the local market and the West, particularly Germany and the United Kingdom. Only 3% of all commerce was with the USSR.", "title": "History" }, { "paragraph_id": 12, "text": "The USSR's forcible annexation of Estonia in 1940 and the ensuing Nazi and Soviet destruction during World War II crippled the Estonian economy. Post-war Soviet occupation and Sovietisation of life continued with the integration of Estonia's economy and industry into the USSR's centrally planned structure. More than 56% of Estonian farms were collectivised in the month of April 1949 alone after mass deportations to Siberia the previous month. Moscow expanded on those Estonian industries which had locally available raw materials, such as oil shale mining and phosphorites.", "title": "History" }, { "paragraph_id": 13, "text": "\"Since reestablishing independence, Estonia has styled itself as the gateway between East and West and pursued economic reform and integration with the West.\" Estonia's market reforms put it among the economic leaders in the former COMECON area. A balanced budget, almost non-existent public debt, flat-rate income tax, free trade regime, fully convertible currency backed by a currency board and a strong peg to the euro, competitive commercial banking sector, hospitable environment for foreign investment, innovative e-Services and mobile-based services are all hallmarks of Estonia's free-market-based economy.", "title": "History" }, { "paragraph_id": 14, "text": "In June 1992, Estonia replaced the ruble with its own freely convertible currency, the kroon (EEK). A currency board was created and the new currency was pegged to the German Mark at the rate of 8 Estonian kroons for 1 Deutsche Mark. When Germany introduced the euro the peg was changed to 15.6466 kroons for 1 euro.", "title": "History" }, { "paragraph_id": 15, "text": "Estonia was set to adopt the euro in 2008, but due to the inflation rate being above the required 3%, the adoption date was delayed to 2011. On 1 January 2011, Estonia adopted the euro and became the 17th eurozone member state.", "title": "History" }, { "paragraph_id": 16, "text": "The privatisation of state-owned firms is virtually complete, with only the port and the main power plants remaining in government hands.", "title": "History" }, { "paragraph_id": 17, "text": "The constitution requires a balanced budget, and the protection afforded by Estonia's intellectual property laws is on a par of that of Europe's.", "title": "History" }, { "paragraph_id": 18, "text": "In early 1992, both liquidity problems and structural weakness stemming from the communist era precipitated a banking crisis. As a result, effective bankruptcy legislation was enacted and privately owned; well-managed banks emerged as market leaders. Today, near-ideal conditions for the banking sector exist. Foreigners are not restricted from buying bank shares or acquiring majority holdings.", "title": "History" }, { "paragraph_id": 19, "text": "The fully electronic Tallinn Stock Exchange opened in early 1996, and was purchased by Finland's Helsinki Stock Exchange in 2001.", "title": "History" }, { "paragraph_id": 20, "text": "Estonia joined the World Trade Organization in 1999.", "title": "History" }, { "paragraph_id": 21, "text": "From the early 2000s to the latter part of that decade, the Estonian economy experienced considerable growth. In the year 2000, Estonian GDP grew by 6.4%.", "title": "History" }, { "paragraph_id": 22, "text": "Upon accession to the European Union in 2004, double-digit growth was soon after observed.", "title": "History" }, { "paragraph_id": 23, "text": "GDP grew by 7.9% in 2007 alone. Increases in labor costs, the imposition of tax on tobacco, alcohol, electricity, fuel, gas, and other external pressures (growing prices of oil and food on the global market) were expected to inflate price levels by 10% in the first months of 2009.", "title": "History" }, { "paragraph_id": 24, "text": "The financial crisis of 2007–2008 has had a deep effect on the Estonian economy, primarily as a result of an investment and consumption slump that followed the burst of the real estate market bubble that had been building up during the preceding years.", "title": "History" }, { "paragraph_id": 25, "text": "After a long period of very high growth of GDP, the GDP of Estonia decreased. In the first quarter 2008, GDP grew only 0.1%, and then decreased: negative growth was −1.4% in the 2nd quarter, a little over −3% (on a year-to-year basis) in the 3rd quarter, and −9.4% in the 4th quarter of that year.", "title": "History" }, { "paragraph_id": 26, "text": "The government made a supplementary negative budget, which was passed by the Riigikogu. The revenue of the budget was decreased for 2008 by EEK 6.1 billion and the expenditure by EEK 3.2 billion. A current account-deficit was extant, but began to shrink in the last months of 2008, and had been expected to continue to do so in the near future.", "title": "History" }, { "paragraph_id": 27, "text": "In 2009, the Estonian economy further contracted by 15.1% in the first quarter. Low domestic and foreign demand had depressed the economy's overall output. The Estonian economy's 33.7% industrial production drop was the sharpest decrease in industrial production in the entire European Union. That year, Estonia was one of the five worst-performing economies in the world in terms of annual GDP growth rate, and had one of the greatest rates of unemployment in the EU, which rose from 3.9% in May 2008 to 15.6% in May 2009.", "title": "History" }, { "paragraph_id": 28, "text": "In December 2008, Estonia became one of the donor countries to the IMF-led rescue package for Latvia. In response to the crisis, the Ansip government opted for fiscal consolidation and retrenchment by maintaining fiscal discipline and a balanced budget in combination with austerity packages: The government increased taxes, and reduced public spending by slashing expenditures and public salaries across the board.", "title": "History" }, { "paragraph_id": 29, "text": "In July 2009, the value-added tax was increased from 18% to 20%. The recorded budget deficit for 2009 was just 1.7% of GDP.", "title": "History" }, { "paragraph_id": 30, "text": "The result was, that Estonia was one of only five EU countries in 2009 that had met the Maastricht criteria for debt and deficit, and had the third-lowest deficit after Luxembourg and Sweden. Neither did Estonia need to ask help from the IMF. Despite the third-largest drop in GDP, the country had the lowest budget deficit and the lowest public debt among Central and Eastern European countries.", "title": "History" }, { "paragraph_id": 31, "text": "In 2009, the Estonian economy began to rebound, and economic growth resumed in the second half of 2010. The country's unemployment rate has since dropped significantly to pre-recession levels. To top it off, Estonia was granted permission in 2010 to join the eurozone in 2011.", "title": "History" }, { "paragraph_id": 32, "text": "Before joining the eurozone, the Estonian kroon had been pegged to the euro at a rate of 15.64664 EEK to one euro; before then, the kroon was pegged to the German mark at approximately 8 EEK to 1 DEM.", "title": "History" }, { "paragraph_id": 33, "text": "The design of Estonian euro coins was finalized in late 2004. Estonia's journey towards the euro took longer than originally projected, owing to the inflation rate continually being above the required 3% before 2010, which prevented the country from fulfilling the entry criteria. The country originally planned to adopt the euro on 1 January 2007 and officially changed its target date twice: first to 1 January 2008, and later to 1 January 2011.", "title": "History" }, { "paragraph_id": 34, "text": "On 12 May 2010, the European Commission announced that Estonia had met all criteria to join the eurozone. On 8 June 2010, EU finance ministers. On 13 July 2010, Estonia received the final approval from ECOFIN to adopt the euro onwards from 1 January 2011.", "title": "History" }, { "paragraph_id": 35, "text": "The switchover to the euro took place on 1 January 2011. With that, Estonia became one of the first post-Soviet states to join the eurozone.", "title": "History" }, { "paragraph_id": 36, "text": "On 9 August 2011, just days after Standard & Poor's raised Estonia's credit rating from A to AA-. Among the factors, S&P cited as contributing to its decision was confidence in Estonia's ability to \"sustain strong economic growth.\" Estonia's GDP growth rate in 2011 was above 8%, despite having negative population growth.", "title": "History" }, { "paragraph_id": 37, "text": "In the second quarter of 2013, the average monthly gross wage in Estonia was €976 (15,271 kroons, US$1,328). This figure has grown consistently to €1,310 (20,497 kroons, US$1,473) as of 2018 and to €1,586 (20,816 kroons, US$1,876) as of June 2021.", "title": "The economy today" }, { "paragraph_id": 38, "text": "The Estonian economy was hit by the COVID-19 recession before bouncing back with an 8.6% rise in GDP in 2021, this was followed by the economic effect of the Russian invasion of Ukraine in February 2022 resulting in a fall in GDP of 1.3% in 2022 and high inflation which hit 24.2% in 2022 before falling to single digits in 2023.", "title": "The economy today" }, { "paragraph_id": 39, "text": "Long-term prospects for the Estonian economy remain among the most promising in Europe. In 2011, the real GDP growth in Estonia was 8.0%, and according to projections made by CEPII, the GDP per capita could rise to the level of Nordic economies of Sweden, Finland, Denmark, and Norway by 2025. According to the same projections, by 2050, Estonia could become the most productive country in the EU, after Luxembourg, and thus join the top five most productive nations in the world. According to the Ministry of Environment, has committed to developing a circular economy strategic document and action plan by the end of 2021 which focuses on developing circular economy indicators by 2019 and mapping the current situation of Estonian circular economy, compiling a strategic document and action plan for circular economy in Estonia, and stakeholder involvement throughout the process as of 2020–2021.", "title": "The economy today" }, { "paragraph_id": 40, "text": "In March 2020, Margit Rüütelmann, executive of Estonian Circular Economy Industries Association, specified that the new Circular Economy Action Plan followed through the European Commission persisted to depend totally on fossil fuels and non-renewable herbal assets with inside the framework of the substantial improvement model, then through 2050, the sector could be the usage of assets as though it had 3 planets to make use of. She further added, the EU may even make investments withinside the financial system. This method that now's the best time to stimulate a round financial system and spend money on modern trends and technologies, which, in turn, reduces the carbon footprint of merchandise in the course of their beneficial lifestyles and extensively extends the duration of use of substances already in circulation.", "title": "The economy today" }, { "paragraph_id": 41, "text": "Estonia has around 600,000 employees, yet the country has a shortage of skilled labor, and since skill shortages are experienced everywhere in Europe, the government has increased working visa quota for non-EEA citizens, although it has nevertheless been criticized for being inadequate for addressing the shortages.", "title": "Employment participation" }, { "paragraph_id": 42, "text": "The late-2000s recession in the world, the near-concurrent local property bust with changes in Estonian legislation to increase labour market flexibility (making it easier for companies to lay off workers) saw Estonia's unemployment rate shoot up to 18.8% throughout the duration of the crisis, then stabilise to 13.8% by summer 2011, as the economy recovered on the basis of strong exports. Internal consumption, and therefore imports, plummeted; and cuts were made in public finances. Some of the reduction in unemployment has been attributed to some Estonians' emigrating for employment to Finland, the UK, Australia, and elsewhere.", "title": "Employment participation" }, { "paragraph_id": 43, "text": "After the recession, the unemployment rate went lower, and throughout 2015 and 2016, the rate stayed near the levels that preceded the economic downturn, staying at just above 6%. In 2020-2023 the unemployment rate moved around between 5.2% and 7.7%.", "title": "Employment participation" }, { "paragraph_id": 44, "text": "Tallinn has emerged as the country's financial center. According to Invest in Estonia, advantages of Estonian financial sector are unbureaucratic cooperation between companies and authorities, and relative abundance of educated people although young educated Estonians tend to emigrate to western Europe for greater income. The largest banks are Swedbank, SEB Pank, and Nordea. Several IPOs have been made recently on the Tallinn Stock Exchange, a member OMX system.", "title": "Sectors" }, { "paragraph_id": 45, "text": "The Estonian service sector employs over 60% of workforce. Estonia has a strong information technology (IT) sector, partly due to the Tiigrihüpe project undertaken in mid-1990s, and has been mentioned as the most \"wired\" and advanced country in Europe in the terms of e-government.", "title": "Sectors" }, { "paragraph_id": 46, "text": "Farming, which had been forcibly collectivized for decades until the transition era of 1990–1992, has become privatized and more efficient, and the total farming area has increased in the period following Estonia's restoration of independence. The share of agriculture in the gross domestic product decreased from 15% to 3.3% during 1991–2000, while employment in agriculture decreased from 15% to 5.2%.", "title": "Sectors" }, { "paragraph_id": 47, "text": "The mining industry makes up 1% of the GDP. Mined commodities include oil shale, peat, and industrial minerals, such as clays, limestone, sand and gravel. Soviets created badly polluting industry in the early 1950s, concentrated in the north-east of the country. Socialist economy and military areas left the country highly polluted, and mainly because of oil shale industry in Ida-Virumaa, sulfur dioxide emissions per person are almost as high as in the Czech Republic. The coastal seawater is polluted in certain locations, mainly the east. The government is looking for ways to reduce pollution further. In 2000, the emissions were 80% smaller than in 1980, and the amount of unpurified wastewater discharged to water bodies was 95% smaller than in 1980.", "title": "Sectors" }, { "paragraph_id": 48, "text": "Estonian productivity is experiencing rapid growth, and consequently wages are also rising quickly, with a rise in private consumption of about 8% in 2005. According to Estonian Institute of Economic Research, the largest contributors to GDP growth in 2005 were processing industry, financial intermediation, retailing and wholesale trade, transport and communications.", "title": "Sectors" }, { "paragraph_id": 49, "text": "Estonia produced in 2018:", "title": "Sectors" }, { "paragraph_id": 50, "text": "In addition to smaller productions of other agricultural products.", "title": "Sectors" }, { "paragraph_id": 51, "text": "In 2022, the sector with the highest number of companies registered in Estonia is Services with 144,514 companies followed by Finance, Insurance, and Real Estate and Retail Trade with 47,001 and 26,635 companies respectively.", "title": "Sectors" }, { "paragraph_id": 52, "text": "Railway transport dominates the cargo sector, comprising 70% of all carried goods, domestic and international. Road transport is the one that prevails in the passenger sector, accounting for over 90% of all transported passengers. 5 major cargo ports offer easy navigational access, deep waters, and good ice conditions. There are 12 airports and 1 heliport in Estonia. Lennart Meri Tallinn Airport is the largest airport in Estonia, with 1,73 million passengers and 22,764 tons of cargo (annual cargo growth 119.7%) in 2007. International flight companies such as SAS, Finnair, Lufthansa, EasyJet, and Nordic Aviation Group provide direct flights to 27 destinations.", "title": "Infrastructure" }, { "paragraph_id": 53, "text": "Approximately 7.5% of the country's workforce is employed in transportation and the sector contributes over 10% of GDP. Estonia is getting much business from traffic between European Union and Russia, especially oil cargo through Estonian ports. Transit trade's share of GDP is disputed, but many agree that Russia's increased hostility is decreasing the share.", "title": "Infrastructure" }, { "paragraph_id": 54, "text": "Instead of coal, electricity is generated by burning oil shale, with largest stations in Narva. Oil shale supplies around 70% of the country's primary energy. Other energy sources are natural gas imported from Russia, wood, motor fuels, and fuel oils.", "title": "Infrastructure" }, { "paragraph_id": 55, "text": "Wind power in Estonia amounts to 58.1 megawatts, whilst roughly 399 megawatts worth of projects are currently being developed. Estonian energy liberalization is lagging far behind the Nordic energy market. During the accession negotiations with the EU, Estonia agreed that at least 35% of the market are opened before 2009 and all of non-household market, which totals around 77% of consumption, before 2013. Estonia is concerned that Russia could use energy markets to bully it. In 2009, the government considered granting permits to nuclear power companies, and there were plans for a shared nuclear facility with Latvia and Lithuania. Those plans were shelved after the Fukushima Daiichi nuclear disaster in March 2011.", "title": "Infrastructure" }, { "paragraph_id": 56, "text": "Estonia has high Internet penetration, and connections are available throughout most of the country.", "title": "Infrastructure" }, { "paragraph_id": 57, "text": "Estonia exports machinery and equipment (33% of all exports annually), wood and paper (15% of all exports annually), textiles (14% of all exports annually), food products (8% of all exports annually), furniture (7% of all exports annually), and metals and chemical products. Estonia also exports 1.562 million megawatt hours of electricity annually. Estonia imports machinery and equipment (33.5% of all imports annually), chemical products (11.6% of all imports annually), textiles (10.3'% of all imports annually), food products (9.4% of all imports annually), and transportation equipment (8.9% of all imports annually). Estonia imports 200 thousand megawatt hours of electricity annually.", "title": "Trade" }, { "paragraph_id": 58, "text": "The following table shows the main economic indicators in 1993–2018.", "title": "Data" }, { "paragraph_id": 59, "text": "Gross domestic product by county", "title": "Data" } ]
The economy of Estonia is an advanced economy and the country is a member of the European Union and the eurozone. Estonia's economy is heavily influenced by developments in the Finnish and Swedish economies.
2001-04-29T05:26:14Z
2023-12-21T10:00:45Z
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https://en.wikipedia.org/wiki/Economy_of_Estonia
9,392
Telecommunications in Estonia
The National Telecommunications act in the second period of Estonian independence granted a monopoly on international and local fixed line telephony to Estonian Telecom (Eesti Telecom). In the process of privatization, a concession was granted to liberalize mobile, CATV and packet-switched telecommunications. This concession was critical for developing a competitive market. Three licensed mobile operators encouraged one of the highest rates of mobile telephony penetration in the world. CATV licenses were granted at a local level, and while it was a more natural monopoly, pirate operators proliferated within populous cities in the 1990s. Internet penetration blossomed. Beginning with a satellite link and widespread undersea leased line connectivity, Estonia connected with the rest of the world. The concession for packet communications, perhaps against the constraint of limited international telephony competition (with the global exceptions of callback, transit and re-file arbitrage) -- created conditions in which Skype was natively created. With a population of about 1.3 million, Estonia had in 2012 about 2.07 million cellular telephones and 0.45 million fixed phones. In 2009 it had about 0.97 million internet users.
[ { "paragraph_id": 0, "text": "The National Telecommunications act in the second period of Estonian independence granted a monopoly on international and local fixed line telephony to Estonian Telecom (Eesti Telecom). In the process of privatization, a concession was granted to liberalize mobile, CATV and packet-switched telecommunications. This concession was critical for developing a competitive market. Three licensed mobile operators encouraged one of the highest rates of mobile telephony penetration in the world. CATV licenses were granted at a local level, and while it was a more natural monopoly, pirate operators proliferated within populous cities in the 1990s.", "title": "" }, { "paragraph_id": 1, "text": "Internet penetration blossomed. Beginning with a satellite link and widespread undersea leased line connectivity, Estonia connected with the rest of the world. The concession for packet communications, perhaps against the constraint of limited international telephony competition (with the global exceptions of callback, transit and re-file arbitrage) -- created conditions in which Skype was natively created.", "title": "" }, { "paragraph_id": 2, "text": "With a population of about 1.3 million, Estonia had in 2012 about 2.07 million cellular telephones and 0.45 million fixed phones. In 2009 it had about 0.97 million internet users.", "title": "" } ]
The National Telecommunications act in the second period of Estonian independence granted a monopoly on international and local fixed line telephony to Estonian Telecom. In the process of privatization, a concession was granted to liberalize mobile, CATV and packet-switched telecommunications. This concession was critical for developing a competitive market. Three licensed mobile operators encouraged one of the highest rates of mobile telephony penetration in the world. CATV licenses were granted at a local level, and while it was a more natural monopoly, pirate operators proliferated within populous cities in the 1990s. Internet penetration blossomed. Beginning with a satellite link and widespread undersea leased line connectivity, Estonia connected with the rest of the world. The concession for packet communications, perhaps against the constraint of limited international telephony competition -- created conditions in which Skype was natively created. With a population of about 1.3 million, Estonia had in 2012 about 2.07 million cellular telephones and 0.45 million fixed phones. In 2009 it had about 0.97 million internet users.
2022-05-03T04:38:17Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Estonia
9,393
Transport in Estonia
Transport in Estonia relies mainly on road and rail networks. National roads form the core of Estonian road network. Their total length is 16,489 km (or 28% of all roads), 67% of them are paved. They are divided into 4 classes according to importance: Estonia is the first country in the EU and in the world to introduce a nationwide, publicly serviced charging system for charging the batteries of electric vehicles. The 165 fast charging stations are equipped with connectors of the CHAdeMO standard. They are located throughout the entire country, including the islands, and have a maximum distance of 40–60 km in between. The charging stations can also be navigated via a smartphone app (currently only for Android). The relatively dense network and 30 minute quick charges are built to enable a country-wide electric vehicle network. The system offers a unitary booking service and several different tariffs, some of which appear attractively low priced. The charging station network puts Estonia at the forefront in Europe even though Norway actually has a higher penetration of electric vehicles. Estonia has a rate of 1 electric vehicle per 1,000 capita, whereas Norway has 4 EVs per 1,000 capita. As of 2023, the Rail Baltica project to link a high speed line through Latvia and Lithuania to Poland, is scheduled for completion in 2030, with a start of services on some of the sections in 2028. There has been a growing tram network in Tallinn, Estonia since 1888, when traffic was started by horse-powered trams. The first line was electrified on October 28, 1925. The first electric trams were built by Dvigatel, Ltd., in Tallinn before World War II and for some years after that, the last one in 1954. In the 1920s and 1930s gas-powered trams were also used. Since 1955 to 1988 German-built trams were used. In total, there were 20 LOWA T54-B54 trams (in use from February 1955 to March 1977), 11 Gotha T57-B57 (in use from January 1958 to June 1978), 5 Gotha T59E-B59E (in use from June 1960 to February 1980), 14 Gotha T2-62 and B2-62 (in use from 1962 to 1981) and 50 Gotha G4 trams (in use from January 1965 to October 1988) trams. The first Czechoslovakian-built ČKD Tatra T4SU arrived in 1973. The T4SU trams were in use from May 1973 to September 2005 and there were 60 of them. The first KT4SU arrived in Tallinn in 1981 and was first in use on March 10, 1981. In 2007, there are 56 KT4SU, 12 KTNF6 (rebuilt KT4SUs, 10 local, one from Gera and one from Erfurt) and 23 KT4D (12 from Gera, 6 from Cottbus, 1 from Frankfurt (Oder) and 5 from Erfurt) in use. As of 2018, there are four lines: 1 (Kopli-Kadriorg), 2 (Kopli-Ülemiste), 3 (Tondi-Kadriorg) and 4 (Tondi-Lennujaam (Airport)). There have also been lines 5 (Kopli-Vana-Lõuna, shut down in 2004 because of small usage) and 6 (Kopli-Tondi, temporarily used in time of repairs). Estonia has 45 ports in the State Port Register. With a few exceptions, all of them are on the Baltic Sea. Largest ports are Muuga (near Tallinn), Tallinn (comprises several ports), Paldiski, Kunda, Pärnu and Sillamäe. Since 2014, there have been no vessels over 500gt on the Estonian register. About 60 merchant vessels are beneficially owned in Estonia, with most of them registered in Malta. The government has started a drive to bring more of these vessels back into the Estonian register. Lennart Meri Tallinn Airport is the largest airport in Estonia. Currently operating water transport routes:
[ { "paragraph_id": 0, "text": "Transport in Estonia relies mainly on road and rail networks.", "title": "" }, { "paragraph_id": 1, "text": "National roads form the core of Estonian road network. Their total length is 16,489 km (or 28% of all roads), 67% of them are paved. They are divided into 4 classes according to importance:", "title": "Roads" }, { "paragraph_id": 2, "text": "Estonia is the first country in the EU and in the world to introduce a nationwide, publicly serviced charging system for charging the batteries of electric vehicles. The 165 fast charging stations are equipped with connectors of the CHAdeMO standard. They are located throughout the entire country, including the islands, and have a maximum distance of 40–60 km in between. The charging stations can also be navigated via a smartphone app (currently only for Android). The relatively dense network and 30 minute quick charges are built to enable a country-wide electric vehicle network. The system offers a unitary booking service and several different tariffs, some of which appear attractively low priced. The charging station network puts Estonia at the forefront in Europe even though Norway actually has a higher penetration of electric vehicles. Estonia has a rate of 1 electric vehicle per 1,000 capita, whereas Norway has 4 EVs per 1,000 capita.", "title": "Roads" }, { "paragraph_id": 3, "text": "As of 2023, the Rail Baltica project to link a high speed line through Latvia and Lithuania to Poland, is scheduled for completion in 2030, with a start of services on some of the sections in 2028.", "title": "Railways" }, { "paragraph_id": 4, "text": "There has been a growing tram network in Tallinn, Estonia since 1888, when traffic was started by horse-powered trams. The first line was electrified on October 28, 1925. The first electric trams were built by Dvigatel, Ltd., in Tallinn before World War II and for some years after that, the last one in 1954. In the 1920s and 1930s gas-powered trams were also used. Since 1955 to 1988 German-built trams were used. In total, there were 20 LOWA T54-B54 trams (in use from February 1955 to March 1977), 11 Gotha T57-B57 (in use from January 1958 to June 1978), 5 Gotha T59E-B59E (in use from June 1960 to February 1980), 14 Gotha T2-62 and B2-62 (in use from 1962 to 1981) and 50 Gotha G4 trams (in use from January 1965 to October 1988) trams. The first Czechoslovakian-built ČKD Tatra T4SU arrived in 1973. The T4SU trams were in use from May 1973 to September 2005 and there were 60 of them. The first KT4SU arrived in Tallinn in 1981 and was first in use on March 10, 1981. In 2007, there are 56 KT4SU, 12 KTNF6 (rebuilt KT4SUs, 10 local, one from Gera and one from Erfurt) and 23 KT4D (12 from Gera, 6 from Cottbus, 1 from Frankfurt (Oder) and 5 from Erfurt) in use. As of 2018, there are four lines: 1 (Kopli-Kadriorg), 2 (Kopli-Ülemiste), 3 (Tondi-Kadriorg) and 4 (Tondi-Lennujaam (Airport)). There have also been lines 5 (Kopli-Vana-Lõuna, shut down in 2004 because of small usage) and 6 (Kopli-Tondi, temporarily used in time of repairs).", "title": "Light rail" }, { "paragraph_id": 5, "text": "Estonia has 45 ports in the State Port Register. With a few exceptions, all of them are on the Baltic Sea.", "title": "Ports and Harbours" }, { "paragraph_id": 6, "text": "Largest ports are Muuga (near Tallinn), Tallinn (comprises several ports), Paldiski, Kunda, Pärnu and Sillamäe.", "title": "Ports and Harbours" }, { "paragraph_id": 7, "text": "Since 2014, there have been no vessels over 500gt on the Estonian register. About 60 merchant vessels are beneficially owned in Estonia, with most of them registered in Malta. The government has started a drive to bring more of these vessels back into the Estonian register.", "title": "Merchant marine" }, { "paragraph_id": 8, "text": "Lennart Meri Tallinn Airport is the largest airport in Estonia.", "title": "Airports" }, { "paragraph_id": 9, "text": "Currently operating water transport routes:", "title": "Waterways" } ]
Transport in Estonia relies mainly on road and rail networks.
2002-02-25T15:43:11Z
2023-09-17T06:39:57Z
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https://en.wikipedia.org/wiki/Transport_in_Estonia
9,395
Foreign relations of Estonia
The Republic of Estonia gained its independence from the Russian Empire on 24 February 1918 and established diplomatic relations with many countries via membership of the League of Nations. The forcible incorporation of Estonia into the Soviet Union in 1940 was not generally recognised by the international community and the Estonian diplomatic service continued to operate in some countries. Following the restoration of independence from the Soviet Union, Russia was one of the first nations to re-recognize Estonia's independence (the first country to do so was Iceland on 22 August 1991). Estonia's immediate priority after regaining its independence was the withdrawal of Russian (formerly Soviet) forces from Estonian territory. In August 1994, this was completed. However, relations with Moscow have remained strained primarily because Russia decided not to ratify the border treaty it had signed with Estonia in 1999. Since regaining independence, Estonia has pursued a foreign policy of close cooperation with Western European nations. The two most important policy objectives in this regard have been accession into NATO and the European Union, achieved in March and May 2004 respectively. Estonia's international realignment toward the West has been accompanied by a general deterioration in relations with Russia, most recently demonstrated by the controversy surrounding relocation of the Bronze Soldier WWII memorial in Tallinn. Estonia has become an increasingly strong supporter of deepening European integration. The decision to participate in the preparation of a financial transaction tax in 2012 reflects this shift in Estonia's EU policy. An important element in Estonia's post-independence reorientation has been closer ties with the Nordic countries, especially Finland and Sweden. Indeed, Estonians consider themselves a Nordic people due to being Finnic people like the Finns rather than Balts, based on their historical ties with Denmark and particularly Finland and Sweden. In December 1999 Estonian foreign minister (and since 2006, president of Estonia) Toomas Hendrik Ilves delivered a speech entitled "Estonia as a Nordic Country" to the Swedish Institute for International Affairs. In 2003, the foreign ministry also hosted an exhibit called "Estonia: Nordic with a Twist". And in 2005, Estonia joined the European Union's Nordic Battle Group. It has also shown continued interest in becoming a full member in the Nordic Council. Whereas in 1992 Russia accounted for 92% of Estonia's international trade, today there is extensive economic interdependence between Estonia and its Nordic neighbors: three-quarters of foreign investment in Estonia originates in the Nordic countries (principally Finland and Sweden), to which Estonia sends 42% of its exports (as compared to 6.5% going to Russia, 8.8% to Latvia, and 4.7% to Lithuania). On the other hand, the Estonian political system, its flat rate of income tax, and its non-welfare-state model distinguish it from the other Nordic states, and indeed from many other European countries. Estonia is a party to 181 international organizations, including the BIS, CBSS, CE, EAPC, EBRD, ECE, EU (member since 1 May 2004), FAO, IAEA, IBRD, ICAO, ICRM, IFC, IFRCS, IHO, ILO, IMF, International Maritime Organization, Interpol, IOC, IOM (observer), ISO (correspondent), ITU, ITUC, NATO, OPCW, OSCE, PFP, UN, UNCTAD, UNESCO, UNMIBH, UNMIK, UNTSO, UPU, WCO, WEU (associate partner), WHO, WIPO, WMO, WTO. After the dissolution of the Soviet Union Estonia had hoped for the return of more than 2,000 square kilometers of territory annexed to Russia after World War II in 1945. The annexed land had been within the borders Estonia approved by Russia in the 1920 Tartu Peace Treaty. However, the Boris Yeltsin government disavowed any responsibility for acts committed by the Soviet Union. After signing the border treaty by the corresponding foreign minister in 2005, it was ratified by the Estonian government and president. The Russian side interpreted the preamble as giving Estonia a possibility for future territorial claim, and Vladimir Putin notified Estonia that Russia will not consider these. Negotiations were reopened in 2012 and the Treaty was signed in February 2014. Ratification is still pending. List of countries which Estonia maintains diplomatic relations with:
[ { "paragraph_id": 0, "text": "The Republic of Estonia gained its independence from the Russian Empire on 24 February 1918 and established diplomatic relations with many countries via membership of the League of Nations. The forcible incorporation of Estonia into the Soviet Union in 1940 was not generally recognised by the international community and the Estonian diplomatic service continued to operate in some countries. Following the restoration of independence from the Soviet Union, Russia was one of the first nations to re-recognize Estonia's independence (the first country to do so was Iceland on 22 August 1991). Estonia's immediate priority after regaining its independence was the withdrawal of Russian (formerly Soviet) forces from Estonian territory. In August 1994, this was completed. However, relations with Moscow have remained strained primarily because Russia decided not to ratify the border treaty it had signed with Estonia in 1999.", "title": "" }, { "paragraph_id": 1, "text": "Since regaining independence, Estonia has pursued a foreign policy of close cooperation with Western European nations.", "title": "Trends following re-independence" }, { "paragraph_id": 2, "text": "The two most important policy objectives in this regard have been accession into NATO and the European Union, achieved in March and May 2004 respectively. Estonia's international realignment toward the West has been accompanied by a general deterioration in relations with Russia, most recently demonstrated by the controversy surrounding relocation of the Bronze Soldier WWII memorial in Tallinn. Estonia has become an increasingly strong supporter of deepening European integration. The decision to participate in the preparation of a financial transaction tax in 2012 reflects this shift in Estonia's EU policy.", "title": "Trends following re-independence" }, { "paragraph_id": 3, "text": "An important element in Estonia's post-independence reorientation has been closer ties with the Nordic countries, especially Finland and Sweden. Indeed, Estonians consider themselves a Nordic people due to being Finnic people like the Finns rather than Balts, based on their historical ties with Denmark and particularly Finland and Sweden. In December 1999 Estonian foreign minister (and since 2006, president of Estonia) Toomas Hendrik Ilves delivered a speech entitled \"Estonia as a Nordic Country\" to the Swedish Institute for International Affairs. In 2003, the foreign ministry also hosted an exhibit called \"Estonia: Nordic with a Twist\". And in 2005, Estonia joined the European Union's Nordic Battle Group. It has also shown continued interest in becoming a full member in the Nordic Council.", "title": "Trends following re-independence" }, { "paragraph_id": 4, "text": "Whereas in 1992 Russia accounted for 92% of Estonia's international trade, today there is extensive economic interdependence between Estonia and its Nordic neighbors: three-quarters of foreign investment in Estonia originates in the Nordic countries (principally Finland and Sweden), to which Estonia sends 42% of its exports (as compared to 6.5% going to Russia, 8.8% to Latvia, and 4.7% to Lithuania). On the other hand, the Estonian political system, its flat rate of income tax, and its non-welfare-state model distinguish it from the other Nordic states, and indeed from many other European countries.", "title": "Trends following re-independence" }, { "paragraph_id": 5, "text": "Estonia is a party to 181 international organizations, including the BIS, CBSS, CE, EAPC, EBRD, ECE, EU (member since 1 May 2004), FAO, IAEA, IBRD, ICAO, ICRM, IFC, IFRCS, IHO, ILO, IMF, International Maritime Organization, Interpol, IOC, IOM (observer), ISO (correspondent), ITU, ITUC, NATO, OPCW, OSCE, PFP, UN, UNCTAD, UNESCO, UNMIBH, UNMIK, UNTSO, UPU, WCO, WEU (associate partner), WHO, WIPO, WMO, WTO.", "title": "Trends following re-independence" }, { "paragraph_id": 6, "text": "After the dissolution of the Soviet Union Estonia had hoped for the return of more than 2,000 square kilometers of territory annexed to Russia after World War II in 1945. The annexed land had been within the borders Estonia approved by Russia in the 1920 Tartu Peace Treaty. However, the Boris Yeltsin government disavowed any responsibility for acts committed by the Soviet Union.", "title": "International disputes" }, { "paragraph_id": 7, "text": "After signing the border treaty by the corresponding foreign minister in 2005, it was ratified by the Estonian government and president. The Russian side interpreted the preamble as giving Estonia a possibility for future territorial claim, and Vladimir Putin notified Estonia that Russia will not consider these. Negotiations were reopened in 2012 and the Treaty was signed in February 2014. Ratification is still pending.", "title": "International disputes" }, { "paragraph_id": 8, "text": "List of countries which Estonia maintains diplomatic relations with:", "title": "Diplomatic relations" } ]
The Republic of Estonia gained its independence from the Russian Empire on 24 February 1918 and established diplomatic relations with many countries via membership of the League of Nations. The forcible incorporation of Estonia into the Soviet Union in 1940 was not generally recognised by the international community and the Estonian diplomatic service continued to operate in some countries. Following the restoration of independence from the Soviet Union, Russia was one of the first nations to re-recognize Estonia's independence. Estonia's immediate priority after regaining its independence was the withdrawal of Russian forces from Estonian territory. In August 1994, this was completed. However, relations with Moscow have remained strained primarily because Russia decided not to ratify the border treaty it had signed with Estonia in 1999.
2002-02-25T15:51:15Z
2023-12-29T18:11:49Z
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https://en.wikipedia.org/wiki/Foreign_relations_of_Estonia
9,400
Demographics of Ethiopia
The demographics of Ethiopia encompass the demographic features of inhabitants in Ethiopia, including ethnicity, languages, population density, education level, health, economic status, religious affiliations and other aspects of the population. Ethiopia's population is highly diverse, containing over 80 different ethnic groups, the four largest of which are the Oromo, Amhara, Somali and Tigrayans. According to the Ethiopian national census of 2007, the Oromo are the largest ethnic group in Ethiopia, at 34.4% of the nation's population. The Amhara represent 27.0% of the country's inhabitants, while Somalis and Tigrayans represent 6.2% and 6.1% of the population respectively. Other prominent ethnic groups are as follows: Sidama 4.0%, Gurage 2.5%, Welayta 2.3%, Afar 1.7%, Hadiya 1.7%, Gamo 1.5% and Others 12.6%. Afroasiatic-speaking communities make up the majority of the population. Among these, Semitic speakers often collectively refer to themselves as the Habesha people. The Arabic form of this term (al-Ḥabasha) is the etymological basis of "Abyssinia", the former name of Ethiopia in English and other European languages. Additionally, Nilo-Saharan-speaking ethnic minorities inhabit the southern regions of the country, particularly in areas of the Gambela Region which borders South Sudan. The largest ethnic groups among these include the Nuer and Anuak.The Southern Nations, Nationalities, and Peoples' Region, being an amalgam of the main homelands of numerous ethnicities, contains over 56 indigenous ethnic groups. According to the bibliographic database Glottolog, there are 109 languages spoken in Ethiopia; meanwhile, Ethnologue lists 90 individual languages spoken in the country. Most people in the country speak Afroasiatic languages of the Cushitic or Semitic branches, including the Oromo language, Somali, Amharic, and Tigrinya. Together, these four groups make up about three-quarters of Ethiopia's population. Other Afroasiatic languages with a significant number of speakers include the Cushitic Sidamo, Afar, Hadiyya and Agaw languages, as well as the Semitic Gurage languages, Harari, Silt'e, and Argobba languages. Arabic, which also belongs to the Afroasiatic family, is likewise spoken in some areas. The principal Semitic language of the north-west and centre of the country is Amharic, which is the language of the Amhara Region. Moreover, Amharic is also one of the official working languages of Ethiopia. Oromo serves as one of the official working languages of Ethiopia and is also the working language of several of the states within the Ethiopian federal system including Oromia, Harar and Dire Dawa regional states and of the Oromia Zone in the Amhara Region. Only 28.1% within the ages of 15–49 years used modern contraceptives, according to the data from 2019 Ethiopian Mini Demographic and Health Survey. Various religions are adhered to in Ethiopia. Most Christians live in the highlands, whereas Muslims mainly inhabit the lowlands. Adherents of traditional faiths are primarily concentrated in the southern regions. According to the Ethiopian Central Statistical Agency (2007 census), the national religious composition is Ethiopian Orthodox 43.5%, Protestantism 18.6%, Roman Catholicism 0.7%, Islam 33.9%, traditional 2.6%, and others 0.6%. Source: Central Statistical Agency (CSA) Ethiopia is the most populous landlocked country in the world. Its total population has grown from 38.1 million in 1983 to 109.5 million in 2018. The population was only about nine million in the 19th century. The 2007 Population and Housing Census results show that the population of Ethiopia grew at an average annual rate of 2.6% between 1994 and 2007, down from 2.8% during the period 1983–1994. As of 2015, the population growth rate is among the top ten countries in the world. According to UN estimations, life expectancy in Ethiopia had improved over time, with male life expectancy reported to be 56 years and for women 60 years. According to the 2022 revision of the World Population Prospects, the total population was 120,283,026 in 2021, compared to 18,434,000 in 1950. The proportion of children below the age of 15 in 2010 was 41.5%, 55.8% was between 15 and 65 years of age, while 3.3% was 65 years or older. The average age was 25.1. Population Estimates by Sex and Age Group (01.VII.2020) (Estimates considering also the results of the 2007 Population Census.): Below are the UN's medium variant projections: Registration of vital events in Ethiopia is incomplete. The Population Department of the United Nations prepared the following estimates: CBR = crude birth rate (per 1,000); CDR = crude death rate (per 1,000); NC = natural change (per 1,000); IMR = infant mortality rate per 1,000 births; TFR = total fertility rate (number of children per woman); IMR = infant mortality rate per 1,000 births Source: UN World Population Prospects As per 2007 Population and Housing Census of Ethiopia Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR): Fertility data as of 2011 (DHS Program): Demographic statistics according to the World Population Review in 2019. The following demographic statistics are from the CIA World Factbook. Oromo 35.8%, Amhara 24.1%, Somali 7.2%, Tigray 5.7%, Sidama 4.1%, Guragie 2.6%, Welaita 2.3%, Afar 2.2%, Silte 1.3%, Kefficho 1.2%, other 13.5% (2022 est.) Ethiopian Orthodox 43.8%, Muslim 31.3%, Protestant 22.8%, Catholic 0.7%, traditional 0.6%, other 0.8% (2016 est.) note: on 21 March 2022, the US Centers for Disease Control and Prevention (CDC) issued a Travel Alert for polio in Africa; Ethiopia is currently considered a high risk to travelers for circulating vaccine-derived polioviruses (cVDPV); vaccine-derived poliovirus (VDPV) is a strain of the weakened poliovirus that was initially included in oral polio vaccine (OPV) and that has changed over time and behaves more like the wild or naturally occurring virus; this means it can be spread more easily to people who are unvaccinated against polio and who come in contact with the stool or respiratory secretions, such as from a sneeze, of an “infected” person who received oral polio vaccine; the CDC recommends that before any international travel, anyone unvaccinated, incompletely vaccinated, or with an unknown polio vaccination status should complete the routine polio vaccine series; before travel to any high-risk destination, CDC recommends that adults who previously completed the full, routine polio vaccine series receive a single, lifetime booster dose of polio vaccine Attribution
[ { "paragraph_id": 0, "text": "The demographics of Ethiopia encompass the demographic features of inhabitants in Ethiopia, including ethnicity, languages, population density, education level, health, economic status, religious affiliations and other aspects of the population.", "title": "" }, { "paragraph_id": 1, "text": "Ethiopia's population is highly diverse, containing over 80 different ethnic groups, the four largest of which are the Oromo, Amhara, Somali and Tigrayans. According to the Ethiopian national census of 2007, the Oromo are the largest ethnic group in Ethiopia, at 34.4% of the nation's population. The Amhara represent 27.0% of the country's inhabitants, while Somalis and Tigrayans represent 6.2% and 6.1% of the population respectively. Other prominent ethnic groups are as follows: Sidama 4.0%, Gurage 2.5%, Welayta 2.3%, Afar 1.7%, Hadiya 1.7%, Gamo 1.5% and Others 12.6%.", "title": "Ethnic groups" }, { "paragraph_id": 2, "text": "Afroasiatic-speaking communities make up the majority of the population. Among these, Semitic speakers often collectively refer to themselves as the Habesha people. The Arabic form of this term (al-Ḥabasha) is the etymological basis of \"Abyssinia\", the former name of Ethiopia in English and other European languages. Additionally, Nilo-Saharan-speaking ethnic minorities inhabit the southern regions of the country, particularly in areas of the Gambela Region which borders South Sudan. The largest ethnic groups among these include the Nuer and Anuak.The Southern Nations, Nationalities, and Peoples' Region, being an amalgam of the main homelands of numerous ethnicities, contains over 56 indigenous ethnic groups.", "title": "Ethnic groups" }, { "paragraph_id": 3, "text": "According to the bibliographic database Glottolog, there are 109 languages spoken in Ethiopia; meanwhile, Ethnologue lists 90 individual languages spoken in the country. Most people in the country speak Afroasiatic languages of the Cushitic or Semitic branches, including the Oromo language, Somali, Amharic, and Tigrinya. Together, these four groups make up about three-quarters of Ethiopia's population. Other Afroasiatic languages with a significant number of speakers include the Cushitic Sidamo, Afar, Hadiyya and Agaw languages, as well as the Semitic Gurage languages, Harari, Silt'e, and Argobba languages. Arabic, which also belongs to the Afroasiatic family, is likewise spoken in some areas.", "title": "Languages" }, { "paragraph_id": 4, "text": "The principal Semitic language of the north-west and centre of the country is Amharic, which is the language of the Amhara Region. Moreover, Amharic is also one of the official working languages of Ethiopia.", "title": "Languages" }, { "paragraph_id": 5, "text": "Oromo serves as one of the official working languages of Ethiopia and is also the working language of several of the states within the Ethiopian federal system including Oromia, Harar and Dire Dawa regional states and of the Oromia Zone in the Amhara Region.", "title": "Languages" }, { "paragraph_id": 6, "text": "Only 28.1% within the ages of 15–49 years used modern contraceptives, according to the data from 2019 Ethiopian Mini Demographic and Health Survey.", "title": "Modern contraception utilization" }, { "paragraph_id": 7, "text": "Various religions are adhered to in Ethiopia. Most Christians live in the highlands, whereas Muslims mainly inhabit the lowlands. Adherents of traditional faiths are primarily concentrated in the southern regions.", "title": "Religion" }, { "paragraph_id": 8, "text": "According to the Ethiopian Central Statistical Agency (2007 census), the national religious composition is Ethiopian Orthodox 43.5%, Protestantism 18.6%, Roman Catholicism 0.7%, Islam 33.9%, traditional 2.6%, and others 0.6%.", "title": "Religion" }, { "paragraph_id": 9, "text": "Source: Central Statistical Agency (CSA)", "title": "Population" }, { "paragraph_id": 10, "text": "Ethiopia is the most populous landlocked country in the world. Its total population has grown from 38.1 million in 1983 to 109.5 million in 2018. The population was only about nine million in the 19th century. The 2007 Population and Housing Census results show that the population of Ethiopia grew at an average annual rate of 2.6% between 1994 and 2007, down from 2.8% during the period 1983–1994. As of 2015, the population growth rate is among the top ten countries in the world. According to UN estimations, life expectancy in Ethiopia had improved over time, with male life expectancy reported to be 56 years and for women 60 years.", "title": "Population" }, { "paragraph_id": 11, "text": "According to the 2022 revision of the World Population Prospects, the total population was 120,283,026 in 2021, compared to 18,434,000 in 1950. The proportion of children below the age of 15 in 2010 was 41.5%, 55.8% was between 15 and 65 years of age, while 3.3% was 65 years or older. The average age was 25.1.", "title": "Population" }, { "paragraph_id": 12, "text": "Population Estimates by Sex and Age Group (01.VII.2020) (Estimates considering also the results of the 2007 Population Census.):", "title": "Population" }, { "paragraph_id": 13, "text": "Below are the UN's medium variant projections:", "title": "Population" }, { "paragraph_id": 14, "text": "Registration of vital events in Ethiopia is incomplete. The Population Department of the United Nations prepared the following estimates:", "title": "Vital statistics" }, { "paragraph_id": 15, "text": "CBR = crude birth rate (per 1,000); CDR = crude death rate (per 1,000); NC = natural change (per 1,000); IMR = infant mortality rate per 1,000 births; TFR = total fertility rate (number of children per woman); IMR = infant mortality rate per 1,000 births", "title": "Vital statistics" }, { "paragraph_id": 16, "text": "Source: UN World Population Prospects", "title": "Vital statistics" }, { "paragraph_id": 17, "text": "As per 2007 Population and Housing Census of Ethiopia", "title": "Total fertility rate in Ethiopia (census 2007)" }, { "paragraph_id": 18, "text": "", "title": "Total fertility rate in Ethiopia (census 2007)" }, { "paragraph_id": 19, "text": "Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR):", "title": "Total fertility rate in Ethiopia (census 2007)" }, { "paragraph_id": 20, "text": "Fertility data as of 2011 (DHS Program):", "title": "Total fertility rate in Ethiopia (census 2007)" }, { "paragraph_id": 21, "text": "Demographic statistics according to the World Population Review in 2019.", "title": "Other demographic statistics" }, { "paragraph_id": 22, "text": "The following demographic statistics are from the CIA World Factbook.", "title": "Other demographic statistics" }, { "paragraph_id": 23, "text": "Oromo 35.8%, Amhara 24.1%, Somali 7.2%, Tigray 5.7%, Sidama 4.1%, Guragie 2.6%, Welaita 2.3%, Afar 2.2%, Silte 1.3%, Kefficho 1.2%, other 13.5% (2022 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 24, "text": "Ethiopian Orthodox 43.8%, Muslim 31.3%, Protestant 22.8%, Catholic 0.7%, traditional 0.6%, other 0.8% (2016 est.)", "title": "Other demographic statistics" }, { "paragraph_id": 25, "text": "note: on 21 March 2022, the US Centers for Disease Control and Prevention (CDC) issued a Travel Alert for polio in Africa; Ethiopia is currently considered a high risk to travelers for circulating vaccine-derived polioviruses (cVDPV); vaccine-derived poliovirus (VDPV) is a strain of the weakened poliovirus that was initially included in oral polio vaccine (OPV) and that has changed over time and behaves more like the wild or naturally occurring virus; this means it can be spread more easily to people who are unvaccinated against polio and who come in contact with the stool or respiratory secretions, such as from a sneeze, of an “infected” person who received oral polio vaccine; the CDC recommends that before any international travel, anyone unvaccinated, incompletely vaccinated, or with an unknown polio vaccination status should complete the routine polio vaccine series; before travel to any high-risk destination, CDC recommends that adults who previously completed the full, routine polio vaccine series receive a single, lifetime booster dose of polio vaccine", "title": "Other demographic statistics" }, { "paragraph_id": 26, "text": "Attribution", "title": "References" } ]
The demographics of Ethiopia encompass the demographic features of inhabitants in Ethiopia, including ethnicity, languages, population density, education level, health, economic status, religious affiliations and other aspects of the population.
2001-04-29T05:31:04Z
2023-12-30T03:19:17Z
[ "Template:Multiple issues", "Template:Reflist", "Template:Ethiopia topics", "Template:Human rights in Ethiopia", "Template:Ethnic groups in Ethiopia", "Template:Use dmy dates", "Template:Infobox place demographics", "Template:UN Population", "Template:Cite web", "Template:Cite news", "Template:Source-attribution", "Template:CIA World Factbook", "Template:Short description", "Template:Hatnote", "Template:Main article", "Template:Bar box", "Template:Clear", "Template:Commons category", "Template:Historical populations", "Template:GraphChart", "Template:Cite book", "Template:Citation", "Template:ISBN", "Template:Africa in topic" ]
https://en.wikipedia.org/wiki/Demographics_of_Ethiopia
9,401
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. The government is multicameralism with a house of representative and a council. The term politics of Ethiopia mainly relates to the political activities in Ethiopia after the late 20th century when the democratization took place in the nation. The current political structure of Ethiopia was formed after the Tigrayan People's Liberation Front (TPLF) overthrew dictator President Mengistu Haile Mariam in 1991. General election was held in June 1994 and Ethiopia has maintained a multiparty political environment till today. 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 12 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. 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. The Economist Intelligence Unit rated Ethiopia an "authoritarian regime" in 2022. 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. 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. 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. 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." A group of Ethiopian royalists continue to operate The Crown Council of Ethiopia as a government in exile.
[ { "paragraph_id": 0, "text": "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. The government is multicameralism with a house of representative and a council. The term politics of Ethiopia mainly relates to the political activities in Ethiopia after the late 20th century when the democratization took place in the nation. The current political structure of Ethiopia was formed after the Tigrayan People's Liberation Front (TPLF) overthrew dictator President Mengistu Haile Mariam in 1991. General election was held in June 1994 and Ethiopia has maintained a multiparty political environment till today.", "title": "" }, { "paragraph_id": 1, "text": "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 12 ethnically based administrative regions and 2 self-governing administrations; the capital city Addis Ababa and Dire Dawa.", "title": "Government of Ethiopia" }, { "paragraph_id": 2, "text": "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.", "title": "Government of Ethiopia" }, { "paragraph_id": 3, "text": "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.", "title": "Government of Ethiopia" }, { "paragraph_id": 4, "text": "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.", "title": "Government of Ethiopia" }, { "paragraph_id": 5, "text": "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.", "title": "Recent history" }, { "paragraph_id": 6, "text": "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.", "title": "Recent history" }, { "paragraph_id": 7, "text": "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.", "title": "Recent history" }, { "paragraph_id": 8, "text": "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.", "title": "Recent history" }, { "paragraph_id": 9, "text": "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.", "title": "Recent history" }, { "paragraph_id": 10, "text": "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.", "title": "Recent history" }, { "paragraph_id": 11, "text": "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.", "title": "Recent history" }, { "paragraph_id": 12, "text": "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.", "title": "Recent history" }, { "paragraph_id": 13, "text": "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.", "title": "Recent history" }, { "paragraph_id": 14, "text": "The Economist Intelligence Unit rated Ethiopia an \"authoritarian regime\" in 2022.", "title": "Recent history" }, { "paragraph_id": 15, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 16, "text": "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].", "title": "Political parties and elections" }, { "paragraph_id": 17, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 18, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 19, "text": "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%\".", "title": "Political parties and elections" }, { "paragraph_id": 20, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 21, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 22, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 23, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 24, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 25, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 26, "text": "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.", "title": "Political parties and elections" }, { "paragraph_id": 27, "text": "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.", "title": "International organization participation" }, { "paragraph_id": 28, "text": "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.", "title": "International organization participation" }, { "paragraph_id": 29, "text": "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.\"", "title": "International organization participation" }, { "paragraph_id": 30, "text": "A group of Ethiopian royalists continue to operate The Crown Council of Ethiopia as a government in exile.", "title": "Royalists and government in exile" } ]
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. The government is multicameralism with a house of representative and a council. The term politics of Ethiopia mainly relates to the political activities in Ethiopia after the late 20th century when the democratization took place in the nation. The current political structure of Ethiopia was formed after the Tigrayan People's Liberation Front (TPLF) overthrew dictator President Mengistu Haile Mariam in 1991. General election was held in June 1994 and Ethiopia has maintained a multiparty political environment till today.
2001-04-29T05:31:27Z
2023-11-16T06:36:10Z
[ "Template:Cbignore", "Template:Webarchive", "Template:Ethiopia topics", "Template:Politics of Ethiopia", "Template:Citation needed", "Template:Democracy Index rating", "Template:Elect", "Template:Reflist", "Template:Curlie", "Template:Main", "Template:More citations needed section", "Template:Africa in topic", "Template:Short description", "Template:Cite book", "Template:Cite web", "Template:Cite news", "Template:Cite journal", "Template:Multiple issues" ]
https://en.wikipedia.org/wiki/Politics_of_Ethiopia
9,402
Economy of Ethiopia
The economy of Ethiopia is a mixed and transition economy with a large public sector. The government of Ethiopia is in the process of privatizing many of the state-owned businesses and moving toward a market economy. The banking, telecommunication and transportation sectors of the economy are dominated by government-owned companies. Ethiopia has one of the fastest-growing economies in the world and is Africa's second most populous country. Many properties owned by the government during the previous regime have now been privatized or are in the process of privatization and the liberalization of its financial sector in the near future. However, certain sectors such as telecommunications, financial and insurance services, air and land transportation services, and retail, are considered as strategic sectors and are expected to remain under state control for the foreseeable future. Almost 50% of Ethiopia's population is under the age of 18. Even though education enrolment at primary and tertiary level has increased significantly, job creation has not caught up with the increased output from educational institutes. The country must create hundreds of thousands of jobs every year just to keep up with population growth. In 2023 Ethiopia has reached an estimated GDP scale of 156.1 billion dollars nominal, for PPP the country's economy has reached an estimated 393.85 billion dollars. This mostly comes from services-based economy with agriculture. And in 2019 the latest data, Ethiopia's top trading partners globally included, China, the United States, UAE, France, the United Kingdom, South Korea, Saudi Arabia, Germany, Japan, Switzerland, the Netherlands, Belgium, Turkey, India, and Egypt. In 2021, agriculture makes up 37.5% of the country's economic output, while services 36.25% and industry makes up 21.85% of the economy. Ethiopia's economy is ranked 159th place out of 190 countries counted, in 'Ease of doing business'. Ethiopia is also a-part of African Continental Free Trade Area, Common Market for Eastern and Southern Africa, Intergovernmental Authority on Development, the G24, and the World Trade organization as an observer, and is soon to join the BRICS economic alliance, with China, India, Russia, Brazil, South Africa and the new coming members: in January 2024. While Ethiopia does not have any stock Exchange for now, it did: previously have one during the reign of Emperor Haile Selassie I, called an 'ākisīyoni gebeya' it now has a commodity Exhange in Addis Ababa called the Ethiopia Commodity Exchange, which was recently established just as far as 2008. Although the Ethiopian economy has a large foreign debt, mainly to China, over 13 billion dollars, and overall external debt of over 28 billion dollars. The debt to GDP ratio is smaller compared to other countries at it's economic scale, or neighboring countries. Ethiopia also has 2.4 billion dollars of foreign reserves which is a drop comparing other previous years. Ethiopia expects itself to reach a middle-income status nation within a couple years, primarily expected to be in 2025. Ethiopia's resources have enabled the country—unlike most sub-Saharan African countries—to maintain contacts with the outside world for centuries. Since ancient times, Ethiopian traders exchanged gold, ivory, musk, and wild animal skins for salt and luxury goods, such as silk and velvet. By the late nineteenth century, coffee had become one of Ethiopia's more important cash crops. At that time, most trade flowed along two major trade routes, both of which terminated in the far southwest in the Kefa-Jima region. From there, one route went north to Mitsiwa via Gonder and Adwa, the other along the Awash River valley to Harer and then on to Berbera or Zeila on the Red Sea. Despite its many riches, Ethiopia would stop being a great trading state after fall of Axum. Most Ethiopians despised traders, preferring instead to emulate the country's legendary warriors and priests. After establishing a foothold in the country, Greek, Armenian, and Arab traders became the economic intermediaries between Ethiopia and the outside world. Arabs also settled in the interior and eventually dominated all commercial activity except petty trade. When their occupation of Ethiopia ended in 1941, the Italians left behind them a country whose economic structure was much as it had been for centuries. There had been some improvements in communications, particularly in the area of road building, and attempts had been made to establish a few small industries and to introduce commercial farming, particularly in Eritrea, which Italy had occupied since 1890. But these changes were limited. With only a small proportion of the population participating in the money economy, trade consisted mostly of barter. Wage labor was limited, economic units were largely self-sufficient, foreign trade was negligible, and the market for manufactured goods was extremely small. During the late 1940s and 1950s, much of the economy remained unchanged. The government focused its development efforts on expansion of the bureaucratic structure and ancillary services. Most farmers cultivated small plots of land or herded cattle. Traditional and primitive farming methods provided the population with a subsistence standard of living. In addition, many nomadic peoples raised livestock and followed a life of seasonal movement in drier areas. The agricultural sector grew slightly, and the industrial sector represented a small part of the total economy. By the early 1950s, Emperor Haile Selassie I (reigned 1930–74) had renewed calls for a transition from a subsistence economy to an agro-industrial economy. To accomplish this task, Ethiopia needed an infrastructure to exploit resources, a material base to improve living conditions, and better health, education, communications, and other services. A key element of the emperor's new economic policy was the adoption of centrally administered development plans. The First Five-Year Plan (1957–1961) sought to develop a strong infrastructure, particularly in transportation, construction, and communications, to link isolated regions. The Second Five-Year Plan (1962–1967) signaled the start of a 20-year program to change Ethiopia's predominantly agricultural economy to an agro-industrial one. The Third Five-Year Plan (1968–1973) also sought to facilitate Ethiopia's economic well-being by raising manufacturing and agro-industrial performance. However, unlike its predecessors, the third plan expressed the government's willingness to expand educational opportunities and to improve peasant agriculture. During the First Five-Year Plan, the gross national product (GNP) increased at a 3.2 percent annual rate as opposed to the projected figure of 3.7 percent, and growth in economic sectors such as agriculture, manufacturing, and mining failed to meet the national plan's targets. The Planning Commission never assessed the performance of the Second Five-Year Plan and Third Five-Year Plan, largely because of a shortage of qualified personnel. However, according to data from the Ethiopian government's Central Statistical Authority, during the 1960/61 to 1973/74 period the economy achieved sustained economic growth. Between 1960 and 1970, for example, Ethiopia enjoyed an annual 4.4 percent average growth rate in per capita gross domestic product (GDP). Relative to its neighbors, Ethiopia's economic performance was mixed. By the early 1970s, Ethiopia's economy not only had started to grow but also had begun to diversify into areas such as manufacturing and services. However, these changes failed to improve the lives of most Ethiopians. About four-fifths of the population were subsistence farmers who lived in poverty because they used most of their meager production to pay taxes, rents, debt payments, and bribes. The 1974 revolution resulted in the nationalization and restructuring of the Ethiopian economy. After the revolution, the country's economy can be viewed as having gone through four phases. Internal political upheaval, armed conflict, and radical institutional reform marked the 1974-78 period of the revolution. There was little economic growth; instead, the government's nationalization measures and the highly unstable political climate caused economic dislocation in sectors such as agriculture and manufacturing. As a result of these problems, GDP increased at an average annual rate of only 0.4 percent. In the second phase (1978–1980), the economy began to recover as the government consolidated power and implemented institutional reforms. More important, security conditions improved as internal and external threats subsided. GDP grew at an average annual rate of 5.7 percent. In the third phase (1980–1985), the economy experienced a setback. Except for Ethiopian fiscal year (EFY) 1982/83, the growth of GDP declined. Manufacturing took a downturn as well, and agriculture reached a crisis stage, particularly due to drought that lead to widespread famine. In the fourth period (1985–1990), the economy continued to stagnate. GDP and the manufacturing sector also grew during this period, GDP increasing at an average annual rate of 5 percent. However, the lingering effects of the 1984-85 drought undercut these achievements and contributed to the economy's overall stag. Since 1991, the Ethiopian government has embarked on a program of economic reform, including privatization of state enterprises and rationalization of government regulation. While the process is still ongoing, the reforms have attracted much-needed foreign direct investment. In 2015, Ethiopia has 2,700 millionaires, a number that has more than doubled since 2007. Their fortunes are mainly built-in niches of economic rents (banks, mines, etc.) without investing in structural and strategic sectors (industrial production, infrastructure, etc.) and should in no way promote economic development or represent a source of competition for Western multinationals. The Ethiopian government is stepping up its efforts to attract foreign investors, particularly in the textile sector. They can now import their machines without customs duties, benefit from a tax exemption for ten years, rents much lower than market prices, and almost free water and electricity. Major brands have established themselves in the country, such as Decathlon, H&M and Huajian. These companies also benefit from a cheap labor force, with a monthly salary of around 35 euros. Finally, trade agreements between Ethiopia and the European Union allow them to export duty-free. As of 2015, agriculture accounts for almost 40.5% of GDP, 81 percent of exports, and 85 percent of the labour force. Many other economic activities depend on agriculture, including marketing, processing, and export of agricultural products. Production is overwhelmingly of a subsistence nature, and a large part of commodity exports are provided by the small agricultural cash-crop sector. Principal crops include coffee, pulses (e.g., beans), oilseeds, cereals, potatoes, sugarcane, and vegetables. Exports are almost entirely agricultural commodities, with coffee as the largest foreign exchange earner, and its flower industry becoming a new source of revenue: for 2005/2006 (the latest year available) Ethiopia's coffee exports represented 0.9% of the world exports, and oilseeds and flowers each representing 0.5%. Ethiopia is Africa's second biggest maize producer. In 2000, Ethiopia's livestock contributed to 19% of total GDP. As of 2008, some countries that import most of their food, such as Saudi Arabia, have begun planning the purchase and development of large tracts of arable land in developing countries such as Ethiopia. This land grabbing has raised fears of food being exported to more prosperous countries while the local population faces its own shortage. Forest products are mainly logs used in construction. The silvicutural properties are used in construction and manufacturing, and as energy sources. Ethiopia's fisheries are entirely fresh water, as it has no marine coastline. Although total production has been continuously increasing since 2007, the fishing industry is a very small part of the economy. Fishing is predominantly artisanal. In 2014, nearly 45,000 fishermen were employed in the sector with only 30% of them employed full-time. Ethiopia produced in 2018: In addition to smaller productions of other agricultural products. Employees of Ethiopian garment factories, who work for brands such as Guess, H&M or Calvin Klein, receive a monthly salary of 26 dollars per month. These very low wages have led to low productivity, frequent strikes and high turnover. Some factories have replaced all their employees on average every 12 months, according to the 2019 report of the Stern Centre for Business and Human Rights at New York University The report states: "Rather than the docile and cheap labour force promoted in Ethiopia, foreign-based suppliers have met employees who are unhappy with their pay and living conditions and who want to protest more and more by stopping work or even quitting. In their eagerness to create a 'made in Ethiopia' brand, the government, global brands and foreign manufacturers did not anticipate that the base salary was simply too low for workers to make a living from." Mining is important to the economy of Ethiopia as a diversification from agriculture. Currently, mining comprises only 1% of GDP. Gold, gemstones (diamonds and sapphires), and industrial minerals are important commodities for the country's export-oriented growth strategy. The country has deposits of coal, opal, gemstones, kaolin, iron ore, soda ash, and tantalum, but only gold is mined in significant quantities. In Salt extraction from salt beds in the Afar Depression, as well as from salt springs in Dire and Afder districts in the south, is only of internal importance and only a negligible amount is exported. Waterpower and forests are Ethiopia's main energy sources. The country derives about 90 percent of its electricity needs from hydropower, which means that electricity generation, as with agriculture, is dependent on abundant rainfall. Present installed capacity is rated at about 2000 megawatts, with planned expansion to 10,000 megawatts. In general, Ethiopians rely on forests for nearly all of their energy and construction needs; the result has been deforestation of much of the highlands during the last three decades. Ethiopia has set out plans to invest $40 billion to 71 energy projects by 2030 Less than one-half of Ethiopia's towns and cities are connected to the national grid. Petroleum requirements are met via imports of refined products, although some oil is being hauled overland from Sudan. Oil exploration in Ethiopia has been underway for decades, ever since Emperor Haile Selassie I granted a 50-year concession to SOCONY-Vacuum in September 1945. Recent oil and gas discoveries across East Africa have seen the region emerge as a new player in the global oil and gas industry. As exciting as the huge gas fields of East Africa are, however, the strong decline in oil prices and expectations for an L-shaped recovery with low prices over the coming years are increasingly challenging the economic viability of the industry in this region. The reserves are estimated at 4 trillion cubic feet (110×10^ m), while exploration for gas and oil is underway in the Gambela Region bordering South Sudan. The discoveries were expected to drive billions of dollars in annual investment to the region over the next decade. According to BMI estimates, the findings in the last few years are more than that of any other region in the world, and the discoveries are expected to continue for the next few years. However, falling global oil prices are threatening the commercial viability of many of these gas prospects. A program to privatize state-owned enterprises has been underway since the late 1990s. There has been a large growth of manufacturing in Ethiopia. Several industrial parks have been built with a focus on textiles. Prior to the outbreak of the 1998–2000 Eritrean–Ethiopian War, landlocked Ethiopia mainly relied on the seaports of Asseb and Massawa in Eritrea for international trade. As of 2005, Ethiopia uses the ports of Djibouti, connected to Addis Ababa by the Addis Ababa – Djibouti Railway, and to a lesser extent Port Sudan in Sudan. In May 2005, the Ethiopian government began negotiations to use the port of Berbera in Somaliland. By 2030, the government expects a $74 billion investment in transportation As of 2016, there are 113,066 kilometres (70,256 mi) all-weather roads. Ethiopian Airlines, is Africa's largest and most profitable airline. It serves 132 destinations and has a fleet size of 141 aircraft. The Ethiopian railway network has been rapidly expanding. In 2015, the first light rail in Africa was opening in Addis Ababa. In 2017, the electric Addis Ababa-Djibouti railway began operations. Presently, two other electric railways are under construction: Awash-Woldiya and Woldiya-Mekelle. Telecommunications are provided by a state-owned monopoly, Ethio Telecom, formerly the Ethiopian Telecommunications Corporation. In 2020, ministers set out a national transformation strategy called Digital Ethiopia 2025. Its aim is to prepare the country for the development of an economy based on digital technology. Aside from wholesale and retail trade, transportation, and communications, the services sector consists almost entirely of tourism. Developed in the 1960s, tourism declined greatly during the later 1970s and the 1980s under the military government. Recovery began in the 1990s, but growth has been constrained by the lack of suitable hotels and other infrastructure, despite a boom in construction of small and medium-sized hotels and restaurants, and by the impact of drought, the 1998–2000 war with Eritrea, and the specter of terrorism. In 2002 more than 156,000 tourists entered the country, many of them Ethiopians visiting from abroad, spending more than US$77 million. In 2008, the number of tourists entering the country had increased to 330,000. A decade later, in 2019, Ethiopia registered a record of 812,000 tourists visiting the country, bringing a revenue of $3.55 bn (4.2 percent of the gross national product). The following table displays the trend of Ethiopia's gross domestic product at market prices, according to estimates by the International Monetary Fund with figures in millions of Ethiopian Birr. The current GDP (USD) per capita of Ethiopia shrank by 43% in the 1990s. The economy saw continuous real GDP growth of at least 5% since 2004. The following table shows the main economic indicators in 1980–2017. Inflation below 5% is in green. Ethiopia's economy experienced strong, broad-based growth averaging 9.4% a year from 2010/11 to 2019/20. Ethiopia's real gross domestic product (GDP) growth slowed down to 6.1% in 2019/20 due to the COVID-19 pandemic. Industry, mainly construction, and services accounted for most of the growth. Agriculture was not affected by the COVID-19 pandemic and its contribution to growth slightly improved in 2019/20 compared to the previous year. Private consumption and public investment explain demand-side growth, the latter assuming an increasingly important role. Until 2013, the major agricultural export crop was coffee, providing about 26.4% of Ethiopia's foreign exchange earnings. In the beginning of 2014, oilseeds exports have been more important. Coffee is critical to the Ethiopian economy. More than 15 million people (25% of the population) derive their livelihood from the coffee sector. Other exports include live animals, leather and leather products, chemicals, gold, pulses, oilseeds, flowers, fruits and vegetables and khat (or qat), a leafy shrub which has psychotropic qualities when chewed. Cross-border trade by pastoralists is often informal and beyond state control and regulation. In East Africa, over 95% of cross-border trade is through unofficial channels and the unofficial trade of live cattle, camels, sheep and goats from Ethiopia sold to Somalia, Kenya and Djibouti generates an estimated total value of between US$250 and US$300 million annually (100 times more than the official figure). This trade helps lower food prices, increase food security, relieve border tensions and promote regional integration. However, there are also risks as the unregulated and undocumented nature of this trade runs risks, such as allowing disease to spread more easily throughout the region. Furthermore, the government of Ethiopia is purportedly unhappy with lost tax revenue and foreign exchange revenues. Recent initiatives have sought to document and regulate this trade. Dependent on a few vulnerable crops for its foreign exchange earnings and reliant on imported oil, Ethiopia lacks sufficient foreign exchange. The financially conservative government has taken measures to solve this problem, including stringent import controls and sharply reduced subsidies on retail gasoline prices. Nevertheless, the largely subsistence economy is incapable of supporting high military expenditures, drought relief, an ambitious development plan, and indispensable imports such as oil; it therefore depends on foreign assistance. In December 1999, Ethiopia signed a $1.4 billion joint venture deal with the Malaysian oil company, Petronas, to develop a huge natural gas field in the Somali Region. By the year 2010, however, implementation failed to progress and Petronas lost its license to develop the field, which is now being invested in by Chinese company, Poly-GCL Petroleum. Ethiopia has already begun exporting electricity to Kenya, South Sudan and Djibouti. Earning from this has generated US$300 million annually. After the completion of the Grand Ethiopian Renaissance Dam (GERD) total generation of exports to neighboring countries is expected to bring in us$1 billion annually to the economy. The dam will be the largest hydroelectric power plant in Africa when completed, as well as among the 20 largest in the world. Ethiopian Prime Minister Abiy Ahmed, at the Belt and Road Forum in Beijing on October 18, 2023, highlighted Africa's potential and the need for active global engagement, addressing the climate crisis and global conflicts.
[ { "paragraph_id": 0, "text": "The economy of Ethiopia is a mixed and transition economy with a large public sector. The government of Ethiopia is in the process of privatizing many of the state-owned businesses and moving toward a market economy. The banking, telecommunication and transportation sectors of the economy are dominated by government-owned companies.", "title": "" }, { "paragraph_id": 1, "text": "Ethiopia has one of the fastest-growing economies in the world and is Africa's second most populous country. Many properties owned by the government during the previous regime have now been privatized or are in the process of privatization and the liberalization of its financial sector in the near future. However, certain sectors such as telecommunications, financial and insurance services, air and land transportation services, and retail, are considered as strategic sectors and are expected to remain under state control for the foreseeable future. Almost 50% of Ethiopia's population is under the age of 18. Even though education enrolment at primary and tertiary level has increased significantly, job creation has not caught up with the increased output from educational institutes. The country must create hundreds of thousands of jobs every year just to keep up with population growth.", "title": "" }, { "paragraph_id": 2, "text": "In 2023 Ethiopia has reached an estimated GDP scale of 156.1 billion dollars nominal, for PPP the country's economy has reached an estimated 393.85 billion dollars. This mostly comes from services-based economy with agriculture. And in 2019 the latest data, Ethiopia's top trading partners globally included, China, the United States, UAE, France, the United Kingdom, South Korea, Saudi Arabia, Germany, Japan, Switzerland, the Netherlands, Belgium, Turkey, India, and Egypt. In 2021, agriculture makes up 37.5% of the country's economic output, while services 36.25% and industry makes up 21.85% of the economy. Ethiopia's economy is ranked 159th place out of 190", "title": "" }, { "paragraph_id": 3, "text": "countries counted, in 'Ease of doing business'. Ethiopia is also a-part of African Continental Free Trade Area, Common Market for Eastern and Southern Africa, Intergovernmental Authority on Development, the G24, and the World Trade organization as an observer, and is soon to join the BRICS economic alliance, with China, India, Russia, Brazil, South Africa and the new coming members: in January 2024.", "title": "" }, { "paragraph_id": 4, "text": "While Ethiopia does not have any stock Exchange for now, it did: previously have one during the reign of Emperor Haile Selassie I, called an 'ākisīyoni gebeya' it now has a commodity Exhange in Addis Ababa called the Ethiopia Commodity Exchange, which was recently established just as far as 2008.", "title": "" }, { "paragraph_id": 5, "text": "Although the Ethiopian economy has a large foreign debt, mainly to China, over 13 billion dollars, and overall external debt of over 28 billion dollars. The debt to GDP ratio is smaller compared to other countries at it's economic scale, or neighboring countries. Ethiopia also has 2.4 billion dollars of foreign reserves which is a drop comparing other previous years.", "title": "" }, { "paragraph_id": 6, "text": "Ethiopia expects itself to reach a middle-income status nation within a couple years, primarily expected to be in 2025.", "title": "" }, { "paragraph_id": 7, "text": "Ethiopia's resources have enabled the country—unlike most sub-Saharan African countries—to maintain contacts with the outside world for centuries. Since ancient times, Ethiopian traders exchanged gold, ivory, musk, and wild animal skins for salt and luxury goods, such as silk and velvet. By the late nineteenth century, coffee had become one of Ethiopia's more important cash crops. At that time, most trade flowed along two major trade routes, both of which terminated in the far southwest in the Kefa-Jima region. From there, one route went north to Mitsiwa via Gonder and Adwa, the other along the Awash River valley to Harer and then on to Berbera or Zeila on the Red Sea.", "title": "History" }, { "paragraph_id": 8, "text": "Despite its many riches, Ethiopia would stop being a great trading state after fall of Axum. Most Ethiopians despised traders, preferring instead to emulate the country's legendary warriors and priests. After establishing a foothold in the country, Greek, Armenian, and Arab traders became the economic intermediaries between Ethiopia and the outside world. Arabs also settled in the interior and eventually dominated all commercial activity except petty trade.", "title": "History" }, { "paragraph_id": 9, "text": "When their occupation of Ethiopia ended in 1941, the Italians left behind them a country whose economic structure was much as it had been for centuries. There had been some improvements in communications, particularly in the area of road building, and attempts had been made to establish a few small industries and to introduce commercial farming, particularly in Eritrea, which Italy had occupied since 1890. But these changes were limited. With only a small proportion of the population participating in the money economy, trade consisted mostly of barter. Wage labor was limited, economic units were largely self-sufficient, foreign trade was negligible, and the market for manufactured goods was extremely small.", "title": "History" }, { "paragraph_id": 10, "text": "During the late 1940s and 1950s, much of the economy remained unchanged. The government focused its development efforts on expansion of the bureaucratic structure and ancillary services. Most farmers cultivated small plots of land or herded cattle. Traditional and primitive farming methods provided the population with a subsistence standard of living. In addition, many nomadic peoples raised livestock and followed a life of seasonal movement in drier areas. The agricultural sector grew slightly, and the industrial sector represented a small part of the total economy.", "title": "History" }, { "paragraph_id": 11, "text": "By the early 1950s, Emperor Haile Selassie I (reigned 1930–74) had renewed calls for a transition from a subsistence economy to an agro-industrial economy. To accomplish this task, Ethiopia needed an infrastructure to exploit resources, a material base to improve living conditions, and better health, education, communications, and other services. A key element of the emperor's new economic policy was the adoption of centrally administered development plans.", "title": "History" }, { "paragraph_id": 12, "text": "The First Five-Year Plan (1957–1961) sought to develop a strong infrastructure, particularly in transportation, construction, and communications, to link isolated regions. The Second Five-Year Plan (1962–1967) signaled the start of a 20-year program to change Ethiopia's predominantly agricultural economy to an agro-industrial one. The Third Five-Year Plan (1968–1973) also sought to facilitate Ethiopia's economic well-being by raising manufacturing and agro-industrial performance. However, unlike its predecessors, the third plan expressed the government's willingness to expand educational opportunities and to improve peasant agriculture.", "title": "History" }, { "paragraph_id": 13, "text": "During the First Five-Year Plan, the gross national product (GNP) increased at a 3.2 percent annual rate as opposed to the projected figure of 3.7 percent, and growth in economic sectors such as agriculture, manufacturing, and mining failed to meet the national plan's targets. The Planning Commission never assessed the performance of the Second Five-Year Plan and Third Five-Year Plan, largely because of a shortage of qualified personnel. However, according to data from the Ethiopian government's Central Statistical Authority, during the 1960/61 to 1973/74 period the economy achieved sustained economic growth. Between 1960 and 1970, for example, Ethiopia enjoyed an annual 4.4 percent average growth rate in per capita gross domestic product (GDP). Relative to its neighbors, Ethiopia's economic performance was mixed.", "title": "History" }, { "paragraph_id": 14, "text": "By the early 1970s, Ethiopia's economy not only had started to grow but also had begun to diversify into areas such as manufacturing and services. However, these changes failed to improve the lives of most Ethiopians. About four-fifths of the population were subsistence farmers who lived in poverty because they used most of their meager production to pay taxes, rents, debt payments, and bribes.", "title": "History" }, { "paragraph_id": 15, "text": "The 1974 revolution resulted in the nationalization and restructuring of the Ethiopian economy. After the revolution, the country's economy can be viewed as having gone through four phases. Internal political upheaval, armed conflict, and radical institutional reform marked the 1974-78 period of the revolution. There was little economic growth; instead, the government's nationalization measures and the highly unstable political climate caused economic dislocation in sectors such as agriculture and manufacturing. As a result of these problems, GDP increased at an average annual rate of only 0.4 percent.", "title": "History" }, { "paragraph_id": 16, "text": "In the second phase (1978–1980), the economy began to recover as the government consolidated power and implemented institutional reforms. More important, security conditions improved as internal and external threats subsided. GDP grew at an average annual rate of 5.7 percent.", "title": "History" }, { "paragraph_id": 17, "text": "In the third phase (1980–1985), the economy experienced a setback. Except for Ethiopian fiscal year (EFY) 1982/83, the growth of GDP declined. Manufacturing took a downturn as well, and agriculture reached a crisis stage, particularly due to drought that lead to widespread famine.", "title": "History" }, { "paragraph_id": 18, "text": "In the fourth period (1985–1990), the economy continued to stagnate. GDP and the manufacturing sector also grew during this period, GDP increasing at an average annual rate of 5 percent. However, the lingering effects of the 1984-85 drought undercut these achievements and contributed to the economy's overall stag.", "title": "History" }, { "paragraph_id": 19, "text": "Since 1991, the Ethiopian government has embarked on a program of economic reform, including privatization of state enterprises and rationalization of government regulation. While the process is still ongoing, the reforms have attracted much-needed foreign direct investment.", "title": "History" }, { "paragraph_id": 20, "text": "In 2015, Ethiopia has 2,700 millionaires, a number that has more than doubled since 2007. Their fortunes are mainly built-in niches of economic rents (banks, mines, etc.) without investing in structural and strategic sectors (industrial production, infrastructure, etc.) and should in no way promote economic development or represent a source of competition for Western multinationals.", "title": "History" }, { "paragraph_id": 21, "text": "The Ethiopian government is stepping up its efforts to attract foreign investors, particularly in the textile sector. They can now import their machines without customs duties, benefit from a tax exemption for ten years, rents much lower than market prices, and almost free water and electricity. Major brands have established themselves in the country, such as Decathlon, H&M and Huajian. These companies also benefit from a cheap labor force, with a monthly salary of around 35 euros. Finally, trade agreements between Ethiopia and the European Union allow them to export duty-free.", "title": "History" }, { "paragraph_id": 22, "text": "As of 2015, agriculture accounts for almost 40.5% of GDP, 81 percent of exports, and 85 percent of the labour force. Many other economic activities depend on agriculture, including marketing, processing, and export of agricultural products. Production is overwhelmingly of a subsistence nature, and a large part of commodity exports are provided by the small agricultural cash-crop sector. Principal crops include coffee, pulses (e.g., beans), oilseeds, cereals, potatoes, sugarcane, and vegetables. Exports are almost entirely agricultural commodities, with coffee as the largest foreign exchange earner, and its flower industry becoming a new source of revenue: for 2005/2006 (the latest year available) Ethiopia's coffee exports represented 0.9% of the world exports, and oilseeds and flowers each representing 0.5%. Ethiopia is Africa's second biggest maize producer. In 2000, Ethiopia's livestock contributed to 19% of total GDP.", "title": "Sectors" }, { "paragraph_id": 23, "text": "As of 2008, some countries that import most of their food, such as Saudi Arabia, have begun planning the purchase and development of large tracts of arable land in developing countries such as Ethiopia. This land grabbing has raised fears of food being exported to more prosperous countries while the local population faces its own shortage.", "title": "Sectors" }, { "paragraph_id": 24, "text": "Forest products are mainly logs used in construction. The silvicutural properties are used in construction and manufacturing, and as energy sources. Ethiopia's fisheries are entirely fresh water, as it has no marine coastline. Although total production has been continuously increasing since 2007, the fishing industry is a very small part of the economy. Fishing is predominantly artisanal. In 2014, nearly 45,000 fishermen were employed in the sector with only 30% of them employed full-time.", "title": "Sectors" }, { "paragraph_id": 25, "text": "Ethiopia produced in 2018:", "title": "Sectors" }, { "paragraph_id": 26, "text": "In addition to smaller productions of other agricultural products.", "title": "Sectors" }, { "paragraph_id": 27, "text": "Employees of Ethiopian garment factories, who work for brands such as Guess, H&M or Calvin Klein, receive a monthly salary of 26 dollars per month. These very low wages have led to low productivity, frequent strikes and high turnover. Some factories have replaced all their employees on average every 12 months, according to the 2019 report of the Stern Centre for Business and Human Rights at New York University", "title": "Sectors" }, { "paragraph_id": 28, "text": "The report states: \"Rather than the docile and cheap labour force promoted in Ethiopia, foreign-based suppliers have met employees who are unhappy with their pay and living conditions and who want to protest more and more by stopping work or even quitting. In their eagerness to create a 'made in Ethiopia' brand, the government, global brands and foreign manufacturers did not anticipate that the base salary was simply too low for workers to make a living from.\"", "title": "Sectors" }, { "paragraph_id": 29, "text": "Mining is important to the economy of Ethiopia as a diversification from agriculture. Currently, mining comprises only 1% of GDP. Gold, gemstones (diamonds and sapphires), and industrial minerals are important commodities for the country's export-oriented growth strategy.", "title": "Sectors" }, { "paragraph_id": 30, "text": "The country has deposits of coal, opal, gemstones, kaolin, iron ore, soda ash, and tantalum, but only gold is mined in significant quantities. In Salt extraction from salt beds in the Afar Depression, as well as from salt springs in Dire and Afder districts in the south, is only of internal importance and only a negligible amount is exported.", "title": "Sectors" }, { "paragraph_id": 31, "text": "Waterpower and forests are Ethiopia's main energy sources. The country derives about 90 percent of its electricity needs from hydropower, which means that electricity generation, as with agriculture, is dependent on abundant rainfall. Present installed capacity is rated at about 2000 megawatts, with planned expansion to 10,000 megawatts. In general, Ethiopians rely on forests for nearly all of their energy and construction needs; the result has been deforestation of much of the highlands during the last three decades. Ethiopia has set out plans to invest $40 billion to 71 energy projects by 2030", "title": "Sectors" }, { "paragraph_id": 32, "text": "Less than one-half of Ethiopia's towns and cities are connected to the national grid. Petroleum requirements are met via imports of refined products, although some oil is being hauled overland from Sudan. Oil exploration in Ethiopia has been underway for decades, ever since Emperor Haile Selassie I granted a 50-year concession to SOCONY-Vacuum in September 1945.", "title": "Sectors" }, { "paragraph_id": 33, "text": "Recent oil and gas discoveries across East Africa have seen the region emerge as a new player in the global oil and gas industry. As exciting as the huge gas fields of East Africa are, however, the strong decline in oil prices and expectations for an L-shaped recovery with low prices over the coming years are increasingly challenging the economic viability of the industry in this region. The reserves are estimated at 4 trillion cubic feet (110×10^ m), while exploration for gas and oil is underway in the Gambela Region bordering South Sudan. The discoveries were expected to drive billions of dollars in annual investment to the region over the next decade. According to BMI estimates, the findings in the last few years are more than that of any other region in the world, and the discoveries are expected to continue for the next few years. However, falling global oil prices are threatening the commercial viability of many of these gas prospects.", "title": "Sectors" }, { "paragraph_id": 34, "text": "A program to privatize state-owned enterprises has been underway since the late 1990s. There has been a large growth of manufacturing in Ethiopia. Several industrial parks have been built with a focus on textiles.", "title": "Sectors" }, { "paragraph_id": 35, "text": "Prior to the outbreak of the 1998–2000 Eritrean–Ethiopian War, landlocked Ethiopia mainly relied on the seaports of Asseb and Massawa in Eritrea for international", "title": "Sectors" }, { "paragraph_id": 36, "text": "trade. As of 2005, Ethiopia uses the ports of Djibouti, connected to Addis Ababa by the Addis Ababa – Djibouti Railway, and to a lesser extent Port Sudan in Sudan. In May 2005, the Ethiopian government began negotiations to use the port of Berbera in Somaliland. By 2030, the government expects a $74 billion investment in transportation", "title": "Sectors" }, { "paragraph_id": 37, "text": "As of 2016, there are 113,066 kilometres (70,256 mi) all-weather roads.", "title": "Sectors" }, { "paragraph_id": 38, "text": "Ethiopian Airlines, is Africa's largest and most profitable airline. It serves 132 destinations and has a fleet size of 141 aircraft.", "title": "Sectors" }, { "paragraph_id": 39, "text": "The Ethiopian railway network has been rapidly expanding. In 2015, the first light rail in Africa was opening in Addis Ababa. In 2017, the electric Addis Ababa-Djibouti railway began operations. Presently, two other electric railways are under construction: Awash-Woldiya and Woldiya-Mekelle.", "title": "Sectors" }, { "paragraph_id": 40, "text": "Telecommunications are provided by a state-owned monopoly, Ethio Telecom, formerly the Ethiopian Telecommunications Corporation.", "title": "Sectors" }, { "paragraph_id": 41, "text": "In 2020, ministers set out a national transformation strategy called Digital Ethiopia 2025. Its aim is to prepare the country for the development of an economy based on digital technology.", "title": "Sectors" }, { "paragraph_id": 42, "text": "Aside from wholesale and retail trade, transportation, and communications, the services sector consists almost entirely of tourism. Developed in the 1960s, tourism declined greatly during the later 1970s and the 1980s under the military government. Recovery began in the 1990s, but growth has been constrained by the lack of suitable hotels and other infrastructure, despite a boom in construction of small and medium-sized hotels and restaurants, and by the impact of drought, the 1998–2000 war with Eritrea, and the specter of terrorism. In 2002 more than 156,000 tourists entered the country, many of them Ethiopians visiting from abroad, spending more than US$77 million. In 2008, the number of tourists entering the country had increased to 330,000. A decade later, in 2019, Ethiopia registered a record of 812,000 tourists visiting the country, bringing a revenue of $3.55 bn (4.2 percent of the gross national product).", "title": "Sectors" }, { "paragraph_id": 43, "text": "The following table displays the trend of Ethiopia's gross domestic product at market prices, according to estimates by the International Monetary Fund with figures in millions of Ethiopian Birr.", "title": "Macroeconomic trends" }, { "paragraph_id": 44, "text": "The current GDP (USD) per capita of Ethiopia shrank by 43% in the 1990s. The economy saw continuous real GDP growth of at least 5% since 2004.", "title": "Macroeconomic trends" }, { "paragraph_id": 45, "text": "The following table shows the main economic indicators in 1980–2017. Inflation below 5% is in green.", "title": "Macroeconomic trends" }, { "paragraph_id": 46, "text": "Ethiopia's economy experienced strong, broad-based growth averaging 9.4% a year from 2010/11 to 2019/20. Ethiopia's real gross domestic product (GDP) growth slowed down to 6.1% in 2019/20 due to the COVID-19 pandemic. Industry, mainly construction, and services accounted for most of the growth. Agriculture was not affected by the COVID-19 pandemic and its contribution to growth slightly improved in 2019/20 compared to the previous year. Private consumption and public investment explain demand-side growth, the latter assuming an increasingly important role.", "title": "Macroeconomic trends" }, { "paragraph_id": 47, "text": "Until 2013, the major agricultural export crop was coffee, providing about 26.4% of Ethiopia's foreign exchange earnings. In the beginning of 2014, oilseeds exports have been more important. Coffee is critical to the Ethiopian economy. More than", "title": "External trade" }, { "paragraph_id": 48, "text": "15 million people (25% of the population) derive their livelihood from the coffee sector.", "title": "External trade" }, { "paragraph_id": 49, "text": "Other exports include live animals, leather and leather products, chemicals, gold, pulses, oilseeds, flowers, fruits and vegetables and khat (or qat), a leafy shrub which has psychotropic qualities when chewed. Cross-border trade by pastoralists is often informal and beyond state control and regulation. In East Africa, over 95% of cross-border trade is through unofficial channels and the unofficial trade of live cattle, camels, sheep and goats from Ethiopia sold to Somalia, Kenya and Djibouti generates an estimated total value of between US$250 and US$300 million annually (100 times more than the official figure). This trade helps lower food prices, increase food security, relieve border tensions and promote regional integration. However, there are also risks as the unregulated and undocumented nature of this trade runs risks, such as allowing disease to spread more easily throughout the region. Furthermore, the government of Ethiopia is purportedly unhappy with lost tax revenue and foreign exchange revenues. Recent initiatives have sought to document and regulate this trade.", "title": "External trade" }, { "paragraph_id": 50, "text": "Dependent on a few vulnerable crops for its foreign exchange earnings and reliant on imported oil, Ethiopia lacks sufficient foreign exchange. The financially conservative government has taken measures to solve this problem, including stringent import controls and sharply reduced subsidies on retail gasoline prices. Nevertheless, the largely subsistence economy is incapable of supporting high military expenditures, drought relief, an ambitious development plan, and indispensable imports such as oil; it therefore depends on foreign assistance.", "title": "External trade" }, { "paragraph_id": 51, "text": "In December 1999, Ethiopia signed a $1.4 billion joint venture deal with the Malaysian oil company, Petronas, to develop a huge natural gas field in the Somali Region. By the year 2010, however, implementation failed to progress and Petronas lost its license to develop the field, which is now being invested in by Chinese company, Poly-GCL Petroleum. Ethiopia has already begun exporting electricity to Kenya, South Sudan and Djibouti. Earning from this has generated US$300 million annually. After the completion of the Grand Ethiopian Renaissance Dam (GERD) total generation of exports to neighboring countries is expected to bring in us$1 billion annually to the economy. The dam will be the largest hydroelectric power plant in Africa when completed, as well as among the 20 largest in the world.", "title": "External trade" }, { "paragraph_id": 52, "text": "Ethiopian Prime Minister Abiy Ahmed, at the Belt and Road Forum in Beijing on October 18, 2023, highlighted Africa's potential and the need for active global engagement, addressing the climate crisis and global conflicts.", "title": "External trade" } ]
The economy of Ethiopia is a mixed and transition economy with a large public sector. The government of Ethiopia is in the process of privatizing many of the state-owned businesses and moving toward a market economy. The banking, telecommunication and transportation sectors of the economy are dominated by government-owned companies. Ethiopia has one of the fastest-growing economies in the world and is Africa's second most populous country. Many properties owned by the government during the previous regime have now been privatized or are in the process of privatization and the liberalization of its financial sector in the near future. However, certain sectors such as telecommunications, financial and insurance services, air and land transportation services, and retail, are considered as strategic sectors and are expected to remain under state control for the foreseeable future. Almost 50% of Ethiopia's population is under the age of 18. Even though education enrolment at primary and tertiary level has increased significantly, job creation has not caught up with the increased output from educational institutes. The country must create hundreds of thousands of jobs every year just to keep up with population growth. In 2023 Ethiopia has reached an estimated GDP scale of 156.1 billion dollars nominal, for PPP the country's economy has reached an estimated 393.85 billion dollars. This mostly comes from services-based economy with agriculture. And in 2019 the latest data, Ethiopia's top trading partners globally included, China, the United States, UAE, France, the United Kingdom, South Korea, Saudi Arabia, Germany, Japan, Switzerland, the Netherlands, Belgium, Turkey, India, and Egypt. In 2021, agriculture makes up 37.5% of the country's economic output, while services 36.25% and industry makes up 21.85% of the economy. Ethiopia's economy is ranked 159th place out of 190 countries counted, in 'Ease of doing business'. Ethiopia is also a-part of African Continental Free Trade Area, Common Market for Eastern and Southern Africa, Intergovernmental Authority on Development, the G24, and the World Trade organization as an observer, and is soon to join the BRICS economic alliance, with China, India, Russia, Brazil, South Africa and the new coming members: in January 2024. While Ethiopia does not have any stock Exchange for now, it did: previously have one during the reign of Emperor Haile Selassie I, called an 'ākisīyoni gebeya' it now has a commodity Exhange in Addis Ababa called the Ethiopia Commodity Exchange, which was recently established just as far as 2008. Although the Ethiopian economy has a large foreign debt, mainly to China, over 13 billion dollars, and overall external debt of over 28 billion dollars. The debt to GDP ratio is smaller compared to other countries at it's economic scale, or neighboring countries. Ethiopia also has 2.4 billion dollars of foreign reserves which is a drop comparing other previous years. Ethiopia expects itself to reach a middle-income status nation within a couple years, primarily expected to be in 2025.
2001-04-29T05:31:52Z
2023-12-25T19:02:06Z
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https://en.wikipedia.org/wiki/Economy_of_Ethiopia
9,403
Telecommunications in Ethiopia
Telecommunications in Ethiopia is a monopoly in the control of Ethio telecom, formerly the Ethiopian Telecommunications Corporation (ETC). As of 2012, 20.524 million cellular phones and 797,500 main line phones were in use. The telephone system in Ethiopia consists of open wire and microwave radio relay systems adequate for government use. Domestic systems are open wire; microwave radio relay; radio communication in the high frequency, very high frequency, and ultra high frequency; two domestic satellites provide the national trunk service. International systems are open wire to Djibouti and Sudan; microwave radio relay to Djibouti and Kenya; and satellite earth stations are 3 Intelsat (1 Atlantic Ocean and 2 Indian Ocean). The Ethiopian dial plan changed on 17 September 2005. City codes (i.e., internal prefixes) changed from two digits to three (or, from outside Ethiopia, one digit to two). Phone numbers changed from six digits to seven. In 2007, there were 89 internet hosts. There were 447,300 internet users in 2009. In 2010, just 0.75 percent of the population were using the Internet, one of the lowest rates in the world. The internet domain in Ethiopia is .et. The first telegraph line in Ethiopia was constructed in the years 1897–1899 between the cities of Harar and the capital Addis Ababa. This was extended in 1904 by a line that ran from Addis Ababa through Tigray into Eritrea and to Massawa; and the next year by a line again from Addis Ababa to Gore in the province of Illubabor and Jimma in Kaffa. The first telephones were brought by Ras Makonnen from Italy in 1890, and connected between the Palace and the Imperial treasury; the sound of disembodied voices frightened the local priests, who thought it was the work of demons. The Emperor Menelik II responded to their protests with disdain, and later used the telephone to give orders to his provincial governors. Emperor Haile Selassie had begun the process of introducing radio transmitters to the country for civilian and military use in the years before the Italian invasion. According to the ETC, the average rural inhabitant of Ethiopia has to walk 30 kilometers to the nearest phone. The ETC announced 7 September 2006 a program to improve national coverage, and reduce the average distance to 5 kilometers. Since 2008 CDMA2000 and WCDMA is available in certain areas. Since 26 September 2017 until end of 2018 it was not possible to buy and use Ethio telecom SIM cards in mobile devices that have not been purchased in Ethiopia or registered with the authorities. Local advice suggests travellers should register their phone in the customs arrival hall at Bole Airport on arrival if they intend to use a local SIM card. For travellers, local prepaid SIMs are available at small shops, Ethio telecom kiosks and hotels. Satellite phones may require letter of permission from the ETC prior to bringing such phones through customs. Use of voice over IP services such as Skype and Google Talk was prohibited by telecommunications legislation in 2002. Personal use of these services was legalised by the Proclamation on Telecom Fraud Offences of 2012. Since the changes and upgrade of equipment in the mid-2000 the telecommunication network is frequently out of work or overloaded, callers using both the landlines and mobile network are unable to connect, the situation is made worse by inclement weather. The ETC has not addressed this issue publicly nor admitted that the coverage and service is below par. Ethio telecom has launched the Fourth Generation (4G) Long-Term Evolution (LTE) service on 21 March 2015 in line with the help of the Chinese company HUAWEI. Ethio telecom Corporate Compunction Officer, Abdurahim Mohammed, stated that the rural telecom access within 5 km radius service has currently reached 96 per cent. As part of the efforts to expand its service and improve network quality, Ethio telecom had built 725 stations in Addis Ababa alone during the past 20 years. Damages on fiber optic cables and power interruptions are among the challenges the service provider faced in its expansion and network quality improvement efforts.
[ { "paragraph_id": 0, "text": "Telecommunications in Ethiopia is a monopoly in the control of Ethio telecom, formerly the Ethiopian Telecommunications Corporation (ETC). As of 2012, 20.524 million cellular phones and 797,500 main line phones were in use.", "title": "" }, { "paragraph_id": 1, "text": "The telephone system in Ethiopia consists of open wire and microwave radio relay systems adequate for government use. Domestic systems are open wire; microwave radio relay; radio communication in the high frequency, very high frequency, and ultra high frequency; two domestic satellites provide the national trunk service. International systems are open wire to Djibouti and Sudan; microwave radio relay to Djibouti and Kenya; and satellite earth stations are 3 Intelsat (1 Atlantic Ocean and 2 Indian Ocean).", "title": "Overview" }, { "paragraph_id": 2, "text": "The Ethiopian dial plan changed on 17 September 2005. City codes (i.e., internal prefixes) changed from two digits to three (or, from outside Ethiopia, one digit to two). Phone numbers changed from six digits to seven.", "title": "Overview" }, { "paragraph_id": 3, "text": "In 2007, there were 89 internet hosts. There were 447,300 internet users in 2009. In 2010, just 0.75 percent of the population were using the Internet, one of the lowest rates in the world. The internet domain in Ethiopia is .et.", "title": "Overview" }, { "paragraph_id": 4, "text": "The first telegraph line in Ethiopia was constructed in the years 1897–1899 between the cities of Harar and the capital Addis Ababa. This was extended in 1904 by a line that ran from Addis Ababa through Tigray into Eritrea and to Massawa; and the next year by a line again from Addis Ababa to Gore in the province of Illubabor and Jimma in Kaffa.", "title": "History" }, { "paragraph_id": 5, "text": "The first telephones were brought by Ras Makonnen from Italy in 1890, and connected between the Palace and the Imperial treasury; the sound of disembodied voices frightened the local priests, who thought it was the work of demons. The Emperor Menelik II responded to their protests with disdain, and later used the telephone to give orders to his provincial governors. Emperor Haile Selassie had begun the process of introducing radio transmitters to the country for civilian and military use in the years before the Italian invasion.", "title": "History" }, { "paragraph_id": 6, "text": "According to the ETC, the average rural inhabitant of Ethiopia has to walk 30 kilometers to the nearest phone. The ETC announced 7 September 2006 a program to improve national coverage, and reduce the average distance to 5 kilometers.", "title": "Current status" }, { "paragraph_id": 7, "text": "Since 2008 CDMA2000 and WCDMA is available in certain areas.", "title": "Current status" }, { "paragraph_id": 8, "text": "Since 26 September 2017 until end of 2018 it was not possible to buy and use Ethio telecom SIM cards in mobile devices that have not been purchased in Ethiopia or registered with the authorities. Local advice suggests travellers should register their phone in the customs arrival hall at Bole Airport on arrival if they intend to use a local SIM card. For travellers, local prepaid SIMs are available at small shops, Ethio telecom kiosks and hotels. Satellite phones may require letter of permission from the ETC prior to bringing such phones through customs.", "title": "Current status" }, { "paragraph_id": 9, "text": "Use of voice over IP services such as Skype and Google Talk was prohibited by telecommunications legislation in 2002. Personal use of these services was legalised by the Proclamation on Telecom Fraud Offences of 2012.", "title": "Current status" }, { "paragraph_id": 10, "text": "Since the changes and upgrade of equipment in the mid-2000 the telecommunication network is frequently out of work or overloaded, callers using both the landlines and mobile network are unable to connect, the situation is made worse by inclement weather. The ETC has not addressed this issue publicly nor admitted that the coverage and service is below par.", "title": "Current status" }, { "paragraph_id": 11, "text": "Ethio telecom has launched the Fourth Generation (4G) Long-Term Evolution (LTE) service on 21 March 2015 in line with the help of the Chinese company HUAWEI.", "title": "Current status" }, { "paragraph_id": 12, "text": "", "title": "Current status" }, { "paragraph_id": 13, "text": "Ethio telecom Corporate Compunction Officer, Abdurahim Mohammed, stated that the rural telecom access within 5 km radius service has currently reached 96 per cent. As part of the efforts to expand its service and improve network quality, Ethio telecom had built 725 stations in Addis Ababa alone during the past 20 years. Damages on fiber optic cables and power interruptions are among the challenges the service provider faced in its expansion and network quality improvement efforts.", "title": "Current status" } ]
Telecommunications in Ethiopia is a monopoly in the control of Ethio telecom, formerly the Ethiopian Telecommunications Corporation (ETC). As of 2012, 20.524 million cellular phones and 797,500 main line phones were in use.
2001-04-29T05:32:25Z
2023-12-10T10:28:57Z
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https://en.wikipedia.org/wiki/Telecommunications_in_Ethiopia
9,404
Transport in Ethiopia
Transport in Ethiopia is overseen by the Ministry of Transport and Communications. Over the last years, the Ethiopian federal authorities have significantly increased funding for rail and road construction to build an infrastructure, that allows better economic development. Ethiopia is building a standard gauge railway network, the National Railway Network of Ethiopia, planned to consist of up to 5,000 km of railways in a number of years. The railway network serves a strategic goal to allow Ethiopia a sustainable and stable economic development. By 2030, the Ethiopian government hopes to invest about $74 billion into its transportation. The railway network's primary purpose is then both to connect landlocked Ethiopia to the world market by ensuring a seamless access to one or several sea ports for trade and for transporting most imports and exports. The rail transport of goods appears favorable – if compared to road transport – in terms of volume, costs, safety and speed of transportation for both imports and exports. The primary port for Ethiopia is the Port of Djibouti in Djibouti. More than 95% of Ethiopia's trade passes through Djibouti. The port of Djibouti is served by one international railway, the electrified standard gauge 756 km long Addis Ababa – Djibouti Railway (of which 656 km run in Ethiopia). This railway has officially been opened in October 2016 but it is in trial service with no regular traffic in 2017. Once operational by the end of 2017 or in 2018, it will allow passenger transport and a travel time from Addis Ababa to Djibouti City in less than twelve hours with a designated speed of 120 km/hour. Another railway, the Awash – Hara Gebeya Railway will go into trial service over its first 270 km in 2018. This second railway links Addis Ababa and the Addis Ababa – Djibouti Railway with the north of Ethiopia. Once operational over its first 270 km, possibly 2018 or 2019, it will allow both freight and passenger transport. A train ride from Addis Ababa to the twin cities of Kombolcha and Dessie will be possible in around six hours with a designated speed of 120 km/hour. Road projects now represent around a quarter of the annual infrastructure budget of the Ethiopian federal government. Additionally, through the Road Sector Development Program (RSDP), the government has earmarked $4 billion to construct, repair and upgrade roads over the next decade. As the first part of a 10-year Road Sector Development Program, between 1997 and 2002 the Ethiopian government began a sustained effort to improve its infrastructure of roads. As a result, as of 2002 Ethiopia has a total (federal and regional) 33,297 km of roads, both paved and gravel. The share of federally managed roads in good quality improved from 14% in 1995 to 31% in 2002 as a result of this program, and to 89% in 2009 the road density increased from 21 km per 1000 km (in 1995) to 889 per 1000 km (in 2009) however, this is much greater than the average of 50 km per 1000 km for Africa. The Ethiopian government had begun the second part of the Road Sector Development Program, which was completed in 2007. This had involved the upgrading or construction of over 7,500 km of roads, with the goal of improving the average road density for Ethiopia to 35 km per 1000 km, and reducing the proportion of the country area that is more than 5 km from an all-weather road from 75% to 70%. According to the Government of Ethiopia, it has spent over 600 billion birr (US$50 billion, €30 billion) on infrastructure since 1990. Major roads include: No 1: north east from Addis Ababa 853 km via Adama and Awash to Bure on Eritrean border No 2: north from Addis Ababa 1071 km via Dessie, Mek'ele and Adigrat to Axum No 3: north west from Addis Ababa across the Blue Nile at Dejen and again at Bahir Dar east around Lake Tana 737 km to Gondar. Designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 4: west from Addis Ababa 445 km via Nekemte to Gimbi No 5: west from Addis Ababa 510 km via Jimma to Metu No 6: south west from Jimma 216 km to Mizan Teferi No 7: south from Mojo 432 km via Shashamane and Sodo to Arba Minch. Part of road between Mojo and Shashamane is designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 8: south from Shashamane 214 km via Awasa to Hagere Mariam. Designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 9: south from Adama 77 km to Asella No 10: east from Awash 572 km via Harar and Jijiga to Degehabur The Addis Ababa–Adama Expressway was completed in 2014 as the first expressway in Ethiopia. In December 2015, construction began on a second expressway between Awasa and Mojo, where it will connect to the existing expressway. In addition, the Ethiopian Roads Authority (ERA) has undertaken a three-year project to upgrade over 370 km of roads in the country. Contracts have been signed with the Ethiopian Defense Construction, China Railway Engineering, Eney Construction, China Wuyi, Yotek Construction and FAL General Contractor. It is said that Ethiopia has the highest rates of traffic fatalities per vehicle in the world. This is due to many factors. For example, the roads are poorly maintained, lightened and marked; which are major factors in road accidents. Another major factor is the people themselves, who ignore the rules of the road. Their disregard of road safety puts every other driver at risk. Due to this, foreigners are advised to keep a safe distance from the car in front of them because the driving is unpredictable; anything can happen in the blink of an eye. Even the surroundings involving transport can be incredibly dangerous. For example, there are instances when carjackings and robberies occur on highways or streets that are away from the public eye. Due to this, people are forced to be highly alert of their surroundings, such as checking to make sure no one is lurking around their vehicle before entering and avoiding nighttime travel. Ethiopia is landlocked and was by agreement with Eritrea using the ports of Asseb and Massawa until 1997; since the Eritrean-Ethiopian War, Ethiopia has used the port of Djibouti for nearly all of its imports. Ethiopia increasingly relies on inland dry ports for distributing cargo, after cargo arrived from Djibouti. The main Ethiopian dry port is Modjo dry port. The Baro River is the only river used for transport. Total: 9 ships (with a volume of 1,000 GT or over) 81,933 GT/101,287 DWT (2003 est.) ships by type: cargo ship 7; container ship 1; petroleum tanker 1; roll-on/roll-off ship 3 (1999 est.), 1 (2003 est.) As of 2021, Ethiopia has 57 airports, of which 17 have paved runways . The Addis Ababa Airport is the largest airport in Ethiopia and one of Africa's biggest and busiest. It is the main hub of Ethiopian Airlines, the national airline that serves destinations in Ethiopia and throughout the African continent, as well as nonstop service to Asia, Europe, North America and South America. The airport is also the base of the Ethiopian Aviation Academy. As of June 2018, nearly 450 flights per day were departing from and arriving at the airport. In 2018, about 12 million passengers were carried on domestic and international flights. total: 14 over 3,047 m: 3 2,438 to 3,047 m: 5 1,524 to 2,437 m: 5 914 to 1,523 m: 1 (2003 est.) total: 68 over 3,047 m: 3 2,438 to 3,047 m: 2 1,524 to 2,437 m: 13 914 to 1,523 m: 27 under 914 m: 23 (2003 est.) This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "Transport in Ethiopia is overseen by the Ministry of Transport and Communications. Over the last years, the Ethiopian federal authorities have significantly increased funding for rail and road construction to build an infrastructure, that allows better economic development.", "title": "" }, { "paragraph_id": 1, "text": "Ethiopia is building a standard gauge railway network, the National Railway Network of Ethiopia, planned to consist of up to 5,000 km of railways in a number of years. The railway network serves a strategic goal to allow Ethiopia a sustainable and stable economic development. By 2030, the Ethiopian government hopes to invest about $74 billion into its transportation. The railway network's primary purpose is then both to connect landlocked Ethiopia to the world market by ensuring a seamless access to one or several sea ports for trade and for transporting most imports and exports. The rail transport of goods appears favorable – if compared to road transport – in terms of volume, costs, safety and speed of transportation for both imports and exports. The primary port for Ethiopia is the Port of Djibouti in Djibouti. More than 95% of Ethiopia's trade passes through Djibouti.", "title": "Railways" }, { "paragraph_id": 2, "text": "The port of Djibouti is served by one international railway, the electrified standard gauge 756 km long Addis Ababa – Djibouti Railway (of which 656 km run in Ethiopia). This railway has officially been opened in October 2016 but it is in trial service with no regular traffic in 2017. Once operational by the end of 2017 or in 2018, it will allow passenger transport and a travel time from Addis Ababa to Djibouti City in less than twelve hours with a designated speed of 120 km/hour.", "title": "Railways" }, { "paragraph_id": 3, "text": "Another railway, the Awash – Hara Gebeya Railway will go into trial service over its first 270 km in 2018. This second railway links Addis Ababa and the Addis Ababa – Djibouti Railway with the north of Ethiopia. Once operational over its first 270 km, possibly 2018 or 2019, it will allow both freight and passenger transport. A train ride from Addis Ababa to the twin cities of Kombolcha and Dessie will be possible in around six hours with a designated speed of 120 km/hour.", "title": "Railways" }, { "paragraph_id": 4, "text": "Road projects now represent around a quarter of the annual infrastructure budget of the Ethiopian federal government. Additionally, through the Road Sector Development Program (RSDP), the government has earmarked $4 billion to construct, repair and upgrade roads over the next decade.", "title": "Roads" }, { "paragraph_id": 5, "text": "As the first part of a 10-year Road Sector Development Program, between 1997 and 2002 the Ethiopian government began a sustained effort to improve its infrastructure of roads. As a result, as of 2002 Ethiopia has a total (federal and regional) 33,297 km of roads, both paved and gravel. The share of federally managed roads in good quality improved from 14% in 1995 to 31% in 2002 as a result of this program, and to 89% in 2009 the road density increased from 21 km per 1000 km (in 1995) to 889 per 1000 km (in 2009) however, this is much greater than the average of 50 km per 1000 km for Africa.", "title": "Roads" }, { "paragraph_id": 6, "text": "The Ethiopian government had begun the second part of the Road Sector Development Program, which was completed in 2007. This had involved the upgrading or construction of over 7,500 km of roads, with the goal of improving the average road density for Ethiopia to 35 km per 1000 km, and reducing the proportion of the country area that is more than 5 km from an all-weather road from 75% to 70%.", "title": "Roads" }, { "paragraph_id": 7, "text": "According to the Government of Ethiopia, it has spent over 600 billion birr (US$50 billion, €30 billion) on infrastructure since 1990.", "title": "Roads" }, { "paragraph_id": 8, "text": "Major roads include: No 1: north east from Addis Ababa 853 km via Adama and Awash to Bure on Eritrean border No 2: north from Addis Ababa 1071 km via Dessie, Mek'ele and Adigrat to Axum No 3: north west from Addis Ababa across the Blue Nile at Dejen and again at Bahir Dar east around Lake Tana 737 km to Gondar. Designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 4: west from Addis Ababa 445 km via Nekemte to Gimbi No 5: west from Addis Ababa 510 km via Jimma to Metu No 6: south west from Jimma 216 km to Mizan Teferi No 7: south from Mojo 432 km via Shashamane and Sodo to Arba Minch. Part of road between Mojo and Shashamane is designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 8: south from Shashamane 214 km via Awasa to Hagere Mariam. Designated part of the Cairo-Cape Town Trans-African Highway 4 (TAH 4) No 9: south from Adama 77 km to Asella No 10: east from Awash 572 km via Harar and Jijiga to Degehabur", "title": "Roads" }, { "paragraph_id": 9, "text": "The Addis Ababa–Adama Expressway was completed in 2014 as the first expressway in Ethiopia. In December 2015, construction began on a second expressway between Awasa and Mojo, where it will connect to the existing expressway.", "title": "Roads" }, { "paragraph_id": 10, "text": "In addition, the Ethiopian Roads Authority (ERA) has undertaken a three-year project to upgrade over 370 km of roads in the country. Contracts have been signed with the Ethiopian Defense Construction, China Railway Engineering, Eney Construction, China Wuyi, Yotek Construction and FAL General Contractor.", "title": "Roads" }, { "paragraph_id": 11, "text": "It is said that Ethiopia has the highest rates of traffic fatalities per vehicle in the world. This is due to many factors. For example, the roads are poorly maintained, lightened and marked; which are major factors in road accidents. Another major factor is the people themselves, who ignore the rules of the road. Their disregard of road safety puts every other driver at risk. Due to this, foreigners are advised to keep a safe distance from the car in front of them because the driving is unpredictable; anything can happen in the blink of an eye. Even the surroundings involving transport can be incredibly dangerous. For example, there are instances when carjackings and robberies occur on highways or streets that are away from the public eye. Due to this, people are forced to be highly alert of their surroundings, such as checking to make sure no one is lurking around their vehicle before entering and avoiding nighttime travel.", "title": "Roads" }, { "paragraph_id": 12, "text": "Ethiopia is landlocked and was by agreement with Eritrea using the ports of Asseb and Massawa until 1997; since the Eritrean-Ethiopian War, Ethiopia has used the port of Djibouti for nearly all of its imports. Ethiopia increasingly relies on inland dry ports for distributing cargo, after cargo arrived from Djibouti. The main Ethiopian dry port is Modjo dry port.", "title": "Ports and harbours" }, { "paragraph_id": 13, "text": "The Baro River is the only river used for transport.", "title": "Ports and harbours" }, { "paragraph_id": 14, "text": "Total: 9 ships (with a volume of 1,000 GT or over) 81,933 GT/101,287 DWT (2003 est.) ships by type: cargo ship 7; container ship 1; petroleum tanker 1; roll-on/roll-off ship 3 (1999 est.), 1 (2003 est.)", "title": "Ports and harbours" }, { "paragraph_id": 15, "text": "As of 2021, Ethiopia has 57 airports, of which 17 have paved runways . The Addis Ababa Airport is the largest airport in Ethiopia and one of Africa's biggest and busiest. It is the main hub of Ethiopian Airlines, the national airline that serves destinations in Ethiopia and throughout the African continent, as well as nonstop service to Asia, Europe, North America and South America. The airport is also the base of the Ethiopian Aviation Academy. As of June 2018, nearly 450 flights per day were departing from and arriving at the airport. In 2018, about 12 million passengers were carried on domestic and international flights.", "title": "Airports" }, { "paragraph_id": 16, "text": "total: 14 over 3,047 m: 3 2,438 to 3,047 m: 5 1,524 to 2,437 m: 5 914 to 1,523 m: 1 (2003 est.)", "title": "Airports" }, { "paragraph_id": 17, "text": "total: 68 over 3,047 m: 3 2,438 to 3,047 m: 2 1,524 to 2,437 m: 13 914 to 1,523 m: 27 under 914 m: 23 (2003 est.)", "title": "Airports" }, { "paragraph_id": 18, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "External links" } ]
Transport in Ethiopia is overseen by the Ministry of Transport and Communications. Over the last years, the Ethiopian federal authorities have significantly increased funding for rail and road construction to build an infrastructure, that allows better economic development.
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https://en.wikipedia.org/wiki/Transport_in_Ethiopia
9,405
Ethiopian National Defense Force
The Ethiopian National Defense Force (ENDF) (Amharic: የኢፌዲሪ መከላከያ ሠራዊት, romanized: Ye’īfēdērī mekelakeya šerawīt, lit. 'FDRE Defense Force') 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, Naval Force as well as the Defense Industry Sector. 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 during the Ottoman conquest of Habesh 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. 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 Tekle Haymanot of Gojjam, Ras Makonnen, Ras Mengesha Yohannes, Mikael of Wollo, and Menelik II 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. 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. 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. 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. 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: 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: To these armies were assigned the operational forces of the army, comprising: Ethiopian soldiers have also committed many atrocities in the region of Tigray. They have used food and rape as weapons of war. 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 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. Government forces have been engaged in a battle against Ogaden insurgents led by the Ogaden National Liberation Front. 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. 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 soldiers, then tying him up, preparing to throw him in the river. The professional army of ENDF took significant casualties during the war, forcing the ENDF to rely on citizen soldiers until it was prepared for a counter-offensive, while it retreated from the northern part of Ethiopia. When the ENDF took high casualties and the need for more manpower arouse, the government started recruiting soldiers en-masse, with The Prime Minister himself leading by example the recruitment effort as well as the war from the frontlines, this happened during the TDF–OLA joint offensive which threatened Addis Abeba. Human wave attacks accusations were made during the war on the ENDF, such tactics are usually very costly in human life. In addition, in the lead-up and early on in the war, tigrayan military officers of the ENDF—which had constituted 80% of the officer corps of the ENDF—had defected to the TPLF. This greatly reducing the amount of capable COs and NCOs. This all indicates that the ENDF is coming out of the war enlarged in size, but with significant leadership/officer shortages that raises questions for the future, as in, can the ENDF control the regional militias that has sprung up and that could pose future threats to Ethiopia. With already signs of tensions arising between the central government and militias, with militias such as Fano, where the government arrested 4,000 militia members due to its "illegal activities". The ENDF has significant challenges coming out of the Northern war, such as coping with potential loss of leadership due to casualties, logistics or equipment losses. 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. Modern day Ethiopia, being a landlocked country, has no active 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. In June 2018, Prime Minister Abiy Ahmed called for the eventual reconstitution of the Ethiopian Navy as part of a wider program of security sector reforms, saying that "we should build our naval force capacity in the future". In March 2019, Abiy Ahmed signed defense accords with France's Emmanuel Macron, including on support in establishing a naval component. The Ethiopian Navy is based in Djibouti, and its headquarters is in Bahir Dar, Ethiopia. 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. The National Defense Day is celebrated annually as the holiday of the ENDF on October 26. The day celebrates the establishment of Ministry of Defense (Ethiopia) for the first time in Ethiopian history, on 26 October 1907. It is celebrated for four days. This article incorporates text from this source, which is in the public domain. Ethiopia: A Country Study. Federal Research Division. Further sources on defense in Ethiopia include SSR in Ethiopia, A Prerequisite for Democracy. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "The Ethiopian National Defense Force (ENDF) (Amharic: የኢፌዲሪ መከላከያ ሠራዊት, romanized: Ye’īfēdērī mekelakeya šerawīt, lit. 'FDRE Defense Force') 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, Naval Force as well as the Defense Industry Sector.", "title": "" }, { "paragraph_id": 1, "text": "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 during the Ottoman conquest of Habesh 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\".", "title": "History" }, { "paragraph_id": 2, "text": "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.", "title": "History" }, { "paragraph_id": 3, "text": "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 Tekle Haymanot of Gojjam, Ras Makonnen, Ras Mengesha Yohannes, Mikael of Wollo, and Menelik II struck a powerful blow against the Italian army.", "title": "History" }, { "paragraph_id": 4, "text": "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.", "title": "History" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "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:", "title": "History" }, { "paragraph_id": 7, "text": "\"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.", "title": "History" }, { "paragraph_id": 8, "text": "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.", "title": "History" }, { "paragraph_id": 9, "text": "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.\"", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "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.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "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.", "title": "History" }, { "paragraph_id": 15, "text": "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.", "title": "History" }, { "paragraph_id": 16, "text": "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.", "title": "History" }, { "paragraph_id": 17, "text": "In 1960 the U.S. Army Area Handbook for Ethiopia described the very personalized command arrangements then used by the Emperor:", "title": "History" }, { "paragraph_id": 18, "text": "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.'", "title": "History" }, { "paragraph_id": 19, "text": "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.", "title": "History" }, { "paragraph_id": 20, "text": "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.", "title": "History" }, { "paragraph_id": 21, "text": "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.", "title": "History" }, { "paragraph_id": 22, "text": "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.", "title": "History" }, { "paragraph_id": 23, "text": "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).", "title": "History" }, { "paragraph_id": 24, "text": "Among reported U.S. equipment deliveries to Ethiopia were 120 M59 and 39 M75 armored personnel carriers.", "title": "History" }, { "paragraph_id": 25, "text": "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.", "title": "History" }, { "paragraph_id": 26, "text": "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.\"", "title": "History" }, { "paragraph_id": 27, "text": "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.", "title": "History" }, { "paragraph_id": 28, "text": "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.", "title": "History" }, { "paragraph_id": 29, "text": "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.", "title": "History" }, { "paragraph_id": 30, "text": "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.", "title": "History" }, { "paragraph_id": 31, "text": "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.", "title": "History" }, { "paragraph_id": 32, "text": "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:", "title": "History" }, { "paragraph_id": 33, "text": "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.", "title": "History" }, { "paragraph_id": 34, "text": "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.", "title": "History" }, { "paragraph_id": 35, "text": "The army commands consisted of the:", "title": "History" }, { "paragraph_id": 36, "text": "To these armies were assigned the operational forces of the army, comprising:", "title": "History" }, { "paragraph_id": 37, "text": "Ethiopian soldiers have also committed many atrocities in the region of Tigray. They have used food and rape as weapons of war.", "title": "History" }, { "paragraph_id": 38, "text": "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.", "title": "History" }, { "paragraph_id": 39, "text": "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.", "title": "History" }, { "paragraph_id": 40, "text": "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.", "title": "History" }, { "paragraph_id": 41, "text": "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.", "title": "History" }, { "paragraph_id": 42, "text": "Government forces have been engaged in a battle against Ogaden insurgents led by the Ogaden National Liberation Front.", "title": "History" }, { "paragraph_id": 43, "text": "Ethiopian troops invaded Somalia in 2006 on the pretext of security concerns over Ogaden.", "title": "History" }, { "paragraph_id": 44, "text": "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.", "title": "History" }, { "paragraph_id": 45, "text": "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", "title": "History" }, { "paragraph_id": 46, "text": "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.", "title": "History" }, { "paragraph_id": 47, "text": "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.", "title": "History" }, { "paragraph_id": 48, "text": "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.", "title": "History" }, { "paragraph_id": 49, "text": "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 soldiers, then tying him up, preparing to throw him in the river.", "title": "History" }, { "paragraph_id": 50, "text": "The professional army of ENDF took significant casualties during the war, forcing the ENDF to rely on citizen soldiers until it was prepared for a counter-offensive, while it retreated from the northern part of Ethiopia. When the ENDF took high casualties and the need for more manpower arouse, the government started recruiting soldiers en-masse, with The Prime Minister himself leading by example the recruitment effort as well as the war from the frontlines, this happened during the TDF–OLA joint offensive which threatened Addis Abeba. Human wave attacks accusations were made during the war on the ENDF, such tactics are usually very costly in human life. In addition, in the lead-up and early on in the war, tigrayan military officers of the ENDF—which had constituted 80% of the officer corps of the ENDF—had defected to the TPLF. This greatly reducing the amount of capable COs and NCOs. This all indicates that the ENDF is coming out of the war enlarged in size, but with significant leadership/officer shortages that raises questions for the future, as in, can the ENDF control the regional militias that has sprung up and that could pose future threats to Ethiopia. With already signs of tensions arising between the central government and militias, with militias such as Fano, where the government arrested 4,000 militia members due to its \"illegal activities\". The ENDF has significant challenges coming out of the Northern war, such as coping with potential loss of leadership due to casualties, logistics or equipment losses.", "title": "History" }, { "paragraph_id": 51, "text": "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.", "title": "Size and strength" }, { "paragraph_id": 52, "text": "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.", "title": "Size and strength" }, { "paragraph_id": 53, "text": "Modern day Ethiopia, being a landlocked country, has no active 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.", "title": "Size and strength" }, { "paragraph_id": 54, "text": "In June 2018, Prime Minister Abiy Ahmed called for the eventual reconstitution of the Ethiopian Navy as part of a wider program of security sector reforms, saying that \"we should build our naval force capacity in the future\".", "title": "Size and strength" }, { "paragraph_id": 55, "text": "In March 2019, Abiy Ahmed signed defense accords with France's Emmanuel Macron, including on support in establishing a naval component.", "title": "Size and strength" }, { "paragraph_id": 56, "text": "The Ethiopian Navy is based in Djibouti, and its headquarters is in Bahir Dar, Ethiopia.", "title": "Size and strength" }, { "paragraph_id": 57, "text": "Ethiopia has served in various United Nations and African Union peacekeeping missions. These have included Ivory Coast, on the Burundi border, and in Rwanda.", "title": "Peacekeeping" }, { "paragraph_id": 58, "text": "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.", "title": "Peacekeeping" }, { "paragraph_id": 59, "text": "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.", "title": "Peacekeeping" }, { "paragraph_id": 60, "text": "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.", "title": "Peacekeeping" }, { "paragraph_id": 61, "text": "The National Defense Day is celebrated annually as the holiday of the ENDF on October 26. The day celebrates the establishment of Ministry of Defense (Ethiopia) for the first time in Ethiopian history, on 26 October 1907. It is celebrated for four days.", "title": "The National Defense Day" }, { "paragraph_id": 62, "text": "This article incorporates text from this source, which is in the public domain. Ethiopia: A Country Study. Federal Research Division.", "title": "References" }, { "paragraph_id": 63, "text": "Further sources on defense in Ethiopia include SSR in Ethiopia, A Prerequisite for Democracy.", "title": "Further reading" }, { "paragraph_id": 64, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "External links" } ]
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, Naval Force as well as the Defense Industry Sector.
2001-04-29T05:33:04Z
2023-12-22T20:46:24Z
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https://en.wikipedia.org/wiki/Ethiopian_National_Defense_Force
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Foreign relations of Ethiopia
The foreign relations of Ethiopia refers to overall diplomatic relationship of Ethiopia. The Ministry of Foreign Affairs oversees foreign relations and diplomatic missions of the country. Ethiopia is one of few early African countries admitted to the League of Nations, becoming a member on 28 September 1923, and was one of the founding members of the United Nations. During the Scramble for Africa, Ethiopia had maintained its full sovereignty over European colonial power and fought the First Italo-Ethiopian War in 1895–96. However, the League did not protect in accord with the envisaged "collective security" of the country, resulted Italy's occupation of Ethiopia for 5 years (1936–1941). From 1950s, Ethiopia participated to UN peacekeeping missions such as in Korean War and Congo Crisis. Virtually, Ethiopia maintains diplomatic relations to most countries, and is non-permanent member of the UN Security Council. Punt (2500 BCE – 980 BCE) was predominantly a trading centre dominated by Ancient Egypt to Horn of Africa. Trading commodities includes exports of Egypt; one of the most essential was incense, which was mainly used for religious rituals for embalming corpse. Other were ivory, spices, hides and exotic animals that convey route to coast of Ethiopia, thus Ethiopia has been an integral part of Punt. Egyptian expedition to southeastern African region was generally commenced in the second millennium BC, after stabilizing relations with kingdoms of today's Sudan, the Kush, Napata and Meroë. Some theorists hypothesized Ancient South Arabian people migrated out of Africa to the strait Bab-el-Mandeb when its sea level decreased to current status. When their civilization came to appear from 4th millennium BC, onward Mesopotamia and the Persian Gulf, adaptation of Semitic language was from end of Mediterranean, though they used Canaanite alphabet developed from Syria or Palestine during second millennium BC. Apparently, these languages similarity compared to Hebrew and Phoenician alphabets, even though lacked scholarly consensus. By 500 BC, it was widely spoken such as the Ge'ez language. Writing system through inscription on stone often detailed historical rival kingdoms in the region, most notability the Saba, Qataban, Himyar, Hadhramaut, Ma'in and others. In 1959, American archeologists collected numerous artifacts and body of inscriptions in the area, belonging to primary sources. The inscription not only detailed about South Arabia, but also the early Ethiopian history associated with Kingdom of Aksum and its rulers. The Kingdom of Aksum has been a great power in classic Africa; once it has been referenced by Persian prophet Mani in the 3rd century and Greco-Roman trading guide Periplus of the Erythraean Sea in first century. Axum maintained well-defined foreign relations with powerful realms in the era. According to Stuart Munro-Hay witness, the Aksumite had several account of ambassadors that had delegation with neighboring powers. Occasionally, Aksumite contact with foreign powers also attested by archaeological or scarce finds. Aksumite relations with pre-Roman Egypt was ostensibly uncertain. However, it was considered that Aksumite contact were also existed during the fall of Ptolemaic dynasty with Cleopatra death in 30 BC. Few artifacts were uncovered from Egypt such as cippus of Horus given to Bruce, and illustrated by him, and a few amulet figurines of blue faience or cornaline found at various sites of Ethiopia. Other include the double-uraeus, perhaps brought from Meroë. Another discoveries are an inscription of Ptolemy III copied by Kosmas at Adulis and ankh'-sign engraved on one of the stelae. During King Ezana's reign, he expedited to the Nile after Meroë was entirely sacked. After its successor Noba emerged, it behaved badly to consign Aksumite ambassadors punished with military expedition. An aggressive mistreatment was objected by tribes such as the Mangurto, the Barya, and the Khasa by asking support, either regarded Aksum would an aide of Noba or possibly a suzerain. Ezana's expedition also attacked Kasu, the remnants of Meroitic state. Nuba, Kasu, and Beja were integral to Ezana's kingdom. Meroitic artifacts have been found in Ethiopian location Addi Galamo (Atse Dera) such as bronze bowls, which was brought from Roman Egypt. It was possibly made up of diorite thumb-ring found by the BIEA expedition at Aksum, and corna line amulet of Harpocrates with typical double-uraeus of the Meroites. Saba, Himyar and Hadhramawit kingdom commonly known as South Arabian states—had special relations with Ethiopia. Culturally, linguistically, and socially, Aksumite civilization completely inspired by those overseas. While Aksumite intervention to states generally uncertain, it was viable to have a military expedition beginning in 3rd century. During the period of GDRT and Adhebah reign, (’DBH), Aksumite commenced a military treaty with Saba and then with Hadhramawit in the first half of third century. During Adhebah period, Shamir called Himyar prince Dhu-Raydan sent military aid from Aksum. Later, Aksumite king adopted nominally "king of Saba and Himyar", asserting suzerainty. Foreign contact also continued during the fifth and early sixth centuries between the two sides of Red Sea. Byzantine scholar Procopius told the voyage of crossing Red Sea for five days and nights and that "the harbor of the Homeritae from which they are accustomed to putting to sea is called Boulikas", presumably somewhere near Mukha, and " at the end of the sail across the sea they always put in at the harbor of the Adulitae" at the reign of King Kaleb. Arabian titles were experienced in South Arabia during Kaleb's reign; after his viceroy deposed by Jewish Himyar king Yusuf Asar, Yemen was no longer requisite to Aksum. The event led Aksumite to decline its dominion. An inscription dated to 543 AD mentioned that the new king named Abraha dealing with the restoration of great dam at Marib, and mentioned embassies from various foreign countries such as Aksum, Rome, Persia and various Arab groups. Procopius noted that Abreha was subordinated by Kaleb, a period which unbeknownst to Abreha regaining the kingdom reputations and he received little damage. Foreign relations in the Middle Ages have impacted by an interaction with Iberian countries—Spain and Portugal—especially the latter had considerable power on internal affairs. Portuguese influence spanned from 1500 to 1672, they had an interest of spreading Jesuit order from 1556 to 1632. According to their narrative effluence, the Portuguese authors underscored their involvement to Ethiopia, but overturned to smoothly decay. Portuguese authors works notably Francisco Álvares, Miguel de Castanhoso, and Pedro Páez survived to this day. Prester John, a fabulous Christian king, spurred the Portuguese to pursue Ethiopia whose kingdom they equates with Garden of Eden. According to the legend, he was born about 1460 and last seen in 1526. There is also speculation about his age where he lived for fifteen or twenty seven years beyond 1526. Pero da Covilhã profoundly marched overland into the Ethiopian Highlands about the end of 1492 or beginning of 1493, characterized by conquest and superiority. He sent an information to Lisbon a few years later that contributed Vasco da Gama mobilisation to African southern cap into the Indian Ocean. The Portuguese navy almost dominated the coastline of Eastern Hemisphere. In the early 15th century, Ethiopia sought to make diplomatic contact with European kingdoms for the first time since the Aksumite era. Atse Dawit I first made contact with the Republic of Venice by requesting for religious artifacts and craftsmen. A letter from Henry IV of England to the Ethiopian Emperor survives. In 1428, Yeshaq I sent two emissaries to Alfonso V of Aragon, who sent his own emissaries that failed to complete the return trip home to Aragon. The first continuous relations with a European country began in 1508 with Portugal under Dawit II (Lebna Dengel), who had just inherited the throne from his father. In 1487, King John II of Portugal sent two emissaries to the Orient, Pero da Covilhã and Afonso de Paiva; Afonso would die on this mission. By the end of Middle Ages, the Ethiopian Empire was in a 13 year long war with neighboring Muslim states, and a Portuguese expedition force was sent from Goa, India to aid the Ethiopian Army due to an ongoing rivalry with the Ottoman Empire, who provided logistical support to the Adal Sultanate. Since 16th century, Roman Catholicism and the Jesuits increasingly influenced on state power. Besides, the Oromo migrations had vital role in the northern Ethiopia. Among other Jesuit, Spanish Jesuit Pedro Paez had favorable relations to the Emperors of Ethiopia like Za Dengel and Susenyos I, the latter promulgated that Roman Catholicism state administrative to the Empire in 1622 on behalf of Orthodox Tewahedo Church, resulted in grave conflict for the years. The reign of Emperor Fasilides in 1632 arranged this status by restoring Orthodox Tewahedo state leadership and expelled Jesuits from his land. After founding Gondar in 1636, Ethiopia then prospered again with the beginning of "Gondarine period" characterized as relatively peaceful governance. However, few Franciscan and Capuchin friars said to be lived during the 18th century such as Franciscan Giuseppe Maria di Gerusalemme, Remedius Prutky (who left credible records to the city). Architecture of this period was slightly influenced by the remnant Jesuits, but also the presence of Arab, Indians (brought by the Jesuits) as well as Turkish in Ottoman occupied northern area had involvement. One of the example is castles in Fasil Ghebbi. Emperor Tewodros II reinstated the imperial power and foreign relations. His connection of Queen Victoria and other European leaders unfavorable when he sent unresponsive letter to the Queen, eventually leading to brief war with the British Empire. The British sent 13,000 soldiers, 26,000 men for logistical support and 40,000 animals including war elephants from India during their expedition, resulting in Tewodros suicide at Magdala in 1868. Not only modernized the empire, but he also paved the way of coherence the succession for subsequent emperors. Ethiopia was briefly isolated from world power in the post-Zemene Mesafint period; Emperor Yohannes IV faced Egyptian invasion as they laid linkage of Suez Canal to Massawa, and opening road between Addi Quala and Gundet used to penetrate the Ethiopian Empire. Yohannes IV on other side was reluctant to improve the road from the Ethiopian Highland to the coast of Red Sea. According to British assistant John Kirkham, he "preferred to keep his money hoarded up". Likewise, German traveller Gerhard Rohlfs asserted that he wanted to build churches rather than roads. Road working, on the sides, was completed by Swedish missionaries at Monkulu. British traveller Augustus B. Wylde supposed that Abyssinians were "in fear of foreign invasion" where lastly commented "I suppose they are right". Wylde noted that the first Ethiopian diaspora took place in mid-1880s, who had been from Massawa to Europe, adapting European trousers. This was strictly outlawed by the Emperor. The empire nonetheless, was surged into modernization by foreign contribution, numerous missionary schools were expanded by Swedish Protestants at Monkulu and the French Lazarist at Keren, the later described by Wylde "a very useful education" with "very well conducted". Ethiopia had received broad European population in the 19th-century: Jean Baraglion of French origin who had lived for over a decade and according to Wylde, he enjoyed monopoly at Adwa. Despite rejoice, Baraglion encountered at least two rivals, a Hungarian named André who made an artificial limbs, and a Greek who have lived to Shewa over several years. Ethiopia had strong diplomatic relations under Emperor Menelik II with Britain, France and Italy, the latter pursued hegemony to Ethiopian Empire after establishing colony in Eritrea (1882). The British and French rival with Italy due to insecurity with their respective protectorate in East Africa. However, both feared the process of Menelik's Expansions. In 1891, the British policy makers sent a circular note to the other world powers concerning the large portion of Nile Valley belonged to Ethiopia, "the activities and the pretension of the Negus were practically enough in themselves to bring the British to the support of Italian policy in East Africa." On 2 May 1889, the Treaty of Wuchale was signed between Ethiopia and Italy with respective bilingual version. The treaty was signed after the Italian occupation of Eritrea and aimed to create friendship with both countries. The Amharic and Italian language, however confused by Article 17 in which Menelik denounced in 1893, resulting Italy's threatening over the status of newly formed boundary. In 1895, the First Italo-Ethiopian War began, ending with Italy's defeat at Battle of Adwa by Ethiopian troops who were assisted logistically by Menelik. By early 1900, European agencies opened legation in Addis Ababa and had huge impact on investment in the country's infrastructure (schools, banks, road, railway etc.). During Haile Selassie coronation in 1930, emissaries from the United States, Egypt, Turkey, Sweden, Belgium, and Japan were also presented. Since then, he led the forefront diplomatic relations of Ethiopia with world powers. In 1930s, Ethiopia faced Italian renewed imperialist design. Together with the failure of the League of Nations envision of Ethiopia's "collective security", Italy invaded Ethiopia again in October 1935, culminating in the Second Italo-Ethiopian War. In May 1936, Mussolini declared Ethiopia as part of Italian East Africa by merging with Eritrea and Somaliland. Haile Selassie fled to England's Fairfield House, Bath, and delivered an address that made him a worldwide figure, and the 1935 Time Man of the Year. On 10 June 1940, Mussolini declared war on France and Britain and attacked British and Commonwealth forces in Egypt, Sudan, Kenya and British Somaliland. In January 1941, the British army together with Arbegnoch ("the Patriots") and Gideon Force occupied Ethiopia. On 5 May, Haile Selassie with auspice of Ethiopian Free Forces entered Addis Ababa and reclaimed his throne while the war continued until November. After their defeat, the Italian began guerrilla offensive in Ethiopia that lasted until the Armistice between Italy and Allied armed forces in September 1943. On 31 January 1942, the British and Ethiopia signed Anglo-Ethiopian Agreement which Britain recognized Ethiopian sovereignty, except military occupation of Ogaden with their colony in Somaliland and the former Italian colony of Somaliland, creating a single polity. Ethiopians discontent about the privilege of military administration of some south-eastern region until formal agreement signed on 19 December 1944 that ended British advantage in the Ethiopian regions. The Italian Republic signed peace treaty on 10 February 1947 that recognized Ethiopia's sovereignty with agreement to pay $25,000,000 in reparations. In 1952, Eritrea federated with Ethiopia with majority vote in the United Nations and this attitude declined by 1961, culminating in the Eritrean War of Independence since armed forces formed such as the Eritrean Liberation Front (ELF). Oppositions against Haile Selassie came to existence with students began marching through 1960s and early 1970s, chanting "land for tiller" and embracing several Marxist-Leninist theme. Haile Selassie deposed on 12 September 1974 by officers of Ethiopian Army led by Aman Andom named Coordinating Committee of the Armed Forces, Police and Territorial Army. The committee renamed itself Provisional Military Administrative Council known as the Derg after abolishing the Ethiopian Empire in March 1975. The Derg aligned itself with Soviet bloc—had similar Marxist Leninist policy on Ethiopia. The Derg suffered from internal insurgency and ambivalent relations with neighboring countries such as Eritrea and Somalia. In 1977, the Ogaden War was fought between the Derg supported by Cuba, Soviet Union and South Yemen, and Somalia with the United States and Egypt. Although ending on 15 March 1978, the relations between Ethiopia and Somalia marred with political dispute with involvement of the Ogaden National Liberation Front (ONLF) in relations of the disputed Ogaden region. By the 1990, the Derg and Soviet Union relations was deteriorated after Mengistu Haile Mariam banned the Ethiopian media to use the term glasnost and perestroika, defying Mikhail Gorbachev who was believed has not fondness for him. By early 1990, Mengistu helped emigration of the Ethiopian Jews to Israel by which many Jewish organizations and US Congress discerned Mengistu's task in the lobbying effort. After defeating the Derg in 1991, the newly formed coalition the Ethiopian People's Revolutionary Democratic Front (EPRDF), led by President and later Prime Minister Meles Zenawi, experienced opposition from factions in Somalia as well as within the country; in May 1991, a pan-Islamist Al-Itihaad al-Islamiya (Islamic Unity) established to consolidate Somalia's power in the Greater Somalia. Relations with Eritrea was somewhat better intensified after its UN-sponsored session from Ethiopia in May 1993. Later in 1998, their relations was deteriorated after large-scale Eritrean mechanized force penetrated to Badme region, triggering the Eritrean–Ethiopian War. Both countries spent favorable amount of armaments ahead of the war and suffered reportedly 100,000 casualties combined as a direct consequence thereof, excluding indeterminate number of refugees. In December 2000, the two countries government signed Algiers Agreement which finalized the war and created binding judicial commissions, the Eritrea–Ethiopia Border Commission and the Eritrean–Ethiopian Claims Commissions, to oversee the disputed border and related claims. Since then, there was elevated tensions with border conflict and stalemate what is described "war footing" and "no-war-no-peace" with absence of foreign and domestic policy domination. This was ended after Prime Minister Abiy Ahmed came to power in 2018, signed the 2018 Eritrea–Ethiopia summit on 8–9 July. Meles' government relations with Djibouti was friendly as Djibouti accessed Port of Djibouti to Ethiopia. Ethiopia had 90% imports arrived from Port of Djibouti and 95% of Djiboutian regional exports. In 2006, the Islamic Courts Union (ICU) virtually controlled the whole of southern Somalia and successfully united Mogadishu and imposed Shari'a law. With support of the Transitional Federal Government of Somalia, Ethiopia, under UN peacekeeping mission against War on Terrorism, attacked ICU. The ICU's split eventually led to the formation of Al-Shabaab, regrouping to continue the insurgency against TFG and Ethiopian military presence in Somalia. In May 2010, the Nile Basin Initiative was signed by five upstream countries such as Ethiopia, Tanzania, Uganda, Kenya, and Rwanda and Burundi as Egypt considerate as breach to the 1929 Anglo-Egyptian treaty that gave its right to share water. On 2 April 2011, the Grand Ethiopian Renaissance Dam (GERD) inaugurated construction expected producing 15,000 megawatts of power within 10 years, spending 12 billion dollars of strategy to improve power generating capabilities. Egypt and Sudan continued objecting the filling of the dam in 2020. Under Abiy Ahmed premiership since 2018, Ethiopia repleted its relations Somalia and Eritrea. In October 2018, Ethiopia signed peace agreement with the rebel faction ONLF ending 34 year long conflict since 1984. ONLF has clashed with the Ethiopian troops to contain vast oil and gas deposits, where Chinese oil firms developing two gas field in the area. In 2007, ONLF launched deadly attack against Chinese-run oil field which killed 65 Ethiopians and 9 Chinese nationals. During the Tigray War, Ethiopia was allied to countries such as Turkey, United Arab Emirates and Iran who supplied drones to the Ethiopian government. With involvement of Eritrean Defence Forces (EDF), the US President Joe Biden designated six targets of sanction per Executive Order 14046, which was signed in September 2021. Foreign relations are upheld by Ministry of Foreign Affairs with the ability and capacity to marshal strategic partners for the continent and the region; to play a central role in Ethiopia's growth into a democratic developmental state and in the achievement of peace and stability in the Horn of Africa. Ethiopia was admitted to the League of Nations on 28 September 1923, becoming one of few African countries to do so due to not colonized by European powers during the 19th century Scramble for Africa. The League envisaged the membership for Ethiopia's "collective security" and protection against external attacks. The League however was unable to maintain Ethiopia's sovereignty as Japan invaded Manchuria, which Italy invaded Ethiopia in 1936. After its resumption of independence after World War II, Ethiopia was one of the founding members of the United Nations. Since the 1950s, Ethiopia has keeping UN peacekeeping missions toward Korean War and Congo Crisis and some African states like Rwanda and Burundi in 1990s. Ethiopia has now over 80,000 peacekeeping forces that are active. The UN delivers development and humanitarian plan in Ethiopia with 28 representatives of funds and specialized agencies in the UN Country Team (UNCT). Ethiopia is non-permanent member of the UN Security Council which has close cooperation with the regional organizations the African Union and the Intergovernmental Authority on Development (IGAD). Ethiopia has strong relations to the European Union while the EU funding financed by the European Development Fund (EDF) with objectives of resilience. Their relations has been defined by Cotonou Agreement article 8 to 13 with strong bilateral partners and dialogue regarding sustainable development on diverse aspect of the country. In addition, the EU is the second largest trade partner for Ethiopia with total expenditure of 4.1 billion euro; exports representing 12% while Ethiopia exports representing 26% of worldwide exports in 2016. This has been compared to China (8%), Somalia (14%) and Kuwait (13%). Ethiopia is one of founding African states of the Organization of African Unity (OAU) (now the African Union) on 25 May 1963 under Emperor Haile Selassie, headquartered in Addis Ababa. At the time, the organization evolved up to 54 African states, except Morocco. The country is driving force of maintaining UN-AU peacekeeping missions, especially in the Horn of Africa region. The AU does not readily aggregate the preference of each member states. Therefore, every AU norms, institution and overlaps as consensus stated in the AU Constitution Act and its various decision and policy making, and implementation organs. As such, the AU offers for member states like Ethiopia to influence and impact on policy internally and regionally. Today, Ethiopian capital Addis Ababa is home of major organizations such as African Union, Pan African Chamber of Commerce and Industry, United Nations Economic Commission for Africa and African Standby Force. This article incorporates public domain material from The World Factbook. CIA.
[ { "paragraph_id": 0, "text": "The foreign relations of Ethiopia refers to overall diplomatic relationship of Ethiopia. The Ministry of Foreign Affairs oversees foreign relations and diplomatic missions of the country.", "title": "" }, { "paragraph_id": 1, "text": "Ethiopia is one of few early African countries admitted to the League of Nations, becoming a member on 28 September 1923, and was one of the founding members of the United Nations. During the Scramble for Africa, Ethiopia had maintained its full sovereignty over European colonial power and fought the First Italo-Ethiopian War in 1895–96. However, the League did not protect in accord with the envisaged \"collective security\" of the country, resulted Italy's occupation of Ethiopia for 5 years (1936–1941).", "title": "" }, { "paragraph_id": 2, "text": "From 1950s, Ethiopia participated to UN peacekeeping missions such as in Korean War and Congo Crisis. Virtually, Ethiopia maintains diplomatic relations to most countries, and is non-permanent member of the UN Security Council.", "title": "" }, { "paragraph_id": 3, "text": "Punt (2500 BCE – 980 BCE) was predominantly a trading centre dominated by Ancient Egypt to Horn of Africa. Trading commodities includes exports of Egypt; one of the most essential was incense, which was mainly used for religious rituals for embalming corpse. Other were ivory, spices, hides and exotic animals that convey route to coast of Ethiopia, thus Ethiopia has been an integral part of Punt. Egyptian expedition to southeastern African region was generally commenced in the second millennium BC, after stabilizing relations with kingdoms of today's Sudan, the Kush, Napata and Meroë.", "title": "History" }, { "paragraph_id": 4, "text": "Some theorists hypothesized Ancient South Arabian people migrated out of Africa to the strait Bab-el-Mandeb when its sea level decreased to current status. When their civilization came to appear from 4th millennium BC, onward Mesopotamia and the Persian Gulf, adaptation of Semitic language was from end of Mediterranean, though they used Canaanite alphabet developed from Syria or Palestine during second millennium BC. Apparently, these languages similarity compared to Hebrew and Phoenician alphabets, even though lacked scholarly consensus. By 500 BC, it was widely spoken such as the Ge'ez language.", "title": "History" }, { "paragraph_id": 5, "text": "Writing system through inscription on stone often detailed historical rival kingdoms in the region, most notability the Saba, Qataban, Himyar, Hadhramaut, Ma'in and others. In 1959, American archeologists collected numerous artifacts and body of inscriptions in the area, belonging to primary sources. The inscription not only detailed about South Arabia, but also the early Ethiopian history associated with Kingdom of Aksum and its rulers.", "title": "History" }, { "paragraph_id": 6, "text": "The Kingdom of Aksum has been a great power in classic Africa; once it has been referenced by Persian prophet Mani in the 3rd century and Greco-Roman trading guide Periplus of the Erythraean Sea in first century. Axum maintained well-defined foreign relations with powerful realms in the era. According to Stuart Munro-Hay witness, the Aksumite had several account of ambassadors that had delegation with neighboring powers. Occasionally, Aksumite contact with foreign powers also attested by archaeological or scarce finds.", "title": "History" }, { "paragraph_id": 7, "text": "Aksumite relations with pre-Roman Egypt was ostensibly uncertain. However, it was considered that Aksumite contact were also existed during the fall of Ptolemaic dynasty with Cleopatra death in 30 BC. Few artifacts were uncovered from Egypt such as cippus of Horus given to Bruce, and illustrated by him, and a few amulet figurines of blue faience or cornaline found at various sites of Ethiopia. Other include the double-uraeus, perhaps brought from Meroë.", "title": "History" }, { "paragraph_id": 8, "text": "Another discoveries are an inscription of Ptolemy III copied by Kosmas at Adulis and ankh'-sign engraved on one of the stelae. During King Ezana's reign, he expedited to the Nile after Meroë was entirely sacked. After its successor Noba emerged, it behaved badly to consign Aksumite ambassadors punished with military expedition. An aggressive mistreatment was objected by tribes such as the Mangurto, the Barya, and the Khasa by asking support, either regarded Aksum would an aide of Noba or possibly a suzerain. Ezana's expedition also attacked Kasu, the remnants of Meroitic state. Nuba, Kasu, and Beja were integral to Ezana's kingdom. Meroitic artifacts have been found in Ethiopian location Addi Galamo (Atse Dera) such as bronze bowls, which was brought from Roman Egypt. It was possibly made up of diorite thumb-ring found by the BIEA expedition at Aksum, and corna line amulet of Harpocrates with typical double-uraeus of the Meroites.", "title": "History" }, { "paragraph_id": 9, "text": "Saba, Himyar and Hadhramawit kingdom commonly known as South Arabian states—had special relations with Ethiopia. Culturally, linguistically, and socially, Aksumite civilization completely inspired by those overseas. While Aksumite intervention to states generally uncertain, it was viable to have a military expedition beginning in 3rd century. During the period of GDRT and Adhebah reign, (’DBH), Aksumite commenced a military treaty with Saba and then with Hadhramawit in the first half of third century.", "title": "History" }, { "paragraph_id": 10, "text": "During Adhebah period, Shamir called Himyar prince Dhu-Raydan sent military aid from Aksum. Later, Aksumite king adopted nominally \"king of Saba and Himyar\", asserting suzerainty. Foreign contact also continued during the fifth and early sixth centuries between the two sides of Red Sea. Byzantine scholar Procopius told the voyage of crossing Red Sea for five days and nights and that \"the harbor of the Homeritae from which they are accustomed to putting to sea is called Boulikas\", presumably somewhere near Mukha, and \" at the end of the sail across the sea they always put in at the harbor of the Adulitae\" at the reign of King Kaleb.", "title": "History" }, { "paragraph_id": 11, "text": "Arabian titles were experienced in South Arabia during Kaleb's reign; after his viceroy deposed by Jewish Himyar king Yusuf Asar, Yemen was no longer requisite to Aksum. The event led Aksumite to decline its dominion. An inscription dated to 543 AD mentioned that the new king named Abraha dealing with the restoration of great dam at Marib, and mentioned embassies from various foreign countries such as Aksum, Rome, Persia and various Arab groups. Procopius noted that Abreha was subordinated by Kaleb, a period which unbeknownst to Abreha regaining the kingdom reputations and he received little damage.", "title": "History" }, { "paragraph_id": 12, "text": "Foreign relations in the Middle Ages have impacted by an interaction with Iberian countries—Spain and Portugal—especially the latter had considerable power on internal affairs. Portuguese influence spanned from 1500 to 1672, they had an interest of spreading Jesuit order from 1556 to 1632. According to their narrative effluence, the Portuguese authors underscored their involvement to Ethiopia, but overturned to smoothly decay. Portuguese authors works notably Francisco Álvares, Miguel de Castanhoso, and Pedro Páez survived to this day. Prester John, a fabulous Christian king, spurred the Portuguese to pursue Ethiopia whose kingdom they equates with Garden of Eden. According to the legend, he was born about 1460 and last seen in 1526. There is also speculation about his age where he lived for fifteen or twenty seven years beyond 1526.", "title": "History" }, { "paragraph_id": 13, "text": "Pero da Covilhã profoundly marched overland into the Ethiopian Highlands about the end of 1492 or beginning of 1493, characterized by conquest and superiority. He sent an information to Lisbon a few years later that contributed Vasco da Gama mobilisation to African southern cap into the Indian Ocean. The Portuguese navy almost dominated the coastline of Eastern Hemisphere.", "title": "History" }, { "paragraph_id": 14, "text": "In the early 15th century, Ethiopia sought to make diplomatic contact with European kingdoms for the first time since the Aksumite era. Atse Dawit I first made contact with the Republic of Venice by requesting for religious artifacts and craftsmen. A letter from Henry IV of England to the Ethiopian Emperor survives. In 1428, Yeshaq I sent two emissaries to Alfonso V of Aragon, who sent his own emissaries that failed to complete the return trip home to Aragon.", "title": "History" }, { "paragraph_id": 15, "text": "The first continuous relations with a European country began in 1508 with Portugal under Dawit II (Lebna Dengel), who had just inherited the throne from his father. In 1487, King John II of Portugal sent two emissaries to the Orient, Pero da Covilhã and Afonso de Paiva; Afonso would die on this mission. By the end of Middle Ages, the Ethiopian Empire was in a 13 year long war with neighboring Muslim states, and a Portuguese expedition force was sent from Goa, India to aid the Ethiopian Army due to an ongoing rivalry with the Ottoman Empire, who provided logistical support to the Adal Sultanate.", "title": "History" }, { "paragraph_id": 16, "text": "Since 16th century, Roman Catholicism and the Jesuits increasingly influenced on state power. Besides, the Oromo migrations had vital role in the northern Ethiopia. Among other Jesuit, Spanish Jesuit Pedro Paez had favorable relations to the Emperors of Ethiopia like Za Dengel and Susenyos I, the latter promulgated that Roman Catholicism state administrative to the Empire in 1622 on behalf of Orthodox Tewahedo Church, resulted in grave conflict for the years.", "title": "History" }, { "paragraph_id": 17, "text": "The reign of Emperor Fasilides in 1632 arranged this status by restoring Orthodox Tewahedo state leadership and expelled Jesuits from his land. After founding Gondar in 1636, Ethiopia then prospered again with the beginning of \"Gondarine period\" characterized as relatively peaceful governance. However, few Franciscan and Capuchin friars said to be lived during the 18th century such as Franciscan Giuseppe Maria di Gerusalemme, Remedius Prutky (who left credible records to the city).", "title": "History" }, { "paragraph_id": 18, "text": "Architecture of this period was slightly influenced by the remnant Jesuits, but also the presence of Arab, Indians (brought by the Jesuits) as well as Turkish in Ottoman occupied northern area had involvement. One of the example is castles in Fasil Ghebbi.", "title": "History" }, { "paragraph_id": 19, "text": "Emperor Tewodros II reinstated the imperial power and foreign relations. His connection of Queen Victoria and other European leaders unfavorable when he sent unresponsive letter to the Queen, eventually leading to brief war with the British Empire. The British sent 13,000 soldiers, 26,000 men for logistical support and 40,000 animals including war elephants from India during their expedition, resulting in Tewodros suicide at Magdala in 1868. Not only modernized the empire, but he also paved the way of coherence the succession for subsequent emperors. Ethiopia was briefly isolated from world power in the post-Zemene Mesafint period; Emperor Yohannes IV faced Egyptian invasion as they laid linkage of Suez Canal to Massawa, and opening road between Addi Quala and Gundet used to penetrate the Ethiopian Empire. Yohannes IV on other side was reluctant to improve the road from the Ethiopian Highland to the coast of Red Sea. According to British assistant John Kirkham, he \"preferred to keep his money hoarded up\". Likewise, German traveller Gerhard Rohlfs asserted that he wanted to build churches rather than roads. Road working, on the sides, was completed by Swedish missionaries at Monkulu. British traveller Augustus B. Wylde supposed that Abyssinians were \"in fear of foreign invasion\" where lastly commented \"I suppose they are right\".", "title": "History" }, { "paragraph_id": 20, "text": "Wylde noted that the first Ethiopian diaspora took place in mid-1880s, who had been from Massawa to Europe, adapting European trousers. This was strictly outlawed by the Emperor. The empire nonetheless, was surged into modernization by foreign contribution, numerous missionary schools were expanded by Swedish Protestants at Monkulu and the French Lazarist at Keren, the later described by Wylde \"a very useful education\" with \"very well conducted\". Ethiopia had received broad European population in the 19th-century: Jean Baraglion of French origin who had lived for over a decade and according to Wylde, he enjoyed monopoly at Adwa. Despite rejoice, Baraglion encountered at least two rivals, a Hungarian named André who made an artificial limbs, and a Greek who have lived to Shewa over several years.", "title": "History" }, { "paragraph_id": 21, "text": "Ethiopia had strong diplomatic relations under Emperor Menelik II with Britain, France and Italy, the latter pursued hegemony to Ethiopian Empire after establishing colony in Eritrea (1882). The British and French rival with Italy due to insecurity with their respective protectorate in East Africa. However, both feared the process of Menelik's Expansions. In 1891, the British policy makers sent a circular note to the other world powers concerning the large portion of Nile Valley belonged to Ethiopia, \"the activities and the pretension of the Negus were practically enough in themselves to bring the British to the support of Italian policy in East Africa.\"", "title": "History" }, { "paragraph_id": 22, "text": "On 2 May 1889, the Treaty of Wuchale was signed between Ethiopia and Italy with respective bilingual version. The treaty was signed after the Italian occupation of Eritrea and aimed to create friendship with both countries. The Amharic and Italian language, however confused by Article 17 in which Menelik denounced in 1893, resulting Italy's threatening over the status of newly formed boundary.", "title": "History" }, { "paragraph_id": 23, "text": "In 1895, the First Italo-Ethiopian War began, ending with Italy's defeat at Battle of Adwa by Ethiopian troops who were assisted logistically by Menelik. By early 1900, European agencies opened legation in Addis Ababa and had huge impact on investment in the country's infrastructure (schools, banks, road, railway etc.).", "title": "History" }, { "paragraph_id": 24, "text": "During Haile Selassie coronation in 1930, emissaries from the United States, Egypt, Turkey, Sweden, Belgium, and Japan were also presented. Since then, he led the forefront diplomatic relations of Ethiopia with world powers.", "title": "History" }, { "paragraph_id": 25, "text": "In 1930s, Ethiopia faced Italian renewed imperialist design. Together with the failure of the League of Nations envision of Ethiopia's \"collective security\", Italy invaded Ethiopia again in October 1935, culminating in the Second Italo-Ethiopian War. In May 1936, Mussolini declared Ethiopia as part of Italian East Africa by merging with Eritrea and Somaliland. Haile Selassie fled to England's Fairfield House, Bath, and delivered an address that made him a worldwide figure, and the 1935 Time Man of the Year.", "title": "History" }, { "paragraph_id": 26, "text": "On 10 June 1940, Mussolini declared war on France and Britain and attacked British and Commonwealth forces in Egypt, Sudan, Kenya and British Somaliland. In January 1941, the British army together with Arbegnoch (\"the Patriots\") and Gideon Force occupied Ethiopia. On 5 May, Haile Selassie with auspice of Ethiopian Free Forces entered Addis Ababa and reclaimed his throne while the war continued until November. After their defeat, the Italian began guerrilla offensive in Ethiopia that lasted until the Armistice between Italy and Allied armed forces in September 1943.", "title": "History" }, { "paragraph_id": 27, "text": "On 31 January 1942, the British and Ethiopia signed Anglo-Ethiopian Agreement which Britain recognized Ethiopian sovereignty, except military occupation of Ogaden with their colony in Somaliland and the former Italian colony of Somaliland, creating a single polity. Ethiopians discontent about the privilege of military administration of some south-eastern region until formal agreement signed on 19 December 1944 that ended British advantage in the Ethiopian regions. The Italian Republic signed peace treaty on 10 February 1947 that recognized Ethiopia's sovereignty with agreement to pay $25,000,000 in reparations.", "title": "History" }, { "paragraph_id": 28, "text": "In 1952, Eritrea federated with Ethiopia with majority vote in the United Nations and this attitude declined by 1961, culminating in the Eritrean War of Independence since armed forces formed such as the Eritrean Liberation Front (ELF).", "title": "History" }, { "paragraph_id": 29, "text": "Oppositions against Haile Selassie came to existence with students began marching through 1960s and early 1970s, chanting \"land for tiller\" and embracing several Marxist-Leninist theme. Haile Selassie deposed on 12 September 1974 by officers of Ethiopian Army led by Aman Andom named Coordinating Committee of the Armed Forces, Police and Territorial Army. The committee renamed itself Provisional Military Administrative Council known as the Derg after abolishing the Ethiopian Empire in March 1975.", "title": "History" }, { "paragraph_id": 30, "text": "The Derg aligned itself with Soviet bloc—had similar Marxist Leninist policy on Ethiopia. The Derg suffered from internal insurgency and ambivalent relations with neighboring countries such as Eritrea and Somalia. In 1977, the Ogaden War was fought between the Derg supported by Cuba, Soviet Union and South Yemen, and Somalia with the United States and Egypt. Although ending on 15 March 1978, the relations between Ethiopia and Somalia marred with political dispute with involvement of the Ogaden National Liberation Front (ONLF) in relations of the disputed Ogaden region.", "title": "History" }, { "paragraph_id": 31, "text": "By the 1990, the Derg and Soviet Union relations was deteriorated after Mengistu Haile Mariam banned the Ethiopian media to use the term glasnost and perestroika, defying Mikhail Gorbachev who was believed has not fondness for him. By early 1990, Mengistu helped emigration of the Ethiopian Jews to Israel by which many Jewish organizations and US Congress discerned Mengistu's task in the lobbying effort.", "title": "History" }, { "paragraph_id": 32, "text": "After defeating the Derg in 1991, the newly formed coalition the Ethiopian People's Revolutionary Democratic Front (EPRDF), led by President and later Prime Minister Meles Zenawi, experienced opposition from factions in Somalia as well as within the country; in May 1991, a pan-Islamist Al-Itihaad al-Islamiya (Islamic Unity) established to consolidate Somalia's power in the Greater Somalia. Relations with Eritrea was somewhat better intensified after its UN-sponsored session from Ethiopia in May 1993.", "title": "History" }, { "paragraph_id": 33, "text": "Later in 1998, their relations was deteriorated after large-scale Eritrean mechanized force penetrated to Badme region, triggering the Eritrean–Ethiopian War. Both countries spent favorable amount of armaments ahead of the war and suffered reportedly 100,000 casualties combined as a direct consequence thereof, excluding indeterminate number of refugees. In December 2000, the two countries government signed Algiers Agreement which finalized the war and created binding judicial commissions, the Eritrea–Ethiopia Border Commission and the Eritrean–Ethiopian Claims Commissions, to oversee the disputed border and related claims. Since then, there was elevated tensions with border conflict and stalemate what is described \"war footing\" and \"no-war-no-peace\" with absence of foreign and domestic policy domination. This was ended after Prime Minister Abiy Ahmed came to power in 2018, signed the 2018 Eritrea–Ethiopia summit on 8–9 July.", "title": "History" }, { "paragraph_id": 34, "text": "Meles' government relations with Djibouti was friendly as Djibouti accessed Port of Djibouti to Ethiopia. Ethiopia had 90% imports arrived from Port of Djibouti and 95% of Djiboutian regional exports. In 2006, the Islamic Courts Union (ICU) virtually controlled the whole of southern Somalia and successfully united Mogadishu and imposed Shari'a law. With support of the Transitional Federal Government of Somalia, Ethiopia, under UN peacekeeping mission against War on Terrorism, attacked ICU. The ICU's split eventually led to the formation of Al-Shabaab, regrouping to continue the insurgency against TFG and Ethiopian military presence in Somalia.", "title": "History" }, { "paragraph_id": 35, "text": "In May 2010, the Nile Basin Initiative was signed by five upstream countries such as Ethiopia, Tanzania, Uganda, Kenya, and Rwanda and Burundi as Egypt considerate as breach to the 1929 Anglo-Egyptian treaty that gave its right to share water. On 2 April 2011, the Grand Ethiopian Renaissance Dam (GERD) inaugurated construction expected producing 15,000 megawatts of power within 10 years, spending 12 billion dollars of strategy to improve power generating capabilities. Egypt and Sudan continued objecting the filling of the dam in 2020.", "title": "History" }, { "paragraph_id": 36, "text": "Under Abiy Ahmed premiership since 2018, Ethiopia repleted its relations Somalia and Eritrea. In October 2018, Ethiopia signed peace agreement with the rebel faction ONLF ending 34 year long conflict since 1984. ONLF has clashed with the Ethiopian troops to contain vast oil and gas deposits, where Chinese oil firms developing two gas field in the area. In 2007, ONLF launched deadly attack against Chinese-run oil field which killed 65 Ethiopians and 9 Chinese nationals.", "title": "History" }, { "paragraph_id": 37, "text": "During the Tigray War, Ethiopia was allied to countries such as Turkey, United Arab Emirates and Iran who supplied drones to the Ethiopian government. With involvement of Eritrean Defence Forces (EDF), the US President Joe Biden designated six targets of sanction per Executive Order 14046, which was signed in September 2021.", "title": "History" }, { "paragraph_id": 38, "text": "Foreign relations are upheld by Ministry of Foreign Affairs with the ability and capacity to marshal strategic partners for the continent and the region; to play a central role in Ethiopia's growth into a democratic developmental state and in the achievement of peace and stability in the Horn of Africa.", "title": "Ministry of Foreign Affairs" }, { "paragraph_id": 39, "text": "Ethiopia was admitted to the League of Nations on 28 September 1923, becoming one of few African countries to do so due to not colonized by European powers during the 19th century Scramble for Africa. The League envisaged the membership for Ethiopia's \"collective security\" and protection against external attacks. The League however was unable to maintain Ethiopia's sovereignty as Japan invaded Manchuria, which Italy invaded Ethiopia in 1936.", "title": "United Nations" }, { "paragraph_id": 40, "text": "After its resumption of independence after World War II, Ethiopia was one of the founding members of the United Nations. Since the 1950s, Ethiopia has keeping UN peacekeeping missions toward Korean War and Congo Crisis and some African states like Rwanda and Burundi in 1990s. Ethiopia has now over 80,000 peacekeeping forces that are active.", "title": "United Nations" }, { "paragraph_id": 41, "text": "The UN delivers development and humanitarian plan in Ethiopia with 28 representatives of funds and specialized agencies in the UN Country Team (UNCT). Ethiopia is non-permanent member of the UN Security Council which has close cooperation with the regional organizations the African Union and the Intergovernmental Authority on Development (IGAD).", "title": "United Nations" }, { "paragraph_id": 42, "text": "Ethiopia has strong relations to the European Union while the EU funding financed by the European Development Fund (EDF) with objectives of resilience. Their relations has been defined by Cotonou Agreement article 8 to 13 with strong bilateral partners and dialogue regarding sustainable development on diverse aspect of the country.", "title": "European Union" }, { "paragraph_id": 43, "text": "In addition, the EU is the second largest trade partner for Ethiopia with total expenditure of 4.1 billion euro; exports representing 12% while Ethiopia exports representing 26% of worldwide exports in 2016. This has been compared to China (8%), Somalia (14%) and Kuwait (13%).", "title": "European Union" }, { "paragraph_id": 44, "text": "Ethiopia is one of founding African states of the Organization of African Unity (OAU) (now the African Union) on 25 May 1963 under Emperor Haile Selassie, headquartered in Addis Ababa. At the time, the organization evolved up to 54 African states, except Morocco.", "title": "African Union" }, { "paragraph_id": 45, "text": "The country is driving force of maintaining UN-AU peacekeeping missions, especially in the Horn of Africa region. The AU does not readily aggregate the preference of each member states. Therefore, every AU norms, institution and overlaps as consensus stated in the AU Constitution Act and its various decision and policy making, and implementation organs. As such, the AU offers for member states like Ethiopia to influence and impact on policy internally and regionally. Today, Ethiopian capital Addis Ababa is home of major organizations such as African Union, Pan African Chamber of Commerce and Industry, United Nations Economic Commission for Africa and African Standby Force.", "title": "African Union" }, { "paragraph_id": 46, "text": "This article incorporates public domain material from The World Factbook. CIA.", "title": "External links" } ]
The foreign relations of Ethiopia refers to overall diplomatic relationship of Ethiopia. The Ministry of Foreign Affairs oversees foreign relations and diplomatic missions of the country. Ethiopia is one of few early African countries admitted to the League of Nations, becoming a member on 28 September 1923, and was one of the founding members of the United Nations. During the Scramble for Africa, Ethiopia had maintained its full sovereignty over European colonial power and fought the First Italo-Ethiopian War in 1895–96. However, the League did not protect in accord with the envisaged "collective security" of the country, resulted Italy's occupation of Ethiopia for 5 years (1936–1941). From 1950s, Ethiopia participated to UN peacekeeping missions such as in Korean War and Congo Crisis. Virtually, Ethiopia maintains diplomatic relations to most countries, and is non-permanent member of the UN Security Council.
2001-04-29T05:33:19Z
2023-12-22T18:31:26Z
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https://en.wikipedia.org/wiki/Foreign_relations_of_Ethiopia
9,407
Europa Island
Europa Island (French: Île Europa, pronounced [il øʁɔpa]), in Malagasy Nosy Ampela is a 28-square-kilometre (11 sq mi) low-lying tropical atoll in the Mozambique Channel, about a third of the way from southern Madagascar to southern Mozambique. The island had never been inhabited until 1820, when the French family Rosier moved to it. The island officially became a possession of France in 1897. The island, garrisoned by a detachment from Réunion, has a weather station and is visited by scientists. Though uninhabited now, it is part of the Scattered Islands of the French Southern and Antarctic Lands administrative region. Europa Island was the setting of "Search in the Deep", a 1968 episode of The Undersea World of Jacques Cousteau, partly focusing on the breeding habits of the green sea turtle. Europa is 6 kilometres (3.7 mi) in diameter, with a maximum altitude of 6 metres (20 ft), and has 22.2 kilometres (13.8 mi) of coastline. It is surrounded by coral beaches and a fringing reef and encloses a mangrove lagoon of around 9 square kilometres (3.5 sq mi) and open to the sea on one side. There are no ports or harbours but anchorage is possible offshore. Its exclusive economic zone, contiguous with that of Bassas da India, is 127,300 square kilometres (49,200 sq mi). The airstrip is 1,500 metres (4,920 ft) metres long. The island is a nature reserve. Its vegetation consists of dry forest, scrub, Euphorbia, the mangrove swamp, and the remains of a sisal plantation. It is one of the world's largest nesting sites for green sea turtles. It is also home to goats introduced by settlers in the late 18th century. The island has been identified as an Important Bird Area by BirdLife International because it supports a large and diverse population of breeding seabirds and other waterbirds. It is the only known breeding site outside Aldabra and Madagascar for Malagasy pond herons. Seabirds include the second largest colony in the western Indian Ocean of great frigatebirds (with up to 1100 pairs), Audubon's shearwaters (up to 100 pairs, probably of the subspecies Puffinus lherminieri bailloni previously considered endemic to the Mascarene Islands), dimorphic egrets and Caspian terns. Europa is home to an endemic subspecies of white-tailed tropicbird (Phaethon lepturus europae), three kinds of landbird (including an endemic subspecies of the Malagasy white-eye) and its own species of hissing cockroach. Europa Island's climate is affected by the Agulhas Current with water temperatures usually above 30 °C (86 °F), southeast trade winds during the (austral) winter and occasional cyclones. The climate can be described as a semi-arid and tropical combination with wet summers and dry winters. While the island has probably been sighted by navigators since at least the 16th century, it takes its name from the British ship Europa, which visited it in December 1774. Ruins and graves on Europa island attest to several attempts at settlement from the 1860s to the 1920s. For example, the French Rosiers family moved to the island in 1860, but subsequently abandoned it.
[ { "paragraph_id": 0, "text": "Europa Island (French: Île Europa, pronounced [il øʁɔpa]), in Malagasy Nosy Ampela is a 28-square-kilometre (11 sq mi) low-lying tropical atoll in the Mozambique Channel, about a third of the way from southern Madagascar to southern Mozambique. The island had never been inhabited until 1820, when the French family Rosier moved to it. The island officially became a possession of France in 1897.", "title": "" }, { "paragraph_id": 1, "text": "The island, garrisoned by a detachment from Réunion, has a weather station and is visited by scientists. Though uninhabited now, it is part of the Scattered Islands of the French Southern and Antarctic Lands administrative region.", "title": "" }, { "paragraph_id": 2, "text": "Europa Island was the setting of \"Search in the Deep\", a 1968 episode of The Undersea World of Jacques Cousteau, partly focusing on the breeding habits of the green sea turtle.", "title": "" }, { "paragraph_id": 3, "text": "Europa is 6 kilometres (3.7 mi) in diameter, with a maximum altitude of 6 metres (20 ft), and has 22.2 kilometres (13.8 mi) of coastline. It is surrounded by coral beaches and a fringing reef and encloses a mangrove lagoon of around 9 square kilometres (3.5 sq mi) and open to the sea on one side.", "title": "Description" }, { "paragraph_id": 4, "text": "There are no ports or harbours but anchorage is possible offshore. Its exclusive economic zone, contiguous with that of Bassas da India, is 127,300 square kilometres (49,200 sq mi). The airstrip is 1,500 metres (4,920 ft) metres long.", "title": "Description" }, { "paragraph_id": 5, "text": "The island is a nature reserve. Its vegetation consists of dry forest, scrub, Euphorbia, the mangrove swamp, and the remains of a sisal plantation. It is one of the world's largest nesting sites for green sea turtles. It is also home to goats introduced by settlers in the late 18th century.", "title": "Description" }, { "paragraph_id": 6, "text": "The island has been identified as an Important Bird Area by BirdLife International because it supports a large and diverse population of breeding seabirds and other waterbirds. It is the only known breeding site outside Aldabra and Madagascar for Malagasy pond herons. Seabirds include the second largest colony in the western Indian Ocean of great frigatebirds (with up to 1100 pairs), Audubon's shearwaters (up to 100 pairs, probably of the subspecies Puffinus lherminieri bailloni previously considered endemic to the Mascarene Islands), dimorphic egrets and Caspian terns.", "title": "Description" }, { "paragraph_id": 7, "text": "Europa is home to an endemic subspecies of white-tailed tropicbird (Phaethon lepturus europae), three kinds of landbird (including an endemic subspecies of the Malagasy white-eye) and its own species of hissing cockroach.", "title": "Description" }, { "paragraph_id": 8, "text": "Europa Island's climate is affected by the Agulhas Current with water temperatures usually above 30 °C (86 °F), southeast trade winds during the (austral) winter and occasional cyclones. The climate can be described as a semi-arid and tropical combination with wet summers and dry winters.", "title": "Description" }, { "paragraph_id": 9, "text": "While the island has probably been sighted by navigators since at least the 16th century, it takes its name from the British ship Europa, which visited it in December 1774. Ruins and graves on Europa island attest to several attempts at settlement from the 1860s to the 1920s. For example, the French Rosiers family moved to the island in 1860, but subsequently abandoned it.", "title": "History" } ]
Europa Island, in Malagasy Nosy Ampela is a 28-square-kilometre (11 sq mi) low-lying tropical atoll in the Mozambique Channel, about a third of the way from southern Madagascar to southern Mozambique. The island had never been inhabited until 1820, when the French family Rosier moved to it. The island officially became a possession of France in 1897. The island, garrisoned by a detachment from Réunion, has a weather station and is visited by scientists. Though uninhabited now, it is part of the Scattered Islands of the French Southern and Antarctic Lands administrative region. Europa Island was the setting of "Search in the Deep", a 1968 episode of The Undersea World of Jacques Cousteau, partly focusing on the breeding habits of the green sea turtle.
2002-02-25T15:51:15Z
2023-12-04T14:00:34Z
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https://en.wikipedia.org/wiki/Europa_Island
9,417
Euclidean geometry
Euclidean geometry is a mathematical system attributed to ancient Greek mathematician Euclid, which he described in his textbook on geometry, Elements. Euclid's approach consists in assuming a small set of intuitively appealing axioms (postulates) and deducing many other propositions (theorems) from these. Although many of Euclid's results had been stated earlier, Euclid was the first to organize these propositions into a logical system in which each result is proved from axioms and previously proved theorems. The Elements begins with plane geometry, still taught in secondary school (high school) as the first axiomatic system and the first examples of mathematical proofs. It goes on to the solid geometry of three dimensions. Much of the Elements states results of what are now called algebra and number theory, explained in geometrical language. For more than two thousand years, the adjective "Euclidean" was unnecessary because Euclid's axioms seemed so intuitively obvious (with the possible exception of the parallel postulate) that theorems proved from them were deemed absolutely true, and thus no other sorts of geometry were possible. Today, however, many other self-consistent non-Euclidean geometries are known, the first ones having been discovered in the early 19th century. An implication of Albert Einstein's theory of general relativity is that physical space itself is not Euclidean, and Euclidean space is a good approximation for it only over short distances (relative to the strength of the gravitational field). Euclidean geometry is an example of synthetic geometry, in that it proceeds logically from axioms describing basic properties of geometric objects such as points and lines, to propositions about those objects. This is in contrast to analytic geometry, introduced almost 2,000 years later by René Descartes, which uses coordinates to express geometric properties by means of algebraic formulas. The Elements is mainly a systematization of earlier knowledge of geometry. Its improvement over earlier treatments was rapidly recognized, with the result that there was little interest in preserving the earlier ones, and they are now nearly all lost. There are 13 books in the Elements: Books I–IV and VI discuss plane geometry. Many results about plane figures are proved, for example, "In any triangle, two angles taken together in any manner are less than two right angles." (Book I proposition 17) and the Pythagorean theorem "In right-angled triangles the square on the side subtending the right angle is equal to the squares on the sides containing the right angle." (Book I, proposition 47) Books V and VII–X deal with number theory, with numbers treated geometrically as lengths of line segments or areas of surface regions. Notions such as prime numbers and rational and irrational numbers are introduced. It is proved that there are infinitely many prime numbers. Books XI–XIII concern solid geometry. A typical result is the 1:3 ratio between the volume of a cone and a cylinder with the same height and base. The platonic solids are constructed. Euclidean geometry is an axiomatic system, in which all theorems ("true statements") are derived from a small number of simple axioms. Until the advent of non-Euclidean geometry, these axioms were considered to be obviously true in the physical world, so that all the theorems would be equally true. However, Euclid's reasoning from assumptions to conclusions remains valid independently from the physical reality. Near the beginning of the first book of the Elements, Euclid gives five postulates (axioms) for plane geometry, stated in terms of constructions (as translated by Thomas Heath): Although Euclid explicitly only asserts the existence of the constructed objects, in his reasoning he also implicitly assumes them to be unique. The Elements also include the following five "common notions": Modern scholars agree that Euclid's postulates do not provide the complete logical foundation that Euclid required for his presentation. Modern treatments use more extensive and complete sets of axioms. To the ancients, the parallel postulate seemed less obvious than the others. They aspired to create a system of absolutely certain propositions, and to them, it seemed as if the parallel line postulate required proof from simpler statements. It is now known that such a proof is impossible since one can construct consistent systems of geometry (obeying the other axioms) in which the parallel postulate is true, and others in which it is false. Euclid himself seems to have considered it as being qualitatively different from the others, as evidenced by the organization of the Elements: his first 28 propositions are those that can be proved without it. Many alternative axioms can be formulated which are logically equivalent to the parallel postulate (in the context of the other axioms). For example, Playfair's axiom states: The "at most" clause is all that is needed since it can be proved from the remaining axioms that at least one parallel line exists. Euclidean Geometry is constructive. Postulates 1, 2, 3, and 5 assert the existence and uniqueness of certain geometric figures, and these assertions are of a constructive nature: that is, we are not only told that certain things exist, but are also given methods for creating them with no more than a compass and an unmarked straightedge. In this sense, Euclidean geometry is more concrete than many modern axiomatic systems such as set theory, which often assert the existence of objects without saying how to construct them, or even assert the existence of objects that cannot be constructed within the theory. Strictly speaking, the lines on paper are models of the objects defined within the formal system, rather than instances of those objects. For example, a Euclidean straight line has no width, but any real drawn line will have. Though nearly all modern mathematicians consider nonconstructive methods just as sound as constructive ones, Euclid's constructive proofs often supplanted fallacious nonconstructive ones—e.g., some of the Pythagoreans' proofs that involved irrational numbers, which usually required a statement such as "Find the greatest common measure of ..." Euclid often used proof by contradiction. Euclidean geometry also allows the method of superposition, in which a figure is transferred to another point in space. For example, proposition I.4, side–angle–side congruence of triangles, is proved by moving one of the two triangles so that one of its sides coincides with the other triangle's equal side, and then proving that the other sides coincide as well. Some modern treatments add a sixth postulate, the rigidity of the triangle, which can be used as an alternative to superposition. Points are customarily named using capital letters of the alphabet. Other figures, such as lines, triangles, or circles, are named by listing a sufficient number of points to pick them out unambiguously from the relevant figure, e.g., triangle ABC would typically be a triangle with vertices at points A, B, and C. Angles whose sum is a right angle are called complementary. Complementary angles are formed when a ray shares the same vertex and is pointed in a direction that is in between the two original rays that form the right angle. The number of rays in between the two original rays is infinite. Angles whose sum is a straight angle are supplementary. Supplementary angles are formed when a ray shares the same vertex and is pointed in a direction that is in between the two original rays that form the straight angle (180 degree angle). The number of rays in between the two original rays is infinite. In modern terminology, angles would normally be measured in degrees or radians. Modern school textbooks often define separate figures called lines (infinite), rays (semi-infinite), and line segments (of finite length). Euclid, rather than discussing a ray as an object that extends to infinity in one direction, would normally use locutions such as "if the line is extended to a sufficient length", although he occasionally referred to "infinite lines". A "line" in Euclid could be either straight or curved, and he used the more specific term "straight line" when necessary. The pons asinorum (bridge of asses) states that in isosceles triangles the angles at the base equal one another, and, if the equal straight lines are produced further, then the angles under the base equal one another. Its name may be attributed to its frequent role as the first real test in the Elements of the intelligence of the reader and as a bridge to the harder propositions that followed. It might also be so named because of the geometrical figure's resemblance to a steep bridge that only a sure-footed donkey could cross. Triangles are congruent if they have all three sides equal (SSS), two sides and the angle between them equal (SAS), or two angles and a side equal (ASA) (Book I, propositions 4, 8, and 26). Triangles with three equal angles (AAA) are similar, but not necessarily congruent. Also, triangles with two equal sides and an adjacent angle are not necessarily equal or congruent. The sum of the angles of a triangle is equal to a straight angle (180 degrees). This causes an equilateral triangle to have three interior angles of 60 degrees. Also, it causes every triangle to have at least two acute angles and up to one obtuse or right angle. The celebrated Pythagorean theorem (book I, proposition 47) states that in any right triangle, the area of the square whose side is the hypotenuse (the side opposite the right angle) is equal to the sum of the areas of the squares whose sides are the two legs (the two sides that meet at a right angle). Thales' theorem, named after Thales of Miletus states that if A, B, and C are points on a circle where the line AC is a diameter of the circle, then the angle ABC is a right angle. Cantor supposed that Thales proved his theorem by means of Euclid Book I, Prop. 32 after the manner of Euclid Book III, Prop. 31. In modern terminology, the area of a plane figure is proportional to the square of any of its linear dimensions, A ∝ L 2 {\displaystyle A\propto L^{2}} , and the volume of a solid to the cube, V ∝ L 3 {\displaystyle V\propto L^{3}} . Euclid proved these results in various special cases such as the area of a circle and the volume of a parallelepipedal solid. Euclid determined some, but not all, of the relevant constants of proportionality. E.g., it was his successor Archimedes who proved that a sphere has 2/3 the volume of the circumscribing cylinder. Euclidean geometry has two fundamental types of measurements: angle and distance. The angle scale is absolute, and Euclid uses the right angle as his basic unit, so that, for example, a 45-degree angle would be referred to as half of a right angle. The distance scale is relative; one arbitrarily picks a line segment with a certain nonzero length as the unit, and other distances are expressed in relation to it. Addition of distances is represented by a construction in which one line segment is copied onto the end of another line segment to extend its length, and similarly for subtraction. Measurements of area and volume are derived from distances. For example, a rectangle with a width of 3 and a length of 4 has an area that represents the product, 12. Because this geometrical interpretation of multiplication was limited to three dimensions, there was no direct way of interpreting the product of four or more numbers, and Euclid avoided such products, although they are implied, for example in the proof of book IX, proposition 20. Euclid refers to a pair of lines, or a pair of planar or solid figures, as "equal" (ἴσος) if their lengths, areas, or volumes are equal respectively, and similarly for angles. The stronger term "congruent" refers to the idea that an entire figure is the same size and shape as another figure. Alternatively, two figures are congruent if one can be moved on top of the other so that it matches up with it exactly. (Flipping it over is allowed.) Thus, for example, a 2x6 rectangle and a 3x4 rectangle are equal but not congruent, and the letter R is congruent to its mirror image. Figures that would be congruent except for their differing sizes are referred to as similar. Corresponding angles in a pair of similar shapes are equal and corresponding sides are in proportion to each other. Because of Euclidean geometry's fundamental status in mathematics, it is impractical to give more than a representative sampling of applications here. As suggested by the etymology of the word, one of the earliest reasons for interest in and also one of the most common current uses of geometry is surveying. In addition it has been used in the cognitive and computational approaches to visual perception of objects. Certain practical results from Euclidean geometry (such as the right-angle property of the 3-4-5 triangle) were used long before they were proved formally. The fundamental types of measurements in Euclidean geometry are distances and angles, both of which can be measured directly by a surveyor. Historically, distances were often measured by chains, such as Gunter's chain, and angles using graduated circles and, later, the theodolite. An application of Euclidean solid geometry is the determination of packing arrangements, such as the problem of finding the most efficient packing of spheres in n dimensions. This problem has applications in error detection and correction. Geometry is used extensively in architecture. Geometry can be used to design origami. Some classical construction problems of geometry are impossible using compass and straightedge, but can be solved using origami. Archimedes (c. 287 BCE – c. 212 BCE), a colorful figure about whom many historical anecdotes are recorded, is remembered along with Euclid as one of the greatest of ancient mathematicians. Although the foundations of his work were put in place by Euclid, his work, unlike Euclid's, is believed to have been entirely original. He proved equations for the volumes and areas of various figures in two and three dimensions, and enunciated the Archimedean property of finite numbers. Apollonius of Perga (c. 240 BCE – c. 190 BCE) is mainly known for his investigation of conic sections. René Descartes (1596–1650) developed analytic geometry, an alternative method for formalizing geometry which focused on turning geometry into algebra. In this approach, a point on a plane is represented by its Cartesian (x, y) coordinates, a line is represented by its equation, and so on. In Euclid's original approach, the Pythagorean theorem follows from Euclid's axioms. In the Cartesian approach, the axioms are the axioms of algebra, and the equation expressing the Pythagorean theorem is then a definition of one of the terms in Euclid's axioms, which are now considered theorems. The equation defining the distance between two points P = (px, py) and Q = (qx, qy) is then known as the Euclidean metric, and other metrics define non-Euclidean geometries. In terms of analytic geometry, the restriction of classical geometry to compass and straightedge constructions means a restriction to first- and second-order equations, e.g., y = 2x + 1 (a line), or x + y = 7 (a circle). Also in the 17th century, Girard Desargues, motivated by the theory of perspective, introduced the concept of idealized points, lines, and planes at infinity. The result can be considered as a type of generalized geometry, projective geometry, but it can also be used to produce proofs in ordinary Euclidean geometry in which the number of special cases is reduced. Geometers of the 18th century struggled to define the boundaries of the Euclidean system. Many tried in vain to prove the fifth postulate from the first four. By 1763, at least 28 different proofs had been published, but all were found incorrect. Leading up to this period, geometers also tried to determine what constructions could be accomplished in Euclidean geometry. For example, the problem of trisecting an angle with a compass and straightedge is one that naturally occurs within the theory, since the axioms refer to constructive operations that can be carried out with those tools. However, centuries of efforts failed to find a solution to this problem, until Pierre Wantzel published a proof in 1837 that such a construction was impossible. Other constructions that were proved impossible include doubling the cube and squaring the circle. In the case of doubling the cube, the impossibility of the construction originates from the fact that the compass and straightedge method involve equations whose order is an integral power of two, while doubling a cube requires the solution of a third-order equation. Euler discussed a generalization of Euclidean geometry called affine geometry, which retains the fifth postulate unmodified while weakening postulates three and four in a way that eliminates the notions of angle (whence right triangles become meaningless) and of equality of length of line segments in general (whence circles become meaningless) while retaining the notions of parallelism as an equivalence relation between lines, and equality of length of parallel line segments (so line segments continue to have a midpoint). In the early 19th century, Carnot and Möbius systematically developed the use of signed angles and line segments as a way of simplifying and unifying results. In the 1840s William Rowan Hamilton developed the quaternions, and John T. Graves and Arthur Cayley the octonions. These are normed algebras which extend the complex numbers. Later it was understood that the quaternions are also a Euclidean geometric system with four real Cartesian coordinates. Cayley used quaternions to study rotations in 4-dimensional Euclidean space. At mid-century Ludwig Schläfli developed the general concept of Euclidean space, extending Euclidean geometry to higher dimensions. He defined polyschemes, later called polytopes, which are the higher-dimensional analogues of polygons and polyhedra. He developed their theory and discovered all the regular polytopes, i.e. the n {\displaystyle n} -dimensional analogues of regular polygons and Platonic solids. He found there are six regular convex polytopes in dimension four, and three in all higher dimensions. Schläfli performed this work in relative obscurity and it was published in full only posthumously in 1901. It had little influence until it was rediscovered and fully documented in 1948 by H.S.M. Coxeter. In 1878 William Kingdon Clifford introduced what is now termed geometric algebra, unifying Hamilton's quaternions with Hermann Grassmann's algebra and revealing the geometric nature of these systems, especially in four dimensions. The operations of geometric algebra have the effect of mirroring, rotating, translating, and mapping the geometric objects that are being modeled to new positions. The Clifford torus on the surface of the 3-sphere is the simplest and most symmetric flat embedding of the Cartesian product of two circles (in the same sense that the surface of a cylinder is "flat"). The century's most influential development in geometry occurred when, around 1830, János Bolyai and Nikolai Ivanovich Lobachevsky separately published work on non-Euclidean geometry, in which the parallel postulate is not valid. Since non-Euclidean geometry is provably relatively consistent with Euclidean geometry, the parallel postulate cannot be proved from the other postulates. In the 19th century, it was also realized that Euclid's ten axioms and common notions do not suffice to prove all of the theorems stated in the Elements. For example, Euclid assumed implicitly that any line contains at least two points, but this assumption cannot be proved from the other axioms, and therefore must be an axiom itself. The very first geometric proof in the Elements, shown in the figure above, is that any line segment is part of a triangle; Euclid constructs this in the usual way, by drawing circles around both endpoints and taking their intersection as the third vertex. His axioms, however, do not guarantee that the circles actually intersect, because they do not assert the geometrical property of continuity, which in Cartesian terms is equivalent to the completeness property of the real numbers. Starting with Moritz Pasch in 1882, many improved axiomatic systems for geometry have been proposed, the best known being those of Hilbert, George Birkhoff, and Tarski. Einstein's theory of special relativity involves a four-dimensional space-time, the Minkowski space, which is non-Euclidean. This shows that non-Euclidean geometries, which had been introduced a few years earlier for showing that the parallel postulate cannot be proved, are also useful for describing the physical world. However, the three-dimensional "space part" of the Minkowski space remains the space of Euclidean geometry. This is not the case with general relativity, for which the geometry of the space part of space-time is not Euclidean geometry. For example, if a triangle is constructed out of three rays of light, then in general the interior angles do not add up to 180 degrees due to gravity. A relatively weak gravitational field, such as the Earth's or the Sun's, is represented by a metric that is approximately, but not exactly, Euclidean. Until the 20th century, there was no technology capable of detecting these deviations in rays of light from Euclidean geometry, but Einstein predicted that such deviations would exist. They were later verified by observations such as the slight bending of starlight by the Sun during a solar eclipse in 1919, and such considerations are now an integral part of the software that runs the GPS system. Euclid believed that his axioms were self-evident statements about physical reality. Euclid's proofs depend upon assumptions perhaps not obvious in Euclid's fundamental axioms, in particular that certain movements of figures do not change their geometrical properties such as the lengths of sides and interior angles, the so-called Euclidean motions, which include translations, reflections and rotations of figures. Taken as a physical description of space, postulate 2 (extending a line) asserts that space does not have holes or boundaries; postulate 4 (equality of right angles) says that space is isotropic and figures may be moved to any location while maintaining congruence; and postulate 5 (the parallel postulate) that space is flat (has no intrinsic curvature). As discussed above, Albert Einstein's theory of relativity significantly modifies this view. The ambiguous character of the axioms as originally formulated by Euclid makes it possible for different commentators to disagree about some of their other implications for the structure of space, such as whether or not it is infinite (see below) and what its topology is. Modern, more rigorous reformulations of the system typically aim for a cleaner separation of these issues. Interpreting Euclid's axioms in the spirit of this more modern approach, axioms 1–4 are consistent with either infinite or finite space (as in elliptic geometry), and all five axioms are consistent with a variety of topologies (e.g., a plane, a cylinder, or a torus for two-dimensional Euclidean geometry). Euclid sometimes distinguished explicitly between "finite lines" (e.g., Postulate 2) and "infinite lines" (book I, proposition 12). However, he typically did not make such distinctions unless they were necessary. The postulates do not explicitly refer to infinite lines, although for example some commentators interpret postulate 3, existence of a circle with any radius, as implying that space is infinite. The notion of infinitesimal quantities had previously been discussed extensively by the Eleatic School, but nobody had been able to put them on a firm logical basis, with paradoxes such as Zeno's paradox occurring that had not been resolved to universal satisfaction. Euclid used the method of exhaustion rather than infinitesimals. Later ancient commentators, such as Proclus (410–485 CE), treated many questions about infinity as issues demanding proof and, e.g., Proclus claimed to prove the infinite divisibility of a line, based on a proof by contradiction in which he considered the cases of even and odd numbers of points constituting it. At the turn of the 20th century, Otto Stolz, Paul du Bois-Reymond, Giuseppe Veronese, and others produced controversial work on non-Archimedean models of Euclidean geometry, in which the distance between two points may be infinite or infinitesimal, in the Newton–Leibniz sense. Fifty years later, Abraham Robinson provided a rigorous logical foundation for Veronese's work. Ancient geometers may have considered the parallel postulate – that two parallel lines do not ever intersect – less certain than the others because it makes a statement about infinitely remote regions of space, and so cannot be physically verified. The modern formulation of proof by induction was not developed until the 17th century, but some later commentators consider it implicit in some of Euclid's proofs, e.g., the proof of the infinitude of primes. Supposed paradoxes involving infinite series, such as Zeno's paradox, predated Euclid. Euclid avoided such discussions, giving, for example, the expression for the partial sums of the geometric series in IX.35 without commenting on the possibility of letting the number of terms become infinite. Euclid frequently used the method of proof by contradiction, and therefore the traditional presentation of Euclidean geometry assumes classical logic, in which every proposition is either true or false, i.e., for any proposition P, the proposition "P or not P" is automatically true. Placing Euclidean geometry on a solid axiomatic basis was a preoccupation of mathematicians for centuries. The role of primitive notions, or undefined concepts, was clearly put forward by Alessandro Padoa of the Peano delegation at the 1900 Paris conference: ...when we begin to formulate the theory, we can imagine that the undefined symbols are completely devoid of meaning and that the unproved propositions are simply conditions imposed upon the undefined symbols. Then, the system of ideas that we have initially chosen is simply one interpretation of the undefined symbols; but..this interpretation can be ignored by the reader, who is free to replace it in his mind by another interpretation.. that satisfies the conditions... Logical questions thus become completely independent of empirical or psychological questions... The system of undefined symbols can then be regarded as the abstraction obtained from the specialized theories that result when...the system of undefined symbols is successively replaced by each of the interpretations... That is, mathematics is context-independent knowledge within a hierarchical framework. As said by Bertrand Russell: If our hypothesis is about anything, and not about some one or more particular things, then our deductions constitute mathematics. Thus, mathematics may be defined as the subject in which we never know what we are talking about, nor whether what we are saying is true. Such foundational approaches range between foundationalism and formalism. Geometry is the science of correct reasoning on incorrect figures.
[ { "paragraph_id": 0, "text": "Euclidean geometry is a mathematical system attributed to ancient Greek mathematician Euclid, which he described in his textbook on geometry, Elements. Euclid's approach consists in assuming a small set of intuitively appealing axioms (postulates) and deducing many other propositions (theorems) from these. Although many of Euclid's results had been stated earlier, Euclid was the first to organize these propositions into a logical system in which each result is proved from axioms and previously proved theorems.", "title": "" }, { "paragraph_id": 1, "text": "The Elements begins with plane geometry, still taught in secondary school (high school) as the first axiomatic system and the first examples of mathematical proofs. It goes on to the solid geometry of three dimensions. Much of the Elements states results of what are now called algebra and number theory, explained in geometrical language.", "title": "" }, { "paragraph_id": 2, "text": "For more than two thousand years, the adjective \"Euclidean\" was unnecessary because Euclid's axioms seemed so intuitively obvious (with the possible exception of the parallel postulate) that theorems proved from them were deemed absolutely true, and thus no other sorts of geometry were possible. Today, however, many other self-consistent non-Euclidean geometries are known, the first ones having been discovered in the early 19th century. An implication of Albert Einstein's theory of general relativity is that physical space itself is not Euclidean, and Euclidean space is a good approximation for it only over short distances (relative to the strength of the gravitational field).", "title": "" }, { "paragraph_id": 3, "text": "Euclidean geometry is an example of synthetic geometry, in that it proceeds logically from axioms describing basic properties of geometric objects such as points and lines, to propositions about those objects. This is in contrast to analytic geometry, introduced almost 2,000 years later by René Descartes, which uses coordinates to express geometric properties by means of algebraic formulas.", "title": "" }, { "paragraph_id": 4, "text": "The Elements is mainly a systematization of earlier knowledge of geometry. Its improvement over earlier treatments was rapidly recognized, with the result that there was little interest in preserving the earlier ones, and they are now nearly all lost.", "title": "The Elements" }, { "paragraph_id": 5, "text": "There are 13 books in the Elements:", "title": "The Elements" }, { "paragraph_id": 6, "text": "Books I–IV and VI discuss plane geometry. Many results about plane figures are proved, for example, \"In any triangle, two angles taken together in any manner are less than two right angles.\" (Book I proposition 17) and the Pythagorean theorem \"In right-angled triangles the square on the side subtending the right angle is equal to the squares on the sides containing the right angle.\" (Book I, proposition 47)", "title": "The Elements" }, { "paragraph_id": 7, "text": "Books V and VII–X deal with number theory, with numbers treated geometrically as lengths of line segments or areas of surface regions. Notions such as prime numbers and rational and irrational numbers are introduced. It is proved that there are infinitely many prime numbers.", "title": "The Elements" }, { "paragraph_id": 8, "text": "Books XI–XIII concern solid geometry. A typical result is the 1:3 ratio between the volume of a cone and a cylinder with the same height and base. The platonic solids are constructed.", "title": "The Elements" }, { "paragraph_id": 9, "text": "Euclidean geometry is an axiomatic system, in which all theorems (\"true statements\") are derived from a small number of simple axioms. Until the advent of non-Euclidean geometry, these axioms were considered to be obviously true in the physical world, so that all the theorems would be equally true. However, Euclid's reasoning from assumptions to conclusions remains valid independently from the physical reality.", "title": "The Elements" }, { "paragraph_id": 10, "text": "Near the beginning of the first book of the Elements, Euclid gives five postulates (axioms) for plane geometry, stated in terms of constructions (as translated by Thomas Heath):", "title": "The Elements" }, { "paragraph_id": 11, "text": "Although Euclid explicitly only asserts the existence of the constructed objects, in his reasoning he also implicitly assumes them to be unique.", "title": "The Elements" }, { "paragraph_id": 12, "text": "The Elements also include the following five \"common notions\":", "title": "The Elements" }, { "paragraph_id": 13, "text": "Modern scholars agree that Euclid's postulates do not provide the complete logical foundation that Euclid required for his presentation. Modern treatments use more extensive and complete sets of axioms.", "title": "The Elements" }, { "paragraph_id": 14, "text": "To the ancients, the parallel postulate seemed less obvious than the others. They aspired to create a system of absolutely certain propositions, and to them, it seemed as if the parallel line postulate required proof from simpler statements. It is now known that such a proof is impossible since one can construct consistent systems of geometry (obeying the other axioms) in which the parallel postulate is true, and others in which it is false. Euclid himself seems to have considered it as being qualitatively different from the others, as evidenced by the organization of the Elements: his first 28 propositions are those that can be proved without it.", "title": "The Elements" }, { "paragraph_id": 15, "text": "Many alternative axioms can be formulated which are logically equivalent to the parallel postulate (in the context of the other axioms). For example, Playfair's axiom states:", "title": "The Elements" }, { "paragraph_id": 16, "text": "The \"at most\" clause is all that is needed since it can be proved from the remaining axioms that at least one parallel line exists.", "title": "The Elements" }, { "paragraph_id": 17, "text": "Euclidean Geometry is constructive. Postulates 1, 2, 3, and 5 assert the existence and uniqueness of certain geometric figures, and these assertions are of a constructive nature: that is, we are not only told that certain things exist, but are also given methods for creating them with no more than a compass and an unmarked straightedge. In this sense, Euclidean geometry is more concrete than many modern axiomatic systems such as set theory, which often assert the existence of objects without saying how to construct them, or even assert the existence of objects that cannot be constructed within the theory. Strictly speaking, the lines on paper are models of the objects defined within the formal system, rather than instances of those objects. For example, a Euclidean straight line has no width, but any real drawn line will have. Though nearly all modern mathematicians consider nonconstructive methods just as sound as constructive ones, Euclid's constructive proofs often supplanted fallacious nonconstructive ones—e.g., some of the Pythagoreans' proofs that involved irrational numbers, which usually required a statement such as \"Find the greatest common measure of ...\"", "title": "The Elements" }, { "paragraph_id": 18, "text": "Euclid often used proof by contradiction. Euclidean geometry also allows the method of superposition, in which a figure is transferred to another point in space. For example, proposition I.4, side–angle–side congruence of triangles, is proved by moving one of the two triangles so that one of its sides coincides with the other triangle's equal side, and then proving that the other sides coincide as well. Some modern treatments add a sixth postulate, the rigidity of the triangle, which can be used as an alternative to superposition.", "title": "The Elements" }, { "paragraph_id": 19, "text": "Points are customarily named using capital letters of the alphabet. Other figures, such as lines, triangles, or circles, are named by listing a sufficient number of points to pick them out unambiguously from the relevant figure, e.g., triangle ABC would typically be a triangle with vertices at points A, B, and C.", "title": "Notation and terminology" }, { "paragraph_id": 20, "text": "Angles whose sum is a right angle are called complementary. Complementary angles are formed when a ray shares the same vertex and is pointed in a direction that is in between the two original rays that form the right angle. The number of rays in between the two original rays is infinite.", "title": "Notation and terminology" }, { "paragraph_id": 21, "text": "Angles whose sum is a straight angle are supplementary. Supplementary angles are formed when a ray shares the same vertex and is pointed in a direction that is in between the two original rays that form the straight angle (180 degree angle). The number of rays in between the two original rays is infinite.", "title": "Notation and terminology" }, { "paragraph_id": 22, "text": "In modern terminology, angles would normally be measured in degrees or radians.", "title": "Notation and terminology" }, { "paragraph_id": 23, "text": "Modern school textbooks often define separate figures called lines (infinite), rays (semi-infinite), and line segments (of finite length). Euclid, rather than discussing a ray as an object that extends to infinity in one direction, would normally use locutions such as \"if the line is extended to a sufficient length\", although he occasionally referred to \"infinite lines\". A \"line\" in Euclid could be either straight or curved, and he used the more specific term \"straight line\" when necessary.", "title": "Notation and terminology" }, { "paragraph_id": 24, "text": "The pons asinorum (bridge of asses) states that in isosceles triangles the angles at the base equal one another, and, if the equal straight lines are produced further, then the angles under the base equal one another. Its name may be attributed to its frequent role as the first real test in the Elements of the intelligence of the reader and as a bridge to the harder propositions that followed. It might also be so named because of the geometrical figure's resemblance to a steep bridge that only a sure-footed donkey could cross.", "title": "Some important or well known results" }, { "paragraph_id": 25, "text": "Triangles are congruent if they have all three sides equal (SSS), two sides and the angle between them equal (SAS), or two angles and a side equal (ASA) (Book I, propositions 4, 8, and 26). Triangles with three equal angles (AAA) are similar, but not necessarily congruent. Also, triangles with two equal sides and an adjacent angle are not necessarily equal or congruent.", "title": "Some important or well known results" }, { "paragraph_id": 26, "text": "The sum of the angles of a triangle is equal to a straight angle (180 degrees). This causes an equilateral triangle to have three interior angles of 60 degrees. Also, it causes every triangle to have at least two acute angles and up to one obtuse or right angle.", "title": "Some important or well known results" }, { "paragraph_id": 27, "text": "The celebrated Pythagorean theorem (book I, proposition 47) states that in any right triangle, the area of the square whose side is the hypotenuse (the side opposite the right angle) is equal to the sum of the areas of the squares whose sides are the two legs (the two sides that meet at a right angle).", "title": "Some important or well known results" }, { "paragraph_id": 28, "text": "Thales' theorem, named after Thales of Miletus states that if A, B, and C are points on a circle where the line AC is a diameter of the circle, then the angle ABC is a right angle. Cantor supposed that Thales proved his theorem by means of Euclid Book I, Prop. 32 after the manner of Euclid Book III, Prop. 31.", "title": "Some important or well known results" }, { "paragraph_id": 29, "text": "In modern terminology, the area of a plane figure is proportional to the square of any of its linear dimensions, A ∝ L 2 {\\displaystyle A\\propto L^{2}} , and the volume of a solid to the cube, V ∝ L 3 {\\displaystyle V\\propto L^{3}} . Euclid proved these results in various special cases such as the area of a circle and the volume of a parallelepipedal solid. Euclid determined some, but not all, of the relevant constants of proportionality. E.g., it was his successor Archimedes who proved that a sphere has 2/3 the volume of the circumscribing cylinder.", "title": "Some important or well known results" }, { "paragraph_id": 30, "text": "Euclidean geometry has two fundamental types of measurements: angle and distance. The angle scale is absolute, and Euclid uses the right angle as his basic unit, so that, for example, a 45-degree angle would be referred to as half of a right angle. The distance scale is relative; one arbitrarily picks a line segment with a certain nonzero length as the unit, and other distances are expressed in relation to it. Addition of distances is represented by a construction in which one line segment is copied onto the end of another line segment to extend its length, and similarly for subtraction.", "title": "System of measurement and arithmetic" }, { "paragraph_id": 31, "text": "Measurements of area and volume are derived from distances. For example, a rectangle with a width of 3 and a length of 4 has an area that represents the product, 12. Because this geometrical interpretation of multiplication was limited to three dimensions, there was no direct way of interpreting the product of four or more numbers, and Euclid avoided such products, although they are implied, for example in the proof of book IX, proposition 20.", "title": "System of measurement and arithmetic" }, { "paragraph_id": 32, "text": "Euclid refers to a pair of lines, or a pair of planar or solid figures, as \"equal\" (ἴσος) if their lengths, areas, or volumes are equal respectively, and similarly for angles. The stronger term \"congruent\" refers to the idea that an entire figure is the same size and shape as another figure. Alternatively, two figures are congruent if one can be moved on top of the other so that it matches up with it exactly. (Flipping it over is allowed.) Thus, for example, a 2x6 rectangle and a 3x4 rectangle are equal but not congruent, and the letter R is congruent to its mirror image. Figures that would be congruent except for their differing sizes are referred to as similar. Corresponding angles in a pair of similar shapes are equal and corresponding sides are in proportion to each other.", "title": "System of measurement and arithmetic" }, { "paragraph_id": 33, "text": "", "title": "Euclidean Geometry in Engineering" }, { "paragraph_id": 34, "text": "Because of Euclidean geometry's fundamental status in mathematics, it is impractical to give more than a representative sampling of applications here.", "title": "Other General Applications" }, { "paragraph_id": 35, "text": "As suggested by the etymology of the word, one of the earliest reasons for interest in and also one of the most common current uses of geometry is surveying. In addition it has been used in the cognitive and computational approaches to visual perception of objects. Certain practical results from Euclidean geometry (such as the right-angle property of the 3-4-5 triangle) were used long before they were proved formally. The fundamental types of measurements in Euclidean geometry are distances and angles, both of which can be measured directly by a surveyor. Historically, distances were often measured by chains, such as Gunter's chain, and angles using graduated circles and, later, the theodolite.", "title": "Other General Applications" }, { "paragraph_id": 36, "text": "An application of Euclidean solid geometry is the determination of packing arrangements, such as the problem of finding the most efficient packing of spheres in n dimensions. This problem has applications in error detection and correction.", "title": "Other General Applications" }, { "paragraph_id": 37, "text": "Geometry is used extensively in architecture.", "title": "Other General Applications" }, { "paragraph_id": 38, "text": "Geometry can be used to design origami. Some classical construction problems of geometry are impossible using compass and straightedge, but can be solved using origami.", "title": "Other General Applications" }, { "paragraph_id": 39, "text": "Archimedes (c. 287 BCE – c. 212 BCE), a colorful figure about whom many historical anecdotes are recorded, is remembered along with Euclid as one of the greatest of ancient mathematicians. Although the foundations of his work were put in place by Euclid, his work, unlike Euclid's, is believed to have been entirely original. He proved equations for the volumes and areas of various figures in two and three dimensions, and enunciated the Archimedean property of finite numbers.", "title": "Later history" }, { "paragraph_id": 40, "text": "Apollonius of Perga (c. 240 BCE – c. 190 BCE) is mainly known for his investigation of conic sections.", "title": "Later history" }, { "paragraph_id": 41, "text": "René Descartes (1596–1650) developed analytic geometry, an alternative method for formalizing geometry which focused on turning geometry into algebra.", "title": "Later history" }, { "paragraph_id": 42, "text": "In this approach, a point on a plane is represented by its Cartesian (x, y) coordinates, a line is represented by its equation, and so on.", "title": "Later history" }, { "paragraph_id": 43, "text": "In Euclid's original approach, the Pythagorean theorem follows from Euclid's axioms. In the Cartesian approach, the axioms are the axioms of algebra, and the equation expressing the Pythagorean theorem is then a definition of one of the terms in Euclid's axioms, which are now considered theorems.", "title": "Later history" }, { "paragraph_id": 44, "text": "The equation", "title": "Later history" }, { "paragraph_id": 45, "text": "defining the distance between two points P = (px, py) and Q = (qx, qy) is then known as the Euclidean metric, and other metrics define non-Euclidean geometries.", "title": "Later history" }, { "paragraph_id": 46, "text": "In terms of analytic geometry, the restriction of classical geometry to compass and straightedge constructions means a restriction to first- and second-order equations, e.g., y = 2x + 1 (a line), or x + y = 7 (a circle).", "title": "Later history" }, { "paragraph_id": 47, "text": "Also in the 17th century, Girard Desargues, motivated by the theory of perspective, introduced the concept of idealized points, lines, and planes at infinity. The result can be considered as a type of generalized geometry, projective geometry, but it can also be used to produce proofs in ordinary Euclidean geometry in which the number of special cases is reduced.", "title": "Later history" }, { "paragraph_id": 48, "text": "Geometers of the 18th century struggled to define the boundaries of the Euclidean system. Many tried in vain to prove the fifth postulate from the first four. By 1763, at least 28 different proofs had been published, but all were found incorrect.", "title": "Later history" }, { "paragraph_id": 49, "text": "Leading up to this period, geometers also tried to determine what constructions could be accomplished in Euclidean geometry. For example, the problem of trisecting an angle with a compass and straightedge is one that naturally occurs within the theory, since the axioms refer to constructive operations that can be carried out with those tools. However, centuries of efforts failed to find a solution to this problem, until Pierre Wantzel published a proof in 1837 that such a construction was impossible. Other constructions that were proved impossible include doubling the cube and squaring the circle. In the case of doubling the cube, the impossibility of the construction originates from the fact that the compass and straightedge method involve equations whose order is an integral power of two, while doubling a cube requires the solution of a third-order equation.", "title": "Later history" }, { "paragraph_id": 50, "text": "Euler discussed a generalization of Euclidean geometry called affine geometry, which retains the fifth postulate unmodified while weakening postulates three and four in a way that eliminates the notions of angle (whence right triangles become meaningless) and of equality of length of line segments in general (whence circles become meaningless) while retaining the notions of parallelism as an equivalence relation between lines, and equality of length of parallel line segments (so line segments continue to have a midpoint).", "title": "Later history" }, { "paragraph_id": 51, "text": "In the early 19th century, Carnot and Möbius systematically developed the use of signed angles and line segments as a way of simplifying and unifying results.", "title": "Later history" }, { "paragraph_id": 52, "text": "In the 1840s William Rowan Hamilton developed the quaternions, and John T. Graves and Arthur Cayley the octonions. These are normed algebras which extend the complex numbers. Later it was understood that the quaternions are also a Euclidean geometric system with four real Cartesian coordinates. Cayley used quaternions to study rotations in 4-dimensional Euclidean space.", "title": "Later history" }, { "paragraph_id": 53, "text": "At mid-century Ludwig Schläfli developed the general concept of Euclidean space, extending Euclidean geometry to higher dimensions. He defined polyschemes, later called polytopes, which are the higher-dimensional analogues of polygons and polyhedra. He developed their theory and discovered all the regular polytopes, i.e. the n {\\displaystyle n} -dimensional analogues of regular polygons and Platonic solids. He found there are six regular convex polytopes in dimension four, and three in all higher dimensions.", "title": "Later history" }, { "paragraph_id": 54, "text": "Schläfli performed this work in relative obscurity and it was published in full only posthumously in 1901. It had little influence until it was rediscovered and fully documented in 1948 by H.S.M. Coxeter.", "title": "Later history" }, { "paragraph_id": 55, "text": "In 1878 William Kingdon Clifford introduced what is now termed geometric algebra, unifying Hamilton's quaternions with Hermann Grassmann's algebra and revealing the geometric nature of these systems, especially in four dimensions. The operations of geometric algebra have the effect of mirroring, rotating, translating, and mapping the geometric objects that are being modeled to new positions. The Clifford torus on the surface of the 3-sphere is the simplest and most symmetric flat embedding of the Cartesian product of two circles (in the same sense that the surface of a cylinder is \"flat\").", "title": "Later history" }, { "paragraph_id": 56, "text": "The century's most influential development in geometry occurred when, around 1830, János Bolyai and Nikolai Ivanovich Lobachevsky separately published work on non-Euclidean geometry, in which the parallel postulate is not valid. Since non-Euclidean geometry is provably relatively consistent with Euclidean geometry, the parallel postulate cannot be proved from the other postulates.", "title": "Later history" }, { "paragraph_id": 57, "text": "In the 19th century, it was also realized that Euclid's ten axioms and common notions do not suffice to prove all of the theorems stated in the Elements. For example, Euclid assumed implicitly that any line contains at least two points, but this assumption cannot be proved from the other axioms, and therefore must be an axiom itself. The very first geometric proof in the Elements, shown in the figure above, is that any line segment is part of a triangle; Euclid constructs this in the usual way, by drawing circles around both endpoints and taking their intersection as the third vertex. His axioms, however, do not guarantee that the circles actually intersect, because they do not assert the geometrical property of continuity, which in Cartesian terms is equivalent to the completeness property of the real numbers. Starting with Moritz Pasch in 1882, many improved axiomatic systems for geometry have been proposed, the best known being those of Hilbert, George Birkhoff, and Tarski.", "title": "Later history" }, { "paragraph_id": 58, "text": "Einstein's theory of special relativity involves a four-dimensional space-time, the Minkowski space, which is non-Euclidean. This shows that non-Euclidean geometries, which had been introduced a few years earlier for showing that the parallel postulate cannot be proved, are also useful for describing the physical world.", "title": "Later history" }, { "paragraph_id": 59, "text": "However, the three-dimensional \"space part\" of the Minkowski space remains the space of Euclidean geometry. This is not the case with general relativity, for which the geometry of the space part of space-time is not Euclidean geometry. For example, if a triangle is constructed out of three rays of light, then in general the interior angles do not add up to 180 degrees due to gravity. A relatively weak gravitational field, such as the Earth's or the Sun's, is represented by a metric that is approximately, but not exactly, Euclidean. Until the 20th century, there was no technology capable of detecting these deviations in rays of light from Euclidean geometry, but Einstein predicted that such deviations would exist. They were later verified by observations such as the slight bending of starlight by the Sun during a solar eclipse in 1919, and such considerations are now an integral part of the software that runs the GPS system.", "title": "Later history" }, { "paragraph_id": 60, "text": "Euclid believed that his axioms were self-evident statements about physical reality. Euclid's proofs depend upon assumptions perhaps not obvious in Euclid's fundamental axioms, in particular that certain movements of figures do not change their geometrical properties such as the lengths of sides and interior angles, the so-called Euclidean motions, which include translations, reflections and rotations of figures. Taken as a physical description of space, postulate 2 (extending a line) asserts that space does not have holes or boundaries; postulate 4 (equality of right angles) says that space is isotropic and figures may be moved to any location while maintaining congruence; and postulate 5 (the parallel postulate) that space is flat (has no intrinsic curvature).", "title": "As a description of the structure of space" }, { "paragraph_id": 61, "text": "As discussed above, Albert Einstein's theory of relativity significantly modifies this view.", "title": "As a description of the structure of space" }, { "paragraph_id": 62, "text": "The ambiguous character of the axioms as originally formulated by Euclid makes it possible for different commentators to disagree about some of their other implications for the structure of space, such as whether or not it is infinite (see below) and what its topology is. Modern, more rigorous reformulations of the system typically aim for a cleaner separation of these issues. Interpreting Euclid's axioms in the spirit of this more modern approach, axioms 1–4 are consistent with either infinite or finite space (as in elliptic geometry), and all five axioms are consistent with a variety of topologies (e.g., a plane, a cylinder, or a torus for two-dimensional Euclidean geometry).", "title": "As a description of the structure of space" }, { "paragraph_id": 63, "text": "Euclid sometimes distinguished explicitly between \"finite lines\" (e.g., Postulate 2) and \"infinite lines\" (book I, proposition 12). However, he typically did not make such distinctions unless they were necessary. The postulates do not explicitly refer to infinite lines, although for example some commentators interpret postulate 3, existence of a circle with any radius, as implying that space is infinite.", "title": "Treatment of infinity" }, { "paragraph_id": 64, "text": "The notion of infinitesimal quantities had previously been discussed extensively by the Eleatic School, but nobody had been able to put them on a firm logical basis, with paradoxes such as Zeno's paradox occurring that had not been resolved to universal satisfaction. Euclid used the method of exhaustion rather than infinitesimals.", "title": "Treatment of infinity" }, { "paragraph_id": 65, "text": "Later ancient commentators, such as Proclus (410–485 CE), treated many questions about infinity as issues demanding proof and, e.g., Proclus claimed to prove the infinite divisibility of a line, based on a proof by contradiction in which he considered the cases of even and odd numbers of points constituting it.", "title": "Treatment of infinity" }, { "paragraph_id": 66, "text": "At the turn of the 20th century, Otto Stolz, Paul du Bois-Reymond, Giuseppe Veronese, and others produced controversial work on non-Archimedean models of Euclidean geometry, in which the distance between two points may be infinite or infinitesimal, in the Newton–Leibniz sense. Fifty years later, Abraham Robinson provided a rigorous logical foundation for Veronese's work.", "title": "Treatment of infinity" }, { "paragraph_id": 67, "text": "Ancient geometers may have considered the parallel postulate – that two parallel lines do not ever intersect – less certain than the others because it makes a statement about infinitely remote regions of space, and so cannot be physically verified.", "title": "Treatment of infinity" }, { "paragraph_id": 68, "text": "The modern formulation of proof by induction was not developed until the 17th century, but some later commentators consider it implicit in some of Euclid's proofs, e.g., the proof of the infinitude of primes.", "title": "Treatment of infinity" }, { "paragraph_id": 69, "text": "Supposed paradoxes involving infinite series, such as Zeno's paradox, predated Euclid. Euclid avoided such discussions, giving, for example, the expression for the partial sums of the geometric series in IX.35 without commenting on the possibility of letting the number of terms become infinite.", "title": "Treatment of infinity" }, { "paragraph_id": 70, "text": "Euclid frequently used the method of proof by contradiction, and therefore the traditional presentation of Euclidean geometry assumes classical logic, in which every proposition is either true or false, i.e., for any proposition P, the proposition \"P or not P\" is automatically true.", "title": "Logical basis" }, { "paragraph_id": 71, "text": "Placing Euclidean geometry on a solid axiomatic basis was a preoccupation of mathematicians for centuries. The role of primitive notions, or undefined concepts, was clearly put forward by Alessandro Padoa of the Peano delegation at the 1900 Paris conference:", "title": "Logical basis" }, { "paragraph_id": 72, "text": "...when we begin to formulate the theory, we can imagine that the undefined symbols are completely devoid of meaning and that the unproved propositions are simply conditions imposed upon the undefined symbols.", "title": "Logical basis" }, { "paragraph_id": 73, "text": "Then, the system of ideas that we have initially chosen is simply one interpretation of the undefined symbols; but..this interpretation can be ignored by the reader, who is free to replace it in his mind by another interpretation.. that satisfies the conditions...", "title": "Logical basis" }, { "paragraph_id": 74, "text": "Logical questions thus become completely independent of empirical or psychological questions...", "title": "Logical basis" }, { "paragraph_id": 75, "text": "The system of undefined symbols can then be regarded as the abstraction obtained from the specialized theories that result when...the system of undefined symbols is successively replaced by each of the interpretations...", "title": "Logical basis" }, { "paragraph_id": 76, "text": "That is, mathematics is context-independent knowledge within a hierarchical framework. As said by Bertrand Russell:", "title": "Logical basis" }, { "paragraph_id": 77, "text": "If our hypothesis is about anything, and not about some one or more particular things, then our deductions constitute mathematics. Thus, mathematics may be defined as the subject in which we never know what we are talking about, nor whether what we are saying is true.", "title": "Logical basis" }, { "paragraph_id": 78, "text": "Such foundational approaches range between foundationalism and formalism.", "title": "Logical basis" }, { "paragraph_id": 79, "text": "Geometry is the science of correct reasoning on incorrect figures.", "title": "Logical basis" } ]
Euclidean geometry is a mathematical system attributed to ancient Greek mathematician Euclid, which he described in his textbook on geometry, Elements. Euclid's approach consists in assuming a small set of intuitively appealing axioms (postulates) and deducing many other propositions (theorems) from these. Although many of Euclid's results had been stated earlier, Euclid was the first to organize these propositions into a logical system in which each result is proved from axioms and previously proved theorems. The Elements begins with plane geometry, still taught in secondary school as the first axiomatic system and the first examples of mathematical proofs. It goes on to the solid geometry of three dimensions. Much of the Elements states results of what are now called algebra and number theory, explained in geometrical language. For more than two thousand years, the adjective "Euclidean" was unnecessary because Euclid's axioms seemed so intuitively obvious that theorems proved from them were deemed absolutely true, and thus no other sorts of geometry were possible. Today, however, many other self-consistent non-Euclidean geometries are known, the first ones having been discovered in the early 19th century. An implication of Albert Einstein's theory of general relativity is that physical space itself is not Euclidean, and Euclidean space is a good approximation for it only over short distances. Euclidean geometry is an example of synthetic geometry, in that it proceeds logically from axioms describing basic properties of geometric objects such as points and lines, to propositions about those objects. This is in contrast to analytic geometry, introduced almost 2,000 years later by René Descartes, which uses coordinates to express geometric properties by means of algebraic formulas.
2001-08-27T22:56:55Z
2023-12-18T12:12:59Z
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https://en.wikipedia.org/wiki/Euclidean_geometry
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Epic poetry
An epic poem, or simply an epic, is a lengthy narrative poem typically about the extraordinary deeds of extraordinary characters who, in dealings with gods or other superhuman forces, gave shape to the mortal universe for their descendants. The English word epic comes from Latin epicus, which itself comes from the Ancient Greek adjective ἐπικός (epikos), from ἔπος (epos), "word, story, poem." In ancient Greek, 'epic' could refer to all poetry in dactylic hexameter (epea), which included not only Homer but also the wisdom poetry of Hesiod, the utterances of the Delphic oracle, and the strange theological verses attributed to Orpheus. Later tradition, however, has restricted the term 'epic' to heroic epic, as described in this article. Originating before the invention of writing, primary epics, such as those of Homer, were composed by bards who used complex rhetorical and metrical schemes by which they could memorize the epic as received in tradition and add to the epic in their performances. Later writers like Virgil, Apollonius of Rhodes, Dante, Camões, and Milton adopted and adapted Homer's style and subject matter, but used devices available only to those who write. The oldest epic recognized is the Epic of Gilgamesh (c. 2500–1300 BCE), which was recorded in ancient Sumer during the Neo-Sumerian Empire. The poem details the exploits of Gilgamesh, the king of Uruk. Although recognized as a historical figure, Gilgamesh, as represented in the epic, is a largely legendary or mythical figure. The longest written epic from antiquity is the ancient Indian Mahabharata (c. 3rd century BC–3rd century AD), which consists of 100,000 ślokas or over 200,000 verse lines (each shloka is a couplet), as well as long prose passages, so that at ~1.8 million words it is roughly twice the length of Shahnameh, four times the length of the Rāmāyaṇa, and roughly ten times the length of the Iliad and the Odyssey combined. Famous examples of epic poetry include the Sumerian Epic of Gilgamesh, the ancient Indian Mahabharata and Rāmāyaṇa in Sanskrit and Silappatikaram and Manimekalai in Tamil, the Persian Shahnameh, the Ancient Greek Odyssey and Iliad, Virgil's Aeneid, the Old English Beowulf, Dante's Divine Comedy, the Finnish Kalevala, the German Nibelungenlied, the French Song of Roland, the Spanish Cantar de mio Cid, the Portuguese Os Lusíadas, the Armenian Daredevils of Sassoun, John Milton's Paradise Lost, The Secret History of the Mongols, the Kyrgyz Manas, and the Malian Sundiata. Epic poems of the modern era include Derek Walcott's Omeros, Mircea Cărtărescu's The Levant and Adam Mickiewicz's Pan Tadeusz. Paterson by William Carlos Williams, published in five volumes from 1946 to 1958, was inspired in part by another modern epic, The Cantos by Ezra Pound. The first epics were products of preliterate societies and oral history poetic traditions. Oral tradition was used alongside written scriptures to communicate and facilitate the spread of culture. In these traditions, poetry is transmitted to the audience and from performer to performer by purely oral means. Early 20th-century study of living oral epic traditions in the Balkans by Milman Parry and Albert Lord demonstrated the paratactic model used for composing these poems. What they demonstrated was that oral epics tend to be constructed in short episodes, each of equal status, interest and importance. This facilitates memorization, as the poet is recalling each episode in turn and using the completed episodes to recreate the entire epic as he performs it. Parry and Lord also contend that the most likely source for written texts of the epics of Homer was dictation from an oral performance. Milman Parry and Albert Lord have argued that the Homeric epics, the earliest works of Western literature, were fundamentally an oral poetic form. These works form the basis of the epic genre in Western literature. Nearly all of Western epic (including Virgil's Aeneid and Dante's Divine Comedy) self-consciously presents itself as a continuation of the tradition begun by these poems. In his work Poetics, Aristotle defines an epic as one of the forms of poetry, contrasted with lyric poetry and drama (in the form of tragedy and comedy). Harmon & Holman (1999) define an epic: Harmon and Holman delineate ten main characteristics of an epic: The hero generally participates in a cyclical journey or quest, faces adversaries that try to defeat him in his journey, and returns home significantly transformed by his journey. The epic hero illustrates traits, performs deeds, and exemplifies certain morals that are valued by the society the epic originates from. Many epic heroes are recurring characters in the legends of their native cultures. In the Indian mahākāvya epic genre, more emphasis was laid on description than on narration. Indeed, the traditional characteristics of a mahākāvya are listed as: Classical epic poetry recounts a journey, either physical (as typified by Odysseus in the Odyssey) or mental (as typified by Achilles in the Iliad) or both. Epics also tend to highlight cultural norms and to define or call into question cultural values, particularly as they pertain to heroism. In the proem or preface, the poet may begin by invoking a Muse or similar divinity. The poet prays to the Muses to provide him with divine inspiration to tell the story of a great hero. Example opening lines with invocations: An alternative or complementary form of proem, found in Virgil and his imitators, opens with the performative verb "I sing". Examples: This Virgilian epic convention is referenced in Walt Whitman's poem title / opening line "I sing the body electric". Compare the first six lines of the Kalevala: These conventions are largely restricted to European classical culture and its imitators. The Epic of Gilgamesh, for example, or the Bhagavata Purana do not contain such elements, nor do early medieval Western epics that are not strongly shaped by the classical traditions, such as the Chanson de Roland or the Poem of the Cid. Narrative opens "in the middle of things", with the hero at his lowest point. Usually flashbacks show earlier portions of the story. For example, the Iliad does not tell the entire story of the Trojan War, starting with the judgment of Paris, but instead opens abruptly on the rage of Achilles and its immediate causes. So too, Orlando Furioso is not a complete biography of Roland, but picks up from the plot of Orlando Innamorato, which in turn presupposes a knowledge of the romance and oral traditions. Epic catalogues and genealogies are given, called enumeratio. These long lists of objects, places, and people place the finite action of the epic within a broader, universal context, such as the catalog of ships. Often, the poet is also paying homage to the ancestors of audience members. Examples: In the Homeric and post-Homeric tradition, epic style is typically achieved through the use of the following stylistic features: Many verse forms have been used in epic poems through the ages, but each language's literature typically gravitates to one form, or at least to a very limited set. Ancient Sumerian epic poems did not use any kind of poetic meter and lines did not have consistent lengths; instead, Sumerian poems derived their rhythm solely through constant repetition and parallelism, with subtle variations between lines. Indo-European epic poetry, by contrast, usually places strong emphasis on the importance of line consistency and poetic meter. Ancient Greek epics were composed in dactylic hexameter. Very early Latin epicists, such Livius Andronicus and Gnaeus Naevius, used Saturnian meter. By the time of Ennius, however, Latin poets had adopted dactylic hexameter. Dactylic hexameter has been adapted by a few anglophone poets such as Longfellow in "Evangeline", whose first line is as follows: Old English, German and Norse poems were written in alliterative verse, usually without rhyme. The alliterative form can be seen in the Old English "Finnsburg Fragment" (alliterated sounds are in bold): While the above classical and Germanic forms would be considered stichic, Italian, Spanish and Portuguese long poems favored stanzaic forms, usually written in terza rima or especially ottava rima. Terza rima is a rhyming verse stanza form that consists of an interlocking three-line rhyme scheme. An example is found in the first lines of the Divine Comedy by Dante, who originated the form: Nel mezzo del cammin di nostra vita (A) mi ritrovai per una selva oscura (B) ché la diritta via era smarrita. (A) Ahi quanto a dir qual era è cosa dura (B) esta selva selvaggia e aspra e forte (C) che nel pensier rinnova la paura! (B) In ottava rima, each stanza consists of three alternate rhymes and one double rhyme, following the ABABABCC rhyme scheme. Example: From the 14th century English epic poems were written in heroic couplets, and rhyme royal, though in the 16th century the Spenserian stanza and blank verse were also introduced. The French alexandrine is currently the heroic line in French literature, though in earlier literature – such as the chanson de geste – the decasyllable grouped in laisses took precedence. In Polish literature, couplets of Polish alexandrines (syllabic lines of 7+6 syllables) prevail. In Russian, iambic tetrameter verse is the most popular. In Serbian poetry, the decasyllable is the only form employed. Balto-Finnic (e.g. Estonian, Finnish, Karelian) folk poetry uses a form of trochaic tetrameter that has been called the Kalevala meter. The Finnish and Estonian national epics, Kalevala and Kalevipoeg, are both written in this meter. The meter is thought to have originated during the Proto-Finnic period. In Indic epics such as the Ramayana and Mahabharata, the shloka form is used. The primary form of epic, especially as discussed in this article, is the heroic epic, including such works as the Iliad and Mahabharata. Ancient sources also recognized didactic epic as a category, represented by such works as Hesiod's Works and Days and Lucretius's De rerum natura. A related type of poetry is the epyllion (plural: epyllia), a brief narrative poem with a romantic or mythological theme. The term, which means "little epic", came into use in the nineteenth century. It refers primarily to the erudite, shorter hexameter poems of the Hellenistic period and the similar works composed at Rome from the age of the neoterics; to a lesser degree, the term includes some poems of the English Renaissance, particularly those influenced by Ovid. The most famous example of classical epyllion is perhaps Catullus 64. Epyllion is to be understood as distinct from mock epic, another light form. Romantic epic is a term used to designate works such as Morgante, Orlando Innamorato, Orlando Furioso and Gerusalemme Liberata, which freely lift characters, themes, plots and narrative devices from the world of prose chivalric romance. Non-European forms Long poetic narratives that do not fit the traditional European definition of the heroic epic are sometimes known as folk epics. Indian folk epics have been investigated by Lauri Honko (1998), Brenda Beck (1982) and John Smith, amongst others. Folk epics are an important part of community identities. For example, in Egypt, the folk genre known as al-sira relates the saga of the Hilālī tribe and their migrations across the Middle East and north Africa, see Bridget Connelly (1986). In India, folk epics reflect the caste system of Indian society and the life of the lower levels of society, such as cobblers and shepherds, see C.N. Ramachandran, "Ambivalence and Angst: A Note on Indian folk epics," in Lauri Honko (2002. p. 295). Some Indian oral epics feature strong women who actively pursue personal freedom in their choice of a romantic partner (Stuart, Claus, Flueckiger and Wadley, eds, 1989, p. 5). Japanese traditional performed narratives were sung by blind singers. One of the most famous, The Tale of the Heike, deals with historical wars and had a ritual function to placate the souls of the dead (Tokita 2015, p. 7). A variety of epic forms are found in Africa. Some have a linear, unified style while others have a more cyclical, episodic style (Barber 2007, p. 50). People in the rice cultivation zones of south China sang long narrative songs about the origin of rice growing, rebel heroes, and transgressive love affairs (McLaren 2022). The borderland ethnic populations of China sang heroic epics, such as the Epic of King Gesar of the Mongols, and the creation-myth epics of the Yao people of south China.
[ { "paragraph_id": 0, "text": "An epic poem, or simply an epic, is a lengthy narrative poem typically about the extraordinary deeds of extraordinary characters who, in dealings with gods or other superhuman forces, gave shape to the mortal universe for their descendants.", "title": "" }, { "paragraph_id": 1, "text": "The English word epic comes from Latin epicus, which itself comes from the Ancient Greek adjective ἐπικός (epikos), from ἔπος (epos), \"word, story, poem.\"", "title": "Etymology" }, { "paragraph_id": 2, "text": "In ancient Greek, 'epic' could refer to all poetry in dactylic hexameter (epea), which included not only Homer but also the wisdom poetry of Hesiod, the utterances of the Delphic oracle, and the strange theological verses attributed to Orpheus. Later tradition, however, has restricted the term 'epic' to heroic epic, as described in this article.", "title": "Etymology" }, { "paragraph_id": 3, "text": "Originating before the invention of writing, primary epics, such as those of Homer, were composed by bards who used complex rhetorical and metrical schemes by which they could memorize the epic as received in tradition and add to the epic in their performances. Later writers like Virgil, Apollonius of Rhodes, Dante, Camões, and Milton adopted and adapted Homer's style and subject matter, but used devices available only to those who write.", "title": "Overview" }, { "paragraph_id": 4, "text": "The oldest epic recognized is the Epic of Gilgamesh (c. 2500–1300 BCE), which was recorded in ancient Sumer during the Neo-Sumerian Empire. The poem details the exploits of Gilgamesh, the king of Uruk. Although recognized as a historical figure, Gilgamesh, as represented in the epic, is a largely legendary or mythical figure.", "title": "Overview" }, { "paragraph_id": 5, "text": "The longest written epic from antiquity is the ancient Indian Mahabharata (c. 3rd century BC–3rd century AD), which consists of 100,000 ślokas or over 200,000 verse lines (each shloka is a couplet), as well as long prose passages, so that at ~1.8 million words it is roughly twice the length of Shahnameh, four times the length of the Rāmāyaṇa, and roughly ten times the length of the Iliad and the Odyssey combined.", "title": "Overview" }, { "paragraph_id": 6, "text": "Famous examples of epic poetry include the Sumerian Epic of Gilgamesh, the ancient Indian Mahabharata and Rāmāyaṇa in Sanskrit and Silappatikaram and Manimekalai in Tamil, the Persian Shahnameh, the Ancient Greek Odyssey and Iliad, Virgil's Aeneid, the Old English Beowulf, Dante's Divine Comedy, the Finnish Kalevala, the German Nibelungenlied, the French Song of Roland, the Spanish Cantar de mio Cid, the Portuguese Os Lusíadas, the Armenian Daredevils of Sassoun, John Milton's Paradise Lost, The Secret History of the Mongols, the Kyrgyz Manas, and the Malian Sundiata. Epic poems of the modern era include Derek Walcott's Omeros, Mircea Cărtărescu's The Levant and Adam Mickiewicz's Pan Tadeusz. Paterson by William Carlos Williams, published in five volumes from 1946 to 1958, was inspired in part by another modern epic, The Cantos by Ezra Pound.", "title": "Overview" }, { "paragraph_id": 7, "text": "The first epics were products of preliterate societies and oral history poetic traditions. Oral tradition was used alongside written scriptures to communicate and facilitate the spread of culture. In these traditions, poetry is transmitted to the audience and from performer to performer by purely oral means. Early 20th-century study of living oral epic traditions in the Balkans by Milman Parry and Albert Lord demonstrated the paratactic model used for composing these poems. What they demonstrated was that oral epics tend to be constructed in short episodes, each of equal status, interest and importance. This facilitates memorization, as the poet is recalling each episode in turn and using the completed episodes to recreate the entire epic as he performs it. Parry and Lord also contend that the most likely source for written texts of the epics of Homer was dictation from an oral performance.", "title": "Oral epics" }, { "paragraph_id": 8, "text": "Milman Parry and Albert Lord have argued that the Homeric epics, the earliest works of Western literature, were fundamentally an oral poetic form. These works form the basis of the epic genre in Western literature. Nearly all of Western epic (including Virgil's Aeneid and Dante's Divine Comedy) self-consciously presents itself as a continuation of the tradition begun by these poems.", "title": "Oral epics" }, { "paragraph_id": 9, "text": "In his work Poetics, Aristotle defines an epic as one of the forms of poetry, contrasted with lyric poetry and drama (in the form of tragedy and comedy).", "title": "Composition and conventions" }, { "paragraph_id": 10, "text": "Harmon & Holman (1999) define an epic:", "title": "Composition and conventions" }, { "paragraph_id": 11, "text": "Harmon and Holman delineate ten main characteristics of an epic:", "title": "Composition and conventions" }, { "paragraph_id": 12, "text": "The hero generally participates in a cyclical journey or quest, faces adversaries that try to defeat him in his journey, and returns home significantly transformed by his journey. The epic hero illustrates traits, performs deeds, and exemplifies certain morals that are valued by the society the epic originates from. Many epic heroes are recurring characters in the legends of their native cultures.", "title": "Composition and conventions" }, { "paragraph_id": 13, "text": "In the Indian mahākāvya epic genre, more emphasis was laid on description than on narration. Indeed, the traditional characteristics of a mahākāvya are listed as:", "title": "Composition and conventions" }, { "paragraph_id": 14, "text": "Classical epic poetry recounts a journey, either physical (as typified by Odysseus in the Odyssey) or mental (as typified by Achilles in the Iliad) or both. Epics also tend to highlight cultural norms and to define or call into question cultural values, particularly as they pertain to heroism.", "title": "Composition and conventions" }, { "paragraph_id": 15, "text": "In the proem or preface, the poet may begin by invoking a Muse or similar divinity. The poet prays to the Muses to provide him with divine inspiration to tell the story of a great hero.", "title": "Composition and conventions" }, { "paragraph_id": 16, "text": "Example opening lines with invocations:", "title": "Composition and conventions" }, { "paragraph_id": 17, "text": "An alternative or complementary form of proem, found in Virgil and his imitators, opens with the performative verb \"I sing\". Examples:", "title": "Composition and conventions" }, { "paragraph_id": 18, "text": "This Virgilian epic convention is referenced in Walt Whitman's poem title / opening line \"I sing the body electric\".", "title": "Composition and conventions" }, { "paragraph_id": 19, "text": "Compare the first six lines of the Kalevala:", "title": "Composition and conventions" }, { "paragraph_id": 20, "text": "These conventions are largely restricted to European classical culture and its imitators. The Epic of Gilgamesh, for example, or the Bhagavata Purana do not contain such elements, nor do early medieval Western epics that are not strongly shaped by the classical traditions, such as the Chanson de Roland or the Poem of the Cid.", "title": "Composition and conventions" }, { "paragraph_id": 21, "text": "Narrative opens \"in the middle of things\", with the hero at his lowest point. Usually flashbacks show earlier portions of the story. For example, the Iliad does not tell the entire story of the Trojan War, starting with the judgment of Paris, but instead opens abruptly on the rage of Achilles and its immediate causes. So too, Orlando Furioso is not a complete biography of Roland, but picks up from the plot of Orlando Innamorato, which in turn presupposes a knowledge of the romance and oral traditions.", "title": "Composition and conventions" }, { "paragraph_id": 22, "text": "Epic catalogues and genealogies are given, called enumeratio. These long lists of objects, places, and people place the finite action of the epic within a broader, universal context, such as the catalog of ships. Often, the poet is also paying homage to the ancestors of audience members. Examples:", "title": "Composition and conventions" }, { "paragraph_id": 23, "text": "In the Homeric and post-Homeric tradition, epic style is typically achieved through the use of the following stylistic features:", "title": "Composition and conventions" }, { "paragraph_id": 24, "text": "Many verse forms have been used in epic poems through the ages, but each language's literature typically gravitates to one form, or at least to a very limited set.", "title": "Composition and conventions" }, { "paragraph_id": 25, "text": "Ancient Sumerian epic poems did not use any kind of poetic meter and lines did not have consistent lengths; instead, Sumerian poems derived their rhythm solely through constant repetition and parallelism, with subtle variations between lines. Indo-European epic poetry, by contrast, usually places strong emphasis on the importance of line consistency and poetic meter. Ancient Greek epics were composed in dactylic hexameter. Very early Latin epicists, such Livius Andronicus and Gnaeus Naevius, used Saturnian meter. By the time of Ennius, however, Latin poets had adopted dactylic hexameter.", "title": "Composition and conventions" }, { "paragraph_id": 26, "text": "Dactylic hexameter has been adapted by a few anglophone poets such as Longfellow in \"Evangeline\", whose first line is as follows:", "title": "Composition and conventions" }, { "paragraph_id": 27, "text": "Old English, German and Norse poems were written in alliterative verse, usually without rhyme. The alliterative form can be seen in the Old English \"Finnsburg Fragment\" (alliterated sounds are in bold):", "title": "Composition and conventions" }, { "paragraph_id": 28, "text": "While the above classical and Germanic forms would be considered stichic, Italian, Spanish and Portuguese long poems favored stanzaic forms, usually written in terza rima or especially ottava rima. Terza rima is a rhyming verse stanza form that consists of an interlocking three-line rhyme scheme. An example is found in the first lines of the Divine Comedy by Dante, who originated the form:", "title": "Composition and conventions" }, { "paragraph_id": 29, "text": "Nel mezzo del cammin di nostra vita (A) mi ritrovai per una selva oscura (B) ché la diritta via era smarrita. (A) Ahi quanto a dir qual era è cosa dura (B) esta selva selvaggia e aspra e forte (C) che nel pensier rinnova la paura! (B)", "title": "Composition and conventions" }, { "paragraph_id": 30, "text": "In ottava rima, each stanza consists of three alternate rhymes and one double rhyme, following the ABABABCC rhyme scheme. Example:", "title": "Composition and conventions" }, { "paragraph_id": 31, "text": "From the 14th century English epic poems were written in heroic couplets, and rhyme royal, though in the 16th century the Spenserian stanza and blank verse were also introduced. The French alexandrine is currently the heroic line in French literature, though in earlier literature – such as the chanson de geste – the decasyllable grouped in laisses took precedence. In Polish literature, couplets of Polish alexandrines (syllabic lines of 7+6 syllables) prevail. In Russian, iambic tetrameter verse is the most popular. In Serbian poetry, the decasyllable is the only form employed.", "title": "Composition and conventions" }, { "paragraph_id": 32, "text": "Balto-Finnic (e.g. Estonian, Finnish, Karelian) folk poetry uses a form of trochaic tetrameter that has been called the Kalevala meter. The Finnish and Estonian national epics, Kalevala and Kalevipoeg, are both written in this meter. The meter is thought to have originated during the Proto-Finnic period.", "title": "Composition and conventions" }, { "paragraph_id": 33, "text": "In Indic epics such as the Ramayana and Mahabharata, the shloka form is used.", "title": "Composition and conventions" }, { "paragraph_id": 34, "text": "The primary form of epic, especially as discussed in this article, is the heroic epic, including such works as the Iliad and Mahabharata. Ancient sources also recognized didactic epic as a category, represented by such works as Hesiod's Works and Days and Lucretius's De rerum natura.", "title": "Genres and related forms" }, { "paragraph_id": 35, "text": "A related type of poetry is the epyllion (plural: epyllia), a brief narrative poem with a romantic or mythological theme. The term, which means \"little epic\", came into use in the nineteenth century. It refers primarily to the erudite, shorter hexameter poems of the Hellenistic period and the similar works composed at Rome from the age of the neoterics; to a lesser degree, the term includes some poems of the English Renaissance, particularly those influenced by Ovid. The most famous example of classical epyllion is perhaps Catullus 64.", "title": "Genres and related forms" }, { "paragraph_id": 36, "text": "Epyllion is to be understood as distinct from mock epic, another light form.", "title": "Genres and related forms" }, { "paragraph_id": 37, "text": "Romantic epic is a term used to designate works such as Morgante, Orlando Innamorato, Orlando Furioso and Gerusalemme Liberata, which freely lift characters, themes, plots and narrative devices from the world of prose chivalric romance.", "title": "Genres and related forms" }, { "paragraph_id": 38, "text": "Non-European forms", "title": "Genres and related forms" }, { "paragraph_id": 39, "text": "Long poetic narratives that do not fit the traditional European definition of the heroic epic are sometimes known as folk epics. Indian folk epics have been investigated by Lauri Honko (1998), Brenda Beck (1982) and John Smith, amongst others. Folk epics are an important part of community identities. For example, in Egypt, the folk genre known as al-sira relates the saga of the Hilālī tribe and their migrations across the Middle East and north Africa, see Bridget Connelly (1986). In India, folk epics reflect the caste system of Indian society and the life of the lower levels of society, such as cobblers and shepherds, see C.N. Ramachandran, \"Ambivalence and Angst: A Note on Indian folk epics,\" in Lauri Honko (2002. p. 295). Some Indian oral epics feature strong women who actively pursue personal freedom in their choice of a romantic partner (Stuart, Claus, Flueckiger and Wadley, eds, 1989, p. 5). Japanese traditional performed narratives were sung by blind singers. One of the most famous, The Tale of the Heike, deals with historical wars and had a ritual function to placate the souls of the dead (Tokita 2015, p. 7). A variety of epic forms are found in Africa. Some have a linear, unified style while others have a more cyclical, episodic style (Barber 2007, p. 50). People in the rice cultivation zones of south China sang long narrative songs about the origin of rice growing, rebel heroes, and transgressive love affairs (McLaren 2022). The borderland ethnic populations of China sang heroic epics, such as the Epic of King Gesar of the Mongols, and the creation-myth epics of the Yao people of south China.", "title": "Genres and related forms" } ]
An epic poem, or simply an epic, is a lengthy narrative poem typically about the extraordinary deeds of extraordinary characters who, in dealings with gods or other superhuman forces, gave shape to the mortal universe for their descendants.
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https://en.wikipedia.org/wiki/Epic_poetry
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Eocene
The Eocene (IPA: /ˈiːəsiːn, ˈiːoʊ-/ EE-ə-seen, EE-oh-) Epoch is a geological epoch that lasted from about 56 to 33.9 million years ago (Ma). It is the second epoch of the Paleogene Period in the modern Cenozoic Era. The name Eocene comes from the Ancient Greek ἠώς (ēṓs, "dawn") and καινός (kainós, "new") and refers to the "dawn" of modern ('new') fauna that appeared during the epoch. The Eocene spans the time from the end of the Paleocene Epoch to the beginning of the Oligocene Epoch. The start of the Eocene is marked by a brief period in which the concentration of the carbon isotope C in the atmosphere was exceptionally low in comparison with the more common isotope C. The end is set at a major extinction event called the Grande Coupure (the "Great Break" in continuity) or the Eocene–Oligocene extinction event, which may be related to the impact of one or more large bolides in Siberia and in what is now Chesapeake Bay. As with other geologic periods, the strata that define the start and end of the epoch are well identified, though their exact dates are slightly uncertain. The term "Eocene" is derived from Ancient Greek ἠώς eos meaning "dawn", and καινός kainos meaning "new" or "recent", as the epoch saw the dawn of recent, or modern, life. Scottish geologist Charles Lyell (ignoring the Quaternary) divided the Tertiary Epoch into the Eocene, Miocene, Pliocene, and New Pliocene (Holocene) Periods in 1833. British geologist John Phillips proposed the Cenozoic in 1840 in place of the Tertiary, and Austrian paleontologist Moritz Hörnes introduced the Paleogene for the Eocene and Neogene for the Miocene and Pliocene in 1853. After decades of inconsistent usage, the newly formed International Commission on Stratigraphy (ICS), in 1969, standardized stratigraphy based on the prevailing opinions in Europe: the Cenozoic Era subdivided into the Tertiary and Quaternary sub-eras, and the Tertiary subdivided into the Paleogene and Neogene periods. In 1978, the Paleogene was officially defined as the Paleocene, Eocene, and Oligocene epochs; and the Neogene as the Miocene and Pliocene epochs. In 1989, Tertiary and Quaternary were removed from the time scale due to the arbitrary nature of their boundary, but Quaternary was reinstated in 2009. The Eocene is a dynamic epoch that represents global climatic transitions between two climatic extremes, transitioning from the hot house to the cold house. The beginning of the Eocene is marked by the Paleocene–Eocene Thermal Maximum, a short period of intense warming and ocean acidification brought about by the release of carbon en masse into the atmosphere and ocean systems, which led to a mass extinction of 30–50% of benthic foraminifera (single-celled species which are used as bioindicators of the health of a marine ecosystem)—one of the largest in the Cenozoic. This event happened around 55.8 Ma, and was one of the most significant periods of global change during the Cenozoic. The middle Eocene was characterized by the shift towards a cooler climate at the end of the EECO, around 47.8 Ma, which was briefly interrupted by another warming event called the middle Eocene climatic optimum (MECO). Lasting for about 400,000 years, the MECO was responsible for a globally uniform 4° to 6°C warming of both the surface and deep oceans, as inferred from foraminiferal stable oxygen isotope records. The resumption of a long-term gradual cooling trend resulted in a glacial maximum at the late Eocene/early Oligocene boundary. The end of the Eocene was also marked by the Eocene–Oligocene extinction event, also known as the Grande Coupure. The Eocene is conventionally divided into early (56–47.8 Ma), middle (47.8–38 Ma), and late (38–33.9 Ma) subdivisions. The corresponding rocks are referred to as lower, middle, and upper Eocene. The Ypresian Stage constitutes the lower, the Priabonian Stage the upper; and the Lutetian and Bartonian stages are united as the middle Eocene. During the Eocene, the continents continued to drift toward their present positions. At the beginning of the period, Australia and Antarctica remained connected, and warm equatorial currents may have mixed with colder Antarctic waters, distributing the heat around the planet and keeping global temperatures high. When Australia split from the southern continent around 45 Ma, the warm equatorial currents were routed away from Antarctica. An isolated cold water channel developed between the two continents. However, modeling results call into question the thermal isolation model for late Eocene cooling, and decreasing carbon dioxide levels in the atmosphere may have been more important. Once the Antarctic region began to cool down, the ocean surrounding Antarctica began to freeze, sending cold water and icefloes north and reinforcing the cooling. The northern supercontinent of Laurasia began to fragment, as Europe, Greenland and North America drifted apart. In western North America, the Laramide Orogeny came to an end in the Eocene, and compression was replaced with crustal extension that ultimately gave rise to the Basin and Range Province. The Kishenehn Basin, around 1.5 km in elevation during the Lutetian, was uplifted to an altitude of 2.5 km by the Priabonian. Huge lakes formed in the high flat basins among uplifts, resulting in the deposition of the Green River Formation lagerstätte. At about 35 Ma, an asteroid impact on the eastern coast of North America formed the Chesapeake Bay impact crater. The Tethys Ocean finally closed with the collision of Africa and Eurasia, while the uplift of the Alps isolated its final remnant, the Mediterranean, and created another shallow sea with island archipelagos to the north. Planktonic foraminifera in the northwestern Peri-Tethys are very similar to those of the Tethys in the middle Lutetian but become completely disparate in the Bartonian, indicating biogeographic separation. Though the North Atlantic was opening, a land connection appears to have remained between North America and Europe since the faunas of the two regions are very similar. Eurasia was separated in three different landmasses 50 Ma; Western Europe, Balkanatolia and Asia. About 40 Ma, Balkanatolia and Asia were connected, while Europe was connected 34 Ma. The Fushun Basin contained large, suboxic lakes known as the paleo-Jijuntun Lakes. India collided with Asia, folding to initiate formation of the Himalayas. The incipient subcontinent collided with the Kohistan–Ladakh Arc around 50.2 Ma and with Karakoram around 40.4 Ma, with the final collision between Asia and India occurring ~40 Ma. The Eocene Epoch contained a wide variety of different climate conditions that includes the warmest climate in the Cenozoic Era, and arguably the warmest time interval since the Permian-Triassic mass extinction and Early Triassic, and ends in an icehouse climate. The evolution of the Eocene climate began with warming after the end of the Paleocene–Eocene Thermal Maximum (PETM) at 56 Ma to a maximum during the Eocene Optimum at around 49 Ma. Recent study show elevation-dependent temperature changes during the Eocene hothouse. During this period of time, little to no ice was present on Earth with a smaller difference in temperature from the equator to the poles. Because of this the maximum sea level was 150 meters higher than current levels. Following the maximum was a descent into an icehouse climate from the Eocene Optimum to the Eocene–Oligocene transition at 34 Ma. During this decrease, ice began to reappear at the poles, and the Eocene–Oligocene transition is the period of time when the Antarctic ice sheet began to rapidly expand. Greenhouse gases, in particular carbon dioxide and methane, played a significant role during the Eocene in controlling the surface temperature. The end of the PETM was met with very large sequestration of carbon dioxide into the forms of methane clathrate, coal, and crude oil at the bottom of the Arctic Ocean, that reduced the atmospheric carbon dioxide. This event was similar in magnitude to the massive release of greenhouse gasses at the beginning of the PETM, and it is hypothesized that the sequestration was mainly due to organic carbon burial and weathering of silicates. For the early Eocene there is much discussion on how much carbon dioxide was in the atmosphere. This is due to numerous proxies representing different atmospheric carbon dioxide content. For example, diverse geochemical and paleontological proxies indicate that at the maximum of global warmth the atmospheric carbon dioxide values were at 700–900 ppm, while model simulations suggest a concentration of 1,680 ppm fits best with deep sea, sea surface, and near-surface air temperatures of the time. Other proxies such as pedogenic (soil building) carbonate and marine boron isotopes indicate large changes of carbon dioxide of over 2,000 ppm over periods of time of less than 1 million years. This large influx of carbon dioxide could be attributed to volcanic out-gassing due to North Atlantic rifting or oxidation of methane stored in large reservoirs deposited from the PETM event in the sea floor or wetland environments. For contrast, today the carbon dioxide levels are at 400 ppm or 0.04%. During the early Eocene, methane was another greenhouse gas that had a drastic effect on the climate. Methane has 30 times more of a warming effect than carbon dioxide on a 100-year scale (i.e., methane has a global warming potential of 29.8±11). Most of the methane released to the atmosphere during this period of time would have been from wetlands, swamps, and forests. The atmospheric methane concentration today is 0.000179% or 1.79 ppmv. As a result of the warmer climate and the sea level rise associated with the early Eocene, more wetlands, more forests, and more coal deposits would have been available for methane release. If we compare the early Eocene production of methane to current levels of atmospheric methane, the early Eocene would have produced triple the amount of methane. The warm temperatures during the early Eocene could have increased methane production rates, and methane that is released into the atmosphere would in turn warm the troposphere, cool the stratosphere, and produce water vapor and carbon dioxide through oxidation. Biogenic production of methane produces carbon dioxide and water vapor along with the methane, as well as yielding infrared radiation. The breakdown of methane in an atmosphere containing oxygen produces carbon monoxide, water vapor and infrared radiation. The carbon monoxide is not stable, so it eventually becomes carbon dioxide and in doing so releases yet more infrared radiation. Water vapor traps more infrared than does carbon dioxide. At about the beginning of the Eocene Epoch (55.8–33.9 Ma) the amount of oxygen in the Earth's atmosphere more or less doubled. During the warming in the early Eocene between 55 and 52 Ma, there were a series of short-term changes of carbon isotope composition in the ocean. These isotope changes occurred due to the release of carbon from the ocean into the atmosphere that led to a temperature increase of 4–8 °C (7.2–14.4 °F) at the surface of the ocean. Recent analysis of and research into these hyperthermals in the early Eocene has led to hypotheses that the hyperthermals are based on orbital parameters, in particular eccentricity and obliquity. The hyperthermals in the early Eocene, notably the Palaeocene–Eocene Thermal Maximum (PETM), the Eocene Thermal Maximum 2 (ETM2), and the Eocene Thermal Maximum 3 (ETM3), were analyzed and found that orbital control may have had a role in triggering the ETM2 and ETM3. An enhancement of the biological pump proved effective at sequestering excess carbon during the recovery phases of these hyperthermals. These hyperthermals led to increased perturbations in planktonic and benthic foraminifera, with a higher rate of fluvial sedimentation as a consequence of the warmer temperatures. Unlike the PETM, the lesser hyperthermals of the Early Eocene had negligible consequences for terrestrial mammals. These Early Eocene hyperthermals produced a sustained period of extremely hot climate known as the Early Eocene Climatic Optimum (EECO). During the early and middle EECO, the superabundance of the euryhaline dinocyst Homotryblium in New Zealand indicates elevated ocean salinity in the region. One of the unique features of the Eocene's climate as mentioned before was the equable and homogeneous climate that existed in the early parts of the Eocene. A multitude of proxies support the presence of a warmer equable climate being present during this period of time. A few of these proxies include the presence of fossils native to warm climates, such as crocodiles, located in the higher latitudes, the presence in the high latitudes of frost-intolerant flora such as palm trees which cannot survive during sustained freezes, and fossils of snakes found in the tropics that would require much higher average temperatures to sustain them. TEX86 BAYSPAR measurements indicate extremely high sea surface temperatures of 40 °C (104 °F) to 45 °C (113 °F) at low latitudes, although clumped isotope analyses point to a maximum low latitude sea surface temperature of 36.3 °C (97.3 °F) ± 1.9 °C (35.4 °F) during the EECO. Relative to present-day values, bottom water temperatures are 10 °C (18 °F) higher according to isotope proxies. With these bottom water temperatures, temperatures in areas where deep water forms near the poles are unable to be much cooler than the bottom water temperatures. An issue arises, however, when trying to model the Eocene and reproduce the results that are found with the proxy data. Using all different ranges of greenhouse gasses that occurred during the early Eocene, models were unable to produce the warming that was found at the poles and the reduced seasonality that occurs with winters at the poles being substantially warmer. The models, while accurately predicting the tropics, tend to produce significantly cooler temperatures of up to 20 °C (36 °F) colder than the actual determined temperature at the poles. This error has been classified as the "equable climate problem". To solve this problem, the solution would involve finding a process to warm the poles without warming the tropics. Some hypotheses and tests which attempt to find the process are listed below. Due to the nature of water as opposed to land, less temperature variability would be present if a large body of water is also present. In an attempt to try to mitigate the cooling polar temperatures, large lakes were proposed to mitigate seasonal climate changes. To replicate this case, a lake was inserted into North America and a climate model was run using varying carbon dioxide levels. The model runs concluded that while the lake did reduce the seasonality of the region greater than just an increase in carbon dioxide, the addition of a large lake was unable to reduce the seasonality to the levels shown by the floral and faunal data. The transport of heat from the tropics to the poles, much like how ocean heat transport functions in modern times, was considered a possibility for the increased temperature and reduced seasonality for the poles. With the increased sea surface temperatures and the increased temperature of the deep ocean water during the early Eocene, one common hypothesis was that due to these increases there would be a greater transport of heat from the tropics to the poles. Simulating these differences, the models produced lower heat transport due to the lower temperature gradients and were unsuccessful in producing an equable climate from only ocean heat transport. While typically seen as a control on ice growth and seasonality, the orbital parameters were theorized as a possible control on continental temperatures and seasonality. Simulating the Eocene by using an ice free planet, eccentricity, obliquity, and precession were modified in different model runs to determine all the possible different scenarios that could occur and their effects on temperature. One particular case led to warmer winters and cooler summer by up to 30% in the North American continent, and it reduced the seasonal variation of temperature by up to 75%. While orbital parameters did not produce the warming at the poles, the parameters did show a great effect on seasonality and needed to be considered. Another method considered for producing the warm polar temperatures were polar stratospheric clouds. Polar stratospheric clouds are clouds that occur in the lower stratosphere at very low temperatures. Polar stratospheric clouds have a great impact on radiative forcing. Due to their minimal albedo properties and their optical thickness, polar stratospheric clouds act similar to a greenhouse gas and traps outgoing longwave radiation. Different types of polar stratospheric clouds occur in the atmosphere: polar stratospheric clouds that are created due to interactions with nitric or sulfuric acid and water (Type I) or polar stratospheric clouds that are created with only water ice (Type II). Methane is an important factor in the creation of the primary Type II polar stratospheric clouds that were created in the early Eocene. Since water vapor is the only supporting substance used in Type II polar stratospheric clouds, the presence of water vapor in the lower stratosphere is necessary where in most situations the presence of water vapor in the lower stratosphere is rare. When methane is oxidized, a significant amount of water vapor is released. Another requirement for polar stratospheric clouds is cold temperatures to ensure condensation and cloud production. Polar stratospheric cloud production, since it requires the cold temperatures, is usually limited to nighttime and winter conditions. With this combination of wetter and colder conditions in the lower stratosphere, polar stratospheric clouds could have formed over wide areas in Polar Regions. To test the polar stratospheric clouds effects on the Eocene climate, models were run comparing the effects of polar stratospheric clouds at the poles to an increase in atmospheric carbon dioxide. The polar stratospheric clouds had a warming effect on the poles, increasing temperatures by up to 20 °C in the winter months. A multitude of feedbacks also occurred in the models due to the polar stratospheric clouds' presence. Any ice growth was slowed immensely and would lead to any present ice melting. Only the poles were affected with the change in temperature and the tropics were unaffected, which with an increase in atmospheric carbon dioxide would also cause the tropics to increase in temperature. Due to the warming of the troposphere from the increased greenhouse effect of the polar stratospheric clouds, the stratosphere would cool and would potentially increase the amount of polar stratospheric clouds. While the polar stratospheric clouds could explain the reduction of the equator to pole temperature gradient and the increased temperatures at the poles during the early Eocene, there are a few drawbacks to maintaining polar stratospheric clouds for an extended period of time. Separate model runs were used to determine the sustainability of the polar stratospheric clouds. It was determined that in order to maintain the lower stratospheric water vapor, methane would need to be continually released and sustained. In addition, the amounts of ice and condensation nuclei would need to be high in order for the polar stratospheric cloud to sustain itself and eventually expand. The Eocene is not only known for containing the warmest period during the Cenozoic; it also marked the decline into an icehouse climate and the rapid expansion of the Antarctic ice sheet. The transition from a warming climate into a cooling climate began at around 49 Ma. Isotopes of carbon and oxygen indicate a shift to a global cooling climate. The cause of the cooling has been attributed to a significant decrease of >2,000 ppm in atmospheric carbon dioxide concentrations. One proposed cause of the reduction in carbon dioxide during the warming to cooling transition was the azolla event. With the equable climate during the early Eocene, warm temperatures in the arctic allowed for the growth of azolla, which is a floating aquatic fern, on the Arctic Ocean. The significantly high amounts of carbon dioxide also acted to facilitate azolla blooms across the Arctic Ocean. Compared to current carbon dioxide levels, these azolla grew rapidly in the enhanced carbon dioxide levels found in the early Eocene. The isolation of the Arctic Ocean, evidenced by euxinia that occurred at this time, led to stagnant waters and as the azolla sank to the sea floor, they became part of the sediments on the seabed and effectively sequestered the carbon by locking it out of the atmosphere for good. The ability for the azolla to sequester carbon is exceptional, and the enhanced burial of azolla could have had a significant effect on the world atmospheric carbon content and may have been the event to begin the transition into an ice house climate. The azolla event could have led to a draw down of atmospheric carbon dioxide of up to 470 ppm. Assuming the carbon dioxide concentrations were at 900 ppmv prior to the Azolla Event they would have dropped to 430 ppmv, or 30 ppmv more than they are today, after the Azolla Event. This cooling trend at the end of the EECO has also been proposed to have been caused by increased siliceous plankton productivity and marine carbon burial, which also helped draw carbon dioxide out of the atmosphere. Cooling after this event, part of a trend known as the Middle-Late Eocene Cooling (MLEC), continued due to continual decrease in atmospheric carbon dioxide from organic productivity and weathering from mountain building. Many regions of the world became more arid and cold over the course of the stage, such as the Fushun Basin. In East Asia, lake level changes were in sync with global sea level changes over the course of the MLEC. Global cooling continued until there was a major reversal from cooling to warming in the Bartonian. This warming event, signifying a sudden and temporary reversal of the cooling conditions, is known as the Middle Eocene Climatic Optimum (MECO). At around 41.5 Ma, stable isotopic analysis of samples from Southern Ocean drilling sites indicated a warming event for 600,000 years. A similar shift in carbon isotopes is known from the Northern Hemisphere in the Scaglia Limestones of Italy. Oxygen isotope analysis showed a large negative change in the proportion of heavier oxygen isotopes to lighter oxygen isotopes, which indicates an increase in global temperatures. The warming is considered to be primarily due to carbon dioxide increases, because carbon isotope signatures rule out major methane release during this short-term warming. A sharp increase in atmospheric carbon dioxide was observed with a maximum of 4,000 ppm: the highest amount of atmospheric carbon dioxide detected during the Eocene. Other studies suggest a more modest rise in carbon dioxide levels. The increase in atmospheric carbon dioxide has also been hypothesised to have been driven by increased seafloor spreading rates and metamorphic decarbonation reactions between Australia and Antarctica and increased amounts of volcanism in the region. One possible cause of atmospheric carbon dioxide increase could have been a sudden increase due to metamorphic release due to continental drift and collision of India with Asia and the resulting formation of the Himalayas; however, data on the exact timing of metamorphic release of atmospheric carbon dioxide is not well resolved in the data. Recent studies have mentioned, however, that the removal of the ocean between Asia and India could have released significant amounts of carbon dioxide. Another hypothesis still implicates a diminished negative feedback of silicate weathering as a result of continental rocks having become less weatherable during the warm Early and Middle Eocene, allowing volcanically released carbon dioxide to persist in the atmosphere for longer. Yet another explanation hypothesises that MECO warming was caused by the simultaneous occurrence of minima in both the 400 kyr and 2.4 Myr eccentricity cycles. During the MECO, sea surface temperatures in the Tethys Ocean jumped to 32–36 °C, and Tethyan seawater became more dysoxic. A decline in carbonate accumulation at ocean depths of greater than three kilometres took place synchronously with the peak of the MECO, signifying ocean acidification took place in the deep ocean. On top of that, MECO warming caused an increase in the respiration rates of pelagic heterotrophs, leading to a decreased proportion of primary productivity making its way down to the seafloor and causing a corresponding decline in populations of benthic foraminifera. An abrupt decrease in lakewater salinity in western North America occurred during this warming interval. This warming is short lived, as benthic oxygen isotope records indicate a return to cooling at ~40 Ma. At the end of the MECO, the MLEC resumed. Cooling and the carbon dioxide drawdown continued through the late Eocene and into the Eocene–Oligocene transition around 34 Ma. The post-MECO cooling brought with it a major aridification trend in Asia, enhanced by retreating seas. The cooling during the initial stages of the opening of the Drake Passage ~38.5 Ma was not global, as evidenced by an absence of cooling in the North Atlantic. During the cooling period, benthic oxygen isotopes show the possibility of ice creation and ice increase during this later cooling. The end of the Eocene and beginning of the Oligocene is marked with the massive expansion of area of the Antarctic ice sheet that was a major step into the icehouse climate. Multiple proxies, such as oxygen isotopes and alkenones, indicate that at the Eocene–Oligocene transition, the atmospheric carbon dioxide concentration had decreased to around 750–800 ppm, approximately twice that of present levels. Along with the decrease of atmospheric carbon dioxide reducing the global temperature, orbital factors in ice creation can be seen with 100,000-year and 400,000-year fluctuations in benthic oxygen isotope records. Another major contribution to the expansion of the ice sheet was the creation of the Antarctic Circumpolar Current. The creation of the Antarctic circumpolar current would isolate the cold water around the Antarctic, which would reduce heat transport to the Antarctic along with creating ocean gyres that result in the upwelling of colder bottom waters. The issue with this hypothesis of the consideration of this being a factor for the Eocene-Oligocene transition is the timing of the creation of the circulation is uncertain. For Drake Passage, sediments indicate the opening occurred ~41 Ma while tectonics indicate that this occurred ~32 Ma. Solar activity did not change significantly during the greenhouse-icehouse transition across the Eocene-Oligocene boundary. During the early-middle Eocene, forests covered most of the Earth including the poles. Tropical forests extended across much of modern Africa, South America, Central America, India, South-east Asia and China. Paratropical forests grew over North America, Europe and Russia, with broad-leafed evergreen and broad-leafed deciduous forests at higher latitudes. Polar forests were quite extensive. Fossils and even preserved remains of trees such as swamp cypress and dawn redwood from the Eocene have been found on Ellesmere Island in the Arctic. Even at that time, Ellesmere Island was only a few degrees in latitude further south than it is today. Fossils of subtropical and even tropical trees and plants from the Eocene also have been found in Greenland and Alaska. Tropical rainforests grew as far north as northern North America and Europe. Palm trees were growing as far north as Alaska and northern Europe during the early Eocene, although they became less abundant as the climate cooled. Dawn redwoods were far more extensive as well. The earliest definitive Eucalyptus fossils were dated from 51.9 Ma, and were found in the Laguna del Hunco deposit in Chubut province in Argentina. Cooling began mid-period, and by the end of the Eocene continental interiors had begun to dry, with forests thinning considerably in some areas. The newly evolved grasses were still confined to river banks and lake shores, and had not yet expanded into plains and savannas. The cooling also brought seasonal changes. Deciduous trees, better able to cope with large temperature changes, began to overtake evergreen tropical species. By the end of the period, deciduous forests covered large parts of the northern continents, including North America, Eurasia and the Arctic, and rainforests held on only in equatorial South America, Africa, India and Australia. Antarctica began the Eocene fringed with a warm temperate to sub-tropical rainforest. Pollen found in Prydz Bay from the Eocene suggest taiga forest existed there. It became much colder as the period progressed; the heat-loving tropical flora was wiped out, and by the beginning of the Oligocene, the continent hosted deciduous forests and vast stretches of tundra. During the Eocene, plants and marine faunas became quite modern. Many modern bird orders first appeared in the Eocene. The Eocene oceans were warm and teeming with fish and other sea life. The oldest known fossils of most of the modern mammal orders appear within a brief period during the early Eocene. At the beginning of the Eocene, several new mammal groups arrived in North America. These modern mammals, like artiodactyls, perissodactyls, and primates, had features like long, thin legs, feet, and hands capable of grasping, as well as differentiated teeth adapted for chewing. Dwarf forms reigned. All the members of the new mammal orders were small, under 10 kg; based on comparisons of tooth size, Eocene mammals were only 60% of the size of the primitive Palaeocene mammals that preceded them. They were also smaller than the mammals that followed them. It is assumed that the hot Eocene temperatures favored smaller animals that were better able to manage the heat. Both groups of modern ungulates (hoofed animals) became prevalent because of a major radiation between Europe and North America, along with carnivorous ungulates like Mesonyx. Early forms of many other modern mammalian orders appeared, including horses (most notably the Eohippus), bats, proboscidians (elephants), primates, rodents, and marsupials. Older primitive forms of mammals declined in variety and importance. Important Eocene land fauna fossil remains have been found in western North America, Europe, Patagonia, Egypt, and southeast Asia. Marine fauna are best known from South Asia and the southeast United States. Established megafauna of the Eocene include the Uintatherium, Arsinoitherium, and brontotheres, in which the former two, unlike the latter, did not belong to ungulates but groups that became extinct shortly after their establishments. Large terrestrial mammalian predators began to take form as the terrestrial carnivores like the Hyaenodon and Daphoenus (the earliest lineage of a once-successful predatory family known as bear dogs). Entelodonts meanwhile established themselves as some of the largest omnivores. The first nimravids, including Dinictis, established themselves as amongst the first feliforms to appear. Their groups became highly successful and continued to live past the Eocene. Basilosaurus is a very well-known Eocene whale, but whales as a group had become very diverse during the Eocene, which is when the major transitions from being terrestrial to fully aquatic in cetaceans occurred. The first sirenians were evolving at this time, and would eventually evolve into the extant manatees and dugongs. It is thought that millions of years after the Cretaceous-Paleogene extinction event, brain sizes of mammals now started to increase, "likely driven by a need for greater cognition in increasingly complex environments". Eocene birds include some enigmatic groups with resemblances to modern forms, some of which continued from the Paleocene. Bird taxa of the Eocene include carnivorous psittaciforms, such as Messelasturidae, Halcyornithidae, large flightless forms such as Gastornis and Eleutherornis, long legged falcon Masillaraptor, ancient galliforms such as Gallinuloides, putative rail relatives of the family Songziidae, various pseudotooth birds such as Gigantornis, the ibis relative Rhynchaeites, primitive swifts of the genus Aegialornis, and primitive penguins such as Archaeospheniscus and Inkayacu. Reptile fossils from this time, such as fossils of pythons and turtles, are abundant. Several rich fossil insect faunas are known from the Eocene, notably the Baltic amber found mainly along the south coast of the Baltic Sea, amber from the Paris Basin, France, the Fur Formation, Denmark, and the Bembridge Marls from the Isle of Wight, England. Insects found in Eocene deposits mostly belong to genera that exist today, though their range has often shifted since the Eocene. For instance the bibionid genus Plecia is common in fossil faunas from presently temperate areas, but only lives in the tropics and subtropics today.
[ { "paragraph_id": 0, "text": "The Eocene (IPA: /ˈiːəsiːn, ˈiːoʊ-/ EE-ə-seen, EE-oh-) Epoch is a geological epoch that lasted from about 56 to 33.9 million years ago (Ma). It is the second epoch of the Paleogene Period in the modern Cenozoic Era. The name Eocene comes from the Ancient Greek ἠώς (ēṓs, \"dawn\") and καινός (kainós, \"new\") and refers to the \"dawn\" of modern ('new') fauna that appeared during the epoch.", "title": "" }, { "paragraph_id": 1, "text": "The Eocene spans the time from the end of the Paleocene Epoch to the beginning of the Oligocene Epoch. The start of the Eocene is marked by a brief period in which the concentration of the carbon isotope C in the atmosphere was exceptionally low in comparison with the more common isotope C. The end is set at a major extinction event called the Grande Coupure (the \"Great Break\" in continuity) or the Eocene–Oligocene extinction event, which may be related to the impact of one or more large bolides in Siberia and in what is now Chesapeake Bay. As with other geologic periods, the strata that define the start and end of the epoch are well identified, though their exact dates are slightly uncertain.", "title": "" }, { "paragraph_id": 2, "text": "The term \"Eocene\" is derived from Ancient Greek ἠώς eos meaning \"dawn\", and καινός kainos meaning \"new\" or \"recent\", as the epoch saw the dawn of recent, or modern, life.", "title": "Etymology" }, { "paragraph_id": 3, "text": "Scottish geologist Charles Lyell (ignoring the Quaternary) divided the Tertiary Epoch into the Eocene, Miocene, Pliocene, and New Pliocene (Holocene) Periods in 1833. British geologist John Phillips proposed the Cenozoic in 1840 in place of the Tertiary, and Austrian paleontologist Moritz Hörnes introduced the Paleogene for the Eocene and Neogene for the Miocene and Pliocene in 1853. After decades of inconsistent usage, the newly formed International Commission on Stratigraphy (ICS), in 1969, standardized stratigraphy based on the prevailing opinions in Europe: the Cenozoic Era subdivided into the Tertiary and Quaternary sub-eras, and the Tertiary subdivided into the Paleogene and Neogene periods. In 1978, the Paleogene was officially defined as the Paleocene, Eocene, and Oligocene epochs; and the Neogene as the Miocene and Pliocene epochs. In 1989, Tertiary and Quaternary were removed from the time scale due to the arbitrary nature of their boundary, but Quaternary was reinstated in 2009.", "title": "Etymology" }, { "paragraph_id": 4, "text": "The Eocene is a dynamic epoch that represents global climatic transitions between two climatic extremes, transitioning from the hot house to the cold house. The beginning of the Eocene is marked by the Paleocene–Eocene Thermal Maximum, a short period of intense warming and ocean acidification brought about by the release of carbon en masse into the atmosphere and ocean systems, which led to a mass extinction of 30–50% of benthic foraminifera (single-celled species which are used as bioindicators of the health of a marine ecosystem)—one of the largest in the Cenozoic. This event happened around 55.8 Ma, and was one of the most significant periods of global change during the Cenozoic.", "title": "Geology" }, { "paragraph_id": 5, "text": "The middle Eocene was characterized by the shift towards a cooler climate at the end of the EECO, around 47.8 Ma, which was briefly interrupted by another warming event called the middle Eocene climatic optimum (MECO). Lasting for about 400,000 years, the MECO was responsible for a globally uniform 4° to 6°C warming of both the surface and deep oceans, as inferred from foraminiferal stable oxygen isotope records. The resumption of a long-term gradual cooling trend resulted in a glacial maximum at the late Eocene/early Oligocene boundary.", "title": "Geology" }, { "paragraph_id": 6, "text": "The end of the Eocene was also marked by the Eocene–Oligocene extinction event, also known as the Grande Coupure.", "title": "Geology" }, { "paragraph_id": 7, "text": "The Eocene is conventionally divided into early (56–47.8 Ma), middle (47.8–38 Ma), and late (38–33.9 Ma) subdivisions. The corresponding rocks are referred to as lower, middle, and upper Eocene. The Ypresian Stage constitutes the lower, the Priabonian Stage the upper; and the Lutetian and Bartonian stages are united as the middle Eocene.", "title": "Geology" }, { "paragraph_id": 8, "text": "During the Eocene, the continents continued to drift toward their present positions.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 9, "text": "At the beginning of the period, Australia and Antarctica remained connected, and warm equatorial currents may have mixed with colder Antarctic waters, distributing the heat around the planet and keeping global temperatures high. When Australia split from the southern continent around 45 Ma, the warm equatorial currents were routed away from Antarctica. An isolated cold water channel developed between the two continents. However, modeling results call into question the thermal isolation model for late Eocene cooling, and decreasing carbon dioxide levels in the atmosphere may have been more important. Once the Antarctic region began to cool down, the ocean surrounding Antarctica began to freeze, sending cold water and icefloes north and reinforcing the cooling.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 10, "text": "The northern supercontinent of Laurasia began to fragment, as Europe, Greenland and North America drifted apart.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 11, "text": "In western North America, the Laramide Orogeny came to an end in the Eocene, and compression was replaced with crustal extension that ultimately gave rise to the Basin and Range Province. The Kishenehn Basin, around 1.5 km in elevation during the Lutetian, was uplifted to an altitude of 2.5 km by the Priabonian. Huge lakes formed in the high flat basins among uplifts, resulting in the deposition of the Green River Formation lagerstätte.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 12, "text": "At about 35 Ma, an asteroid impact on the eastern coast of North America formed the Chesapeake Bay impact crater.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 13, "text": "The Tethys Ocean finally closed with the collision of Africa and Eurasia, while the uplift of the Alps isolated its final remnant, the Mediterranean, and created another shallow sea with island archipelagos to the north. Planktonic foraminifera in the northwestern Peri-Tethys are very similar to those of the Tethys in the middle Lutetian but become completely disparate in the Bartonian, indicating biogeographic separation. Though the North Atlantic was opening, a land connection appears to have remained between North America and Europe since the faunas of the two regions are very similar.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 14, "text": "Eurasia was separated in three different landmasses 50 Ma; Western Europe, Balkanatolia and Asia. About 40 Ma, Balkanatolia and Asia were connected, while Europe was connected 34 Ma. The Fushun Basin contained large, suboxic lakes known as the paleo-Jijuntun Lakes.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 15, "text": "India collided with Asia, folding to initiate formation of the Himalayas. The incipient subcontinent collided with the Kohistan–Ladakh Arc around 50.2 Ma and with Karakoram around 40.4 Ma, with the final collision between Asia and India occurring ~40 Ma.", "title": "Palaeogeography and tectonics" }, { "paragraph_id": 16, "text": "The Eocene Epoch contained a wide variety of different climate conditions that includes the warmest climate in the Cenozoic Era, and arguably the warmest time interval since the Permian-Triassic mass extinction and Early Triassic, and ends in an icehouse climate. The evolution of the Eocene climate began with warming after the end of the Paleocene–Eocene Thermal Maximum (PETM) at 56 Ma to a maximum during the Eocene Optimum at around 49 Ma. Recent study show elevation-dependent temperature changes during the Eocene hothouse. During this period of time, little to no ice was present on Earth with a smaller difference in temperature from the equator to the poles. Because of this the maximum sea level was 150 meters higher than current levels. Following the maximum was a descent into an icehouse climate from the Eocene Optimum to the Eocene–Oligocene transition at 34 Ma. During this decrease, ice began to reappear at the poles, and the Eocene–Oligocene transition is the period of time when the Antarctic ice sheet began to rapidly expand.", "title": "Climate" }, { "paragraph_id": 17, "text": "Greenhouse gases, in particular carbon dioxide and methane, played a significant role during the Eocene in controlling the surface temperature. The end of the PETM was met with very large sequestration of carbon dioxide into the forms of methane clathrate, coal, and crude oil at the bottom of the Arctic Ocean, that reduced the atmospheric carbon dioxide. This event was similar in magnitude to the massive release of greenhouse gasses at the beginning of the PETM, and it is hypothesized that the sequestration was mainly due to organic carbon burial and weathering of silicates. For the early Eocene there is much discussion on how much carbon dioxide was in the atmosphere. This is due to numerous proxies representing different atmospheric carbon dioxide content. For example, diverse geochemical and paleontological proxies indicate that at the maximum of global warmth the atmospheric carbon dioxide values were at 700–900 ppm, while model simulations suggest a concentration of 1,680 ppm fits best with deep sea, sea surface, and near-surface air temperatures of the time. Other proxies such as pedogenic (soil building) carbonate and marine boron isotopes indicate large changes of carbon dioxide of over 2,000 ppm over periods of time of less than 1 million years. This large influx of carbon dioxide could be attributed to volcanic out-gassing due to North Atlantic rifting or oxidation of methane stored in large reservoirs deposited from the PETM event in the sea floor or wetland environments. For contrast, today the carbon dioxide levels are at 400 ppm or 0.04%.", "title": "Climate" }, { "paragraph_id": 18, "text": "During the early Eocene, methane was another greenhouse gas that had a drastic effect on the climate. Methane has 30 times more of a warming effect than carbon dioxide on a 100-year scale (i.e., methane has a global warming potential of 29.8±11). Most of the methane released to the atmosphere during this period of time would have been from wetlands, swamps, and forests. The atmospheric methane concentration today is 0.000179% or 1.79 ppmv. As a result of the warmer climate and the sea level rise associated with the early Eocene, more wetlands, more forests, and more coal deposits would have been available for methane release. If we compare the early Eocene production of methane to current levels of atmospheric methane, the early Eocene would have produced triple the amount of methane. The warm temperatures during the early Eocene could have increased methane production rates, and methane that is released into the atmosphere would in turn warm the troposphere, cool the stratosphere, and produce water vapor and carbon dioxide through oxidation. Biogenic production of methane produces carbon dioxide and water vapor along with the methane, as well as yielding infrared radiation. The breakdown of methane in an atmosphere containing oxygen produces carbon monoxide, water vapor and infrared radiation. The carbon monoxide is not stable, so it eventually becomes carbon dioxide and in doing so releases yet more infrared radiation. Water vapor traps more infrared than does carbon dioxide. At about the beginning of the Eocene Epoch (55.8–33.9 Ma) the amount of oxygen in the Earth's atmosphere more or less doubled.", "title": "Climate" }, { "paragraph_id": 19, "text": "During the warming in the early Eocene between 55 and 52 Ma, there were a series of short-term changes of carbon isotope composition in the ocean. These isotope changes occurred due to the release of carbon from the ocean into the atmosphere that led to a temperature increase of 4–8 °C (7.2–14.4 °F) at the surface of the ocean. Recent analysis of and research into these hyperthermals in the early Eocene has led to hypotheses that the hyperthermals are based on orbital parameters, in particular eccentricity and obliquity. The hyperthermals in the early Eocene, notably the Palaeocene–Eocene Thermal Maximum (PETM), the Eocene Thermal Maximum 2 (ETM2), and the Eocene Thermal Maximum 3 (ETM3), were analyzed and found that orbital control may have had a role in triggering the ETM2 and ETM3. An enhancement of the biological pump proved effective at sequestering excess carbon during the recovery phases of these hyperthermals. These hyperthermals led to increased perturbations in planktonic and benthic foraminifera, with a higher rate of fluvial sedimentation as a consequence of the warmer temperatures. Unlike the PETM, the lesser hyperthermals of the Early Eocene had negligible consequences for terrestrial mammals. These Early Eocene hyperthermals produced a sustained period of extremely hot climate known as the Early Eocene Climatic Optimum (EECO). During the early and middle EECO, the superabundance of the euryhaline dinocyst Homotryblium in New Zealand indicates elevated ocean salinity in the region.", "title": "Climate" }, { "paragraph_id": 20, "text": "One of the unique features of the Eocene's climate as mentioned before was the equable and homogeneous climate that existed in the early parts of the Eocene. A multitude of proxies support the presence of a warmer equable climate being present during this period of time. A few of these proxies include the presence of fossils native to warm climates, such as crocodiles, located in the higher latitudes, the presence in the high latitudes of frost-intolerant flora such as palm trees which cannot survive during sustained freezes, and fossils of snakes found in the tropics that would require much higher average temperatures to sustain them. TEX86 BAYSPAR measurements indicate extremely high sea surface temperatures of 40 °C (104 °F) to 45 °C (113 °F) at low latitudes, although clumped isotope analyses point to a maximum low latitude sea surface temperature of 36.3 °C (97.3 °F) ± 1.9 °C (35.4 °F) during the EECO. Relative to present-day values, bottom water temperatures are 10 °C (18 °F) higher according to isotope proxies. With these bottom water temperatures, temperatures in areas where deep water forms near the poles are unable to be much cooler than the bottom water temperatures.", "title": "Climate" }, { "paragraph_id": 21, "text": "An issue arises, however, when trying to model the Eocene and reproduce the results that are found with the proxy data. Using all different ranges of greenhouse gasses that occurred during the early Eocene, models were unable to produce the warming that was found at the poles and the reduced seasonality that occurs with winters at the poles being substantially warmer. The models, while accurately predicting the tropics, tend to produce significantly cooler temperatures of up to 20 °C (36 °F) colder than the actual determined temperature at the poles. This error has been classified as the \"equable climate problem\". To solve this problem, the solution would involve finding a process to warm the poles without warming the tropics. Some hypotheses and tests which attempt to find the process are listed below.", "title": "Climate" }, { "paragraph_id": 22, "text": "Due to the nature of water as opposed to land, less temperature variability would be present if a large body of water is also present. In an attempt to try to mitigate the cooling polar temperatures, large lakes were proposed to mitigate seasonal climate changes. To replicate this case, a lake was inserted into North America and a climate model was run using varying carbon dioxide levels. The model runs concluded that while the lake did reduce the seasonality of the region greater than just an increase in carbon dioxide, the addition of a large lake was unable to reduce the seasonality to the levels shown by the floral and faunal data.", "title": "Climate" }, { "paragraph_id": 23, "text": "The transport of heat from the tropics to the poles, much like how ocean heat transport functions in modern times, was considered a possibility for the increased temperature and reduced seasonality for the poles. With the increased sea surface temperatures and the increased temperature of the deep ocean water during the early Eocene, one common hypothesis was that due to these increases there would be a greater transport of heat from the tropics to the poles. Simulating these differences, the models produced lower heat transport due to the lower temperature gradients and were unsuccessful in producing an equable climate from only ocean heat transport.", "title": "Climate" }, { "paragraph_id": 24, "text": "While typically seen as a control on ice growth and seasonality, the orbital parameters were theorized as a possible control on continental temperatures and seasonality. Simulating the Eocene by using an ice free planet, eccentricity, obliquity, and precession were modified in different model runs to determine all the possible different scenarios that could occur and their effects on temperature. One particular case led to warmer winters and cooler summer by up to 30% in the North American continent, and it reduced the seasonal variation of temperature by up to 75%. While orbital parameters did not produce the warming at the poles, the parameters did show a great effect on seasonality and needed to be considered.", "title": "Climate" }, { "paragraph_id": 25, "text": "Another method considered for producing the warm polar temperatures were polar stratospheric clouds. Polar stratospheric clouds are clouds that occur in the lower stratosphere at very low temperatures. Polar stratospheric clouds have a great impact on radiative forcing. Due to their minimal albedo properties and their optical thickness, polar stratospheric clouds act similar to a greenhouse gas and traps outgoing longwave radiation. Different types of polar stratospheric clouds occur in the atmosphere: polar stratospheric clouds that are created due to interactions with nitric or sulfuric acid and water (Type I) or polar stratospheric clouds that are created with only water ice (Type II).", "title": "Climate" }, { "paragraph_id": 26, "text": "Methane is an important factor in the creation of the primary Type II polar stratospheric clouds that were created in the early Eocene. Since water vapor is the only supporting substance used in Type II polar stratospheric clouds, the presence of water vapor in the lower stratosphere is necessary where in most situations the presence of water vapor in the lower stratosphere is rare. When methane is oxidized, a significant amount of water vapor is released. Another requirement for polar stratospheric clouds is cold temperatures to ensure condensation and cloud production. Polar stratospheric cloud production, since it requires the cold temperatures, is usually limited to nighttime and winter conditions. With this combination of wetter and colder conditions in the lower stratosphere, polar stratospheric clouds could have formed over wide areas in Polar Regions.", "title": "Climate" }, { "paragraph_id": 27, "text": "To test the polar stratospheric clouds effects on the Eocene climate, models were run comparing the effects of polar stratospheric clouds at the poles to an increase in atmospheric carbon dioxide. The polar stratospheric clouds had a warming effect on the poles, increasing temperatures by up to 20 °C in the winter months. A multitude of feedbacks also occurred in the models due to the polar stratospheric clouds' presence. Any ice growth was slowed immensely and would lead to any present ice melting. Only the poles were affected with the change in temperature and the tropics were unaffected, which with an increase in atmospheric carbon dioxide would also cause the tropics to increase in temperature. Due to the warming of the troposphere from the increased greenhouse effect of the polar stratospheric clouds, the stratosphere would cool and would potentially increase the amount of polar stratospheric clouds.", "title": "Climate" }, { "paragraph_id": 28, "text": "While the polar stratospheric clouds could explain the reduction of the equator to pole temperature gradient and the increased temperatures at the poles during the early Eocene, there are a few drawbacks to maintaining polar stratospheric clouds for an extended period of time. Separate model runs were used to determine the sustainability of the polar stratospheric clouds. It was determined that in order to maintain the lower stratospheric water vapor, methane would need to be continually released and sustained. In addition, the amounts of ice and condensation nuclei would need to be high in order for the polar stratospheric cloud to sustain itself and eventually expand.", "title": "Climate" }, { "paragraph_id": 29, "text": "The Eocene is not only known for containing the warmest period during the Cenozoic; it also marked the decline into an icehouse climate and the rapid expansion of the Antarctic ice sheet. The transition from a warming climate into a cooling climate began at around 49 Ma. Isotopes of carbon and oxygen indicate a shift to a global cooling climate. The cause of the cooling has been attributed to a significant decrease of >2,000 ppm in atmospheric carbon dioxide concentrations. One proposed cause of the reduction in carbon dioxide during the warming to cooling transition was the azolla event. With the equable climate during the early Eocene, warm temperatures in the arctic allowed for the growth of azolla, which is a floating aquatic fern, on the Arctic Ocean. The significantly high amounts of carbon dioxide also acted to facilitate azolla blooms across the Arctic Ocean. Compared to current carbon dioxide levels, these azolla grew rapidly in the enhanced carbon dioxide levels found in the early Eocene. The isolation of the Arctic Ocean, evidenced by euxinia that occurred at this time, led to stagnant waters and as the azolla sank to the sea floor, they became part of the sediments on the seabed and effectively sequestered the carbon by locking it out of the atmosphere for good. The ability for the azolla to sequester carbon is exceptional, and the enhanced burial of azolla could have had a significant effect on the world atmospheric carbon content and may have been the event to begin the transition into an ice house climate. The azolla event could have led to a draw down of atmospheric carbon dioxide of up to 470 ppm. Assuming the carbon dioxide concentrations were at 900 ppmv prior to the Azolla Event they would have dropped to 430 ppmv, or 30 ppmv more than they are today, after the Azolla Event. This cooling trend at the end of the EECO has also been proposed to have been caused by increased siliceous plankton productivity and marine carbon burial, which also helped draw carbon dioxide out of the atmosphere. Cooling after this event, part of a trend known as the Middle-Late Eocene Cooling (MLEC), continued due to continual decrease in atmospheric carbon dioxide from organic productivity and weathering from mountain building. Many regions of the world became more arid and cold over the course of the stage, such as the Fushun Basin. In East Asia, lake level changes were in sync with global sea level changes over the course of the MLEC.", "title": "Climate" }, { "paragraph_id": 30, "text": "Global cooling continued until there was a major reversal from cooling to warming in the Bartonian. This warming event, signifying a sudden and temporary reversal of the cooling conditions, is known as the Middle Eocene Climatic Optimum (MECO). At around 41.5 Ma, stable isotopic analysis of samples from Southern Ocean drilling sites indicated a warming event for 600,000 years. A similar shift in carbon isotopes is known from the Northern Hemisphere in the Scaglia Limestones of Italy. Oxygen isotope analysis showed a large negative change in the proportion of heavier oxygen isotopes to lighter oxygen isotopes, which indicates an increase in global temperatures. The warming is considered to be primarily due to carbon dioxide increases, because carbon isotope signatures rule out major methane release during this short-term warming. A sharp increase in atmospheric carbon dioxide was observed with a maximum of 4,000 ppm: the highest amount of atmospheric carbon dioxide detected during the Eocene. Other studies suggest a more modest rise in carbon dioxide levels. The increase in atmospheric carbon dioxide has also been hypothesised to have been driven by increased seafloor spreading rates and metamorphic decarbonation reactions between Australia and Antarctica and increased amounts of volcanism in the region. One possible cause of atmospheric carbon dioxide increase could have been a sudden increase due to metamorphic release due to continental drift and collision of India with Asia and the resulting formation of the Himalayas; however, data on the exact timing of metamorphic release of atmospheric carbon dioxide is not well resolved in the data. Recent studies have mentioned, however, that the removal of the ocean between Asia and India could have released significant amounts of carbon dioxide. Another hypothesis still implicates a diminished negative feedback of silicate weathering as a result of continental rocks having become less weatherable during the warm Early and Middle Eocene, allowing volcanically released carbon dioxide to persist in the atmosphere for longer. Yet another explanation hypothesises that MECO warming was caused by the simultaneous occurrence of minima in both the 400 kyr and 2.4 Myr eccentricity cycles. During the MECO, sea surface temperatures in the Tethys Ocean jumped to 32–36 °C, and Tethyan seawater became more dysoxic. A decline in carbonate accumulation at ocean depths of greater than three kilometres took place synchronously with the peak of the MECO, signifying ocean acidification took place in the deep ocean. On top of that, MECO warming caused an increase in the respiration rates of pelagic heterotrophs, leading to a decreased proportion of primary productivity making its way down to the seafloor and causing a corresponding decline in populations of benthic foraminifera. An abrupt decrease in lakewater salinity in western North America occurred during this warming interval. This warming is short lived, as benthic oxygen isotope records indicate a return to cooling at ~40 Ma.", "title": "Climate" }, { "paragraph_id": 31, "text": "", "title": "Climate" }, { "paragraph_id": 32, "text": "At the end of the MECO, the MLEC resumed. Cooling and the carbon dioxide drawdown continued through the late Eocene and into the Eocene–Oligocene transition around 34 Ma. The post-MECO cooling brought with it a major aridification trend in Asia, enhanced by retreating seas. The cooling during the initial stages of the opening of the Drake Passage ~38.5 Ma was not global, as evidenced by an absence of cooling in the North Atlantic. During the cooling period, benthic oxygen isotopes show the possibility of ice creation and ice increase during this later cooling. The end of the Eocene and beginning of the Oligocene is marked with the massive expansion of area of the Antarctic ice sheet that was a major step into the icehouse climate. Multiple proxies, such as oxygen isotopes and alkenones, indicate that at the Eocene–Oligocene transition, the atmospheric carbon dioxide concentration had decreased to around 750–800 ppm, approximately twice that of present levels. Along with the decrease of atmospheric carbon dioxide reducing the global temperature, orbital factors in ice creation can be seen with 100,000-year and 400,000-year fluctuations in benthic oxygen isotope records. Another major contribution to the expansion of the ice sheet was the creation of the Antarctic Circumpolar Current. The creation of the Antarctic circumpolar current would isolate the cold water around the Antarctic, which would reduce heat transport to the Antarctic along with creating ocean gyres that result in the upwelling of colder bottom waters. The issue with this hypothesis of the consideration of this being a factor for the Eocene-Oligocene transition is the timing of the creation of the circulation is uncertain. For Drake Passage, sediments indicate the opening occurred ~41 Ma while tectonics indicate that this occurred ~32 Ma. Solar activity did not change significantly during the greenhouse-icehouse transition across the Eocene-Oligocene boundary.", "title": "Climate" }, { "paragraph_id": 33, "text": "During the early-middle Eocene, forests covered most of the Earth including the poles. Tropical forests extended across much of modern Africa, South America, Central America, India, South-east Asia and China. Paratropical forests grew over North America, Europe and Russia, with broad-leafed evergreen and broad-leafed deciduous forests at higher latitudes.", "title": "Flora" }, { "paragraph_id": 34, "text": "Polar forests were quite extensive. Fossils and even preserved remains of trees such as swamp cypress and dawn redwood from the Eocene have been found on Ellesmere Island in the Arctic. Even at that time, Ellesmere Island was only a few degrees in latitude further south than it is today. Fossils of subtropical and even tropical trees and plants from the Eocene also have been found in Greenland and Alaska. Tropical rainforests grew as far north as northern North America and Europe.", "title": "Flora" }, { "paragraph_id": 35, "text": "Palm trees were growing as far north as Alaska and northern Europe during the early Eocene, although they became less abundant as the climate cooled. Dawn redwoods were far more extensive as well.", "title": "Flora" }, { "paragraph_id": 36, "text": "The earliest definitive Eucalyptus fossils were dated from 51.9 Ma, and were found in the Laguna del Hunco deposit in Chubut province in Argentina.", "title": "Flora" }, { "paragraph_id": 37, "text": "Cooling began mid-period, and by the end of the Eocene continental interiors had begun to dry, with forests thinning considerably in some areas. The newly evolved grasses were still confined to river banks and lake shores, and had not yet expanded into plains and savannas.", "title": "Flora" }, { "paragraph_id": 38, "text": "The cooling also brought seasonal changes. Deciduous trees, better able to cope with large temperature changes, began to overtake evergreen tropical species. By the end of the period, deciduous forests covered large parts of the northern continents, including North America, Eurasia and the Arctic, and rainforests held on only in equatorial South America, Africa, India and Australia.", "title": "Flora" }, { "paragraph_id": 39, "text": "Antarctica began the Eocene fringed with a warm temperate to sub-tropical rainforest. Pollen found in Prydz Bay from the Eocene suggest taiga forest existed there. It became much colder as the period progressed; the heat-loving tropical flora was wiped out, and by the beginning of the Oligocene, the continent hosted deciduous forests and vast stretches of tundra.", "title": "Flora" }, { "paragraph_id": 40, "text": "During the Eocene, plants and marine faunas became quite modern. Many modern bird orders first appeared in the Eocene. The Eocene oceans were warm and teeming with fish and other sea life.", "title": "Fauna" }, { "paragraph_id": 41, "text": "The oldest known fossils of most of the modern mammal orders appear within a brief period during the early Eocene. At the beginning of the Eocene, several new mammal groups arrived in North America. These modern mammals, like artiodactyls, perissodactyls, and primates, had features like long, thin legs, feet, and hands capable of grasping, as well as differentiated teeth adapted for chewing. Dwarf forms reigned. All the members of the new mammal orders were small, under 10 kg; based on comparisons of tooth size, Eocene mammals were only 60% of the size of the primitive Palaeocene mammals that preceded them. They were also smaller than the mammals that followed them. It is assumed that the hot Eocene temperatures favored smaller animals that were better able to manage the heat.", "title": "Fauna" }, { "paragraph_id": 42, "text": "Both groups of modern ungulates (hoofed animals) became prevalent because of a major radiation between Europe and North America, along with carnivorous ungulates like Mesonyx. Early forms of many other modern mammalian orders appeared, including horses (most notably the Eohippus), bats, proboscidians (elephants), primates, rodents, and marsupials. Older primitive forms of mammals declined in variety and importance. Important Eocene land fauna fossil remains have been found in western North America, Europe, Patagonia, Egypt, and southeast Asia. Marine fauna are best known from South Asia and the southeast United States.", "title": "Fauna" }, { "paragraph_id": 43, "text": "Established megafauna of the Eocene include the Uintatherium, Arsinoitherium, and brontotheres, in which the former two, unlike the latter, did not belong to ungulates but groups that became extinct shortly after their establishments.", "title": "Fauna" }, { "paragraph_id": 44, "text": "Large terrestrial mammalian predators began to take form as the terrestrial carnivores like the Hyaenodon and Daphoenus (the earliest lineage of a once-successful predatory family known as bear dogs). Entelodonts meanwhile established themselves as some of the largest omnivores. The first nimravids, including Dinictis, established themselves as amongst the first feliforms to appear. Their groups became highly successful and continued to live past the Eocene.", "title": "Fauna" }, { "paragraph_id": 45, "text": "Basilosaurus is a very well-known Eocene whale, but whales as a group had become very diverse during the Eocene, which is when the major transitions from being terrestrial to fully aquatic in cetaceans occurred. The first sirenians were evolving at this time, and would eventually evolve into the extant manatees and dugongs.", "title": "Fauna" }, { "paragraph_id": 46, "text": "It is thought that millions of years after the Cretaceous-Paleogene extinction event, brain sizes of mammals now started to increase, \"likely driven by a need for greater cognition in increasingly complex environments\".", "title": "Fauna" }, { "paragraph_id": 47, "text": "Eocene birds include some enigmatic groups with resemblances to modern forms, some of which continued from the Paleocene. Bird taxa of the Eocene include carnivorous psittaciforms, such as Messelasturidae, Halcyornithidae, large flightless forms such as Gastornis and Eleutherornis, long legged falcon Masillaraptor, ancient galliforms such as Gallinuloides, putative rail relatives of the family Songziidae, various pseudotooth birds such as Gigantornis, the ibis relative Rhynchaeites, primitive swifts of the genus Aegialornis, and primitive penguins such as Archaeospheniscus and Inkayacu.", "title": "Fauna" }, { "paragraph_id": 48, "text": "Reptile fossils from this time, such as fossils of pythons and turtles, are abundant.", "title": "Fauna" }, { "paragraph_id": 49, "text": "Several rich fossil insect faunas are known from the Eocene, notably the Baltic amber found mainly along the south coast of the Baltic Sea, amber from the Paris Basin, France, the Fur Formation, Denmark, and the Bembridge Marls from the Isle of Wight, England. Insects found in Eocene deposits mostly belong to genera that exist today, though their range has often shifted since the Eocene. For instance the bibionid genus Plecia is common in fossil faunas from presently temperate areas, but only lives in the tropics and subtropics today.", "title": "Fauna" } ]
The Eocene Epoch is a geological epoch that lasted from about 56 to 33.9 million years ago (Ma). It is the second epoch of the Paleogene Period in the modern Cenozoic Era. The name Eocene comes from the Ancient Greek ἠώς and καινός and refers to the "dawn" of modern ('new') fauna that appeared during the epoch. The Eocene spans the time from the end of the Paleocene Epoch to the beginning of the Oligocene Epoch. The start of the Eocene is marked by a brief period in which the concentration of the carbon isotope 13C in the atmosphere was exceptionally low in comparison with the more common isotope 12C. The end is set at a major extinction event called the Grande Coupure or the Eocene–Oligocene extinction event, which may be related to the impact of one or more large bolides in Siberia and in what is now Chesapeake Bay. As with other geologic periods, the strata that define the start and end of the epoch are well identified, though their exact dates are slightly uncertain.
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https://en.wikipedia.org/wiki/Eocene
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Eindhoven
Eindhoven (Dutch: [ˈɛintˌɦoːvə(n)] ) is a city and municipality in the Netherlands, located in the southern province of North Brabant of which it is its largest and is also located in the Dutch part of the natural region the Campine. With a population of 238,326 on 1 January 2022, it is the fifth-largest city of the Netherlands and the largest outside the Randstad conurbation. Eindhoven was originally located at the confluence of the Dommel and Gender. A municipality since the 13th century, Eindhoven witnessed rapid growth starting in the 1900s by textile and tobacco industries. Two well known companies: DAF Trucks and Philips were founded in the city; Philips would go on to become a major multinational conglomerate while based in Eindhoven. Apart from Philips, Eindhoven also contains the globally famous Design Academy Eindhoven. 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 337,487. The metropolitan area consists of 780,611 inhabitants. The city region has a population of 753,426. The Brabantse Stedenrij combined metropolitan area has about two million inhabitants. 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 street names. 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'. 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. 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. 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. 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. 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. 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: Eindhoven has an oceanic climate with slightly warmer summers and colder winters than the coastal parts of the Netherlands. Its all-time record is 40.3 °C (104.5 °F) set on 25 July 2019 and −21.7 °C (−7.1 °F) set on 13 January 1968, while winter lows have dipped below −15 °C (5 °F) 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. As of 2021, the population of Eindhoven consisted of 235,691 people (according to AlleCijfers.nl). Of these, 38.5% or some 90,788 people were of (partial) 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). 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: 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. Religion in Eindhoven (2015) The spiritual needs of the Eindhoven population are tended to by a steadily shrinking number of churches, two mosques and one synagogue. 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: Eindhoven has grown from a little town in 1232 to one of the biggest cities in the Netherlands with over 240,000 inhabitants in 2022. Much of its growth is due to Philips, DAF Trucks and Brabantia. Among recent high-tech companies based in Eindhoven are NXP Semiconductors, Sendcloud, and Signify. 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 Cryogenics. 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. Due to its high-tech environment, Eindhoven is part of several initiatives to develop, foster and increase a knowledge economy. Chief among these are: 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. Since 2012, Eindhoven has vanished from the top 7 of intelligent communities. 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. Eindhoven, being a city with a 240,000+ 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 is provided to the children aged 4 to 12 in Eindhoven through a large number of primary schools: Secondary education is provided to the children aged 12 to 18 in Eindhoven through several highschools: Special needs secondary 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 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). 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 division of the municipal seats in the Eindhoven city council after the elections is shown below: 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 GreenLeft. Together they had 26 seats in the city council. The council of alder(wo)men consisted of the following people: In May 2018, a coalition was formed existing of VVD, GreenLeft, PvdA, and CDA. They had 26 seats together. The alder(wo)men were: In June 2022, a coalition has been formed existing of GreenLeft, CDA, PvdA, and D66, having 25 seats together. Their alder(wo)men have been: 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 referendums being held in the larger cities to "suggest" a candidate for the post. This was also tried in Eindhoven. 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 (PvdA). 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). For example, in the executive council of 2014-2018 mayor Van Gijzel held responsibility for the post of communication. If unavailable, the mayor is temporarily replaced by one of the aldermen. Rob van Gijzel was succeeded by John Jorritsma (VVD) on 13 September 2016. Jorritsma has been succeeded by Jeroen Dijsselbloem (PvdA) on 13 September 2022. Culturally and recreationally, Eindhoven was formed by two forces: 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. There are several cultural institutions in and around the city. Eindhoven was home to the Evoluon science museum, sponsored by Philips. The Evoluon building has evolved into a conference centre. 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. 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. 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. 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: 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 100 square metres (1,100 square feet). 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. 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. 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. 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, de 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. Eindhoven Airport is the closest airport, located approximately 8 kilometres (5 miles) 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-Otopeni, 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. Eindhoven is a rail transport hub. Eindhoven Centraal railway station is the main station in Eindhoven. It has connections in the directions of: 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. 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. 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 buses. 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. Akin to all large Dutch cities, Eindhoven has an extensive network of bicycle paths. Since 2012, the Eindhoven bicycle path network has incorporated the Hovenring. 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. Eindhoven is twinned with: Media related to Eindhoven at Wikimedia Commons Eindhoven travel guide from Wikivoyage
[ { "paragraph_id": 0, "text": "Eindhoven (Dutch: [ˈɛintˌɦoːvə(n)] ) is a city and municipality in the Netherlands, located in the southern province of North Brabant of which it is its largest and is also located in the Dutch part of the natural region the Campine. With a population of 238,326 on 1 January 2022, it is the fifth-largest city of the Netherlands and the largest outside the Randstad conurbation.", "title": "" }, { "paragraph_id": 1, "text": "Eindhoven was originally located at the confluence of the Dommel and Gender. A municipality since the 13th century, Eindhoven witnessed rapid growth starting in the 1900s by textile and tobacco industries. Two well known companies: DAF Trucks and Philips were founded in the city; Philips would go on to become a major multinational conglomerate while based in Eindhoven. Apart from Philips, Eindhoven also contains the globally famous Design Academy Eindhoven.", "title": "" }, { "paragraph_id": 2, "text": "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 337,487. The metropolitan area consists of 780,611 inhabitants. The city region has a population of 753,426. The Brabantse Stedenrij combined metropolitan area has about two million inhabitants.", "title": "" }, { "paragraph_id": 3, "text": "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 street names. 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\".", "title": "Etymology" }, { "paragraph_id": 4, "text": "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'.", "title": "Etymology" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "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.", "title": "History" }, { "paragraph_id": 7, "text": "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.", "title": "History" }, { "paragraph_id": 8, "text": "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.", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "Industrialisation brought population growth to Eindhoven. On the establishment of the Kingdom of the Netherlands in 1815, Eindhoven had 2,310 inhabitants.", "title": "History" }, { "paragraph_id": 12, "text": "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.", "title": "History" }, { "paragraph_id": 13, "text": "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.", "title": "History" }, { "paragraph_id": 14, "text": "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.", "title": "History" }, { "paragraph_id": 15, "text": "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.", "title": "History" }, { "paragraph_id": 16, "text": "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.", "title": "History" }, { "paragraph_id": 17, "text": "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.", "title": "History" }, { "paragraph_id": 18, "text": "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.", "title": "Geography" }, { "paragraph_id": 19, "text": "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.", "title": "Geography" }, { "paragraph_id": 20, "text": "The city is currently divided into seven districts:", "title": "Geography" }, { "paragraph_id": 21, "text": "Eindhoven has an oceanic climate with slightly warmer summers and colder winters than the coastal parts of the Netherlands. Its all-time record is 40.3 °C (104.5 °F) set on 25 July 2019 and −21.7 °C (−7.1 °F) set on 13 January 1968, while winter lows have dipped below −15 °C (5 °F) 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.", "title": "Geography" }, { "paragraph_id": 22, "text": "As of 2021, the population of Eindhoven consisted of 235,691 people (according to AlleCijfers.nl). Of these, 38.5% or some 90,788 people were of (partial) foreign descent.", "title": "Demographics" }, { "paragraph_id": 23, "text": "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.", "title": "Demographics" }, { "paragraph_id": 24, "text": "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.", "title": "Demographics" }, { "paragraph_id": 25, "text": "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).", "title": "Demographics" }, { "paragraph_id": 26, "text": "", "title": "Demographics" }, { "paragraph_id": 27, "text": "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.", "title": "Demographics" }, { "paragraph_id": 28, "text": "Population figures for all districts, as of 1 January 2008, ranked by size:", "title": "Demographics" }, { "paragraph_id": 29, "text": "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.", "title": "Demographics" }, { "paragraph_id": 30, "text": "Religion in Eindhoven (2015)", "title": "Demographics" }, { "paragraph_id": 31, "text": "The spiritual needs of the Eindhoven population are tended to by a steadily shrinking number of churches, two mosques and one synagogue.", "title": "Demographics" }, { "paragraph_id": 32, "text": "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.", "title": "Demographics" }, { "paragraph_id": 33, "text": "In 2009, in the Eindhoven agglomeration, the following numbers of crimes were recorded:", "title": "Demographics" }, { "paragraph_id": 34, "text": "Eindhoven has grown from a little town in 1232 to one of the biggest cities in the Netherlands with over 240,000 inhabitants in 2022. Much of its growth is due to Philips, DAF Trucks and Brabantia. Among recent high-tech companies based in Eindhoven are NXP Semiconductors, Sendcloud, and Signify.", "title": "Economy" }, { "paragraph_id": 35, "text": "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.", "title": "Economy" }, { "paragraph_id": 36, "text": "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.", "title": "Economy" }, { "paragraph_id": 37, "text": "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 Cryogenics.", "title": "Economy" }, { "paragraph_id": 38, "text": "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.", "title": "Economy" }, { "paragraph_id": 39, "text": "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.", "title": "Economy" }, { "paragraph_id": 40, "text": "Due to its high-tech environment, Eindhoven is part of several initiatives to develop, foster and increase a knowledge economy. Chief among these are:", "title": "Economy" }, { "paragraph_id": 41, "text": "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. Since 2012, Eindhoven has vanished from the top 7 of intelligent communities.", "title": "Economy" }, { "paragraph_id": 42, "text": "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.", "title": "Economy" }, { "paragraph_id": 43, "text": "Eindhoven, being a city with a 240,000+ 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.", "title": "Education" }, { "paragraph_id": 44, "text": "Primary education is provided to the children aged 4 to 12 in Eindhoven through a large number of primary schools:", "title": "Education" }, { "paragraph_id": 45, "text": "Secondary education is provided to the children aged 12 to 18 in Eindhoven through several highschools:", "title": "Education" }, { "paragraph_id": 46, "text": "Special needs secondary education:", "title": "Education" }, { "paragraph_id": 47, "text": "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:", "title": "Education" }, { "paragraph_id": 48, "text": "The Open University also has a study center in Eindhoven.", "title": "Education" }, { "paragraph_id": 49, "text": "Among the private institutions is the Centrum voor Kunsten Eindhoven, which offers art-related courses to adults (including a DJ-education).", "title": "Education" }, { "paragraph_id": 50, "text": "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.", "title": "Politics" }, { "paragraph_id": 51, "text": "The division of the municipal seats in the Eindhoven city council after the elections is shown below:", "title": "Politics" }, { "paragraph_id": 52, "text": "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.", "title": "Politics" }, { "paragraph_id": 53, "text": "In May 2014, a coalition was formed between PvdA, D66, SP, and GreenLeft. Together they had 26 seats in the city council. The council of alder(wo)men consisted of the following people:", "title": "Politics" }, { "paragraph_id": 54, "text": "In May 2018, a coalition was formed existing of VVD, GreenLeft, PvdA, and CDA. They had 26 seats together. The alder(wo)men were:", "title": "Politics" }, { "paragraph_id": 55, "text": "In June 2022, a coalition has been formed existing of GreenLeft, CDA, PvdA, and D66, having 25 seats together. Their alder(wo)men have been:", "title": "Politics" }, { "paragraph_id": 56, "text": "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 referendums being held in the larger cities to \"suggest\" a candidate for the post. This was also tried in Eindhoven.", "title": "Politics" }, { "paragraph_id": 57, "text": "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 (PvdA). Rob van Gijzel won the referendum with 61.8% of the votes and was appointed the city's new mayor.", "title": "Politics" }, { "paragraph_id": 58, "text": "The mayor is the chairman of the Council of B&W. He also has responsibility for a number of specific posts (like the aldermen). For example, in the executive council of 2014-2018 mayor Van Gijzel held responsibility for the post of communication.", "title": "Politics" }, { "paragraph_id": 59, "text": "If unavailable, the mayor is temporarily replaced by one of the aldermen.", "title": "Politics" }, { "paragraph_id": 60, "text": "Rob van Gijzel was succeeded by John Jorritsma (VVD) on 13 September 2016. Jorritsma has been succeeded by Jeroen Dijsselbloem (PvdA) on 13 September 2022.", "title": "Politics" }, { "paragraph_id": 61, "text": "Culturally and recreationally, Eindhoven was formed by two forces:", "title": "Culture and recreation" }, { "paragraph_id": 62, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 63, "text": "There are several cultural institutions in and around the city.", "title": "Culture and recreation" }, { "paragraph_id": 64, "text": "Eindhoven was home to the Evoluon science museum, sponsored by Philips. The Evoluon building has evolved into a conference centre.", "title": "Culture and recreation" }, { "paragraph_id": 65, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 66, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 67, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 68, "text": "Strijp-S is a regular location for the light festival GLOW.", "title": "Culture and recreation" }, { "paragraph_id": 69, "text": "The Effenaar is a popular music venue and cultural center in Eindhoven, and is located at the Dommelstraat.", "title": "Culture and recreation" }, { "paragraph_id": 70, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 71, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 72, "text": "Eindhoven's Plaza Futura is now a cinema featuring cultural movies, lectures and special cultural events.", "title": "Culture and recreation" }, { "paragraph_id": 73, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 74, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 75, "text": "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).", "title": "Culture and recreation" }, { "paragraph_id": 76, "text": "Eindhoven also hosts a large number of cultural and entertainment-oriented festivals. The biggest festivals in Eindhoven are:", "title": "Culture and recreation" }, { "paragraph_id": 77, "text": "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 100 square metres (1,100 square feet).", "title": "Culture and recreation" }, { "paragraph_id": 78, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 79, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 80, "text": "There is a red light district on the Baekelandplein, as well as four brothels throughout the city. There is also a blue movie theater.", "title": "Culture and recreation" }, { "paragraph_id": 81, "text": "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.", "title": "Culture and recreation" }, { "paragraph_id": 82, "text": "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.", "title": "Media" }, { "paragraph_id": 83, "text": "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, de Weekendkrant and the ZondagsNieuws. The first two are delivered midweek, the last two are weekend publications.", "title": "Media" }, { "paragraph_id": 84, "text": "There are several regional and municipal radio stations. The local radio station is Studio040, whereas Omroep Brabant and RoyaalFM provide regional radio.", "title": "Media" }, { "paragraph_id": 85, "text": "Local television is provided by Studio040. Omroep Brabant broadcasts regionally from its television studio in Son.", "title": "Media" }, { "paragraph_id": 86, "text": "Internet, television and telephone connectivity is available via cable television, optic fiber and ADSL.", "title": "Media" }, { "paragraph_id": 87, "text": "Eindhoven Airport is the closest airport, located approximately 8 kilometres (5 miles) 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).", "title": "Transport" }, { "paragraph_id": 88, "text": "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-Otopeni, 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.", "title": "Transport" }, { "paragraph_id": 89, "text": "Eindhoven is a rail transport hub. Eindhoven Centraal railway station is the main station in Eindhoven. It has connections in the directions of:", "title": "Transport" }, { "paragraph_id": 90, "text": "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.", "title": "Transport" }, { "paragraph_id": 91, "text": "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.", "title": "Transport" }, { "paragraph_id": 92, "text": "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.", "title": "Transport" }, { "paragraph_id": 93, "text": "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 buses. 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.", "title": "Transport" }, { "paragraph_id": 94, "text": "Akin to all large Dutch cities, Eindhoven has an extensive network of bicycle paths. Since 2012, the Eindhoven bicycle path network has incorporated the Hovenring.", "title": "Transport" }, { "paragraph_id": 95, "text": "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.", "title": "Medical care" }, { "paragraph_id": 96, "text": "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.", "title": "Medical care" }, { "paragraph_id": 97, "text": "Eindhoven is twinned with:", "title": "Twin towns – sister cities" }, { "paragraph_id": 98, "text": "Media related to Eindhoven at Wikimedia Commons Eindhoven travel guide from Wikivoyage", "title": "External links" } ]
Eindhoven is a city and municipality in the Netherlands, located in the southern province of North Brabant of which it is its largest and is also located in the Dutch part of the natural region the Campine. With a population of 238,326 on 1 January 2022, it is the fifth-largest city of the Netherlands and the largest outside the Randstad conurbation. Eindhoven was originally located at the confluence of the Dommel and Gender. A municipality since the 13th century, Eindhoven witnessed rapid growth starting in the 1900s by textile and tobacco industries. Two well known companies: DAF Trucks and Philips were founded in the city; Philips would go on to become a major multinational conglomerate while based in Eindhoven. Apart from Philips, Eindhoven also contains the globally famous Design Academy Eindhoven. 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 337,487. The metropolitan area consists of 780,611 inhabitants. The city region has a population of 753,426. The Brabantse Stedenrij combined metropolitan area has about two million inhabitants.
2001-09-02T03:57:23Z
2023-12-10T23:49:23Z
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https://en.wikipedia.org/wiki/Eindhoven
9,421
Helsingør
Helsingør (/ˌhɛlsɪŋˈɜːr/ HEL-sing-UR, Danish: [helse̝ŋˈøɐ̯ˀ]; Swedish: Helsingör), classically known in English as Elsinore (/ˈɛlsɪnɔːr, ˌɛlsɪˈnɔːr/ EL-sin-or, -OR), is a city in eastern Denmark. Helsingør Municipality had a population of 63,399 on 1 January 2023. Helsingør and Helsingborg in Sweden together form the northern reaches of the Øresund Region, centered on Copenhagen and Malmö. The HH Ferry route connects Helsingør with Helsingborg, 4 km (2.5 miles) across the Øresund. Its castle Kronborg was used by William Shakespeare as the setting for his play Hamlet. The name Helsingør has been believed to be derived from the word hals meaning "neck" or "narrow strait," referring to the narrowest point of the Øresund (Øre Sound) between what is now Helsingør and Helsingborg, Sweden. The people were mentioned as Helsinger (which may mean "the people of the strait") for the first time in King Valdemar the Victorious's Liber Census Daniæ from 1231 (not to be confused with the Helsings of Hälsingland in Sweden). Place names show that the Helsinger may have had their main fort at Helsingborg and a fortified landing place at Helsingør, to control the ferry route across the strait. The particularly-19th-century tradition to explain toponymies, place names, with features of the landscape does not necessarily exclude the much older tradition of reading place names as eponymous. Although an obscure legendary character, or several, Helsing is quite abundantly present in traces of lost legends in the Nordic countries. Although probably not the first Helsing, one of the three sons of Gandalf Alfgeirsson (the antagonist of Halfdan the Black, who was father of King Harald Fairhair, the semi-legendary, historical first king of a feudalist Norway) is called Helsing. He was brother to Hake and Hysing Gandalfson. Also Helsingfors/Helsinki in Finland and Hälsingland in Norrland, Sweden, refers to Helsing, as "the Land of the Helsing/Helsinger," which makes the landscape-theory of the name of Helsingør less likely. Helsingør as it is known today was founded in the 1420s by Danish King Eric of Pomerania. He established the Sound Dues in 1429, which made all foreign ships passing through the strait pay a toll, which constituted up to two-thirds of Denmark's state income. With the income, Eric built the Krogen Castle Krogen, which was expanded in the 1580s and renamed Kronborg. All ships had to stop in Helsingør to get their cargo taxed and pay a toll to the Danish Crown, which generated a significant trade for the town. In 1672, Helsingør had grown to be the third-largest town in Denmark. Johan Isaksson Pontanus (Rerum Danicarum Historica, 1631) attributes a long and partially-fictitious history to Helsingør. The Sound Dues were abolished in 1857 with the Copenhagen Convention in which all naval nations agreed to pay a one-time fee. The oldest known fortified building of Helsingør is Flynderborg, an early medieval fortress on a hill just south of the mediaeval city. Around 1200, the first church, Saint Olaf's Church, was built. A number of convents once surrounded the church, but now all that remains is the church building, today the cathedral of the Diocese of Helsingør. The oldest parts of the cathedral of Helsingør date back to the 13th century and show that the fishing village, as Helsingør was then, had grown to a town of importance. During World War II, Helsingør was among the most important transport points for the rescue of Denmark's Jewish population during the Holocaust. Adolf Hitler had ordered that all Danish Jews were to be arrested and deported to the concentration camps on Rosh HaShanah, the Jewish New Year, which fell on 2 October 1943. When Georg Ferdinand Duckwitz, a diplomatic attaché of Nazi Germany to Denmark, received word of the order on 28 September 1943, he shared it with political and Jewish community leaders. Using the name Elsinore Sewing Club (Danish: Helsingør Syklub) as a cover for messages, the Danish population formed an underground railroad of sorts that moved Jews away from the closely watched Copenhagen docks to spots further away, especially Helsingør, just two miles across the Øresund to Helsingborg, in neutral Sweden. Hundreds of civilians hid their fellow Danish Jewish citizens in their houses, farm lofts and churches until they could board them onto Danish fishing boats, personal pleasure boats and ferry boats. Over the course of three nights, Danes had smuggled over 7,200 Jews and 680 non-Jews (family members of Jews or political activists) across the Øresund to safety in Helsingborg and Malmö in Sweden. The car ferry line between Helsingør and Helsingborg, Scania, Sweden is the busiest in the world with more than 70 departures in each direction every day. The route is known as the HH Ferry route and has been sailed by several shipping lines throughout history. The car ferry terminal is connected to the town's main railway station. From the station, trains depart to Copenhagen every 20 minutes. Trains also depart to Hillerød and Gilleleje. There are another six stations or train stops within the city and connected suburbs. Apart from Helsingør Station and Ferry Terminal also Snekkersten station, Espergærde station, Mordrup station and the train stops at the line to Gilleleje, Grønnehave, Marienlyst and Højstrup. The E47 motorway towards Copenhagen begins just outside the city limits. The town and surrounding areas also have a network of local and regional buses. For a century the Helsingør Værft or Elsinore shipyard was a prominent landmark, which covered the whole area between the town and Kronborg Castle. It was founded in 1882. At its height in 1957, it had 3,600 employees. The last ship left the shipyard in 1983 and it closed the same year following substantial losses. The Wiibroe brewery, founded in 1840, was the second brewery in Denmark to ship bottled beer, just three years after Carlsberg. The last beer was brewed at Wiibroe in Helsingør in 1998. Carlsberg continues to brew beer under the Wiibroe Årgangsøl label. After the end of the industrial era, the town of Helsingør had to redefine itself, and came up with an ambitious project: Kulturhavn Kronborg, literally "Culture-harbour of Kronborg". It officially opened on 26 May 2013, intended to appeal to tourists with an interest in culture. The main attraction of Kulturhavn Kronborg is Kronborg Castle, a UNESCO World Heritage Site. Besides the historical attractions of the site, William Shakespeare's play Hamlet has been performed annually in its courtyard since 1937. There is a longstanding tradition of performing the play in English, and notable actors in the title role have included Laurence Olivier, John Gielgud, Christopher Plummer, Derek Jacobi, and in 2009 Jude Law. At the heart of Kulturhavn Kronborg lies kulturværftet or The Culture Yard, a new cultural centre and a public library located in the old dockyard. It opened in 2010. The former dry dock now houses the Danish Maritime Museum. In the centre of the harbour basin stands the polished steel sculpture Han (He) by artist duo Elmgreen and Dragset, commissioned by the City of Helsingør in 2012. It was inaugurated by then Minister of culture, Uffe Elbæk, in June 2012. It is seen as the counterpart (and even little brother) to Edvard Eriksen's world-famous The Little Mermaid statue in Copenhagen, and has caused both praise and protests among locals. The Swedish city of Helsingborg lies a short distance across the Øresund from Helsingør, approximately 4 km (2 mi). European route E55 joins the two cities; ferries connect the two sides. Dieterich Buxtehude organist and composer of the Baroque period. He was born Diderich Buxtehude presumably in Helsingborg, he serving as organist from 1660 to 1668 in Helsingør as his father that held the position as organist at St. Olaf's cathedral. Diderich Buxtehude's compositions and style became of significant influence, among others, on his student Johann Sebastian Bach. The new Danish Maritime Museum was designed by Danish prize-winning architects Bjarke Ingels Group (BIG). Jørn Utzon lived in Helsingør in his youth because his father was an engineer at Helsingør Værft. Utzon designed The Kingo Houses (1956–60) and The Hammershøj Care Centre (1962) in the city. The project was completed by Birger Schmidt (1966) after Utzon moved to Sydney to work on the Sydney Opera House. Centrum Helsingør practices twinning on the municipal level. For the twin towns, see twin towns of Helsingør Municipality.
[ { "paragraph_id": 0, "text": "Helsingør (/ˌhɛlsɪŋˈɜːr/ HEL-sing-UR, Danish: [helse̝ŋˈøɐ̯ˀ]; Swedish: Helsingör), classically known in English as Elsinore (/ˈɛlsɪnɔːr, ˌɛlsɪˈnɔːr/ EL-sin-or, -OR), is a city in eastern Denmark. Helsingør Municipality had a population of 63,399 on 1 January 2023. Helsingør and Helsingborg in Sweden together form the northern reaches of the Øresund Region, centered on Copenhagen and Malmö. The HH Ferry route connects Helsingør with Helsingborg, 4 km (2.5 miles) across the Øresund.", "title": "" }, { "paragraph_id": 1, "text": "Its castle Kronborg was used by William Shakespeare as the setting for his play Hamlet.", "title": "" }, { "paragraph_id": 2, "text": "The name Helsingør has been believed to be derived from the word hals meaning \"neck\" or \"narrow strait,\" referring to the narrowest point of the Øresund (Øre Sound) between what is now Helsingør and Helsingborg, Sweden. The people were mentioned as Helsinger (which may mean \"the people of the strait\") for the first time in King Valdemar the Victorious's Liber Census Daniæ from 1231 (not to be confused with the Helsings of Hälsingland in Sweden). Place names show that the Helsinger may have had their main fort at Helsingborg and a fortified landing place at Helsingør, to control the ferry route across the strait. The particularly-19th-century tradition to explain toponymies, place names, with features of the landscape does not necessarily exclude the much older tradition of reading place names as eponymous. Although an obscure legendary character, or several, Helsing is quite abundantly present in traces of lost legends in the Nordic countries.", "title": "History" }, { "paragraph_id": 3, "text": "Although probably not the first Helsing, one of the three sons of Gandalf Alfgeirsson (the antagonist of Halfdan the Black, who was father of King Harald Fairhair, the semi-legendary, historical first king of a feudalist Norway) is called Helsing. He was brother to Hake and Hysing Gandalfson. Also Helsingfors/Helsinki in Finland and Hälsingland in Norrland, Sweden, refers to Helsing, as \"the Land of the Helsing/Helsinger,\" which makes the landscape-theory of the name of Helsingør less likely.", "title": "History" }, { "paragraph_id": 4, "text": "Helsingør as it is known today was founded in the 1420s by Danish King Eric of Pomerania. He established the Sound Dues in 1429, which made all foreign ships passing through the strait pay a toll, which constituted up to two-thirds of Denmark's state income. With the income, Eric built the Krogen Castle Krogen, which was expanded in the 1580s and renamed Kronborg. All ships had to stop in Helsingør to get their cargo taxed and pay a toll to the Danish Crown, which generated a significant trade for the town. In 1672, Helsingør had grown to be the third-largest town in Denmark. Johan Isaksson Pontanus (Rerum Danicarum Historica, 1631) attributes a long and partially-fictitious history to Helsingør.", "title": "History" }, { "paragraph_id": 5, "text": "The Sound Dues were abolished in 1857 with the Copenhagen Convention in which all naval nations agreed to pay a one-time fee.", "title": "History" }, { "paragraph_id": 6, "text": "The oldest known fortified building of Helsingør is Flynderborg, an early medieval fortress on a hill just south of the mediaeval city.", "title": "History" }, { "paragraph_id": 7, "text": "Around 1200, the first church, Saint Olaf's Church, was built.", "title": "History" }, { "paragraph_id": 8, "text": "A number of convents once surrounded the church, but now all that remains is the church building, today the cathedral of the Diocese of Helsingør. The oldest parts of the cathedral of Helsingør date back to the 13th century and show that the fishing village, as Helsingør was then, had grown to a town of importance.", "title": "History" }, { "paragraph_id": 9, "text": "During World War II, Helsingør was among the most important transport points for the rescue of Denmark's Jewish population during the Holocaust. Adolf Hitler had ordered that all Danish Jews were to be arrested and deported to the concentration camps on Rosh HaShanah, the Jewish New Year, which fell on 2 October 1943. When Georg Ferdinand Duckwitz, a diplomatic attaché of Nazi Germany to Denmark, received word of the order on 28 September 1943, he shared it with political and Jewish community leaders. Using the name Elsinore Sewing Club (Danish: Helsingør Syklub) as a cover for messages, the Danish population formed an underground railroad of sorts that moved Jews away from the closely watched Copenhagen docks to spots further away, especially Helsingør, just two miles across the Øresund to Helsingborg, in neutral Sweden. Hundreds of civilians hid their fellow Danish Jewish citizens in their houses, farm lofts and churches until they could board them onto Danish fishing boats, personal pleasure boats and ferry boats. Over the course of three nights, Danes had smuggled over 7,200 Jews and 680 non-Jews (family members of Jews or political activists) across the Øresund to safety in Helsingborg and Malmö in Sweden.", "title": "History" }, { "paragraph_id": 10, "text": "The car ferry line between Helsingør and Helsingborg, Scania, Sweden is the busiest in the world with more than 70 departures in each direction every day. The route is known as the HH Ferry route and has been sailed by several shipping lines throughout history. The car ferry terminal is connected to the town's main railway station. From the station, trains depart to Copenhagen every 20 minutes. Trains also depart to Hillerød and Gilleleje. There are another six stations or train stops within the city and connected suburbs. Apart from Helsingør Station and Ferry Terminal also Snekkersten station, Espergærde station, Mordrup station and the train stops at the line to Gilleleje, Grønnehave, Marienlyst and Højstrup. The E47 motorway towards Copenhagen begins just outside the city limits. The town and surrounding areas also have a network of local and regional buses.", "title": "Transport" }, { "paragraph_id": 11, "text": "For a century the Helsingør Værft or Elsinore shipyard was a prominent landmark, which covered the whole area between the town and Kronborg Castle. It was founded in 1882. At its height in 1957, it had 3,600 employees. The last ship left the shipyard in 1983 and it closed the same year following substantial losses.", "title": "Industrialisation" }, { "paragraph_id": 12, "text": "The Wiibroe brewery, founded in 1840, was the second brewery in Denmark to ship bottled beer, just three years after Carlsberg. The last beer was brewed at Wiibroe in Helsingør in 1998. Carlsberg continues to brew beer under the Wiibroe Årgangsøl label.", "title": "Industrialisation" }, { "paragraph_id": 13, "text": "After the end of the industrial era, the town of Helsingør had to redefine itself, and came up with an ambitious project: Kulturhavn Kronborg, literally \"Culture-harbour of Kronborg\". It officially opened on 26 May 2013, intended to appeal to tourists with an interest in culture. The main attraction of Kulturhavn Kronborg is Kronborg Castle, a UNESCO World Heritage Site. Besides the historical attractions of the site, William Shakespeare's play Hamlet has been performed annually in its courtyard since 1937. There is a longstanding tradition of performing the play in English, and notable actors in the title role have included Laurence Olivier, John Gielgud, Christopher Plummer, Derek Jacobi, and in 2009 Jude Law. At the heart of Kulturhavn Kronborg lies kulturværftet or The Culture Yard, a new cultural centre and a public library located in the old dockyard. It opened in 2010. The former dry dock now houses the Danish Maritime Museum.", "title": "Post-industrialisation" }, { "paragraph_id": 14, "text": "In the centre of the harbour basin stands the polished steel sculpture Han (He) by artist duo Elmgreen and Dragset, commissioned by the City of Helsingør in 2012. It was inaugurated by then Minister of culture, Uffe Elbæk, in June 2012. It is seen as the counterpart (and even little brother) to Edvard Eriksen's world-famous The Little Mermaid statue in Copenhagen, and has caused both praise and protests among locals.", "title": "Post-industrialisation" }, { "paragraph_id": 15, "text": "The Swedish city of Helsingborg lies a short distance across the Øresund from Helsingør, approximately 4 km (2 mi). European route E55 joins the two cities; ferries connect the two sides.", "title": "Post-industrialisation" }, { "paragraph_id": 16, "text": "Dieterich Buxtehude organist and composer of the Baroque period. He was born Diderich Buxtehude presumably in Helsingborg, he serving as organist from 1660 to 1668 in Helsingør as his father that held the position as organist at St. Olaf's cathedral.", "title": "Music" }, { "paragraph_id": 17, "text": "Diderich Buxtehude's compositions and style became of significant influence, among others, on his student Johann Sebastian Bach.", "title": "Music" }, { "paragraph_id": 18, "text": "The new Danish Maritime Museum was designed by Danish prize-winning architects Bjarke Ingels Group (BIG).", "title": "Architecture" }, { "paragraph_id": 19, "text": "Jørn Utzon lived in Helsingør in his youth because his father was an engineer at Helsingør Værft. Utzon designed The Kingo Houses (1956–60) and The Hammershøj Care Centre (1962) in the city. The project was completed by Birger Schmidt (1966) after Utzon moved to Sydney to work on the Sydney Opera House.", "title": "Architecture" }, { "paragraph_id": 20, "text": "Centrum", "title": "Districts" }, { "paragraph_id": 21, "text": "Helsingør practices twinning on the municipal level. For the twin towns, see twin towns of Helsingør Municipality.", "title": "Twin towns – sister cities" } ]
Helsingør, classically known in English as Elsinore, is a city in eastern Denmark. Helsingør Municipality had a population of 63,399 on 1 January 2023. Helsingør and Helsingborg in Sweden together form the northern reaches of the Øresund Region, centered on Copenhagen and Malmö. The HH Ferry route connects Helsingør with Helsingborg, 4 km across the Øresund. Its castle Kronborg was used by William Shakespeare as the setting for his play Hamlet.
2001-05-03T21:26:11Z
2023-11-24T09:56:18Z
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https://en.wikipedia.org/wiki/Helsing%C3%B8r
9,422
European route E4
European route E4 passes from north to south through Sweden from the border with Finland, with a total length of 1,590 kilometres (990 mi). The Finnish part lies entirely within Tornio in northern Finland, and is only 1 kilometre (0.62 mi) long. The Swedish part traverses most of Sweden except the extreme north and the west coast region, and is commonly considered the highway backbone of Sweden, since it passes in the vicinity of many of its largest cities and through the capital Stockholm. In particular, it is the mainline road used by most vehicle traffic, both cars and lorries, between the north (Norrland) and south of Sweden or beyond. From Haparanda on the Finnish border, it stretches south along the Gulf of Bothnia to Gävle, then on a more inland route southwards. It ends in Helsingborg in Sweden, at the port for the ferry to Helsingør in Denmark. The route intersects with European route E6 just outside Helsingborg, which continues to Trelleborg on the southern coast of Sweden. The International E-road network convention was signed in 1950, with E4 routed Lisbon-Madrid-Barcelona-Nimes-Geneva-Basel-Frankfurt-Hamburg-Helsingør-Stockholm-Haparanda-Helsinki. The part in Sweden was signposted E4 in 1962. Until 1962, the road Helsingborg–Stockholm was called highway 1, and Stockholm–Haparanda highway 13. Under the new system of European routes which was decided in 1975, but introduced in Sweden in 1992, it was planned to have been a part of E55, but it remains in the pre-1992 designation (E4) within Sweden, because the expenses connected with re-signing this long road portion would be too great. Besides the signs along the road, there are thousands of signs, especially in cities, showing how to reach the E4 road. The road is now fully authorised as E4 by the relevant authority, not as E55. North of Gävle the road is of mixed standard. Depending on the fashion at the time of construction, it is either a single standard carriageway road, usually 8–13 metres (26–43 ft) wide, or a 2+1 road, a 13–14 metres (43–46 ft) wide road with two lanes in one direction and one in the other with a steel wire barrier in between, or sometimes a motorway with two lanes in each direction. North of Sundsvall, the road passes through several of the larger cities as city streets. South of Gävle, the road becomes an almost continuous motorway, with the only non-motorway part being a 32 km (20 mi) long section past Ljungby, currently a 2+1 limited-access road. Upgrade to motorway standard will start in 2018. Construction was restarted in 2022, with the expectation to finish it in 2024. With the exception of the Ljungby bypass, the final stretch of the motorway to be opened was the road between Uppsala and Mehedeby, which was inaugurated on 17 October 2007. South of Gävle, the speed limit is 110 km/h (70 mph) on 60% and 120 km/h (75 mph) on 30% of the road. North of Gävle there are varying speed limits, with 90, 100, and 110 km/h (55, 60, and 70 mph) as the most common. The speed limits on the main roads in Sweden were changed on many stretches in October 2008, which saw the introduction of the 120 km/h limit. The E4 is the fastest road to go from Germany/Denmark to areas north of the Arctic Circle, including places in Norway such as Tromsø or the North Cape. The route passes through or nearby the cities Tornio, Haparanda, Luleå, Piteå, Skellefteå, Umeå, Örnsköldsvik, Härnösand, Sundsvall, Hudiksvall, Söderhamn, Gävle, Uppsala, Stockholm, Södertälje, Nyköping, Norrköping, Linköping, Jönköping, Värnamo, Ljungby, and Helsingborg.
[ { "paragraph_id": 0, "text": "European route E4 passes from north to south through Sweden from the border with Finland, with a total length of 1,590 kilometres (990 mi). The Finnish part lies entirely within Tornio in northern Finland, and is only 1 kilometre (0.62 mi) long. The Swedish part traverses most of Sweden except the extreme north and the west coast region, and is commonly considered the highway backbone of Sweden, since it passes in the vicinity of many of its largest cities and through the capital Stockholm. In particular, it is the mainline road used by most vehicle traffic, both cars and lorries, between the north (Norrland) and south of Sweden or beyond.", "title": "" }, { "paragraph_id": 1, "text": "From Haparanda on the Finnish border, it stretches south along the Gulf of Bothnia to Gävle, then on a more inland route southwards. It ends in Helsingborg in Sweden, at the port for the ferry to Helsingør in Denmark. The route intersects with European route E6 just outside Helsingborg, which continues to Trelleborg on the southern coast of Sweden.", "title": "" }, { "paragraph_id": 2, "text": "The International E-road network convention was signed in 1950, with E4 routed Lisbon-Madrid-Barcelona-Nimes-Geneva-Basel-Frankfurt-Hamburg-Helsingør-Stockholm-Haparanda-Helsinki. The part in Sweden was signposted E4 in 1962. Until 1962, the road Helsingborg–Stockholm was called highway 1, and Stockholm–Haparanda highway 13.", "title": "History and naming" }, { "paragraph_id": 3, "text": "Under the new system of European routes which was decided in 1975, but introduced in Sweden in 1992, it was planned to have been a part of E55, but it remains in the pre-1992 designation (E4) within Sweden, because the expenses connected with re-signing this long road portion would be too great. Besides the signs along the road, there are thousands of signs, especially in cities, showing how to reach the E4 road. The road is now fully authorised as E4 by the relevant authority, not as E55.", "title": "History and naming" }, { "paragraph_id": 4, "text": "North of Gävle the road is of mixed standard. Depending on the fashion at the time of construction, it is either a single standard carriageway road, usually 8–13 metres (26–43 ft) wide, or a 2+1 road, a 13–14 metres (43–46 ft) wide road with two lanes in one direction and one in the other with a steel wire barrier in between, or sometimes a motorway with two lanes in each direction. North of Sundsvall, the road passes through several of the larger cities as city streets.", "title": "Route" }, { "paragraph_id": 5, "text": "South of Gävle, the road becomes an almost continuous motorway, with the only non-motorway part being a 32 km (20 mi) long section past Ljungby, currently a 2+1 limited-access road. Upgrade to motorway standard will start in 2018. Construction was restarted in 2022, with the expectation to finish it in 2024. With the exception of the Ljungby bypass, the final stretch of the motorway to be opened was the road between Uppsala and Mehedeby, which was inaugurated on 17 October 2007. South of Gävle, the speed limit is 110 km/h (70 mph) on 60% and 120 km/h (75 mph) on 30% of the road. North of Gävle there are varying speed limits, with 90, 100, and 110 km/h (55, 60, and 70 mph) as the most common. The speed limits on the main roads in Sweden were changed on many stretches in October 2008, which saw the introduction of the 120 km/h limit.", "title": "Route" }, { "paragraph_id": 6, "text": "The E4 is the fastest road to go from Germany/Denmark to areas north of the Arctic Circle, including places in Norway such as Tromsø or the North Cape.", "title": "Route" }, { "paragraph_id": 7, "text": "The route passes through or nearby the cities Tornio, Haparanda, Luleå, Piteå, Skellefteå, Umeå, Örnsköldsvik, Härnösand, Sundsvall, Hudiksvall, Söderhamn, Gävle, Uppsala, Stockholm, Södertälje, Nyköping, Norrköping, Linköping, Jönköping, Värnamo, Ljungby, and Helsingborg.", "title": "Route" } ]
European route E4 passes from north to south through Sweden from the border with Finland, with a total length of 1,590 kilometres (990 mi). The Finnish part lies entirely within Tornio in northern Finland, and is only 1 kilometre (0.62 mi) long. The Swedish part traverses most of Sweden except the extreme north and the west coast region, and is commonly considered the highway backbone of Sweden, since it passes in the vicinity of many of its largest cities and through the capital Stockholm. In particular, it is the mainline road used by most vehicle traffic, both cars and lorries, between the north (Norrland) and south of Sweden or beyond. From Haparanda on the Finnish border, it stretches south along the Gulf of Bothnia to Gävle, then on a more inland route southwards. It ends in Helsingborg in Sweden, at the port for the ferry to Helsingør in Denmark. The route intersects with European route E6 just outside Helsingborg, which continues to Trelleborg on the southern coast of Sweden.
2023-05-08T12:10:50Z
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https://en.wikipedia.org/wiki/European_route_E4
9,424
Ericsson
Telefonaktiebolaget LM Ericsson (lit. 'Telephone Stock Company of LM Ericsson'), commonly known as Ericsson, is a Swedish multinational networking and telecommunications company headquartered in Stockholm. The company sells infrastructure, software, and services in information and communications technology for telecommunications service providers and enterprises, including, among others, 3G, 4G, and 5G equipment, and Internet Protocol (IP) and optical transport systems. The company employs around 100,000 people and operates in more than 180 countries. Ericsson has over 57,000 granted patents. Ericsson has been a major contributor to the development of the telecommunications industry and is one of the leaders in 5G. The company was founded in 1876 by Lars Magnus Ericsson and is jointly controlled by the Wallenberg family through its holding company Investor AB, and the universal bank Handelsbanken through its investment company Industrivärden. The Wallenbergs and the Handelsbanken sphere acquired their voting-strong A-shares, and thus the control of Ericsson, after the fall of the Kreuger empire in the early 1930s. Ericsson is the inventor of Bluetooth technology. Lars Magnus Ericsson began his association with telephones in his youth as an instrument maker. He worked for a firm that made telegraph equipment for the Swedish government agency Telegrafverket. In 1876, at the age of 30, he started a telegraph repair shop with help from his friend Carl Johan Andersson in central Stockholm and repaired foreign-made telephones. In 1878, Ericsson began making and selling his telephone equipment. His telephones were not technically innovative. In 1878, he agreed to supply telephones and switchboards to Sweden's first telecommunications operating company, Stockholms Allmänna Telefonaktiebolag. As production grew in the late 1890s, and the Swedish market seemed to be reaching saturation, Ericsson expanded into foreign markets through a number of agents. The UK (Ericsson Telephones Ltd.) and Russia were early markets, where factories were later established to improve the chances of gaining local contracts and augment the output of the Swedish factory. In the UK, the National Telephone Company was a major customer; by 1897 sold 28% of its output in the UK. The Nordic countries were also Ericsson customers; they were encouraged by the growth of telephone services in Sweden. Other countries and colonies were exposed to Ericsson products through the influence of their parent countries. These included Australia and New Zealand, which by the late 1890s were Ericsson's largest non-European markets. Mass production techniques were now firmly established; telephones were losing some of their ornate finish and decoration. Despite their successes elsewhere, Ericsson did not make significant sales in the United States. The Bell Group, Kellogg, and Automatic Electric dominated the market. Ericsson eventually sold its U.S. assets. Sales in Mexico led to inroads into South American countries. South Africa and China were also generating significant sales. With his company now multinational, Lars Ericsson stepped down from the company in 1901. Ericsson ignored the growth of automatic telephony in the United States and concentrated on manual exchange designs. Their first dial telephone was produced in 1921, although sales of the early automatic switching systems were slow until the equipment had proven itself on the world's markets. Telephones of this period had a simpler design and finish, and many of the early automatic desk telephones in Ericsson's catalogs were magneto styles with a dial on the front and appropriate changes to the electronics. Elaborate decals decorated the cases. World War I, the subsequent Great Depression and the loss of its Russian assets after the Revolution slowed the company's development while sales to other countries fell by about half. The acquisition of other telecommunications companies put pressure on Ericsson's finances; in 1925, Karl Fredric Wincrantz took control of the company by acquiring most of the shares. Wincrantz was partly funded by Ivar Kreuger, an international financier. The company was renamed Telefonaktiebolaget L M Ericsson. Kreuger started showing interest in the company, being a major owner of Wincrantz holding companies. Ericsson was saved from bankruptcy and closure with the help of banks including Stockholms Enskilda Bank (now Skandinaviska Enskilda Banken) and other Swedish investment banks controlled by the Wallenberg family, and some Swedish government backing. Marcus Wallenberg Jr. negotiated a deal with several Swedish banks to rebuild Ericsson financially. The banks gradually increased their possession of LM Ericsson "A" shares, while ITT was still the largest shareholder. In 1960, the Wallenberg family bought ITT's shares in Ericsson and has since controlled the company. In the 1920s and 1930s, the world telephone markets were being organized and stabilized by many governments. The fragmented town-by-town systems serviced by small, private companies that had evolved were integrated and offered for lease to a single company. Ericsson obtained some leases, which represented further sales of equipment to the growing networks. Ericsson got almost one-third of its sales under the control of its telephone operating companies. Ericsson introduced the world's first fully automatic mobile telephone system, MTA, in 1956. It released one of the world's first hands-free speaker telephones in the 1960s. In 1954, it released the Ericofon. Ericsson crossbar switching equipment was used in telephone administrations in many countries. In 1983 the company introduced the ERIPAX suite of network products and services. In the 1990s, during the emergence of the Internet, Ericsson was regarded as slow to realize its potential and falling behind in the area of IP technology. But the company had established an Internet project in 1995 called Infocom Systems to exploit opportunities leading from fixed-line telecom and IT. CEO Lars Ramqvist wrote in the 1996 annual report that in all three of its business areas – Mobile Telephones and Terminals, Mobile Systems, and Infocom Systems – "we will expand our operations as they relate to customer service and Internet Protocol (IP) access (Internet and intranet access)". The growth of GSM, which became a de facto world standard, combined with Ericsson's other mobile standards, such as D-AMPS and PDC, meant that by the start of 1997, Ericsson had an estimated 40% share of the world's mobile market, with around 54 million subscribers. There were also around 188 million AXE lines in place or on order in 117 countries. Telecom and chip companies worked in the 1990s to provide Internet access over mobile telephones. Early versions such as Wireless Application Protocol (WAP) used packet data over the existing GSM network, in a form known as GPRS (General Packet Radio Service), but these services, known as 2.5G, were fairly rudimentary and did not achieve much mass-market success. The International Telecommunication Union (ITU) had prepared the specifications for a 3G mobile service that included several technologies. Ericsson pushed hard for the WCDMA (wideband CDMA) form based on the GSM standard and began testing it in 1996. Japanese operator NTT Docomo signed deals to partner with Ericsson and Nokia, who came together in 1997 to support WCDMA over rival standards. DoCoMo was the first operator with a live 3G network, using its own version of WCDMA called FOMA. Ericsson was a significant developer of the WCDMA version of GSM, while US-based chip developer Qualcomm promoted the alternative system CDMA2000, building on the popularity of CDMA in the US market. This resulted in a patent infringement lawsuit that was resolved in March 1999 when the two companies agreed to pay each other royalties for the use of their respective technologies and Ericsson purchased Qualcomm's wireless infrastructure business and some R&D resources. Ericsson issued a profit warning in March 2001. Over the coming year, sales to operators halved. Mobile telephones became a burden; the company's telephones unit made a loss of SEK 24 billion in 2000. A fire in a Philips chip factory in New Mexico in March 2000 caused severe disruption to Ericsson's phone production, dealing a coup de grâce to Ericsson's mobile phone hopes. Mobile phones would be spun off into a joint venture with Sony, Sony Ericsson Mobile Communications, in October 2001. Ericsson launched several rounds of restructuring, refinancing, and job-cutting; during 2001, staff numbers fell from 107,000 to 85,000. A further 20,000 went the next year, and 11,000 more in 2003. A new rights issue raised SEK 30 billion to keep the company afloat. The company had survived as mobile Internet started growing. With record profits, it was in better shape than many of its competitors. The emergence of full mobile Internet began a period of growth for the global telecom industry, including Ericsson. After the launch of 3G services in 2003, people started to access the Internet using their telephones. Ericsson was working on ways to improve WCDMA as operators were buying and rolling it out; it was the first generation of 3G access. New advances included IMS (IP Multimedia Subsystem) and the next evolution of WCDMA, called High-Speed Packet Access (HSPA). It was initially deployed in the download version called HSDPA; the technology spread from the first test calls in the US in late 2005 to 59 commercial networks in September 2006. HSPA would provide the world's first mobile broadband. In July 2016, Hans Vestberg stepped down as Ericsson's CEO after heading the company for six years. Jan Frykhammar, who had been working for the company since 1991 stepped in as interim CEO while Ericsson searched for a full-time replacement. On 16 January 2017, following Ericsson's announcement on 26 October 2016, a new CEO Börje Ekholm started and interim CEO Jan Frykhammar stepped down the following day. In June 2018, Ericsson, Inc. and Ericsson AB agreed to pay $145,893 to settle a potential civil liability for an apparent violation of the International Emergency Economic Powers Act (IEEPA) and the Sudanese Sanctions Regulations, 31 C.F.R. part 538 (SSR).1 Around 2000, companies and governments began to push for standards for mobile Internet. In May 2000, the European Commission created the Wireless Strategic Initiative, a consortium of four telecommunications suppliers in Europe – Ericsson, Nokia, Alcatel (France) and Siemens (Germany) – to develop and test new prototypes for advanced wireless communications systems. Later that year, the consortium partners invited other companies to join them in a Wireless World Research Forum in 2001. In December 1999, Microsoft and Ericsson announced a strategic partnership to combine the former's web browser and server software with the latter's mobile-internet technologies. In 2000, the Dot-com bubble burst with marked economic implications for Sweden. Ericsson, the world's largest producer of mobile telecommunications equipment, shed thousands of jobs, as did the country's Internet consulting firms and dot-com start-ups. In the same year, Intel, the world's largest semiconductor chip manufacturer, signed a $1.5 billion deal to supply flash memory to Ericsson over the next three years. The short-lived partnership, called Ericsson Microsoft Mobile Venture, owned 70/30 percent by Ericsson and Microsoft respectively, ended in October 2001 when Ericsson announced it would absorb the former joint venture and adopt a licensing agreement with Microsoft instead. The same month, Ericsson and Sony announced the creation of the mobile phone manufacturing joint venture: Sony Ericsson Mobile Communications. Ten years later, in February 2012, Ericsson sold its stake in the joint venture; Ericsson said it wanted to focus on the global wireless market as a whole. Lower stock prices and job losses affected many telecommunications companies in 2001. The major equipment manufacturers – Motorola (U.S.), Lucent Technologies (U.S.), Cisco Systems (U.S.), Marconi (UK), Siemens (Germany), Nokia (Finland), as well as Ericsson – all announced job cuts in their home countries and subsidiaries around the world. Ericsson's workforce worldwide fell during 2001 from 107,000 to 85,000. In September 2001, Ericsson purchased the remaining shares in EHPT from Hewlett-Packard. Founded in 1993, Ericsson Hewlett Packard Telecom (EHPT) was a joint venture made up of 60% Ericsson interests and 40% Hewlett-Packard interests. In 2002, ICT investor losses topped $2 trillion, and share prices fell by 95% until August of that year. More than half a million people lost their jobs in the global telecom industry over the two years. The collapse of U.S. carrier WorldCom, with more than $107 billion in assets, was the biggest in U.S. history. The sector's problems caused bankruptcies and job losses, and led to changes in the leadership of several major companies. Ericsson made 20,000 more staff redundant and raised about $3 billion from its shareholders. In June 2002, Infineon Technologies (then the sixth-largest semiconductor supplier and a subsidiary of Siemens) bought Ericsson's microelectronics unit for $400 million. Ericsson was an official backer in the 2005 launch of the .mobi top-level domain created specifically for the mobile internet. Co-operation with Hewlett-Packard did not end with EHPT; in 2003 Ericsson outsourced its IT to HP, which included Managed Services, Help Desk Support, Data Center Operations, and HP Utility Data Center. The contract was extended in 2008. In October 2005, Ericsson acquired the bulk of the troubled UK telecommunications manufacturer Marconi Company, including its brand name that dates back to the creation of the original Marconi Company by the "father of radio" Guglielmo Marconi. In September 2006, Ericsson sold the greater part of its defense business Ericsson Microwave Systems, which mainly produced sensor and radar systems, to Saab AB, which renamed the company to Saab Microwave Systems. In 2007, Ericsson acquired carrier edge-router maker Redback Networks, and then Entrisphere, a US-based company providing fiber-access technology. In September 2007, Ericsson acquired an 84% interest in German customer-care and billing software firm LHS, a stake later raised to 100%. In 2008, Ericsson sold its enterprise PBX division to Aastra Technologies, and acquired Tandberg Television, the television technology division of Norwegian company Tandberg. == In 2009, Ericsson bought the CDMA2000 and LTE business of Nortel's carrier networks division for US$1.18 billion; Bizitek, a Turkish business support systems integrator; the Estonian manufacturing operations of electronic manufacturing company Elcoteq; and completed its acquisition of LHS. Acquisitions in 2010 included assets from the Strategy and Technology Group of inCode, a North American business and consulting-services company; Nortel's majority shareholding (50% plus one share) in LG-Nortel, a joint venture between LG Electronics and Nortel Networks providing sales, R&D and industrial capacity in South Korea, now known as Ericsson-LG; further Nortel carrier-division assets, relating from Nortel's GSM business in the United States and Canada; Optimi Corporation, a U.S.–Spanish telecommunications vendor specializing in network optimization and management; and Pride, a consulting and systems-integration company operating in Italy. In 2011, Ericsson acquired manufacturing and research facilities, and staff from the Guangdong Nortel Telecommunication Equipment Company (GDNT) as well as Nortel's Multiservice Switch business. Ericsson acquired U.S. company Telcordia Technologies in January 2012, an operations and business support systems (OSS/BSS) company. In March, Ericsson announced it was buying the broadcast-services division of Technicolor, a media broadcast technology company. In April 2012 Ericsson completed the acquisition of BelAir Networks a strong Wi-Fi network technology company. On 3 May 2013, Ericsson announced it would divest its power cable operations to Danish company NKT Holding. On 1 July 2013, Ericsson announced it would acquire the media management company Red Bee Media, subject to regulatory approval. The acquisition was completed on 9 May 2014. In September 2013, Ericsson completed its acquisition of Microsoft's Mediaroom business and televisions services, originally announced in April the same year. The acquisition makes Ericsson the largest provider of IPTV and multi-screen services in the world, by market share; it was renamed Ericsson Mediaroom. In September 2014, Ericsson acquired a majority stake in Apcera for cloud policy compliance. In October 2015, Ericsson completed the acquisition of Envivio, a software encoding company. In April 2016, Ericsson acquired Polish and Ukrainian operations of software development company Ericpol, a long-time supplier to Ericsson. Approximately 2,300 Ericpol employees joined Ericsson, bringing software development competence in radio, cloud, and IP. On 20 June 2017, Bloomberg disclosed that Ericsson hired Morgan Stanley to explore the sale of its media businesses. The Red Bee Media business was kept in-house as an independent subsidiary company, as no suitable buyer was found, but a 51% stake of the remainder of the Media Solution division was sold to private equity firm One Equity Partners, the new company being named MediaKind. The transaction was completed on 31 January 2019. In February 2018, Ericsson acquired the location-based mobile data management platform Placecast. Ericsson has since integrated Placecast's platform and capabilities with its programmatic mobile ad subsidiary, Emodo. In May 2018, SoftBank partnered with Ericsson to trial new radio technology. In September 2020, Ericsson acquired US-based carrier equipment manufacturer Cradlepoint for $1.1 billion. In November 2021, Ericsson announced it had reached an agreement to acquire Vonage for $6.2 billion. The acquisition completed in July 2022. As of 2016, members of the board of directors of LM Ericsson were: Leif Johansson, Jacob Wallenberg, Kristin S. Rinne, Helena Stjernholm, Sukhinder Singh Cassidy, Börje Ekholm, Ulf J. Johansson, Mikael Lännqvist, Zlatko Hadzic, Kjell-Åke Soting, Nora Denzel, Kristin Skogen Lund, Pehr Claesson, Karin Åberg and Roger Svensson. Ericsson has structured its R&D in three levels depending on when products or technologies will be introduced to customers and users. Its research and development organization is part of 'Group Function Technology' and addresses several facets of network architecture: wireless access networks; radio access technologies; broadband technologies; packet technologies; multimedia technologies; services software; EMF safety and sustainability; security; and global services. The head of research since 2012 is Sara Mazur. Group Function Technology holds research co-operations with several major universities and research institutes including Lund University in Sweden, Eötvös Loránd University in Hungary and Beijing Institute of Technology in China. Ericsson also holds research co-operations within several European research programs such as GigaWam and OASE. Ericsson holds 33,000 granted patents and is the number-one holder of GSM/GPRS/EDGE, WCDMA/HSPA, and LTE essential patents. In 2021, the WIPO's annual World Intellectual Property Indicators report ranked Ericsson's number of patent applications published under the PCT System as 6th in the world, with 1,989 patent applications being published during 2020. This position is up from their previous ranking as 7th in 2019 with 1,698 applications. Ericsson hosts a developer program called Ericsson Developer Connection designed to encourage the development of applications and services. Ericsson also has an open innovation initiative for beta applications and beta API's & tools called Ericsson Labs. The company hosts several internal innovation competitions among its employees. In May 2022, it was announced that Ericsson and Intel are pooling R&D excellence to create high-performing Cloud RAN solutions. The organisations have pooled to launch a tech hub in California, USA. The hub focuses on the benefits that Ericsson Cloud RAN and Intel technology can bring to: improving energy efficiency and network performance, reducing time to market, and monetizing new business opportunities such as enterprise applications. Ericsson's business includes technology research, development, network systems and software development, and running operations for telecom service providers. and software Ericsson offers end-to-end services for all major mobile communication standards, and has three main business units. Business Area Networks, previously called Business Unit Networks, develop network infrastructure for communication needs over mobile and fixed connections. Its products include radio base stations, radio network controllers, mobile switching centers and service application nodes. Operators use Ericsson products to migrate from 2G to 3G and, most recently, to 4G networks. The company's network division has been described as a driver in the development of 2G, 3G, 4G/LTE and 5G technology, and the evolution towards all-IP, and it develops and deploys advanced LTE systems, but it is still developing the older GSM, WCDMA, and CDMA technologies. The company's networks portfolio also includes microwave transport, Internet Protocol (IP) networks, fixed-access services for copper and fiber, and mobile broadband modules, several levels of fixed broadband access, radio access networks from small pico cells to high-capacity macro cells and controllers for radio base stations. Ericsson's network rollout services employ in-house capabilities, subcontractors and central resources to make changes to live networks. Services such as technology deployment, network transformation, support services and network optimization are also provided. This unit provides core networks, Operations Support Systems such as network management and analytics, and Business Support Systems such as billing and mediation. Within the Digital Services unit, there is an m-Commerce offering, which focuses on service providers and facilitates their working with financial institutions and intermediaries. Ericsson has announced m-commerce deals with Western Union and African wireless carrier MTN. The unit is active in 180 countries; it supplies managed services, systems integration, consulting, network rollout, design and optimization, broadcast services, learning services and support. The company also works with television and media, public safety, and utilities. Ericsson claims to manage networks that serve more than 1 billion subscribers worldwide, and to support customer networks that serve more than 2.5 billion subscribers. Ericsson's Broadcast Services unit was evolved into a unit called Red Bee Media, which has been spun out into a joint venture. It deals with the playout of live and pre-recorded, commercial and public service television programmes, including presentation (continuity announcements), trailers, and ancillary access services such as closed-caption subtitles, audio description and in-vision sign language interpreters. Its media management services consist of Managed Media Preparation and Managed Media Internet Delivery. Sony Ericsson Mobile Communications AB (Sony Ericsson) was a joint venture with Sony that merged the previous mobile telephone operations of both companies. It manufactured mobile telephones, accessories and personal computer (PC) cards. Sony Ericsson was responsible for product design and development, marketing, sales, distribution and customer services. On 16 February 2012, Sony announced it had completed the full acquisition of Sony Ericsson, after which it changed name to Sony Mobile Communications, and nearly a year later it moved headquarters from Sweden to Japan. As a joint venture with Sony, Ericsson's mobile telephone production was moved into the company Sony Ericsson in 2001. The following is a list of mobile phones marketed under the brand name Ericsson. Ericsson Mobile Platforms existed for eight years; on 12 February 2009, Ericsson announced it would be merged with the mobile platform company of STMicroelectronics, ST-NXP Wireless, to create a 50/50 joint venture owned by Ericsson and STMicroelectronics. This joint venture was divested in 2013 and remaining activities can be found in Ericsson Modems and STMicroelectronics. Ericsson Mobile Platform ceased being a legal entity early 2009. Starting in 1983 Ericsson Enterprise provided communications systems and services for businesses, public entities and educational institutions. It produced products for voice over Internet protocol (VoIP)-based private branch exchanges (PBX), wireless local area networks (WLAN), and mobile intranets. Ericsson Enterprise operated mainly from Sweden but also operated through regional units and other partners/distributors. In 2008 it was sold to Aastra. On 7 December 2019, Ericsson agreed to pay more than $1.2 billion (€1.09 billion) to settle U.S. Department of Justice FCPA criminal and civil investigations into foreign corruption. US authorities accused the company of conducting a campaign of corruption between 2000 and 2016 across China, Indonesia, Vietnam, Kuwait and Djibouti. Ericsson admitted to paying bribes, falsifying books and records and failing to implement reasonable internal accounting controls in an attempt to strengthen its position in the telecommunications industry. In 2022, an internal investigation into corruption inside the company was leaked by the International Consortium of Investigative Journalists. It detailed corruption in at least 10 countries. Ericsson has admitted "serious breaches of compliance rules". The leak also revealed that some subcontractors working on behalf of Ericsson paid bribes to the Islamic State in order to continue operating the telecom network in occupied regions of Iraq.
[ { "paragraph_id": 0, "text": "Telefonaktiebolaget LM Ericsson (lit. 'Telephone Stock Company of LM Ericsson'), commonly known as Ericsson, is a Swedish multinational networking and telecommunications company headquartered in Stockholm. The company sells infrastructure, software, and services in information and communications technology for telecommunications service providers and enterprises, including, among others, 3G, 4G, and 5G equipment, and Internet Protocol (IP) and optical transport systems. The company employs around 100,000 people and operates in more than 180 countries. Ericsson has over 57,000 granted patents.", "title": "" }, { "paragraph_id": 1, "text": "Ericsson has been a major contributor to the development of the telecommunications industry and is one of the leaders in 5G.", "title": "" }, { "paragraph_id": 2, "text": "The company was founded in 1876 by Lars Magnus Ericsson and is jointly controlled by the Wallenberg family through its holding company Investor AB, and the universal bank Handelsbanken through its investment company Industrivärden. The Wallenbergs and the Handelsbanken sphere acquired their voting-strong A-shares, and thus the control of Ericsson, after the fall of the Kreuger empire in the early 1930s.", "title": "" }, { "paragraph_id": 3, "text": "Ericsson is the inventor of Bluetooth technology.", "title": "" }, { "paragraph_id": 4, "text": "Lars Magnus Ericsson began his association with telephones in his youth as an instrument maker. He worked for a firm that made telegraph equipment for the Swedish government agency Telegrafverket. In 1876, at the age of 30, he started a telegraph repair shop with help from his friend Carl Johan Andersson in central Stockholm and repaired foreign-made telephones. In 1878, Ericsson began making and selling his telephone equipment. His telephones were not technically innovative. In 1878, he agreed to supply telephones and switchboards to Sweden's first telecommunications operating company, Stockholms Allmänna Telefonaktiebolag.", "title": "History" }, { "paragraph_id": 5, "text": "As production grew in the late 1890s, and the Swedish market seemed to be reaching saturation, Ericsson expanded into foreign markets through a number of agents. The UK (Ericsson Telephones Ltd.) and Russia were early markets, where factories were later established to improve the chances of gaining local contracts and augment the output of the Swedish factory. In the UK, the National Telephone Company was a major customer; by 1897 sold 28% of its output in the UK. The Nordic countries were also Ericsson customers; they were encouraged by the growth of telephone services in Sweden.", "title": "History" }, { "paragraph_id": 6, "text": "Other countries and colonies were exposed to Ericsson products through the influence of their parent countries. These included Australia and New Zealand, which by the late 1890s were Ericsson's largest non-European markets. Mass production techniques were now firmly established; telephones were losing some of their ornate finish and decoration.", "title": "History" }, { "paragraph_id": 7, "text": "Despite their successes elsewhere, Ericsson did not make significant sales in the United States. The Bell Group, Kellogg, and Automatic Electric dominated the market. Ericsson eventually sold its U.S. assets. Sales in Mexico led to inroads into South American countries. South Africa and China were also generating significant sales. With his company now multinational, Lars Ericsson stepped down from the company in 1901.", "title": "History" }, { "paragraph_id": 8, "text": "Ericsson ignored the growth of automatic telephony in the United States and concentrated on manual exchange designs. Their first dial telephone was produced in 1921, although sales of the early automatic switching systems were slow until the equipment had proven itself on the world's markets. Telephones of this period had a simpler design and finish, and many of the early automatic desk telephones in Ericsson's catalogs were magneto styles with a dial on the front and appropriate changes to the electronics. Elaborate decals decorated the cases. World War I, the subsequent Great Depression and the loss of its Russian assets after the Revolution slowed the company's development while sales to other countries fell by about half.", "title": "History" }, { "paragraph_id": 9, "text": "The acquisition of other telecommunications companies put pressure on Ericsson's finances; in 1925, Karl Fredric Wincrantz took control of the company by acquiring most of the shares. Wincrantz was partly funded by Ivar Kreuger, an international financier. The company was renamed Telefonaktiebolaget L M Ericsson. Kreuger started showing interest in the company, being a major owner of Wincrantz holding companies.", "title": "History" }, { "paragraph_id": 10, "text": "Ericsson was saved from bankruptcy and closure with the help of banks including Stockholms Enskilda Bank (now Skandinaviska Enskilda Banken) and other Swedish investment banks controlled by the Wallenberg family, and some Swedish government backing. Marcus Wallenberg Jr. negotiated a deal with several Swedish banks to rebuild Ericsson financially. The banks gradually increased their possession of LM Ericsson \"A\" shares, while ITT was still the largest shareholder. In 1960, the Wallenberg family bought ITT's shares in Ericsson and has since controlled the company.", "title": "History" }, { "paragraph_id": 11, "text": "In the 1920s and 1930s, the world telephone markets were being organized and stabilized by many governments. The fragmented town-by-town systems serviced by small, private companies that had evolved were integrated and offered for lease to a single company. Ericsson obtained some leases, which represented further sales of equipment to the growing networks. Ericsson got almost one-third of its sales under the control of its telephone operating companies.", "title": "History" }, { "paragraph_id": 12, "text": "Ericsson introduced the world's first fully automatic mobile telephone system, MTA, in 1956. It released one of the world's first hands-free speaker telephones in the 1960s. In 1954, it released the Ericofon. Ericsson crossbar switching equipment was used in telephone administrations in many countries. In 1983 the company introduced the ERIPAX suite of network products and services.", "title": "History" }, { "paragraph_id": 13, "text": "In the 1990s, during the emergence of the Internet, Ericsson was regarded as slow to realize its potential and falling behind in the area of IP technology. But the company had established an Internet project in 1995 called Infocom Systems to exploit opportunities leading from fixed-line telecom and IT. CEO Lars Ramqvist wrote in the 1996 annual report that in all three of its business areas – Mobile Telephones and Terminals, Mobile Systems, and Infocom Systems – \"we will expand our operations as they relate to customer service and Internet Protocol (IP) access (Internet and intranet access)\".", "title": "History" }, { "paragraph_id": 14, "text": "The growth of GSM, which became a de facto world standard, combined with Ericsson's other mobile standards, such as D-AMPS and PDC, meant that by the start of 1997, Ericsson had an estimated 40% share of the world's mobile market, with around 54 million subscribers. There were also around 188 million AXE lines in place or on order in 117 countries. Telecom and chip companies worked in the 1990s to provide Internet access over mobile telephones. Early versions such as Wireless Application Protocol (WAP) used packet data over the existing GSM network, in a form known as GPRS (General Packet Radio Service), but these services, known as 2.5G, were fairly rudimentary and did not achieve much mass-market success.", "title": "History" }, { "paragraph_id": 15, "text": "The International Telecommunication Union (ITU) had prepared the specifications for a 3G mobile service that included several technologies. Ericsson pushed hard for the WCDMA (wideband CDMA) form based on the GSM standard and began testing it in 1996. Japanese operator NTT Docomo signed deals to partner with Ericsson and Nokia, who came together in 1997 to support WCDMA over rival standards. DoCoMo was the first operator with a live 3G network, using its own version of WCDMA called FOMA. Ericsson was a significant developer of the WCDMA version of GSM, while US-based chip developer Qualcomm promoted the alternative system CDMA2000, building on the popularity of CDMA in the US market. This resulted in a patent infringement lawsuit that was resolved in March 1999 when the two companies agreed to pay each other royalties for the use of their respective technologies and Ericsson purchased Qualcomm's wireless infrastructure business and some R&D resources.", "title": "History" }, { "paragraph_id": 16, "text": "Ericsson issued a profit warning in March 2001. Over the coming year, sales to operators halved. Mobile telephones became a burden; the company's telephones unit made a loss of SEK 24 billion in 2000. A fire in a Philips chip factory in New Mexico in March 2000 caused severe disruption to Ericsson's phone production, dealing a coup de grâce to Ericsson's mobile phone hopes. Mobile phones would be spun off into a joint venture with Sony, Sony Ericsson Mobile Communications, in October 2001. Ericsson launched several rounds of restructuring, refinancing, and job-cutting; during 2001, staff numbers fell from 107,000 to 85,000. A further 20,000 went the next year, and 11,000 more in 2003. A new rights issue raised SEK 30 billion to keep the company afloat. The company had survived as mobile Internet started growing. With record profits, it was in better shape than many of its competitors.", "title": "History" }, { "paragraph_id": 17, "text": "The emergence of full mobile Internet began a period of growth for the global telecom industry, including Ericsson. After the launch of 3G services in 2003, people started to access the Internet using their telephones.", "title": "History" }, { "paragraph_id": 18, "text": "Ericsson was working on ways to improve WCDMA as operators were buying and rolling it out; it was the first generation of 3G access. New advances included IMS (IP Multimedia Subsystem) and the next evolution of WCDMA, called High-Speed Packet Access (HSPA). It was initially deployed in the download version called HSDPA; the technology spread from the first test calls in the US in late 2005 to 59 commercial networks in September 2006. HSPA would provide the world's first mobile broadband.", "title": "History" }, { "paragraph_id": 19, "text": "In July 2016, Hans Vestberg stepped down as Ericsson's CEO after heading the company for six years. Jan Frykhammar, who had been working for the company since 1991 stepped in as interim CEO while Ericsson searched for a full-time replacement. On 16 January 2017, following Ericsson's announcement on 26 October 2016, a new CEO Börje Ekholm started and interim CEO Jan Frykhammar stepped down the following day.", "title": "History" }, { "paragraph_id": 20, "text": "In June 2018, Ericsson, Inc. and Ericsson AB agreed to pay $145,893 to settle a potential civil liability for an apparent violation of the International Emergency Economic Powers Act (IEEPA) and the Sudanese Sanctions Regulations, 31 C.F.R. part 538 (SSR).1", "title": "History" }, { "paragraph_id": 21, "text": "Around 2000, companies and governments began to push for standards for mobile Internet. In May 2000, the European Commission created the Wireless Strategic Initiative, a consortium of four telecommunications suppliers in Europe – Ericsson, Nokia, Alcatel (France) and Siemens (Germany) – to develop and test new prototypes for advanced wireless communications systems. Later that year, the consortium partners invited other companies to join them in a Wireless World Research Forum in 2001. In December 1999, Microsoft and Ericsson announced a strategic partnership to combine the former's web browser and server software with the latter's mobile-internet technologies. In 2000, the Dot-com bubble burst with marked economic implications for Sweden. Ericsson, the world's largest producer of mobile telecommunications equipment, shed thousands of jobs, as did the country's Internet consulting firms and dot-com start-ups. In the same year, Intel, the world's largest semiconductor chip manufacturer, signed a $1.5 billion deal to supply flash memory to Ericsson over the next three years.", "title": "History" }, { "paragraph_id": 22, "text": "The short-lived partnership, called Ericsson Microsoft Mobile Venture, owned 70/30 percent by Ericsson and Microsoft respectively, ended in October 2001 when Ericsson announced it would absorb the former joint venture and adopt a licensing agreement with Microsoft instead. The same month, Ericsson and Sony announced the creation of the mobile phone manufacturing joint venture: Sony Ericsson Mobile Communications. Ten years later, in February 2012, Ericsson sold its stake in the joint venture; Ericsson said it wanted to focus on the global wireless market as a whole.", "title": "History" }, { "paragraph_id": 23, "text": "Lower stock prices and job losses affected many telecommunications companies in 2001. The major equipment manufacturers – Motorola (U.S.), Lucent Technologies (U.S.), Cisco Systems (U.S.), Marconi (UK), Siemens (Germany), Nokia (Finland), as well as Ericsson – all announced job cuts in their home countries and subsidiaries around the world. Ericsson's workforce worldwide fell during 2001 from 107,000 to 85,000.", "title": "History" }, { "paragraph_id": 24, "text": "In September 2001, Ericsson purchased the remaining shares in EHPT from Hewlett-Packard. Founded in 1993, Ericsson Hewlett Packard Telecom (EHPT) was a joint venture made up of 60% Ericsson interests and 40% Hewlett-Packard interests.", "title": "History" }, { "paragraph_id": 25, "text": "In 2002, ICT investor losses topped $2 trillion, and share prices fell by 95% until August of that year. More than half a million people lost their jobs in the global telecom industry over the two years. The collapse of U.S. carrier WorldCom, with more than $107 billion in assets, was the biggest in U.S. history. The sector's problems caused bankruptcies and job losses, and led to changes in the leadership of several major companies. Ericsson made 20,000 more staff redundant and raised about $3 billion from its shareholders. In June 2002, Infineon Technologies (then the sixth-largest semiconductor supplier and a subsidiary of Siemens) bought Ericsson's microelectronics unit for $400 million.", "title": "History" }, { "paragraph_id": 26, "text": "Ericsson was an official backer in the 2005 launch of the .mobi top-level domain created specifically for the mobile internet.", "title": "History" }, { "paragraph_id": 27, "text": "Co-operation with Hewlett-Packard did not end with EHPT; in 2003 Ericsson outsourced its IT to HP, which included Managed Services, Help Desk Support, Data Center Operations, and HP Utility Data Center. The contract was extended in 2008. In October 2005, Ericsson acquired the bulk of the troubled UK telecommunications manufacturer Marconi Company, including its brand name that dates back to the creation of the original Marconi Company by the \"father of radio\" Guglielmo Marconi. In September 2006, Ericsson sold the greater part of its defense business Ericsson Microwave Systems, which mainly produced sensor and radar systems, to Saab AB, which renamed the company to Saab Microwave Systems.", "title": "History" }, { "paragraph_id": 28, "text": "In 2007, Ericsson acquired carrier edge-router maker Redback Networks, and then Entrisphere, a US-based company providing fiber-access technology. In September 2007, Ericsson acquired an 84% interest in German customer-care and billing software firm LHS, a stake later raised to 100%. In 2008, Ericsson sold its enterprise PBX division to Aastra Technologies, and acquired Tandberg Television, the television technology division of Norwegian company Tandberg. == In 2009, Ericsson bought the CDMA2000 and LTE business of Nortel's carrier networks division for US$1.18 billion; Bizitek, a Turkish business support systems integrator; the Estonian manufacturing operations of electronic manufacturing company Elcoteq; and completed its acquisition of LHS. Acquisitions in 2010 included assets from the Strategy and Technology Group of inCode, a North American business and consulting-services company; Nortel's majority shareholding (50% plus one share) in LG-Nortel, a joint venture between LG Electronics and Nortel Networks providing sales, R&D and industrial capacity in South Korea, now known as Ericsson-LG; further Nortel carrier-division assets, relating from Nortel's GSM business in the United States and Canada; Optimi Corporation, a U.S.–Spanish telecommunications vendor specializing in network optimization and management; and Pride, a consulting and systems-integration company operating in Italy.", "title": "History" }, { "paragraph_id": 29, "text": "In 2011, Ericsson acquired manufacturing and research facilities, and staff from the Guangdong Nortel Telecommunication Equipment Company (GDNT) as well as Nortel's Multiservice Switch business. Ericsson acquired U.S. company Telcordia Technologies in January 2012, an operations and business support systems (OSS/BSS) company. In March, Ericsson announced it was buying the broadcast-services division of Technicolor, a media broadcast technology company. In April 2012 Ericsson completed the acquisition of BelAir Networks a strong Wi-Fi network technology company.", "title": "History" }, { "paragraph_id": 30, "text": "On 3 May 2013, Ericsson announced it would divest its power cable operations to Danish company NKT Holding. On 1 July 2013, Ericsson announced it would acquire the media management company Red Bee Media, subject to regulatory approval. The acquisition was completed on 9 May 2014. In September 2013, Ericsson completed its acquisition of Microsoft's Mediaroom business and televisions services, originally announced in April the same year. The acquisition makes Ericsson the largest provider of IPTV and multi-screen services in the world, by market share; it was renamed Ericsson Mediaroom. In September 2014, Ericsson acquired a majority stake in Apcera for cloud policy compliance. In October 2015, Ericsson completed the acquisition of Envivio, a software encoding company. In April 2016, Ericsson acquired Polish and Ukrainian operations of software development company Ericpol, a long-time supplier to Ericsson. Approximately 2,300 Ericpol employees joined Ericsson, bringing software development competence in radio, cloud, and IP.", "title": "History" }, { "paragraph_id": 31, "text": "On 20 June 2017, Bloomberg disclosed that Ericsson hired Morgan Stanley to explore the sale of its media businesses. The Red Bee Media business was kept in-house as an independent subsidiary company, as no suitable buyer was found, but a 51% stake of the remainder of the Media Solution division was sold to private equity firm One Equity Partners, the new company being named MediaKind. The transaction was completed on 31 January 2019. In February 2018, Ericsson acquired the location-based mobile data management platform Placecast. Ericsson has since integrated Placecast's platform and capabilities with its programmatic mobile ad subsidiary, Emodo. In May 2018, SoftBank partnered with Ericsson to trial new radio technology. In September 2020, Ericsson acquired US-based carrier equipment manufacturer Cradlepoint for $1.1 billion.", "title": "History" }, { "paragraph_id": 32, "text": "In November 2021, Ericsson announced it had reached an agreement to acquire Vonage for $6.2 billion. The acquisition completed in July 2022.", "title": "History" }, { "paragraph_id": 33, "text": "As of 2016, members of the board of directors of LM Ericsson were: Leif Johansson, Jacob Wallenberg, Kristin S. Rinne, Helena Stjernholm, Sukhinder Singh Cassidy, Börje Ekholm, Ulf J. Johansson, Mikael Lännqvist, Zlatko Hadzic, Kjell-Åke Soting, Nora Denzel, Kristin Skogen Lund, Pehr Claesson, Karin Åberg and Roger Svensson.", "title": "Corporate governance" }, { "paragraph_id": 34, "text": "Ericsson has structured its R&D in three levels depending on when products or technologies will be introduced to customers and users. Its research and development organization is part of 'Group Function Technology' and addresses several facets of network architecture: wireless access networks; radio access technologies; broadband technologies; packet technologies; multimedia technologies; services software; EMF safety and sustainability; security; and global services. The head of research since 2012 is Sara Mazur.", "title": "Research and development" }, { "paragraph_id": 35, "text": "Group Function Technology holds research co-operations with several major universities and research institutes including Lund University in Sweden, Eötvös Loránd University in Hungary and Beijing Institute of Technology in China. Ericsson also holds research co-operations within several European research programs such as GigaWam and OASE. Ericsson holds 33,000 granted patents and is the number-one holder of GSM/GPRS/EDGE, WCDMA/HSPA, and LTE essential patents. In 2021, the WIPO's annual World Intellectual Property Indicators report ranked Ericsson's number of patent applications published under the PCT System as 6th in the world, with 1,989 patent applications being published during 2020. This position is up from their previous ranking as 7th in 2019 with 1,698 applications.", "title": "Research and development" }, { "paragraph_id": 36, "text": "Ericsson hosts a developer program called Ericsson Developer Connection designed to encourage the development of applications and services. Ericsson also has an open innovation initiative for beta applications and beta API's & tools called Ericsson Labs. The company hosts several internal innovation competitions among its employees.", "title": "Research and development" }, { "paragraph_id": 37, "text": "In May 2022, it was announced that Ericsson and Intel are pooling R&D excellence to create high-performing Cloud RAN solutions. The organisations have pooled to launch a tech hub in California, USA. The hub focuses on the benefits that Ericsson Cloud RAN and Intel technology can bring to: improving energy efficiency and network performance, reducing time to market, and monetizing new business opportunities such as enterprise applications.", "title": "Research and development" }, { "paragraph_id": 38, "text": "Ericsson's business includes technology research, development, network systems and software development, and running operations for telecom service providers. and software Ericsson offers end-to-end services for all major mobile communication standards, and has three main business units.", "title": "Products and services" }, { "paragraph_id": 39, "text": "Business Area Networks, previously called Business Unit Networks, develop network infrastructure for communication needs over mobile and fixed connections. Its products include radio base stations, radio network controllers, mobile switching centers and service application nodes. Operators use Ericsson products to migrate from 2G to 3G and, most recently, to 4G networks.", "title": "Products and services" }, { "paragraph_id": 40, "text": "The company's network division has been described as a driver in the development of 2G, 3G, 4G/LTE and 5G technology, and the evolution towards all-IP, and it develops and deploys advanced LTE systems, but it is still developing the older GSM, WCDMA, and CDMA technologies. The company's networks portfolio also includes microwave transport, Internet Protocol (IP) networks, fixed-access services for copper and fiber, and mobile broadband modules, several levels of fixed broadband access, radio access networks from small pico cells to high-capacity macro cells and controllers for radio base stations.", "title": "Products and services" }, { "paragraph_id": 41, "text": "Ericsson's network rollout services employ in-house capabilities, subcontractors and central resources to make changes to live networks. Services such as technology deployment, network transformation, support services and network optimization are also provided.", "title": "Products and services" }, { "paragraph_id": 42, "text": "This unit provides core networks, Operations Support Systems such as network management and analytics, and Business Support Systems such as billing and mediation. Within the Digital Services unit, there is an m-Commerce offering, which focuses on service providers and facilitates their working with financial institutions and intermediaries. Ericsson has announced m-commerce deals with Western Union and African wireless carrier MTN.", "title": "Products and services" }, { "paragraph_id": 43, "text": "The unit is active in 180 countries; it supplies managed services, systems integration, consulting, network rollout, design and optimization, broadcast services, learning services and support.", "title": "Products and services" }, { "paragraph_id": 44, "text": "The company also works with television and media, public safety, and utilities. Ericsson claims to manage networks that serve more than 1 billion subscribers worldwide, and to support customer networks that serve more than 2.5 billion subscribers.", "title": "Products and services" }, { "paragraph_id": 45, "text": "Ericsson's Broadcast Services unit was evolved into a unit called Red Bee Media, which has been spun out into a joint venture. It deals with the playout of live and pre-recorded, commercial and public service television programmes, including presentation (continuity announcements), trailers, and ancillary access services such as closed-caption subtitles, audio description and in-vision sign language interpreters. Its media management services consist of Managed Media Preparation and Managed Media Internet Delivery.", "title": "Products and services" }, { "paragraph_id": 46, "text": "Sony Ericsson Mobile Communications AB (Sony Ericsson) was a joint venture with Sony that merged the previous mobile telephone operations of both companies. It manufactured mobile telephones, accessories and personal computer (PC) cards. Sony Ericsson was responsible for product design and development, marketing, sales, distribution and customer services. On 16 February 2012, Sony announced it had completed the full acquisition of Sony Ericsson, after which it changed name to Sony Mobile Communications, and nearly a year later it moved headquarters from Sweden to Japan.", "title": "Divested businesses" }, { "paragraph_id": 47, "text": "As a joint venture with Sony, Ericsson's mobile telephone production was moved into the company Sony Ericsson in 2001. The following is a list of mobile phones marketed under the brand name Ericsson.", "title": "Divested businesses" }, { "paragraph_id": 48, "text": "Ericsson Mobile Platforms existed for eight years; on 12 February 2009, Ericsson announced it would be merged with the mobile platform company of STMicroelectronics, ST-NXP Wireless, to create a 50/50 joint venture owned by Ericsson and STMicroelectronics. This joint venture was divested in 2013 and remaining activities can be found in Ericsson Modems and STMicroelectronics. Ericsson Mobile Platform ceased being a legal entity early 2009.", "title": "Divested businesses" }, { "paragraph_id": 49, "text": "Starting in 1983 Ericsson Enterprise provided communications systems and services for businesses, public entities and educational institutions. It produced products for voice over Internet protocol (VoIP)-based private branch exchanges (PBX), wireless local area networks (WLAN), and mobile intranets. Ericsson Enterprise operated mainly from Sweden but also operated through regional units and other partners/distributors. In 2008 it was sold to Aastra.", "title": "Divested businesses" }, { "paragraph_id": 50, "text": "On 7 December 2019, Ericsson agreed to pay more than $1.2 billion (€1.09 billion) to settle U.S. Department of Justice FCPA criminal and civil investigations into foreign corruption. US authorities accused the company of conducting a campaign of corruption between 2000 and 2016 across China, Indonesia, Vietnam, Kuwait and Djibouti. Ericsson admitted to paying bribes, falsifying books and records and failing to implement reasonable internal accounting controls in an attempt to strengthen its position in the telecommunications industry.", "title": "Corruption" }, { "paragraph_id": 51, "text": "In 2022, an internal investigation into corruption inside the company was leaked by the International Consortium of Investigative Journalists. It detailed corruption in at least 10 countries. Ericsson has admitted \"serious breaches of compliance rules\".", "title": "Corruption" }, { "paragraph_id": 52, "text": "The leak also revealed that some subcontractors working on behalf of Ericsson paid bribes to the Islamic State in order to continue operating the telecom network in occupied regions of Iraq.", "title": "Corruption" } ]
Telefonaktiebolaget LM Ericsson, commonly known as Ericsson, is a Swedish multinational networking and telecommunications company headquartered in Stockholm. The company sells infrastructure, software, and services in information and communications technology for telecommunications service providers and enterprises, including, among others, 3G, 4G, and 5G equipment, and Internet Protocol (IP) and optical transport systems. The company employs around 100,000 people and operates in more than 180 countries. Ericsson has over 57,000 granted patents. Ericsson has been a major contributor to the development of the telecommunications industry and is one of the leaders in 5G. The company was founded in 1876 by Lars Magnus Ericsson and is jointly controlled by the Wallenberg family through its holding company Investor AB, and the universal bank Handelsbanken through its investment company Industrivärden. The Wallenbergs and the Handelsbanken sphere acquired their voting-strong A-shares, and thus the control of Ericsson, after the fall of the Kreuger empire in the early 1930s. Ericsson is the inventor of Bluetooth technology.
2001-05-03T23:45:51Z
2023-11-19T17:06:05Z
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https://en.wikipedia.org/wiki/Ericsson
9,425
Ethology
Ethology is a branch of zoology that studies the behaviour of non-human animals, usually with a scientific focus on behaviour under natural conditions, and viewing behaviour as an evolutionarily adaptive trait. Behaviourism as a term also describes the scientific and objective study of animal behavior, usually referring to measured responses to stimuli or to trained behavioral responses in a laboratory context, without a particular emphasis on evolutionary adaptivity. Throughout history, different naturalists have studied aspects of animal behaviour. Ethology has its scientific roots in the work of Charles Darwin and of American and German ornithologists of the late 19th and early 20th century, including Charles O. Whitman, Oskar Heinroth, and Wallace Craig. The modern discipline of ethology is generally considered to have begun during the 1930s with the work of Dutch biologist Nikolaas Tinbergen and Austrian biologists Konrad Lorenz and Karl von Frisch, the three recipients of the 1973 Nobel Prize in Physiology or Medicine. Ethology combines laboratory and field science, with a strong relation to some other disciplines such as neuroanatomy, ecology, and evolutionary biology. Ethologists typically show interest in a behavioral process rather than in a particular animal group, and often study one type of behavior, such as aggression, in a number of unrelated species. Ethology is a rapidly growing field. Since the dawn of the 21st century researchers have re-examined and reached new conclusions in many aspects of animal communication, emotions, culture, learning and sexuality that the scientific community long thought it understood. New fields, such as neuroethology, have developed. Understanding ethology or animal behavior can be important in animal training. Trainers can choose the individuals most suitable to carry out the necessary duty by taking into account the inherent habits of various types or breeds. Additionally, it gives trainers the ability to promote the execution of behaviors that come easily and the cessation of undesired ones. The term ethology derives from the Greek language: ἦθος, ethos meaning "character" and -λογία, -logia meaning "the study of". The term was first popularized by American myrmecologist (a person who studies ants) William Morton Wheeler in 1902. Because ethology is considered a topic of biology, ethologists have been concerned particularly with the evolution of behaviour and its understanding in terms of natural selection. In one sense, the first modern ethologist was Charles Darwin, whose 1872 book The Expression of the Emotions in Man and Animals influenced many ethologists. He pursued his interest in behaviour by encouraging his protégé George Romanes, who investigated animal learning and intelligence using an anthropomorphic method, anecdotal cognitivism, that did not gain scientific support. Other early ethologists, such as Eugène Marais, Charles O. Whitman, Oskar Heinroth, Wallace Craig and Julian Huxley, instead concentrated on behaviours that can be called instinctive, or natural, in that they occur in all members of a species under specified circumstances. Their beginning for studying the behaviour of a new species was to construct an ethogram (a description of the main types of behaviour with their frequencies of occurrence). This provided an objective, cumulative database of behaviour, which subsequent researchers could check and supplement. Due to the work of Konrad Lorenz and Niko Tinbergen, ethology developed strongly in continental Europe during the years prior to World War II. After the war, Tinbergen moved to the University of Oxford, and ethology became stronger in the UK, with the additional influence of William Thorpe, Robert Hinde, and Patrick Bateson at the Sub-department of Animal Behaviour of the University of Cambridge. In this period, too, ethology began to develop strongly in North America. Lorenz, Tinbergen, and von Frisch were jointly awarded the Nobel Prize in Physiology or Medicine in 1973 for their work of developing ethology. Ethology is now a well-recognized scientific discipline, and has a number of journals covering developments in the subject, such as Animal Behaviour, Animal Welfare, Applied Animal Behaviour Science, Animal Cognition, Behaviour, Behavioral Ecology and Ethology: International Journal of Behavioural Biology. In 1972, the International Society for Human Ethology was founded to promote exchange of knowledge and opinions concerning human behaviour gained by applying ethological principles and methods and published their journal, The Human Ethology Bulletin. In 2008, in a paper published in the journal Behaviour, ethologist Peter Verbeek introduced the term "Peace Ethology" as a sub-discipline of Human Ethology that is concerned with issues of human conflict, conflict resolution, reconciliation, war, peacemaking, and peacekeeping behaviour. In 1972, the English ethologist John H. Crook distinguished comparative ethology from social ethology, and argued that much of the ethology that had existed so far was really comparative ethology—examining animals as individuals—whereas, in the future, ethologists would need to concentrate on the behaviour of social groups of animals and the social structure within them. E. O. Wilson's book Sociobiology: The New Synthesis appeared in 1975, and since that time, the study of behaviour has been much more concerned with social aspects. It has also been driven by the stronger, but more sophisticated, Darwinism associated with Wilson, Robert Trivers, and W. D. Hamilton. The related development of behavioural ecology has also helped transform ethology. Furthermore, a substantial rapprochement with comparative psychology has occurred, so the modern scientific study of behaviour offers a more or less seamless spectrum of approaches: from animal cognition to more traditional comparative psychology, ethology, sociobiology, and behavioural ecology. In 2020, Tobias Starzak and Albert Newen from the Institute of Philosophy II at the Ruhr University Bochum postulated that animals may have beliefs. In October 2023, biologists reported studies of animals (over 1,500 different species) that found same-sex behavior (not necessarily related to human orientation) may help improve social stability by reducing conflict within the groups studied. Comparative psychology also studies animal behavior, but, as opposed to ethology, is construed as a sub-topic of psychology rather than as one of biology. Historically, where comparative psychology has included research on animal behavior in the context of what is known about human psychology, ethology involves research on animal behavior in the context of what is known about animal anatomy, physiology, neurobiology, and phylogenetic history. Furthermore, early comparative psychologists concentrated on the study of learning and tended to research behavior in artificial situations, whereas early ethologists concentrated on behavior in natural situations, tending to describe it as instinctive. The two approaches are complementary rather than competitive, but they do result in different perspectives, and occasionally conflicts of opinion about matters of substance. In addition, for most of the twentieth century, comparative psychology developed most strongly in North America, while ethology was stronger in Europe. From a practical standpoint, early comparative psychologists concentrated on gaining extensive knowledge of the behavior of very few species. Ethologists were more interested in understanding behavior across a wide range of species to facilitate principled comparisons across taxonomic groups. Ethologists have made much more use of such cross-species comparisons than comparative psychologists have. Behavior is determined by three major factors, namely inborn instincts, learning, and environmental factors. The latter include abiotic and biotic factors. Abiotic factors such as temperature or light conditions have dramatic effects on animals, especially if they are ectothermic or nocturnal. Biotic factors include members of the same species (e.g. sexual behavior), predators (fight or flight), or parasites and diseases. Webster's Dictionary defines instinct as "A largely inheritable and unalterable tendency of an organism to make a complex and specific response to environmental stimuli without involving reason". An important development, associated with the name of Konrad Lorenz though probably due more to his teacher, Oskar Heinroth, was the identification of fixed action patterns. Lorenz popularized these as instinctive responses that would occur reliably in the presence of identifiable stimuli called sign stimuli or "releasing stimuli". Fixed action patterns are now considered to be instinctive behavioural sequences that are relatively invariant within the species and that almost inevitably run to completion. One example of a releaser is the beak movements of many bird species performed by newly hatched chicks, which stimulates the mother to regurgitate food for her offspring. Other examples are the classic studies by Tinbergen on the egg-retrieval behaviour and the effects of a "supernormal stimulus" on the behaviour of graylag geese. One investigation of this kind was the study of the waggle dance ("dance language") in bee communication by Karl von Frisch. Habituation is a simple form of learning and occurs in many animal taxa. It is the process whereby an animal ceases responding to a stimulus. Often, the response is an innate behavior. Essentially, the animal learns not to respond to irrelevant stimuli. For example, prairie dogs (Cynomys ludovicianus) give alarm calls when predators approach, causing all individuals in the group to quickly scramble down burrows. When prairie dog towns are located near trails used by humans, giving alarm calls every time a person walks by is expensive in terms of time and energy. Habituation to humans is therefore an important adaptation in this context. Associative learning in animal behavior is any learning process in which a new response becomes associated with a particular stimulus. The first studies of associative learning were made by Russian physiologist Ivan Pavlov, who observed that dogs trained to associate food with the ringing of a bell would salivate on hearing the bell. Imprinting enables the young to discriminate the members of their own species, vital for reproductive success. This important type of learning only takes place in a very limited period of time. Konrad Lorenz observed that the young of birds such as geese and chickens followed their mothers spontaneously from almost the first day after they were hatched, and he discovered that this response could be imitated by an arbitrary stimulus if the eggs were incubated artificially and the stimulus were presented during a critical period that continued for a few days after hatching. Imitation is an advanced behavior whereby an animal observes and exactly replicates the behavior of another. The National Institutes of Health reported that capuchin monkeys preferred the company of researchers who imitated them to that of researchers who did not. The monkeys not only spent more time with their imitators but also preferred to engage in a simple task with them even when provided with the option of performing the same task with a non-imitator. Imitation has been observed in recent research on chimpanzees; not only did these chimps copy the actions of another individual, when given a choice, the chimps preferred to imitate the actions of the higher-ranking elder chimpanzee as opposed to the lower-ranking young chimpanzee. There are various ways animals can learn using observational learning but without the process of imitation. One of these is stimulus enhancement in which individuals become interested in an object as the result of observing others interacting with the object. Increased interest in an object can result in object manipulation which allows for new object-related behaviours by trial-and-error learning. Haggerty (1909) devised an experiment in which a monkey climbed up the side of a cage, placed its arm into a wooden chute, and pulled a rope in the chute to release food. Another monkey was provided an opportunity to obtain the food after watching a monkey go through this process on four occasions. The monkey performed a different method and finally succeeded after trial-and-error. Another example familiar to some cat and dog owners is the ability of their animals to open doors. The action of humans operating the handle to open the door results in the animals becoming interested in the handle and then by trial-and-error, they learn to operate the handle and open the door. In local enhancement, a demonstrator attracts an observer's attention to a particular location. Local enhancement has been observed to transmit foraging information among birds, rats and pigs. The stingless bee (Trigona corvina) uses local enhancement to locate other members of their colony and food resources. A well-documented example of social transmission of a behaviour occurred in a group of macaques on Hachijojima Island, Japan. The macaques lived in the inland forest until the 1960s, when a group of researchers started giving them potatoes on the beach: soon, they started venturing onto the beach, picking the potatoes from the sand, and cleaning and eating them. About one year later, an individual was observed bringing a potato to the sea, putting it into the water with one hand, and cleaning it with the other. This behaviour was soon expressed by the individuals living in contact with her; when they gave birth, this behaviour was also expressed by their young—a form of social transmission. Teaching is a highly specialized aspect of learning in which the "teacher" (demonstrator) adjusts their behaviour to increase the probability of the "pupil" (observer) achieving the desired end-result of the behaviour. For example, orcas are known to intentionally beach themselves to catch pinniped prey. Mother orcas teach their young to catch pinnipeds by pushing them onto the shore and encouraging them to attack the prey. Because the mother orca is altering her behaviour to help her offspring learn to catch prey, this is evidence of teaching. Teaching is not limited to mammals. Many insects, for example, have been observed demonstrating various forms of teaching to obtain food. Ants, for example, will guide each other to food sources through a process called "tandem running," in which an ant will guide a companion ant to a source of food. It has been suggested that the pupil ant is able to learn this route to obtain food in the future or teach the route to other ants. This behaviour of teaching is also exemplified by crows, specifically New Caledonian crows. The adults (whether individual or in families) teach their young adolescent offspring how to construct and utilize tools. For example, Pandanus branches are used to extract insects and other larvae from holes within trees. Individual reproduction is the most important phase in the proliferation of individuals or genes within a species: for this reason, there exist complex mating rituals, which can be very complex even if they are often regarded as fixed action patterns. The stickleback's complex mating ritual, studied by Tinbergen, is regarded as a notable example. Often in social life, animals fight for the right to reproduce, as well as social supremacy. A common example of fighting for social and sexual supremacy is the so-called pecking order among poultry. Every time a group of poultry cohabitate for a certain time length, they establish a pecking order. In these groups, one chicken dominates the others and can peck without being pecked. A second chicken can peck all the others except the first, and so on. Chickens higher in the pecking order may at times be distinguished by their healthier appearance when compared to lower level chickens. While the pecking order is establishing, frequent and violent fights can happen, but once established, it is broken only when other individuals enter the group, in which case the pecking order re-establishes from scratch. Several animal species, including humans, tend to live in groups. Group size is a major aspect of their social environment. Social life is probably a complex and effective survival strategy. It may be regarded as a sort of symbiosis among individuals of the same species: a society is composed of a group of individuals belonging to the same species living within well-defined rules on food management, role assignments and reciprocal dependence. When biologists interested in evolution theory first started examining social behaviour, some apparently unanswerable questions arose, such as how the birth of sterile castes, like in bees, could be explained through an evolving mechanism that emphasizes the reproductive success of as many individuals as possible, or why, amongst animals living in small groups like squirrels, an individual would risk its own life to save the rest of the group. These behaviours may be examples of altruism. Of course, not all behaviours are altruistic, as indicated by the table below. For example, revengeful behaviour was at one point claimed to have been observed exclusively in Homo sapiens. However, other species have been reported to be vengeful including chimpanzees, as well as anecdotal reports of vengeful camels. Altruistic behaviour has been explained by the gene-centred view of evolution. One advantage of group living can be decreased predation. If the number of predator attacks stays the same despite increasing prey group size, each prey may have a reduced risk of predator attacks through the dilution effect. Further, according to the selfish herd theory, the fitness benefits associated with group living vary depending on the location of an individual within the group. The theory suggests that conspecifics positioned at the centre of a group will reduce the likelihood predations while those at the periphery will become more vulnerable to attack. Additionally, a predator that is confused by a mass of individuals can find it more difficult to single out one target. For this reason, the zebra's stripes offer not only camouflage in a habitat of tall grasses, but also the advantage of blending into a herd of other zebras. In groups, prey can also actively reduce their predation risk through more effective defence tactics, or through earlier detection of predators through increased vigilance. Another advantage of group living can be an increased ability to forage for food. Group members may exchange information about food sources between one another, facilitating the process of resource location. Honeybees are a notable example of this, using the waggle dance to communicate the location of flowers to the rest of their hive. Predators also receive benefits from hunting in groups, through using better strategies and being able to take down larger prey. Some disadvantages accompany living in groups. Living in close proximity to other animals can facilitate the transmission of parasites and disease, and groups that are too large may also experience greater competition for resources and mates. Theoretically, social animals should have optimal group sizes that maximize the benefits and minimize the costs of group living. However, in nature, most groups are stable at slightly larger than optimal sizes. Because it generally benefits an individual to join an optimally-sized group, despite slightly decreasing the advantage for all members, groups may continue to increase in size until it is more advantageous to remain alone than to join an overly full group. Niko Tinbergen argued that ethology always needed to include four kinds of explanation in any instance of behaviour: These explanations are complementary rather than mutually exclusive—all instances of behaviour require an explanation at each of these four levels. For example, the function of eating is to acquire nutrients (which ultimately aids survival and reproduction), but the immediate cause of eating is hunger (causation). Hunger and eating are evolutionarily ancient and are found in many species (evolutionary history), and develop early within an organism's lifespan (development). It is easy to confuse such questions—for example, to argue that people eat because they are hungry and not to acquire nutrients—without realizing that the reason people experience hunger is because it causes them to acquire nutrients.
[ { "paragraph_id": 0, "text": "Ethology is a branch of zoology that studies the behaviour of non-human animals, usually with a scientific focus on behaviour under natural conditions, and viewing behaviour as an evolutionarily adaptive trait. Behaviourism as a term also describes the scientific and objective study of animal behavior, usually referring to measured responses to stimuli or to trained behavioral responses in a laboratory context, without a particular emphasis on evolutionary adaptivity. Throughout history, different naturalists have studied aspects of animal behaviour. Ethology has its scientific roots in the work of Charles Darwin and of American and German ornithologists of the late 19th and early 20th century, including Charles O. Whitman, Oskar Heinroth, and Wallace Craig. The modern discipline of ethology is generally considered to have begun during the 1930s with the work of Dutch biologist Nikolaas Tinbergen and Austrian biologists Konrad Lorenz and Karl von Frisch, the three recipients of the 1973 Nobel Prize in Physiology or Medicine. Ethology combines laboratory and field science, with a strong relation to some other disciplines such as neuroanatomy, ecology, and evolutionary biology. Ethologists typically show interest in a behavioral process rather than in a particular animal group, and often study one type of behavior, such as aggression, in a number of unrelated species.", "title": "" }, { "paragraph_id": 1, "text": "Ethology is a rapidly growing field. Since the dawn of the 21st century researchers have re-examined and reached new conclusions in many aspects of animal communication, emotions, culture, learning and sexuality that the scientific community long thought it understood. New fields, such as neuroethology, have developed.", "title": "" }, { "paragraph_id": 2, "text": "Understanding ethology or animal behavior can be important in animal training. Trainers can choose the individuals most suitable to carry out the necessary duty by taking into account the inherent habits of various types or breeds. Additionally, it gives trainers the ability to promote the execution of behaviors that come easily and the cessation of undesired ones.", "title": "" }, { "paragraph_id": 3, "text": "The term ethology derives from the Greek language: ἦθος, ethos meaning \"character\" and -λογία, -logia meaning \"the study of\". The term was first popularized by American myrmecologist (a person who studies ants) William Morton Wheeler in 1902.", "title": "Etymology" }, { "paragraph_id": 4, "text": "Because ethology is considered a topic of biology, ethologists have been concerned particularly with the evolution of behaviour and its understanding in terms of natural selection. In one sense, the first modern ethologist was Charles Darwin, whose 1872 book The Expression of the Emotions in Man and Animals influenced many ethologists. He pursued his interest in behaviour by encouraging his protégé George Romanes, who investigated animal learning and intelligence using an anthropomorphic method, anecdotal cognitivism, that did not gain scientific support.", "title": "History" }, { "paragraph_id": 5, "text": "Other early ethologists, such as Eugène Marais, Charles O. Whitman, Oskar Heinroth, Wallace Craig and Julian Huxley, instead concentrated on behaviours that can be called instinctive, or natural, in that they occur in all members of a species under specified circumstances. Their beginning for studying the behaviour of a new species was to construct an ethogram (a description of the main types of behaviour with their frequencies of occurrence). This provided an objective, cumulative database of behaviour, which subsequent researchers could check and supplement.", "title": "History" }, { "paragraph_id": 6, "text": "Due to the work of Konrad Lorenz and Niko Tinbergen, ethology developed strongly in continental Europe during the years prior to World War II. After the war, Tinbergen moved to the University of Oxford, and ethology became stronger in the UK, with the additional influence of William Thorpe, Robert Hinde, and Patrick Bateson at the Sub-department of Animal Behaviour of the University of Cambridge. In this period, too, ethology began to develop strongly in North America.", "title": "History" }, { "paragraph_id": 7, "text": "Lorenz, Tinbergen, and von Frisch were jointly awarded the Nobel Prize in Physiology or Medicine in 1973 for their work of developing ethology.", "title": "History" }, { "paragraph_id": 8, "text": "Ethology is now a well-recognized scientific discipline, and has a number of journals covering developments in the subject, such as Animal Behaviour, Animal Welfare, Applied Animal Behaviour Science, Animal Cognition, Behaviour, Behavioral Ecology and Ethology: International Journal of Behavioural Biology. In 1972, the International Society for Human Ethology was founded to promote exchange of knowledge and opinions concerning human behaviour gained by applying ethological principles and methods and published their journal, The Human Ethology Bulletin. In 2008, in a paper published in the journal Behaviour, ethologist Peter Verbeek introduced the term \"Peace Ethology\" as a sub-discipline of Human Ethology that is concerned with issues of human conflict, conflict resolution, reconciliation, war, peacemaking, and peacekeeping behaviour.", "title": "History" }, { "paragraph_id": 9, "text": "In 1972, the English ethologist John H. Crook distinguished comparative ethology from social ethology, and argued that much of the ethology that had existed so far was really comparative ethology—examining animals as individuals—whereas, in the future, ethologists would need to concentrate on the behaviour of social groups of animals and the social structure within them.", "title": "History" }, { "paragraph_id": 10, "text": "E. O. Wilson's book Sociobiology: The New Synthesis appeared in 1975, and since that time, the study of behaviour has been much more concerned with social aspects. It has also been driven by the stronger, but more sophisticated, Darwinism associated with Wilson, Robert Trivers, and W. D. Hamilton. The related development of behavioural ecology has also helped transform ethology. Furthermore, a substantial rapprochement with comparative psychology has occurred, so the modern scientific study of behaviour offers a more or less seamless spectrum of approaches: from animal cognition to more traditional comparative psychology, ethology, sociobiology, and behavioural ecology. In 2020, Tobias Starzak and Albert Newen from the Institute of Philosophy II at the Ruhr University Bochum postulated that animals may have beliefs.", "title": "History" }, { "paragraph_id": 11, "text": "In October 2023, biologists reported studies of animals (over 1,500 different species) that found same-sex behavior (not necessarily related to human orientation) may help improve social stability by reducing conflict within the groups studied.", "title": "History" }, { "paragraph_id": 12, "text": "Comparative psychology also studies animal behavior, but, as opposed to ethology, is construed as a sub-topic of psychology rather than as one of biology. Historically, where comparative psychology has included research on animal behavior in the context of what is known about human psychology, ethology involves research on animal behavior in the context of what is known about animal anatomy, physiology, neurobiology, and phylogenetic history. Furthermore, early comparative psychologists concentrated on the study of learning and tended to research behavior in artificial situations, whereas early ethologists concentrated on behavior in natural situations, tending to describe it as instinctive.", "title": "Relationship with comparative psychology" }, { "paragraph_id": 13, "text": "The two approaches are complementary rather than competitive, but they do result in different perspectives, and occasionally conflicts of opinion about matters of substance. In addition, for most of the twentieth century, comparative psychology developed most strongly in North America, while ethology was stronger in Europe. From a practical standpoint, early comparative psychologists concentrated on gaining extensive knowledge of the behavior of very few species. Ethologists were more interested in understanding behavior across a wide range of species to facilitate principled comparisons across taxonomic groups. Ethologists have made much more use of such cross-species comparisons than comparative psychologists have.", "title": "Relationship with comparative psychology" }, { "paragraph_id": 14, "text": "Behavior is determined by three major factors, namely inborn instincts, learning, and environmental factors. The latter include abiotic and biotic factors. Abiotic factors such as temperature or light conditions have dramatic effects on animals, especially if they are ectothermic or nocturnal. Biotic factors include members of the same species (e.g. sexual behavior), predators (fight or flight), or parasites and diseases.", "title": "Determinants of behavior" }, { "paragraph_id": 15, "text": "Webster's Dictionary defines instinct as \"A largely inheritable and unalterable tendency of an organism to make a complex and specific response to environmental stimuli without involving reason\".", "title": "Instinct" }, { "paragraph_id": 16, "text": "An important development, associated with the name of Konrad Lorenz though probably due more to his teacher, Oskar Heinroth, was the identification of fixed action patterns. Lorenz popularized these as instinctive responses that would occur reliably in the presence of identifiable stimuli called sign stimuli or \"releasing stimuli\". Fixed action patterns are now considered to be instinctive behavioural sequences that are relatively invariant within the species and that almost inevitably run to completion.", "title": "Instinct" }, { "paragraph_id": 17, "text": "One example of a releaser is the beak movements of many bird species performed by newly hatched chicks, which stimulates the mother to regurgitate food for her offspring. Other examples are the classic studies by Tinbergen on the egg-retrieval behaviour and the effects of a \"supernormal stimulus\" on the behaviour of graylag geese.", "title": "Instinct" }, { "paragraph_id": 18, "text": "One investigation of this kind was the study of the waggle dance (\"dance language\") in bee communication by Karl von Frisch.", "title": "Instinct" }, { "paragraph_id": 19, "text": "Habituation is a simple form of learning and occurs in many animal taxa. It is the process whereby an animal ceases responding to a stimulus. Often, the response is an innate behavior. Essentially, the animal learns not to respond to irrelevant stimuli. For example, prairie dogs (Cynomys ludovicianus) give alarm calls when predators approach, causing all individuals in the group to quickly scramble down burrows. When prairie dog towns are located near trails used by humans, giving alarm calls every time a person walks by is expensive in terms of time and energy. Habituation to humans is therefore an important adaptation in this context.", "title": "Learning" }, { "paragraph_id": 20, "text": "Associative learning in animal behavior is any learning process in which a new response becomes associated with a particular stimulus. The first studies of associative learning were made by Russian physiologist Ivan Pavlov, who observed that dogs trained to associate food with the ringing of a bell would salivate on hearing the bell.", "title": "Learning" }, { "paragraph_id": 21, "text": "Imprinting enables the young to discriminate the members of their own species, vital for reproductive success. This important type of learning only takes place in a very limited period of time. Konrad Lorenz observed that the young of birds such as geese and chickens followed their mothers spontaneously from almost the first day after they were hatched, and he discovered that this response could be imitated by an arbitrary stimulus if the eggs were incubated artificially and the stimulus were presented during a critical period that continued for a few days after hatching.", "title": "Learning" }, { "paragraph_id": 22, "text": "Imitation is an advanced behavior whereby an animal observes and exactly replicates the behavior of another. The National Institutes of Health reported that capuchin monkeys preferred the company of researchers who imitated them to that of researchers who did not. The monkeys not only spent more time with their imitators but also preferred to engage in a simple task with them even when provided with the option of performing the same task with a non-imitator. Imitation has been observed in recent research on chimpanzees; not only did these chimps copy the actions of another individual, when given a choice, the chimps preferred to imitate the actions of the higher-ranking elder chimpanzee as opposed to the lower-ranking young chimpanzee.", "title": "Learning" }, { "paragraph_id": 23, "text": "There are various ways animals can learn using observational learning but without the process of imitation. One of these is stimulus enhancement in which individuals become interested in an object as the result of observing others interacting with the object. Increased interest in an object can result in object manipulation which allows for new object-related behaviours by trial-and-error learning. Haggerty (1909) devised an experiment in which a monkey climbed up the side of a cage, placed its arm into a wooden chute, and pulled a rope in the chute to release food. Another monkey was provided an opportunity to obtain the food after watching a monkey go through this process on four occasions. The monkey performed a different method and finally succeeded after trial-and-error. Another example familiar to some cat and dog owners is the ability of their animals to open doors. The action of humans operating the handle to open the door results in the animals becoming interested in the handle and then by trial-and-error, they learn to operate the handle and open the door.", "title": "Learning" }, { "paragraph_id": 24, "text": "In local enhancement, a demonstrator attracts an observer's attention to a particular location. Local enhancement has been observed to transmit foraging information among birds, rats and pigs. The stingless bee (Trigona corvina) uses local enhancement to locate other members of their colony and food resources.", "title": "Learning" }, { "paragraph_id": 25, "text": "A well-documented example of social transmission of a behaviour occurred in a group of macaques on Hachijojima Island, Japan. The macaques lived in the inland forest until the 1960s, when a group of researchers started giving them potatoes on the beach: soon, they started venturing onto the beach, picking the potatoes from the sand, and cleaning and eating them. About one year later, an individual was observed bringing a potato to the sea, putting it into the water with one hand, and cleaning it with the other. This behaviour was soon expressed by the individuals living in contact with her; when they gave birth, this behaviour was also expressed by their young—a form of social transmission.", "title": "Learning" }, { "paragraph_id": 26, "text": "Teaching is a highly specialized aspect of learning in which the \"teacher\" (demonstrator) adjusts their behaviour to increase the probability of the \"pupil\" (observer) achieving the desired end-result of the behaviour. For example, orcas are known to intentionally beach themselves to catch pinniped prey. Mother orcas teach their young to catch pinnipeds by pushing them onto the shore and encouraging them to attack the prey. Because the mother orca is altering her behaviour to help her offspring learn to catch prey, this is evidence of teaching. Teaching is not limited to mammals. Many insects, for example, have been observed demonstrating various forms of teaching to obtain food. Ants, for example, will guide each other to food sources through a process called \"tandem running,\" in which an ant will guide a companion ant to a source of food. It has been suggested that the pupil ant is able to learn this route to obtain food in the future or teach the route to other ants. This behaviour of teaching is also exemplified by crows, specifically New Caledonian crows. The adults (whether individual or in families) teach their young adolescent offspring how to construct and utilize tools. For example, Pandanus branches are used to extract insects and other larvae from holes within trees.", "title": "Learning" }, { "paragraph_id": 27, "text": "Individual reproduction is the most important phase in the proliferation of individuals or genes within a species: for this reason, there exist complex mating rituals, which can be very complex even if they are often regarded as fixed action patterns. The stickleback's complex mating ritual, studied by Tinbergen, is regarded as a notable example.", "title": "Mating and the fight for supremacy" }, { "paragraph_id": 28, "text": "Often in social life, animals fight for the right to reproduce, as well as social supremacy. A common example of fighting for social and sexual supremacy is the so-called pecking order among poultry. Every time a group of poultry cohabitate for a certain time length, they establish a pecking order. In these groups, one chicken dominates the others and can peck without being pecked. A second chicken can peck all the others except the first, and so on. Chickens higher in the pecking order may at times be distinguished by their healthier appearance when compared to lower level chickens. While the pecking order is establishing, frequent and violent fights can happen, but once established, it is broken only when other individuals enter the group, in which case the pecking order re-establishes from scratch.", "title": "Mating and the fight for supremacy" }, { "paragraph_id": 29, "text": "Several animal species, including humans, tend to live in groups. Group size is a major aspect of their social environment. Social life is probably a complex and effective survival strategy. It may be regarded as a sort of symbiosis among individuals of the same species: a society is composed of a group of individuals belonging to the same species living within well-defined rules on food management, role assignments and reciprocal dependence.", "title": "Social behavior" }, { "paragraph_id": 30, "text": "When biologists interested in evolution theory first started examining social behaviour, some apparently unanswerable questions arose, such as how the birth of sterile castes, like in bees, could be explained through an evolving mechanism that emphasizes the reproductive success of as many individuals as possible, or why, amongst animals living in small groups like squirrels, an individual would risk its own life to save the rest of the group. These behaviours may be examples of altruism. Of course, not all behaviours are altruistic, as indicated by the table below. For example, revengeful behaviour was at one point claimed to have been observed exclusively in Homo sapiens. However, other species have been reported to be vengeful including chimpanzees, as well as anecdotal reports of vengeful camels.", "title": "Social behavior" }, { "paragraph_id": 31, "text": "Altruistic behaviour has been explained by the gene-centred view of evolution.", "title": "Social behavior" }, { "paragraph_id": 32, "text": "One advantage of group living can be decreased predation. If the number of predator attacks stays the same despite increasing prey group size, each prey may have a reduced risk of predator attacks through the dilution effect. Further, according to the selfish herd theory, the fitness benefits associated with group living vary depending on the location of an individual within the group. The theory suggests that conspecifics positioned at the centre of a group will reduce the likelihood predations while those at the periphery will become more vulnerable to attack. Additionally, a predator that is confused by a mass of individuals can find it more difficult to single out one target. For this reason, the zebra's stripes offer not only camouflage in a habitat of tall grasses, but also the advantage of blending into a herd of other zebras. In groups, prey can also actively reduce their predation risk through more effective defence tactics, or through earlier detection of predators through increased vigilance.", "title": "Social behavior" }, { "paragraph_id": 33, "text": "Another advantage of group living can be an increased ability to forage for food. Group members may exchange information about food sources between one another, facilitating the process of resource location. Honeybees are a notable example of this, using the waggle dance to communicate the location of flowers to the rest of their hive. Predators also receive benefits from hunting in groups, through using better strategies and being able to take down larger prey.", "title": "Social behavior" }, { "paragraph_id": 34, "text": "Some disadvantages accompany living in groups. Living in close proximity to other animals can facilitate the transmission of parasites and disease, and groups that are too large may also experience greater competition for resources and mates.", "title": "Social behavior" }, { "paragraph_id": 35, "text": "Theoretically, social animals should have optimal group sizes that maximize the benefits and minimize the costs of group living. However, in nature, most groups are stable at slightly larger than optimal sizes. Because it generally benefits an individual to join an optimally-sized group, despite slightly decreasing the advantage for all members, groups may continue to increase in size until it is more advantageous to remain alone than to join an overly full group.", "title": "Social behavior" }, { "paragraph_id": 36, "text": "Niko Tinbergen argued that ethology always needed to include four kinds of explanation in any instance of behaviour:", "title": "Tinbergen's four questions for ethologists" }, { "paragraph_id": 37, "text": "These explanations are complementary rather than mutually exclusive—all instances of behaviour require an explanation at each of these four levels. For example, the function of eating is to acquire nutrients (which ultimately aids survival and reproduction), but the immediate cause of eating is hunger (causation). Hunger and eating are evolutionarily ancient and are found in many species (evolutionary history), and develop early within an organism's lifespan (development). It is easy to confuse such questions—for example, to argue that people eat because they are hungry and not to acquire nutrients—without realizing that the reason people experience hunger is because it causes them to acquire nutrients.", "title": "Tinbergen's four questions for ethologists" } ]
Ethology is a branch of zoology that studies the behaviour of non-human animals, usually with a scientific focus on behaviour under natural conditions, and viewing behaviour as an evolutionarily adaptive trait. Behaviourism as a term also describes the scientific and objective study of animal behavior, usually referring to measured responses to stimuli or to trained behavioral responses in a laboratory context, without a particular emphasis on evolutionary adaptivity. Throughout history, different naturalists have studied aspects of animal behaviour. Ethology has its scientific roots in the work of Charles Darwin and of American and German ornithologists of the late 19th and early 20th century, including Charles O. Whitman, Oskar Heinroth, and Wallace Craig. The modern discipline of ethology is generally considered to have begun during the 1930s with the work of Dutch biologist Nikolaas Tinbergen and Austrian biologists Konrad Lorenz and Karl von Frisch, the three recipients of the 1973 Nobel Prize in Physiology or Medicine. Ethology combines laboratory and field science, with a strong relation to some other disciplines such as neuroanatomy, ecology, and evolutionary biology. Ethologists typically show interest in a behavioral process rather than in a particular animal group, and often study one type of behavior, such as aggression, in a number of unrelated species. Ethology is a rapidly growing field. Since the dawn of the 21st century researchers have re-examined and reached new conclusions in many aspects of animal communication, emotions, culture, learning and sexuality that the scientific community long thought it understood. New fields, such as neuroethology, have developed. Understanding ethology or animal behavior can be important in animal training. Trainers can choose the individuals most suitable to carry out the necessary duty by taking into account the inherent habits of various types or breeds. Additionally, it gives trainers the ability to promote the execution of behaviors that come easily and the cessation of undesired ones.
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https://en.wikipedia.org/wiki/Ethology
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Electromagnetic radiation
In physics, electromagnetic radiation (EMR) consists of waves of the electromagnetic (EM) field, which propagate through space and carry momentum and electromagnetic radiant energy. Types of EMR include radio waves, microwaves, infrared, (visible) light, ultraviolet, X-rays, and gamma rays, all of which are part of the electromagnetic spectrum. Classically, electromagnetic radiation consists of electromagnetic waves, which are synchronized oscillations of electric and magnetic fields. Depending on the frequency of oscillation, different wavelengths of electromagnetic spectrum are produced. In a vacuum, electromagnetic waves travel at the speed of light, commonly denoted c. In homogeneous, isotropic media, the oscillations of the two fields are on average perpendicular to each other and perpendicular to the direction of energy and wave propagation, forming a transverse wave. The position of an electromagnetic wave within the electromagnetic spectrum can be characterized by either its frequency of oscillation or its wavelength. Electromagnetic waves of different frequency are called by different names since they have different sources and effects on matter. In order of increasing frequency and decreasing wavelength these are: radio waves, microwaves, infrared radiation, visible light, ultraviolet radiation, X-rays and gamma rays. Electromagnetic waves are emitted by electrically charged particles undergoing acceleration, and these waves can subsequently interact with other charged particles, exerting force on them. EM waves carry energy, momentum, and angular momentum away from their source particle and can impart those quantities to matter with which they interact. Electromagnetic radiation is associated with those EM waves that are free to propagate themselves ("radiate") without the continuing influence of the moving charges that produced them, because they have achieved sufficient distance from those charges. Thus, EMR is sometimes referred to as the far field. In this language, the near field refers to EM fields near the charges and current that directly produced them, specifically electromagnetic induction and electrostatic induction phenomena. In quantum mechanics, an alternate way of viewing EMR is that it consists of photons, uncharged elementary particles with zero rest mass which are the quanta of the electromagnetic field, responsible for all electromagnetic interactions. Quantum electrodynamics is the theory of how EMR interacts with matter on an atomic level. Quantum effects provide additional sources of EMR, such as the transition of electrons to lower energy levels in an atom and black-body radiation. The energy of an individual photon is quantized and is greater for photons of higher frequency. This relationship is given by Planck's equation E = hf, where E is the energy per photon, f is the frequency of the photon, and h is the Planck constant. A single gamma ray photon, for example, might carry ~100,000 times the energy of a single photon of visible light. The effects of EMR upon chemical compounds and biological organisms depend both upon the radiation's power and its frequency. EMR of visible or lower frequencies (i.e., visible light, infrared, microwaves, and radio waves) is called non-ionizing radiation, because its photons do not individually have enough energy to ionize atoms or molecules, or break chemical bonds. The effects of these radiations on chemical systems and living tissue are caused primarily by heating effects from the combined energy transfer of many photons. In contrast, high frequency ultraviolet, X-rays and gamma rays are called ionizing radiation, since individual photons of such high frequency have enough energy to ionize molecules or break chemical bonds. These radiations have the ability to cause chemical reactions and damage living cells beyond that resulting from simple heating, and can be a health hazard. James Clerk Maxwell derived a wave form of the electric and magnetic equations, thus uncovering the wave-like nature of electric and magnetic fields and their symmetry. Because the speed of EM waves predicted by the wave equation coincided with the measured speed of light, Maxwell concluded that light itself is an EM wave. Maxwell's equations were confirmed by Heinrich Hertz through experiments with radio waves. Maxwell's equations established that some charges and currents ("sources") produce a local type of electromagnetic field near them that does not radiate. Currents directly produce a magnetic field, but it is of a magnetic dipole type that dies out with distance from the current. In a similar manner, moving charges pushed apart in a conductor by a changing electrical potential (such as in an antenna) produce an electric dipole type electrical field, but this also declines with distance. These fields make up the near-field near the EMR source. Neither of these behaviours are responsible for EM radiation. Instead, they cause electromagnetic field behaviour that only efficiently transfers power to a receiver very close to the source, such as the magnetic induction inside a transformer. Typically, near-fields have a powerful effect on their own sources, causing an increased "load" (decreased electrical reactance) in the source or transmitter, whenever energy is withdrawn from the EM field by a receiver. Otherwise, these fields do not "propagate" freely out into space, carrying their energy away without distance-limit, but rather oscillate, returning their energy to the transmitter if it is not received by a receiver. By contrast, the EM far-field is composed of radiation that is free of the transmitter in the sense that (unlike the case in an electrical transformer) the transmitter requires the same power to send these changes in the fields out, whether the signal is immediately picked up or not. This distant part of the electromagnetic field is "electromagnetic radiation" (also called the far-field). The far-fields propagate (radiate) without allowing the transmitter to affect them. This causes them to be independent in the sense that their existence and their energy, after they have left the transmitter, is completely independent of both transmitter and receiver. Due to conservation of energy, the amount of power passing through any spherical surface drawn around the source is the same. Because such a surface has an area proportional to the square of its distance from the source, the power density of EM radiation from an isotropic source decreases with the inverse square of the distance from the source; this is called the inverse-square law. This is in contrast to dipole parts of the EM field close to the source (the near-field), which vary in intensity according to an inverse cube power law, and thus do not transport a conserved amount of energy over distances, but instead fade with distance, with its energy (as noted) rapidly returning to the transmitter or absorbed by a nearby receiver (such as a transformer secondary coil). In the Liénard–Wiechert potential formulation of the electric and magnetic fields due to motion of a single particle (according to Maxwell's equations), the terms associated with acceleration of the particle are those that are responsible for the part of the field that is regarded as electromagnetic radiation. By contrast, the term associated with the changing static electric field of the particle and the magnetic term that results from the particle's uniform velocity, are both associated with the electromagnetic near-field, and do not comprise EM radiation. Electric and magnetic fields obey the properties of superposition. Thus, a field due to any particular particle or time-varying electric or magnetic field contributes to the fields present in the same space due to other causes. Further, as they are vector fields, all magnetic and electric field vectors add together according to vector addition. For example, in optics two or more coherent light waves may interact and by constructive or destructive interference yield a resultant irradiance deviating from the sum of the component irradiances of the individual light waves. The electromagnetic fields of light are not affected by traveling through static electric or magnetic fields in a linear medium such as a vacuum. However, in nonlinear media, such as some crystals, interactions can occur between light and static electric and magnetic fields—these interactions include the Faraday effect and the Kerr effect. In refraction, a wave crossing from one medium to another of different density alters its speed and direction upon entering the new medium. The ratio of the refractive indices of the media determines the degree of refraction, and is summarized by Snell's law. Light of composite wavelengths (natural sunlight) disperses into a visible spectrum passing through a prism, because of the wavelength-dependent refractive index of the prism material (dispersion); that is, each component wave within the composite light is bent a different amount. EM radiation exhibits both wave properties and particle properties at the same time (see wave-particle duality). Both wave and particle characteristics have been confirmed in many experiments. Wave characteristics are more apparent when EM radiation is measured over relatively large timescales and over large distances while particle characteristics are more evident when measuring small timescales and distances. For example, when electromagnetic radiation is absorbed by matter, particle-like properties will be more obvious when the average number of photons in the cube of the relevant wavelength is much smaller than 1. It is not so difficult to experimentally observe non-uniform deposition of energy when light is absorbed, however this alone is not evidence of "particulate" behavior. Rather, it reflects the quantum nature of matter. Demonstrating that the light itself is quantized, not merely its interaction with matter, is a more subtle affair. Some experiments display both the wave and particle natures of electromagnetic waves, such as the self-interference of a single photon. When a single photon is sent through an interferometer, it passes through both paths, interfering with itself, as waves do, yet is detected by a photomultiplier or other sensitive detector only once. A quantum theory of the interaction between electromagnetic radiation and matter such as electrons is described by the theory of quantum electrodynamics. Electromagnetic waves can be polarized, reflected, refracted, diffracted or interfere with each other. In homogeneous, isotropic media, electromagnetic radiation is a transverse wave, meaning that its oscillations are perpendicular to the direction of energy transfer and travel. It comes from the following equations: These equations predicate that any electromagnetic wave must be a transverse wave, where the electric field E and the magnetic field B are both perpendicular to the direction of wave propagation. The electric and magnetic parts of the field in an electromagnetic wave stand in a fixed ratio of strengths to satisfy the two Maxwell equations that specify how one is produced from the other. In dissipation-less (lossless) media, these E and B fields are also in phase, with both reaching maxima and minima at the same points in space (see illustrations). In the far-field EM radiation which is described by the two source-free Maxwell curl operator equations, a time-change in one type of field is proportional to the curl of the other. These derivatives require that the E and B fields in EMR are in-phase (see mathematics section below). An important aspect of light's nature is its frequency. The frequency of a wave is its rate of oscillation and is measured in hertz, the SI unit of frequency, where one hertz is equal to one oscillation per second. Light usually has multiple frequencies that sum to form the resultant wave. Different frequencies undergo different angles of refraction, a phenomenon known as dispersion. A monochromatic wave (a wave of a single frequency) consists of successive troughs and crests, and the distance between two adjacent crests or troughs is called the wavelength. Waves of the electromagnetic spectrum vary in size, from very long radio waves longer than a continent to very short gamma rays smaller than atom nuclei. Frequency is inversely proportional to wavelength, according to the equation: where v is the speed of the wave (c in a vacuum or less in other media), f is the frequency and λ is the wavelength. As waves cross boundaries between different media, their speeds change but their frequencies remain constant. Electromagnetic waves in free space must be solutions of Maxwell's electromagnetic wave equation. Two main classes of solutions are known, namely plane waves and spherical waves. The plane waves may be viewed as the limiting case of spherical waves at a very large (ideally infinite) distance from the source. Both types of waves can have a waveform which is an arbitrary time function (so long as it is sufficiently differentiable to conform to the wave equation). As with any time function, this can be decomposed by means of Fourier analysis into its frequency spectrum, or individual sinusoidal components, each of which contains a single frequency, amplitude and phase. Such a component wave is said to be monochromatic. A monochromatic electromagnetic wave can be characterized by its frequency or wavelength, its peak amplitude, its phase relative to some reference phase, its direction of propagation, and its polarization. Interference is the superposition of two or more waves resulting in a new wave pattern. If the fields have components in the same direction, they constructively interfere, while opposite directions cause destructive interference. An example of interference caused by EMR is electromagnetic interference (EMI) or as it is more commonly known as, radio-frequency interference (RFI). Additionally, multiple polarization signals can be combined (i.e. interfered) to form new states of polarization, which is known as parallel polarization state generation. The energy in electromagnetic waves is sometimes called radiant energy. An anomaly arose in the late 19th century involving a contradiction between the wave theory of light and measurements of the electromagnetic spectra that were being emitted by thermal radiators known as black bodies. Physicists struggled with this problem unsuccessfully for many years, and it later became known as the ultraviolet catastrophe. In 1900, Max Planck developed a new theory of black-body radiation that explained the observed spectrum. Planck's theory was based on the idea that black bodies emit light (and other electromagnetic radiation) only as discrete bundles or packets of energy. These packets were called quanta. In 1905, Albert Einstein proposed that light quanta be regarded as real particles. Later the particle of light was given the name photon, to correspond with other particles being described around this time, such as the electron and proton. A photon has an energy, E, proportional to its frequency, f, by where h is the Planck constant, λ {\displaystyle \lambda } is the wavelength and c is the speed of light. This is sometimes known as the Planck–Einstein equation. In quantum theory (see first quantization) the energy of the photons is thus directly proportional to the frequency of the EMR wave. Likewise, the momentum p of a photon is also proportional to its frequency and inversely proportional to its wavelength: The source of Einstein's proposal that light was composed of particles (or could act as particles in some circumstances) was an experimental anomaly not explained by the wave theory: the photoelectric effect, in which light striking a metal surface ejected electrons from the surface, causing an electric current to flow across an applied voltage. Experimental measurements demonstrated that the energy of individual ejected electrons was proportional to the frequency, rather than the intensity, of the light. Furthermore, below a certain minimum frequency, which depended on the particular metal, no current would flow regardless of the intensity. These observations appeared to contradict the wave theory, and for years physicists tried in vain to find an explanation. In 1905, Einstein explained this puzzle by resurrecting the particle theory of light to explain the observed effect. Because of the preponderance of evidence in favor of the wave theory, however, Einstein's ideas were met initially with great skepticism among established physicists. Eventually Einstein's explanation was accepted as new particle-like behavior of light was observed, such as the Compton effect. As a photon is absorbed by an atom, it excites the atom, elevating an electron to a higher energy level (one that is on average farther from the nucleus). When an electron in an excited molecule or atom descends to a lower energy level, it emits a photon of light at a frequency corresponding to the energy difference. Since the energy levels of electrons in atoms are discrete, each element and each molecule emits and absorbs its own characteristic frequencies. Immediate photon emission is called fluorescence, a type of photoluminescence. An example is visible light emitted from fluorescent paints, in response to ultraviolet (blacklight). Many other fluorescent emissions are known in spectral bands other than visible light. Delayed emission is called phosphorescence. The modern theory that explains the nature of light includes the notion of wave–particle duality. Together, wave and particle effects fully explain the emission and absorption spectra of EM radiation. The matter-composition of the medium through which the light travels determines the nature of the absorption and emission spectrum. These bands correspond to the allowed energy levels in the atoms. Dark bands in the absorption spectrum are due to the atoms in an intervening medium between source and observer. The atoms absorb certain frequencies of the light between emitter and detector/eye, then emit them in all directions. A dark band appears to the detector, due to the radiation scattered out of the light beam. For instance, dark bands in the light emitted by a distant star are due to the atoms in the star's atmosphere. A similar phenomenon occurs for emission, which is seen when an emitting gas glows due to excitation of the atoms from any mechanism, including heat. As electrons descend to lower energy levels, a spectrum is emitted that represents the jumps between the energy levels of the electrons, but lines are seen because again emission happens only at particular energies after excitation. An example is the emission spectrum of nebulae. Rapidly moving electrons are most sharply accelerated when they encounter a region of force, so they are responsible for producing much of the highest frequency electromagnetic radiation observed in nature. These phenomena can aid various chemical determinations for the composition of gases lit from behind (absorption spectra) and for glowing gases (emission spectra). Spectroscopy (for example) determines what chemical elements comprise a particular star. Spectroscopy is also used in the determination of the distance of a star, using the red shift. When any wire (or other conducting object such as an antenna) conducts alternating current, electromagnetic radiation is propagated at the same frequency as the current. As a wave, light is characterized by a velocity (the speed of light), wavelength, and frequency. As particles, light is a stream of photons. Each has an energy related to the frequency of the wave given by Planck's relation E = hf, where E is the energy of the photon, h is the Planck constant, 6.626 × 10 J·s, and f is the frequency of the wave. In a medium (other than vacuum), velocity factor or refractive index are considered, depending on frequency and application. Both of these are ratios of the speed in a medium to speed in a vacuum. Electromagnetic radiation of wavelengths other than those of visible light were discovered in the early 19th century. The discovery of infrared radiation is ascribed to astronomer William Herschel, who published his results in 1800 before the Royal Society of London. Herschel used a glass prism to refract light from the Sun and detected invisible rays that caused heating beyond the red part of the spectrum, through an increase in the temperature recorded with a thermometer. These "calorific rays" were later termed infrared. In 1801, German physicist Johann Wilhelm Ritter discovered ultraviolet in an experiment similar to Herschel's, using sunlight and a glass prism. Ritter noted that invisible rays near the violet edge of a solar spectrum dispersed by a triangular prism darkened silver chloride preparations more quickly than did the nearby violet light. Ritter's experiments were an early precursor to what would become photography. Ritter noted that the ultraviolet rays (which at first were called "chemical rays") were capable of causing chemical reactions. In 1862–64 James Clerk Maxwell developed equations for the electromagnetic field which suggested that waves in the field would travel with a speed that was very close to the known speed of light. Maxwell therefore suggested that visible light (as well as invisible infrared and ultraviolet rays by inference) all consisted of propagating disturbances (or radiation) in the electromagnetic field. Radio waves were first produced deliberately by Heinrich Hertz in 1887, using electrical circuits calculated to produce oscillations at a much lower frequency than that of visible light, following recipes for producing oscillating charges and currents suggested by Maxwell's equations. Hertz also developed ways to detect these waves, and produced and characterized what were later termed radio waves and microwaves. Wilhelm Röntgen discovered and named X-rays. After experimenting with high voltages applied to an evacuated tube on 8 November 1895, he noticed a fluorescence on a nearby plate of coated glass. In one month, he discovered X-rays' main properties. The last portion of the EM spectrum to be discovered was associated with radioactivity. Henri Becquerel found that uranium salts caused fogging of an unexposed photographic plate through a covering paper in a manner similar to X-rays, and Marie Curie discovered that only certain elements gave off these rays of energy, soon discovering the intense radiation of radium. The radiation from pitchblende was differentiated into alpha rays (alpha particles) and beta rays (beta particles) by Ernest Rutherford through simple experimentation in 1899, but these proved to be charged particulate types of radiation. However, in 1900 the French scientist Paul Villard discovered a third neutrally charged and especially penetrating type of radiation from radium, and after he described it, Rutherford realized it must be yet a third type of radiation, which in 1903 Rutherford named gamma rays. In 1910 British physicist William Henry Bragg demonstrated that gamma rays are electromagnetic radiation, not particles, and in 1914 Rutherford and Edward Andrade measured their wavelengths, finding that they were similar to X-rays but with shorter wavelengths and higher frequency, although a 'cross-over' between X and gamma rays makes it possible to have X-rays with a higher energy (and hence shorter wavelength) than gamma rays and vice versa. The origin of the ray differentiates them, gamma rays tend to be natural phenomena originating from the unstable nucleus of an atom and X-rays are electrically generated (and hence man-made) unless they are as a result of bremsstrahlung X-radiation caused by the interaction of fast moving particles (such as beta particles) colliding with certain materials, usually of higher atomic numbers. EM radiation (the designation 'radiation' excludes static electric and magnetic and near fields) is classified by wavelength into radio, microwave, infrared, visible, ultraviolet, X-rays and gamma rays. Arbitrary electromagnetic waves can be expressed by Fourier analysis in terms of sinusoidal waves (monochromatic radiation), which in turn can each be classified into these regions of the EMR spectrum. For certain classes of EM waves, the waveform is most usefully treated as random, and then spectral analysis must be done by slightly different mathematical techniques appropriate to random or stochastic processes. In such cases, the individual frequency components are represented in terms of their power content, and the phase information is not preserved. Such a representation is called the power spectral density of the random process. Random electromagnetic radiation requiring this kind of analysis is, for example, encountered in the interior of stars, and in certain other very wideband forms of radiation such as the Zero point wave field of the electromagnetic vacuum. The behavior of EM radiation and its interaction with matter depends on its frequency, and changes qualitatively as the frequency changes. Lower frequencies have longer wavelengths, and higher frequencies have shorter wavelengths, and are associated with photons of higher energy. There is no fundamental limit known to these wavelengths or energies, at either end of the spectrum, although photons with energies near the Planck energy or exceeding it (far too high to have ever been observed) will require new physical theories to describe. When radio waves impinge upon a conductor, they couple to the conductor, travel along it and induce an electric current on the conductor surface by moving the electrons of the conducting material in correlated bunches of charge. Such effects can cover macroscopic distances in conductors (such as radio antennas), since the wavelength of radio waves is long. Electromagnetic radiation phenomena with wavelengths ranging from as long as one meter to as short as one millimeter are called microwaves; with frequencies between 300 MHz (0.3 GHz) and 300 GHz. At radio and microwave frequencies, EMR interacts with matter largely as a bulk collection of charges which are spread out over large numbers of affected atoms. In electrical conductors, such induced bulk movement of charges (electric currents) results in absorption of the EMR, or else separations of charges that cause generation of new EMR (effective reflection of the EMR). An example is absorption or emission of radio waves by antennas, or absorption of microwaves by water or other molecules with an electric dipole moment, as for example inside a microwave oven. These interactions produce either electric currents or heat, or both. Like radio and microwave, infrared (IR) also is reflected by metals (and also most EMR, well into the ultraviolet range). However, unlike lower-frequency radio and microwave radiation, Infrared EMR commonly interacts with dipoles present in single molecules, which change as atoms vibrate at the ends of a single chemical bond. It is consequently absorbed by a wide range of substances, causing them to increase in temperature as the vibrations dissipate as heat. The same process, run in reverse, causes bulk substances to radiate in the infrared spontaneously (see thermal radiation section below). Infrared radiation is divided into spectral subregions. While different subdivision schemes exist, the spectrum is commonly divided as near-infrared (0.75–1.4 μm), short-wavelength infrared (1.4–3 μm), mid-wavelength infrared (3–8 μm), long-wavelength infrared (8–15 μm) and far infrared (15–1000 μm). Natural sources produce EM radiation across the spectrum. EM radiation with a wavelength between approximately 400 nm and 700 nm is directly detected by the human eye and perceived as visible light. Other wavelengths, especially nearby infrared (longer than 700 nm) and ultraviolet (shorter than 400 nm) are also sometimes referred to as light. As frequency increases into the visible range, photons have enough energy to change the bond structure of some individual molecules. It is not a coincidence that this happens in the visible range, as the mechanism of vision involves the change in bonding of a single molecule, retinal, which absorbs a single photon. The change in retinal causes a change in the shape of the rhodopsin protein it is contained in, which starts the biochemical process that causes the retina of the human eye to sense the light. Photosynthesis becomes possible in this range as well, for the same reason. A single molecule of chlorophyll is excited by a single photon. In plant tissues that conduct photosynthesis, carotenoids act to quench electronically excited chlorophyll produced by visible light in a process called non-photochemical quenching, to prevent reactions that would otherwise interfere with photosynthesis at high light levels. Animals that detect infrared make use of small packets of water that change temperature, in an essentially thermal process that involves many photons. Infrared, microwaves and radio waves are known to damage molecules and biological tissue only by bulk heating, not excitation from single photons of the radiation. Visible light is able to affect only a tiny percentage of all molecules. Usually not in a permanent or damaging way, rather the photon excites an electron which then emits another photon when returning to its original position. This is the source of color produced by most dyes. Retinal is an exception. When a photon is absorbed, the retinal permanently changes structure from cis to trans, and requires a protein to convert it back, i.e. reset it to be able to function as a light detector again. Limited evidence indicate that some reactive oxygen species are created by visible light in skin, and that these may have some role in photoaging, in the same manner as ultraviolet A. As frequency increases into the ultraviolet, photons now carry enough energy (about three electron volts or more) to excite certain doubly bonded molecules into permanent chemical rearrangement. In DNA, this causes lasting damage. DNA is also indirectly damaged by reactive oxygen species produced by ultraviolet A (UVA), which has energy too low to damage DNA directly. This is why ultraviolet at all wavelengths can damage DNA, and is capable of causing cancer, and (for UVB) skin burns (sunburn) that are far worse than would be produced by simple heating (temperature increase) effects. This property of causing molecular damage that is out of proportion to heating effects, is characteristic of all EMR with frequencies at the visible light range and above. These properties of high-frequency EMR are due to quantum effects that permanently damage materials and tissues at the molecular level. At the higher end of the ultraviolet range, the energy of photons becomes large enough to impart enough energy to electrons to cause them to be liberated from the atom, in a process called photoionisation. The energy required for this is always larger than about 10 electron volt (eV) corresponding with wavelengths smaller than 124 nm (some sources suggest a more realistic cutoff of 33 eV, which is the energy required to ionize water). This high end of the ultraviolet spectrum with energies in the approximate ionization range, is sometimes called "extreme UV." Ionizing UV is strongly filtered by the Earth's atmosphere. Electromagnetic radiation composed of photons that carry minimum-ionization energy, or more, (which includes the entire spectrum with shorter wavelengths), is therefore termed ionizing radiation. (Many other kinds of ionizing radiation are made of non-EM particles). Electromagnetic-type ionizing radiation extends from the extreme ultraviolet to all higher frequencies and shorter wavelengths, which means that all X-rays and gamma rays qualify. These are capable of the most severe types of molecular damage, which can happen in biology to any type of biomolecule, including mutation and cancer, and often at great depths below the skin, since the higher end of the X-ray spectrum, and all of the gamma ray spectrum, penetrate matter. Most UV and X-rays are blocked by absorption first from molecular nitrogen, and then (for wavelengths in the upper UV) from the electronic excitation of dioxygen and finally ozone at the mid-range of UV. Only 30% of the Sun's ultraviolet light reaches the ground, and almost all of this is well transmitted. Visible light is well transmitted in air, as it is not energetic enough to excite nitrogen, oxygen, or ozone, but too energetic to excite molecular vibrational frequencies of water vapor. Absorption bands in the infrared are due to modes of vibrational excitation in water vapor. However, at energies too low to excite water vapor, the atmosphere becomes transparent again, allowing free transmission of most microwave and radio waves. Finally, at radio wavelengths longer than 10 m or so (about 30 MHz), the air in the lower atmosphere remains transparent to radio, but plasma in certain layers of the ionosphere begins to interact with radio waves (see skywave). This property allows some longer wavelengths (100 m or 3 MHz) to be reflected and results in shortwave radio beyond line-of-sight. However, certain ionospheric effects begin to block incoming radiowaves from space, when their frequency is less than about 10 MHz (wavelength longer than about 30 m). The basic structure of matter involves charged particles bound together. When electromagnetic radiation impinges on matter, it causes the charged particles to oscillate and gain energy. The ultimate fate of this energy depends on the context. It could be immediately re-radiated and appear as scattered, reflected, or transmitted radiation. It may get dissipated into other microscopic motions within the matter, coming to thermal equilibrium and manifesting itself as thermal energy, or even kinetic energy, in the material. With a few exceptions related to high-energy photons (such as fluorescence, harmonic generation, photochemical reactions, the photovoltaic effect for ionizing radiations at far ultraviolet, X-ray and gamma radiation), absorbed electromagnetic radiation simply deposits its energy by heating the material. This happens for infrared, microwave and radio wave radiation. Intense radio waves can thermally burn living tissue and can cook food. In addition to infrared lasers, sufficiently intense visible and ultraviolet lasers can easily set paper afire. Ionizing radiation creates high-speed electrons in a material and breaks chemical bonds, but after these electrons collide many times with other atoms eventually most of the energy becomes thermal energy all in a tiny fraction of a second. This process makes ionizing radiation far more dangerous per unit of energy than non-ionizing radiation. This caveat also applies to UV, even though almost all of it is not ionizing, because UV can damage molecules due to electronic excitation, which is far greater per unit energy than heating effects. Infrared radiation in the spectral distribution of a black body is usually considered a form of heat, since it has an equivalent temperature and is associated with an entropy change per unit of thermal energy. However, "heat" is a technical term in physics and thermodynamics and is often confused with thermal energy. Any type of electromagnetic energy can be transformed into thermal energy in interaction with matter. Thus, any electromagnetic radiation can "heat" (in the sense of increase the thermal energy temperature of) a material, when it is absorbed. The inverse or time-reversed process of absorption is thermal radiation. Much of the thermal energy in matter consists of random motion of charged particles, and this energy can be radiated away from the matter. The resulting radiation may subsequently be absorbed by another piece of matter, with the deposited energy heating the material. The electromagnetic radiation in an opaque cavity at thermal equilibrium is effectively a form of thermal energy, having maximum radiation entropy. Bioelectromagnetics is the study of the interactions and effects of EM radiation on living organisms. The effects of electromagnetic radiation upon living cells, including those in humans, depends upon the radiation's power and frequency. For low-frequency radiation (radio waves to visible light) the best-understood effects are those due to radiation power alone, acting through heating when radiation is absorbed. For these thermal effects, frequency is important as it affects the intensity of the radiation and penetration into the organism (for example, microwaves penetrate better than infrared). It is widely accepted that low frequency fields that are too weak to cause significant heating could not possibly have any biological effect. Some research suggests that weaker non-thermal electromagnetic fields (including weak ELF magnetic fields, although the latter does not strictly qualify as EM radiation) and modulated RF and microwave fields can have biological effects, though the significance of this is unclear. The World Health Organization has classified radio frequency electromagnetic radiation as Group 2B – possibly carcinogenic. This group contains possible carcinogens such as lead, DDT, and styrene. For example, epidemiological studies looking for a relationship between cell phone use and brain cancer development have been largely inconclusive, save to demonstrate that the effect, if it exists, cannot be a large one. At higher frequencies (visible and beyond), the effects of individual photons begin to become important, as these now have enough energy individually to directly or indirectly damage biological molecules. All UV frequencies have been classed as Group 1 carcinogens by the World Health Organization. Ultraviolet radiation from sun exposure is the primary cause of skin cancer. Thus, at UV frequencies and higher (and probably somewhat also in the visible range), electromagnetic radiation does more damage to biological systems than simple heating predicts. This is most obvious in the "far" (or "extreme") ultraviolet. UV, with X-ray and gamma radiation, are referred to as ionizing radiation due to the ability of photons of this radiation to produce ions and free radicals in materials (including living tissue). Since such radiation can severely damage life at energy levels that produce little heating, it is considered far more dangerous (in terms of damage-produced per unit of energy, or power) than the rest of the electromagnetic spectrum. The heat ray is an application of EMR that makes use of microwave frequencies to create an unpleasant heating effect in the upper layer of the skin. A publicly known heat ray weapon called the Active Denial System was developed by the US military as an experimental weapon to deny the enemy access to an area. A death ray is a theoretical weapon that delivers heat ray based on electromagnetic energy at levels that are capable of injuring human tissue. An inventor of a death ray, Harry Grindell Matthews, claimed to have lost sight in his left eye while working on his death ray weapon based on a microwave magnetron from the 1920s (a normal microwave oven creates a tissue damaging cooking effect inside the oven at around 2 kV/m). Electromagnetic waves are predicted by the classical laws of electricity and magnetism, known as Maxwell's equations. There are nontrivial solutions of the homogeneous Maxwell's equations (without charges or currents), describing waves of changing electric and magnetic fields. Beginning with Maxwell's equations in free space: where Besides the trivial solution useful solutions can be derived with the following vector identity, valid for all vectors A {\displaystyle \mathbf {A} } in some vector field: Taking the curl of the second Maxwell equation (2) yields: Evaluating the left hand side of (5) with the above identity and simplifying using (1), yields: Evaluating the right hand side of (5) by exchanging the sequence of derivatives and inserting the fourth Maxwell equation (4), yields: Combining (6) and (7) again, gives a vector-valued differential equation for the electric field, solving the homogeneous Maxwell equations: ∇ 2 E = μ 0 ε 0 ∂ 2 E ∂ t 2 {\displaystyle \nabla ^{2}\mathbf {E} =\mu _{0}\varepsilon _{0}{\frac {\partial ^{2}\mathbf {E} }{\partial t^{2}}}} Taking the curl of the fourth Maxwell equation (4) results in a similar differential equation for a magnetic field solving the homogeneous Maxwell equations: ∇ 2 B = μ 0 ε 0 ∂ 2 B ∂ t 2 . {\displaystyle \nabla ^{2}\mathbf {B} =\mu _{0}\varepsilon _{0}{\frac {\partial ^{2}\mathbf {B} }{\partial t^{2}}}.} Both differential equations have the form of the general wave equation for waves propagating with speed c 0 , {\displaystyle c_{0},} where f {\displaystyle f} is a function of time and location, which gives the amplitude of the wave at some time at a certain location: This is also written as: where ◻ {\displaystyle \Box } denotes the so-called d'Alembert operator, which in Cartesian coordinates is given as: Comparing the terms for the speed of propagation, yields in the case of the electric and magnetic fields: This is the speed of light in vacuum. Thus Maxwell's equations connect the vacuum permittivity ε 0 {\displaystyle \varepsilon _{0}} , the vacuum permeability μ 0 {\displaystyle \mu _{0}} , and the speed of light, c0, via the above equation. This relationship had been discovered by Wilhelm Eduard Weber and Rudolf Kohlrausch prior to the development of Maxwell's electrodynamics, however Maxwell was the first to produce a field theory consistent with waves traveling at the speed of light. These are only two equations versus the original four, so more information pertains to these waves hidden within Maxwell's equations. A generic vector wave for the electric field has the form Here, E 0 {\displaystyle \mathbf {E} _{0}} is a constant vector, f {\displaystyle f} is any second differentiable function, k ^ {\displaystyle {\hat {\mathbf {k} }}} is a unit vector in the direction of propagation, and x {\displaystyle {\mathbf {x} }} is a position vector. f ( k ^ ⋅ x − c 0 t ) {\displaystyle f{\left({\hat {\mathbf {k} }}\cdot \mathbf {x} -c_{0}t\right)}} is a generic solution to the wave equation. In other words, for a generic wave traveling in the k ^ {\displaystyle {\hat {\mathbf {k} }}} direction. From the first of Maxwell's equations, we get Thus, which implies that the electric field is orthogonal to the direction the wave propagates. The second of Maxwell's equations yields the magnetic field, namely, Thus, The remaining equations will be satisfied by this choice of E , B {\displaystyle \mathbf {E} ,\mathbf {B} } . The electric and magnetic field waves in the far-field travel at the speed of light. They have a special restricted orientation and proportional magnitudes, E 0 = c 0 B 0 {\displaystyle E_{0}=c_{0}B_{0}} , which can be seen immediately from the Poynting vector. The electric field, magnetic field, and direction of wave propagation are all orthogonal, and the wave propagates in the same direction as E × B {\displaystyle \mathbf {E} \times \mathbf {B} } . Also, E and B far-fields in free space, which as wave solutions depend primarily on these two Maxwell equations, are in-phase with each other. This is guaranteed since the generic wave solution is first order in both space and time, and the curl operator on one side of these equations results in first-order spatial derivatives of the wave solution, while the time-derivative on the other side of the equations, which gives the other field, is first-order in time, resulting in the same phase shift for both fields in each mathematical operation. From the viewpoint of an electromagnetic wave traveling forward, the electric field might be oscillating up and down, while the magnetic field oscillates right and left. This picture can be rotated with the electric field oscillating right and left and the magnetic field oscillating down and up. This is a different solution that is traveling in the same direction. This arbitrariness in the orientation with respect to propagation direction is known as polarization. On a quantum level, it is described as photon polarization. The direction of the polarization is defined as the direction of the electric field. More general forms of the second-order wave equations given above are available, allowing for both non-vacuum propagation media and sources. Many competing derivations exist, all with varying levels of approximation and intended applications. One very general example is a form of the electric field equation, which was factorized into a pair of explicitly directional wave equations, and then efficiently reduced into a single uni-directional wave equation by means of a simple slow-evolution approximation.
[ { "paragraph_id": 0, "text": "In physics, electromagnetic radiation (EMR) consists of waves of the electromagnetic (EM) field, which propagate through space and carry momentum and electromagnetic radiant energy. Types of EMR include radio waves, microwaves, infrared, (visible) light, ultraviolet, X-rays, and gamma rays, all of which are part of the electromagnetic spectrum.", "title": "" }, { "paragraph_id": 1, "text": "Classically, electromagnetic radiation consists of electromagnetic waves, which are synchronized oscillations of electric and magnetic fields. Depending on the frequency of oscillation, different wavelengths of electromagnetic spectrum are produced. In a vacuum, electromagnetic waves travel at the speed of light, commonly denoted c. In homogeneous, isotropic media, the oscillations of the two fields are on average perpendicular to each other and perpendicular to the direction of energy and wave propagation, forming a transverse wave. The position of an electromagnetic wave within the electromagnetic spectrum can be characterized by either its frequency of oscillation or its wavelength. Electromagnetic waves of different frequency are called by different names since they have different sources and effects on matter. In order of increasing frequency and decreasing wavelength these are: radio waves, microwaves, infrared radiation, visible light, ultraviolet radiation, X-rays and gamma rays.", "title": "" }, { "paragraph_id": 2, "text": "Electromagnetic waves are emitted by electrically charged particles undergoing acceleration, and these waves can subsequently interact with other charged particles, exerting force on them. EM waves carry energy, momentum, and angular momentum away from their source particle and can impart those quantities to matter with which they interact. Electromagnetic radiation is associated with those EM waves that are free to propagate themselves (\"radiate\") without the continuing influence of the moving charges that produced them, because they have achieved sufficient distance from those charges. Thus, EMR is sometimes referred to as the far field. In this language, the near field refers to EM fields near the charges and current that directly produced them, specifically electromagnetic induction and electrostatic induction phenomena.", "title": "" }, { "paragraph_id": 3, "text": "In quantum mechanics, an alternate way of viewing EMR is that it consists of photons, uncharged elementary particles with zero rest mass which are the quanta of the electromagnetic field, responsible for all electromagnetic interactions. Quantum electrodynamics is the theory of how EMR interacts with matter on an atomic level. Quantum effects provide additional sources of EMR, such as the transition of electrons to lower energy levels in an atom and black-body radiation. The energy of an individual photon is quantized and is greater for photons of higher frequency. This relationship is given by Planck's equation E = hf, where E is the energy per photon, f is the frequency of the photon, and h is the Planck constant. A single gamma ray photon, for example, might carry ~100,000 times the energy of a single photon of visible light.", "title": "" }, { "paragraph_id": 4, "text": "The effects of EMR upon chemical compounds and biological organisms depend both upon the radiation's power and its frequency. EMR of visible or lower frequencies (i.e., visible light, infrared, microwaves, and radio waves) is called non-ionizing radiation, because its photons do not individually have enough energy to ionize atoms or molecules, or break chemical bonds. The effects of these radiations on chemical systems and living tissue are caused primarily by heating effects from the combined energy transfer of many photons. In contrast, high frequency ultraviolet, X-rays and gamma rays are called ionizing radiation, since individual photons of such high frequency have enough energy to ionize molecules or break chemical bonds. These radiations have the ability to cause chemical reactions and damage living cells beyond that resulting from simple heating, and can be a health hazard.", "title": "" }, { "paragraph_id": 5, "text": "James Clerk Maxwell derived a wave form of the electric and magnetic equations, thus uncovering the wave-like nature of electric and magnetic fields and their symmetry. Because the speed of EM waves predicted by the wave equation coincided with the measured speed of light, Maxwell concluded that light itself is an EM wave. Maxwell's equations were confirmed by Heinrich Hertz through experiments with radio waves.", "title": "Physics" }, { "paragraph_id": 6, "text": "Maxwell's equations established that some charges and currents (\"sources\") produce a local type of electromagnetic field near them that does not radiate. Currents directly produce a magnetic field, but it is of a magnetic dipole type that dies out with distance from the current. In a similar manner, moving charges pushed apart in a conductor by a changing electrical potential (such as in an antenna) produce an electric dipole type electrical field, but this also declines with distance. These fields make up the near-field near the EMR source. Neither of these behaviours are responsible for EM radiation. Instead, they cause electromagnetic field behaviour that only efficiently transfers power to a receiver very close to the source, such as the magnetic induction inside a transformer. Typically, near-fields have a powerful effect on their own sources, causing an increased \"load\" (decreased electrical reactance) in the source or transmitter, whenever energy is withdrawn from the EM field by a receiver. Otherwise, these fields do not \"propagate\" freely out into space, carrying their energy away without distance-limit, but rather oscillate, returning their energy to the transmitter if it is not received by a receiver.", "title": "Physics" }, { "paragraph_id": 7, "text": "By contrast, the EM far-field is composed of radiation that is free of the transmitter in the sense that (unlike the case in an electrical transformer) the transmitter requires the same power to send these changes in the fields out, whether the signal is immediately picked up or not. This distant part of the electromagnetic field is \"electromagnetic radiation\" (also called the far-field). The far-fields propagate (radiate) without allowing the transmitter to affect them. This causes them to be independent in the sense that their existence and their energy, after they have left the transmitter, is completely independent of both transmitter and receiver. Due to conservation of energy, the amount of power passing through any spherical surface drawn around the source is the same. Because such a surface has an area proportional to the square of its distance from the source, the power density of EM radiation from an isotropic source decreases with the inverse square of the distance from the source; this is called the inverse-square law. This is in contrast to dipole parts of the EM field close to the source (the near-field), which vary in intensity according to an inverse cube power law, and thus do not transport a conserved amount of energy over distances, but instead fade with distance, with its energy (as noted) rapidly returning to the transmitter or absorbed by a nearby receiver (such as a transformer secondary coil).", "title": "Physics" }, { "paragraph_id": 8, "text": "In the Liénard–Wiechert potential formulation of the electric and magnetic fields due to motion of a single particle (according to Maxwell's equations), the terms associated with acceleration of the particle are those that are responsible for the part of the field that is regarded as electromagnetic radiation. By contrast, the term associated with the changing static electric field of the particle and the magnetic term that results from the particle's uniform velocity, are both associated with the electromagnetic near-field, and do not comprise EM radiation.", "title": "Physics" }, { "paragraph_id": 9, "text": "Electric and magnetic fields obey the properties of superposition. Thus, a field due to any particular particle or time-varying electric or magnetic field contributes to the fields present in the same space due to other causes. Further, as they are vector fields, all magnetic and electric field vectors add together according to vector addition. For example, in optics two or more coherent light waves may interact and by constructive or destructive interference yield a resultant irradiance deviating from the sum of the component irradiances of the individual light waves.", "title": "Physics" }, { "paragraph_id": 10, "text": "The electromagnetic fields of light are not affected by traveling through static electric or magnetic fields in a linear medium such as a vacuum. However, in nonlinear media, such as some crystals, interactions can occur between light and static electric and magnetic fields—these interactions include the Faraday effect and the Kerr effect.", "title": "Physics" }, { "paragraph_id": 11, "text": "In refraction, a wave crossing from one medium to another of different density alters its speed and direction upon entering the new medium. The ratio of the refractive indices of the media determines the degree of refraction, and is summarized by Snell's law. Light of composite wavelengths (natural sunlight) disperses into a visible spectrum passing through a prism, because of the wavelength-dependent refractive index of the prism material (dispersion); that is, each component wave within the composite light is bent a different amount.", "title": "Physics" }, { "paragraph_id": 12, "text": "EM radiation exhibits both wave properties and particle properties at the same time (see wave-particle duality). Both wave and particle characteristics have been confirmed in many experiments. Wave characteristics are more apparent when EM radiation is measured over relatively large timescales and over large distances while particle characteristics are more evident when measuring small timescales and distances. For example, when electromagnetic radiation is absorbed by matter, particle-like properties will be more obvious when the average number of photons in the cube of the relevant wavelength is much smaller than 1. It is not so difficult to experimentally observe non-uniform deposition of energy when light is absorbed, however this alone is not evidence of \"particulate\" behavior. Rather, it reflects the quantum nature of matter. Demonstrating that the light itself is quantized, not merely its interaction with matter, is a more subtle affair.", "title": "Physics" }, { "paragraph_id": 13, "text": "Some experiments display both the wave and particle natures of electromagnetic waves, such as the self-interference of a single photon. When a single photon is sent through an interferometer, it passes through both paths, interfering with itself, as waves do, yet is detected by a photomultiplier or other sensitive detector only once.", "title": "Physics" }, { "paragraph_id": 14, "text": "A quantum theory of the interaction between electromagnetic radiation and matter such as electrons is described by the theory of quantum electrodynamics.", "title": "Physics" }, { "paragraph_id": 15, "text": "Electromagnetic waves can be polarized, reflected, refracted, diffracted or interfere with each other.", "title": "Physics" }, { "paragraph_id": 16, "text": "In homogeneous, isotropic media, electromagnetic radiation is a transverse wave, meaning that its oscillations are perpendicular to the direction of energy transfer and travel. It comes from the following equations:", "title": "Physics" }, { "paragraph_id": 17, "text": "These equations predicate that any electromagnetic wave must be a transverse wave, where the electric field E and the magnetic field B are both perpendicular to the direction of wave propagation.", "title": "Physics" }, { "paragraph_id": 18, "text": "The electric and magnetic parts of the field in an electromagnetic wave stand in a fixed ratio of strengths to satisfy the two Maxwell equations that specify how one is produced from the other. In dissipation-less (lossless) media, these E and B fields are also in phase, with both reaching maxima and minima at the same points in space (see illustrations). In the far-field EM radiation which is described by the two source-free Maxwell curl operator equations, a time-change in one type of field is proportional to the curl of the other. These derivatives require that the E and B fields in EMR are in-phase (see mathematics section below). An important aspect of light's nature is its frequency. The frequency of a wave is its rate of oscillation and is measured in hertz, the SI unit of frequency, where one hertz is equal to one oscillation per second. Light usually has multiple frequencies that sum to form the resultant wave. Different frequencies undergo different angles of refraction, a phenomenon known as dispersion.", "title": "Physics" }, { "paragraph_id": 19, "text": "A monochromatic wave (a wave of a single frequency) consists of successive troughs and crests, and the distance between two adjacent crests or troughs is called the wavelength. Waves of the electromagnetic spectrum vary in size, from very long radio waves longer than a continent to very short gamma rays smaller than atom nuclei. Frequency is inversely proportional to wavelength, according to the equation:", "title": "Physics" }, { "paragraph_id": 20, "text": "where v is the speed of the wave (c in a vacuum or less in other media), f is the frequency and λ is the wavelength. As waves cross boundaries between different media, their speeds change but their frequencies remain constant.", "title": "Physics" }, { "paragraph_id": 21, "text": "Electromagnetic waves in free space must be solutions of Maxwell's electromagnetic wave equation. Two main classes of solutions are known, namely plane waves and spherical waves. The plane waves may be viewed as the limiting case of spherical waves at a very large (ideally infinite) distance from the source. Both types of waves can have a waveform which is an arbitrary time function (so long as it is sufficiently differentiable to conform to the wave equation). As with any time function, this can be decomposed by means of Fourier analysis into its frequency spectrum, or individual sinusoidal components, each of which contains a single frequency, amplitude and phase. Such a component wave is said to be monochromatic. A monochromatic electromagnetic wave can be characterized by its frequency or wavelength, its peak amplitude, its phase relative to some reference phase, its direction of propagation, and its polarization.", "title": "Physics" }, { "paragraph_id": 22, "text": "Interference is the superposition of two or more waves resulting in a new wave pattern. If the fields have components in the same direction, they constructively interfere, while opposite directions cause destructive interference. An example of interference caused by EMR is electromagnetic interference (EMI) or as it is more commonly known as, radio-frequency interference (RFI). Additionally, multiple polarization signals can be combined (i.e. interfered) to form new states of polarization, which is known as parallel polarization state generation.", "title": "Physics" }, { "paragraph_id": 23, "text": "The energy in electromagnetic waves is sometimes called radiant energy.", "title": "Physics" }, { "paragraph_id": 24, "text": "An anomaly arose in the late 19th century involving a contradiction between the wave theory of light and measurements of the electromagnetic spectra that were being emitted by thermal radiators known as black bodies. Physicists struggled with this problem unsuccessfully for many years, and it later became known as the ultraviolet catastrophe. In 1900, Max Planck developed a new theory of black-body radiation that explained the observed spectrum. Planck's theory was based on the idea that black bodies emit light (and other electromagnetic radiation) only as discrete bundles or packets of energy. These packets were called quanta. In 1905, Albert Einstein proposed that light quanta be regarded as real particles. Later the particle of light was given the name photon, to correspond with other particles being described around this time, such as the electron and proton. A photon has an energy, E, proportional to its frequency, f, by", "title": "Physics" }, { "paragraph_id": 25, "text": "where h is the Planck constant, λ {\\displaystyle \\lambda } is the wavelength and c is the speed of light. This is sometimes known as the Planck–Einstein equation. In quantum theory (see first quantization) the energy of the photons is thus directly proportional to the frequency of the EMR wave.", "title": "Physics" }, { "paragraph_id": 26, "text": "Likewise, the momentum p of a photon is also proportional to its frequency and inversely proportional to its wavelength:", "title": "Physics" }, { "paragraph_id": 27, "text": "The source of Einstein's proposal that light was composed of particles (or could act as particles in some circumstances) was an experimental anomaly not explained by the wave theory: the photoelectric effect, in which light striking a metal surface ejected electrons from the surface, causing an electric current to flow across an applied voltage. Experimental measurements demonstrated that the energy of individual ejected electrons was proportional to the frequency, rather than the intensity, of the light. Furthermore, below a certain minimum frequency, which depended on the particular metal, no current would flow regardless of the intensity. These observations appeared to contradict the wave theory, and for years physicists tried in vain to find an explanation. In 1905, Einstein explained this puzzle by resurrecting the particle theory of light to explain the observed effect. Because of the preponderance of evidence in favor of the wave theory, however, Einstein's ideas were met initially with great skepticism among established physicists. Eventually Einstein's explanation was accepted as new particle-like behavior of light was observed, such as the Compton effect.", "title": "Physics" }, { "paragraph_id": 28, "text": "As a photon is absorbed by an atom, it excites the atom, elevating an electron to a higher energy level (one that is on average farther from the nucleus). When an electron in an excited molecule or atom descends to a lower energy level, it emits a photon of light at a frequency corresponding to the energy difference. Since the energy levels of electrons in atoms are discrete, each element and each molecule emits and absorbs its own characteristic frequencies. Immediate photon emission is called fluorescence, a type of photoluminescence. An example is visible light emitted from fluorescent paints, in response to ultraviolet (blacklight). Many other fluorescent emissions are known in spectral bands other than visible light. Delayed emission is called phosphorescence.", "title": "Physics" }, { "paragraph_id": 29, "text": "The modern theory that explains the nature of light includes the notion of wave–particle duality.", "title": "Physics" }, { "paragraph_id": 30, "text": "Together, wave and particle effects fully explain the emission and absorption spectra of EM radiation. The matter-composition of the medium through which the light travels determines the nature of the absorption and emission spectrum. These bands correspond to the allowed energy levels in the atoms. Dark bands in the absorption spectrum are due to the atoms in an intervening medium between source and observer. The atoms absorb certain frequencies of the light between emitter and detector/eye, then emit them in all directions. A dark band appears to the detector, due to the radiation scattered out of the light beam. For instance, dark bands in the light emitted by a distant star are due to the atoms in the star's atmosphere. A similar phenomenon occurs for emission, which is seen when an emitting gas glows due to excitation of the atoms from any mechanism, including heat. As electrons descend to lower energy levels, a spectrum is emitted that represents the jumps between the energy levels of the electrons, but lines are seen because again emission happens only at particular energies after excitation. An example is the emission spectrum of nebulae. Rapidly moving electrons are most sharply accelerated when they encounter a region of force, so they are responsible for producing much of the highest frequency electromagnetic radiation observed in nature.", "title": "Physics" }, { "paragraph_id": 31, "text": "These phenomena can aid various chemical determinations for the composition of gases lit from behind (absorption spectra) and for glowing gases (emission spectra). Spectroscopy (for example) determines what chemical elements comprise a particular star. Spectroscopy is also used in the determination of the distance of a star, using the red shift.", "title": "Physics" }, { "paragraph_id": 32, "text": "When any wire (or other conducting object such as an antenna) conducts alternating current, electromagnetic radiation is propagated at the same frequency as the current.", "title": "Physics" }, { "paragraph_id": 33, "text": "As a wave, light is characterized by a velocity (the speed of light), wavelength, and frequency. As particles, light is a stream of photons. Each has an energy related to the frequency of the wave given by Planck's relation E = hf, where E is the energy of the photon, h is the Planck constant, 6.626 × 10 J·s, and f is the frequency of the wave.", "title": "Physics" }, { "paragraph_id": 34, "text": "In a medium (other than vacuum), velocity factor or refractive index are considered, depending on frequency and application. Both of these are ratios of the speed in a medium to speed in a vacuum.", "title": "Physics" }, { "paragraph_id": 35, "text": "Electromagnetic radiation of wavelengths other than those of visible light were discovered in the early 19th century. The discovery of infrared radiation is ascribed to astronomer William Herschel, who published his results in 1800 before the Royal Society of London. Herschel used a glass prism to refract light from the Sun and detected invisible rays that caused heating beyond the red part of the spectrum, through an increase in the temperature recorded with a thermometer. These \"calorific rays\" were later termed infrared.", "title": "History of discovery" }, { "paragraph_id": 36, "text": "In 1801, German physicist Johann Wilhelm Ritter discovered ultraviolet in an experiment similar to Herschel's, using sunlight and a glass prism. Ritter noted that invisible rays near the violet edge of a solar spectrum dispersed by a triangular prism darkened silver chloride preparations more quickly than did the nearby violet light. Ritter's experiments were an early precursor to what would become photography. Ritter noted that the ultraviolet rays (which at first were called \"chemical rays\") were capable of causing chemical reactions.", "title": "History of discovery" }, { "paragraph_id": 37, "text": "In 1862–64 James Clerk Maxwell developed equations for the electromagnetic field which suggested that waves in the field would travel with a speed that was very close to the known speed of light. Maxwell therefore suggested that visible light (as well as invisible infrared and ultraviolet rays by inference) all consisted of propagating disturbances (or radiation) in the electromagnetic field. Radio waves were first produced deliberately by Heinrich Hertz in 1887, using electrical circuits calculated to produce oscillations at a much lower frequency than that of visible light, following recipes for producing oscillating charges and currents suggested by Maxwell's equations. Hertz also developed ways to detect these waves, and produced and characterized what were later termed radio waves and microwaves.", "title": "History of discovery" }, { "paragraph_id": 38, "text": "Wilhelm Röntgen discovered and named X-rays. After experimenting with high voltages applied to an evacuated tube on 8 November 1895, he noticed a fluorescence on a nearby plate of coated glass. In one month, he discovered X-rays' main properties.", "title": "History of discovery" }, { "paragraph_id": 39, "text": "The last portion of the EM spectrum to be discovered was associated with radioactivity. Henri Becquerel found that uranium salts caused fogging of an unexposed photographic plate through a covering paper in a manner similar to X-rays, and Marie Curie discovered that only certain elements gave off these rays of energy, soon discovering the intense radiation of radium. The radiation from pitchblende was differentiated into alpha rays (alpha particles) and beta rays (beta particles) by Ernest Rutherford through simple experimentation in 1899, but these proved to be charged particulate types of radiation. However, in 1900 the French scientist Paul Villard discovered a third neutrally charged and especially penetrating type of radiation from radium, and after he described it, Rutherford realized it must be yet a third type of radiation, which in 1903 Rutherford named gamma rays. In 1910 British physicist William Henry Bragg demonstrated that gamma rays are electromagnetic radiation, not particles, and in 1914 Rutherford and Edward Andrade measured their wavelengths, finding that they were similar to X-rays but with shorter wavelengths and higher frequency, although a 'cross-over' between X and gamma rays makes it possible to have X-rays with a higher energy (and hence shorter wavelength) than gamma rays and vice versa. The origin of the ray differentiates them, gamma rays tend to be natural phenomena originating from the unstable nucleus of an atom and X-rays are electrically generated (and hence man-made) unless they are as a result of bremsstrahlung X-radiation caused by the interaction of fast moving particles (such as beta particles) colliding with certain materials, usually of higher atomic numbers.", "title": "History of discovery" }, { "paragraph_id": 40, "text": "EM radiation (the designation 'radiation' excludes static electric and magnetic and near fields) is classified by wavelength into radio, microwave, infrared, visible, ultraviolet, X-rays and gamma rays. Arbitrary electromagnetic waves can be expressed by Fourier analysis in terms of sinusoidal waves (monochromatic radiation), which in turn can each be classified into these regions of the EMR spectrum.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 41, "text": "For certain classes of EM waves, the waveform is most usefully treated as random, and then spectral analysis must be done by slightly different mathematical techniques appropriate to random or stochastic processes. In such cases, the individual frequency components are represented in terms of their power content, and the phase information is not preserved. Such a representation is called the power spectral density of the random process. Random electromagnetic radiation requiring this kind of analysis is, for example, encountered in the interior of stars, and in certain other very wideband forms of radiation such as the Zero point wave field of the electromagnetic vacuum.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 42, "text": "The behavior of EM radiation and its interaction with matter depends on its frequency, and changes qualitatively as the frequency changes. Lower frequencies have longer wavelengths, and higher frequencies have shorter wavelengths, and are associated with photons of higher energy. There is no fundamental limit known to these wavelengths or energies, at either end of the spectrum, although photons with energies near the Planck energy or exceeding it (far too high to have ever been observed) will require new physical theories to describe.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 43, "text": "When radio waves impinge upon a conductor, they couple to the conductor, travel along it and induce an electric current on the conductor surface by moving the electrons of the conducting material in correlated bunches of charge. Such effects can cover macroscopic distances in conductors (such as radio antennas), since the wavelength of radio waves is long.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 44, "text": "Electromagnetic radiation phenomena with wavelengths ranging from as long as one meter to as short as one millimeter are called microwaves; with frequencies between 300 MHz (0.3 GHz) and 300 GHz.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 45, "text": "At radio and microwave frequencies, EMR interacts with matter largely as a bulk collection of charges which are spread out over large numbers of affected atoms. In electrical conductors, such induced bulk movement of charges (electric currents) results in absorption of the EMR, or else separations of charges that cause generation of new EMR (effective reflection of the EMR). An example is absorption or emission of radio waves by antennas, or absorption of microwaves by water or other molecules with an electric dipole moment, as for example inside a microwave oven. These interactions produce either electric currents or heat, or both.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 46, "text": "Like radio and microwave, infrared (IR) also is reflected by metals (and also most EMR, well into the ultraviolet range). However, unlike lower-frequency radio and microwave radiation, Infrared EMR commonly interacts with dipoles present in single molecules, which change as atoms vibrate at the ends of a single chemical bond. It is consequently absorbed by a wide range of substances, causing them to increase in temperature as the vibrations dissipate as heat. The same process, run in reverse, causes bulk substances to radiate in the infrared spontaneously (see thermal radiation section below).", "title": "Electromagnetic spectrum" }, { "paragraph_id": 47, "text": "Infrared radiation is divided into spectral subregions. While different subdivision schemes exist, the spectrum is commonly divided as near-infrared (0.75–1.4 μm), short-wavelength infrared (1.4–3 μm), mid-wavelength infrared (3–8 μm), long-wavelength infrared (8–15 μm) and far infrared (15–1000 μm).", "title": "Electromagnetic spectrum" }, { "paragraph_id": 48, "text": "Natural sources produce EM radiation across the spectrum. EM radiation with a wavelength between approximately 400 nm and 700 nm is directly detected by the human eye and perceived as visible light. Other wavelengths, especially nearby infrared (longer than 700 nm) and ultraviolet (shorter than 400 nm) are also sometimes referred to as light.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 49, "text": "As frequency increases into the visible range, photons have enough energy to change the bond structure of some individual molecules. It is not a coincidence that this happens in the visible range, as the mechanism of vision involves the change in bonding of a single molecule, retinal, which absorbs a single photon. The change in retinal causes a change in the shape of the rhodopsin protein it is contained in, which starts the biochemical process that causes the retina of the human eye to sense the light.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 50, "text": "Photosynthesis becomes possible in this range as well, for the same reason. A single molecule of chlorophyll is excited by a single photon. In plant tissues that conduct photosynthesis, carotenoids act to quench electronically excited chlorophyll produced by visible light in a process called non-photochemical quenching, to prevent reactions that would otherwise interfere with photosynthesis at high light levels.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 51, "text": "Animals that detect infrared make use of small packets of water that change temperature, in an essentially thermal process that involves many photons.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 52, "text": "Infrared, microwaves and radio waves are known to damage molecules and biological tissue only by bulk heating, not excitation from single photons of the radiation.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 53, "text": "Visible light is able to affect only a tiny percentage of all molecules. Usually not in a permanent or damaging way, rather the photon excites an electron which then emits another photon when returning to its original position. This is the source of color produced by most dyes. Retinal is an exception. When a photon is absorbed, the retinal permanently changes structure from cis to trans, and requires a protein to convert it back, i.e. reset it to be able to function as a light detector again.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 54, "text": "Limited evidence indicate that some reactive oxygen species are created by visible light in skin, and that these may have some role in photoaging, in the same manner as ultraviolet A.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 55, "text": "As frequency increases into the ultraviolet, photons now carry enough energy (about three electron volts or more) to excite certain doubly bonded molecules into permanent chemical rearrangement. In DNA, this causes lasting damage. DNA is also indirectly damaged by reactive oxygen species produced by ultraviolet A (UVA), which has energy too low to damage DNA directly. This is why ultraviolet at all wavelengths can damage DNA, and is capable of causing cancer, and (for UVB) skin burns (sunburn) that are far worse than would be produced by simple heating (temperature increase) effects. This property of causing molecular damage that is out of proportion to heating effects, is characteristic of all EMR with frequencies at the visible light range and above. These properties of high-frequency EMR are due to quantum effects that permanently damage materials and tissues at the molecular level.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 56, "text": "At the higher end of the ultraviolet range, the energy of photons becomes large enough to impart enough energy to electrons to cause them to be liberated from the atom, in a process called photoionisation. The energy required for this is always larger than about 10 electron volt (eV) corresponding with wavelengths smaller than 124 nm (some sources suggest a more realistic cutoff of 33 eV, which is the energy required to ionize water). This high end of the ultraviolet spectrum with energies in the approximate ionization range, is sometimes called \"extreme UV.\" Ionizing UV is strongly filtered by the Earth's atmosphere.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 57, "text": "Electromagnetic radiation composed of photons that carry minimum-ionization energy, or more, (which includes the entire spectrum with shorter wavelengths), is therefore termed ionizing radiation. (Many other kinds of ionizing radiation are made of non-EM particles). Electromagnetic-type ionizing radiation extends from the extreme ultraviolet to all higher frequencies and shorter wavelengths, which means that all X-rays and gamma rays qualify. These are capable of the most severe types of molecular damage, which can happen in biology to any type of biomolecule, including mutation and cancer, and often at great depths below the skin, since the higher end of the X-ray spectrum, and all of the gamma ray spectrum, penetrate matter.", "title": "Electromagnetic spectrum" }, { "paragraph_id": 58, "text": "Most UV and X-rays are blocked by absorption first from molecular nitrogen, and then (for wavelengths in the upper UV) from the electronic excitation of dioxygen and finally ozone at the mid-range of UV. Only 30% of the Sun's ultraviolet light reaches the ground, and almost all of this is well transmitted.", "title": "Atmosphere and magnetosphere" }, { "paragraph_id": 59, "text": "Visible light is well transmitted in air, as it is not energetic enough to excite nitrogen, oxygen, or ozone, but too energetic to excite molecular vibrational frequencies of water vapor.", "title": "Atmosphere and magnetosphere" }, { "paragraph_id": 60, "text": "Absorption bands in the infrared are due to modes of vibrational excitation in water vapor. However, at energies too low to excite water vapor, the atmosphere becomes transparent again, allowing free transmission of most microwave and radio waves.", "title": "Atmosphere and magnetosphere" }, { "paragraph_id": 61, "text": "Finally, at radio wavelengths longer than 10 m or so (about 30 MHz), the air in the lower atmosphere remains transparent to radio, but plasma in certain layers of the ionosphere begins to interact with radio waves (see skywave). This property allows some longer wavelengths (100 m or 3 MHz) to be reflected and results in shortwave radio beyond line-of-sight. However, certain ionospheric effects begin to block incoming radiowaves from space, when their frequency is less than about 10 MHz (wavelength longer than about 30 m).", "title": "Atmosphere and magnetosphere" }, { "paragraph_id": 62, "text": "The basic structure of matter involves charged particles bound together. When electromagnetic radiation impinges on matter, it causes the charged particles to oscillate and gain energy. The ultimate fate of this energy depends on the context. It could be immediately re-radiated and appear as scattered, reflected, or transmitted radiation. It may get dissipated into other microscopic motions within the matter, coming to thermal equilibrium and manifesting itself as thermal energy, or even kinetic energy, in the material. With a few exceptions related to high-energy photons (such as fluorescence, harmonic generation, photochemical reactions, the photovoltaic effect for ionizing radiations at far ultraviolet, X-ray and gamma radiation), absorbed electromagnetic radiation simply deposits its energy by heating the material. This happens for infrared, microwave and radio wave radiation. Intense radio waves can thermally burn living tissue and can cook food. In addition to infrared lasers, sufficiently intense visible and ultraviolet lasers can easily set paper afire.", "title": "Thermal and electromagnetic radiation as a form of heat" }, { "paragraph_id": 63, "text": "Ionizing radiation creates high-speed electrons in a material and breaks chemical bonds, but after these electrons collide many times with other atoms eventually most of the energy becomes thermal energy all in a tiny fraction of a second. This process makes ionizing radiation far more dangerous per unit of energy than non-ionizing radiation. This caveat also applies to UV, even though almost all of it is not ionizing, because UV can damage molecules due to electronic excitation, which is far greater per unit energy than heating effects.", "title": "Thermal and electromagnetic radiation as a form of heat" }, { "paragraph_id": 64, "text": "Infrared radiation in the spectral distribution of a black body is usually considered a form of heat, since it has an equivalent temperature and is associated with an entropy change per unit of thermal energy. However, \"heat\" is a technical term in physics and thermodynamics and is often confused with thermal energy. Any type of electromagnetic energy can be transformed into thermal energy in interaction with matter. Thus, any electromagnetic radiation can \"heat\" (in the sense of increase the thermal energy temperature of) a material, when it is absorbed.", "title": "Thermal and electromagnetic radiation as a form of heat" }, { "paragraph_id": 65, "text": "The inverse or time-reversed process of absorption is thermal radiation. Much of the thermal energy in matter consists of random motion of charged particles, and this energy can be radiated away from the matter. The resulting radiation may subsequently be absorbed by another piece of matter, with the deposited energy heating the material.", "title": "Thermal and electromagnetic radiation as a form of heat" }, { "paragraph_id": 66, "text": "The electromagnetic radiation in an opaque cavity at thermal equilibrium is effectively a form of thermal energy, having maximum radiation entropy.", "title": "Thermal and electromagnetic radiation as a form of heat" }, { "paragraph_id": 67, "text": "Bioelectromagnetics is the study of the interactions and effects of EM radiation on living organisms. The effects of electromagnetic radiation upon living cells, including those in humans, depends upon the radiation's power and frequency. For low-frequency radiation (radio waves to visible light) the best-understood effects are those due to radiation power alone, acting through heating when radiation is absorbed. For these thermal effects, frequency is important as it affects the intensity of the radiation and penetration into the organism (for example, microwaves penetrate better than infrared). It is widely accepted that low frequency fields that are too weak to cause significant heating could not possibly have any biological effect.", "title": "Biological effects" }, { "paragraph_id": 68, "text": "Some research suggests that weaker non-thermal electromagnetic fields (including weak ELF magnetic fields, although the latter does not strictly qualify as EM radiation) and modulated RF and microwave fields can have biological effects, though the significance of this is unclear.", "title": "Biological effects" }, { "paragraph_id": 69, "text": "The World Health Organization has classified radio frequency electromagnetic radiation as Group 2B – possibly carcinogenic. This group contains possible carcinogens such as lead, DDT, and styrene. For example, epidemiological studies looking for a relationship between cell phone use and brain cancer development have been largely inconclusive, save to demonstrate that the effect, if it exists, cannot be a large one.", "title": "Biological effects" }, { "paragraph_id": 70, "text": "At higher frequencies (visible and beyond), the effects of individual photons begin to become important, as these now have enough energy individually to directly or indirectly damage biological molecules. All UV frequencies have been classed as Group 1 carcinogens by the World Health Organization. Ultraviolet radiation from sun exposure is the primary cause of skin cancer.", "title": "Biological effects" }, { "paragraph_id": 71, "text": "Thus, at UV frequencies and higher (and probably somewhat also in the visible range), electromagnetic radiation does more damage to biological systems than simple heating predicts. This is most obvious in the \"far\" (or \"extreme\") ultraviolet. UV, with X-ray and gamma radiation, are referred to as ionizing radiation due to the ability of photons of this radiation to produce ions and free radicals in materials (including living tissue). Since such radiation can severely damage life at energy levels that produce little heating, it is considered far more dangerous (in terms of damage-produced per unit of energy, or power) than the rest of the electromagnetic spectrum.", "title": "Biological effects" }, { "paragraph_id": 72, "text": "The heat ray is an application of EMR that makes use of microwave frequencies to create an unpleasant heating effect in the upper layer of the skin. A publicly known heat ray weapon called the Active Denial System was developed by the US military as an experimental weapon to deny the enemy access to an area. A death ray is a theoretical weapon that delivers heat ray based on electromagnetic energy at levels that are capable of injuring human tissue. An inventor of a death ray, Harry Grindell Matthews, claimed to have lost sight in his left eye while working on his death ray weapon based on a microwave magnetron from the 1920s (a normal microwave oven creates a tissue damaging cooking effect inside the oven at around 2 kV/m).", "title": "Biological effects" }, { "paragraph_id": 73, "text": "Electromagnetic waves are predicted by the classical laws of electricity and magnetism, known as Maxwell's equations. There are nontrivial solutions of the homogeneous Maxwell's equations (without charges or currents), describing waves of changing electric and magnetic fields. Beginning with Maxwell's equations in free space:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 74, "text": "where", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 75, "text": "Besides the trivial solution", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 76, "text": "useful solutions can be derived with the following vector identity, valid for all vectors A {\\displaystyle \\mathbf {A} } in some vector field:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 77, "text": "Taking the curl of the second Maxwell equation (2) yields:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 78, "text": "Evaluating the left hand side of (5) with the above identity and simplifying using (1), yields:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 79, "text": "Evaluating the right hand side of (5) by exchanging the sequence of derivatives and inserting the fourth Maxwell equation (4), yields:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 80, "text": "Combining (6) and (7) again, gives a vector-valued differential equation for the electric field, solving the homogeneous Maxwell equations:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 81, "text": "∇ 2 E = μ 0 ε 0 ∂ 2 E ∂ t 2 {\\displaystyle \\nabla ^{2}\\mathbf {E} =\\mu _{0}\\varepsilon _{0}{\\frac {\\partial ^{2}\\mathbf {E} }{\\partial t^{2}}}}", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 82, "text": "Taking the curl of the fourth Maxwell equation (4) results in a similar differential equation for a magnetic field solving the homogeneous Maxwell equations:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 83, "text": "∇ 2 B = μ 0 ε 0 ∂ 2 B ∂ t 2 . {\\displaystyle \\nabla ^{2}\\mathbf {B} =\\mu _{0}\\varepsilon _{0}{\\frac {\\partial ^{2}\\mathbf {B} }{\\partial t^{2}}}.}", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 84, "text": "Both differential equations have the form of the general wave equation for waves propagating with speed c 0 , {\\displaystyle c_{0},} where f {\\displaystyle f} is a function of time and location, which gives the amplitude of the wave at some time at a certain location:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 85, "text": "This is also written as:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 86, "text": "where ◻ {\\displaystyle \\Box } denotes the so-called d'Alembert operator, which in Cartesian coordinates is given as:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 87, "text": "Comparing the terms for the speed of propagation, yields in the case of the electric and magnetic fields:", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 88, "text": "This is the speed of light in vacuum. Thus Maxwell's equations connect the vacuum permittivity ε 0 {\\displaystyle \\varepsilon _{0}} , the vacuum permeability μ 0 {\\displaystyle \\mu _{0}} , and the speed of light, c0, via the above equation. This relationship had been discovered by Wilhelm Eduard Weber and Rudolf Kohlrausch prior to the development of Maxwell's electrodynamics, however Maxwell was the first to produce a field theory consistent with waves traveling at the speed of light.", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 89, "text": "These are only two equations versus the original four, so more information pertains to these waves hidden within Maxwell's equations. A generic vector wave for the electric field has the form", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 90, "text": "Here, E 0 {\\displaystyle \\mathbf {E} _{0}} is a constant vector, f {\\displaystyle f} is any second differentiable function, k ^ {\\displaystyle {\\hat {\\mathbf {k} }}} is a unit vector in the direction of propagation, and x {\\displaystyle {\\mathbf {x} }} is a position vector. f ( k ^ ⋅ x − c 0 t ) {\\displaystyle f{\\left({\\hat {\\mathbf {k} }}\\cdot \\mathbf {x} -c_{0}t\\right)}} is a generic solution to the wave equation. In other words,", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 91, "text": "for a generic wave traveling in the k ^ {\\displaystyle {\\hat {\\mathbf {k} }}} direction.", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 92, "text": "From the first of Maxwell's equations, we get", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 93, "text": "Thus,", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 94, "text": "which implies that the electric field is orthogonal to the direction the wave propagates. The second of Maxwell's equations yields the magnetic field, namely,", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 95, "text": "Thus,", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 96, "text": "The remaining equations will be satisfied by this choice of E , B {\\displaystyle \\mathbf {E} ,\\mathbf {B} } .", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 97, "text": "The electric and magnetic field waves in the far-field travel at the speed of light. They have a special restricted orientation and proportional magnitudes, E 0 = c 0 B 0 {\\displaystyle E_{0}=c_{0}B_{0}} , which can be seen immediately from the Poynting vector. The electric field, magnetic field, and direction of wave propagation are all orthogonal, and the wave propagates in the same direction as E × B {\\displaystyle \\mathbf {E} \\times \\mathbf {B} } . Also, E and B far-fields in free space, which as wave solutions depend primarily on these two Maxwell equations, are in-phase with each other. This is guaranteed since the generic wave solution is first order in both space and time, and the curl operator on one side of these equations results in first-order spatial derivatives of the wave solution, while the time-derivative on the other side of the equations, which gives the other field, is first-order in time, resulting in the same phase shift for both fields in each mathematical operation.", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 98, "text": "From the viewpoint of an electromagnetic wave traveling forward, the electric field might be oscillating up and down, while the magnetic field oscillates right and left. This picture can be rotated with the electric field oscillating right and left and the magnetic field oscillating down and up. This is a different solution that is traveling in the same direction. This arbitrariness in the orientation with respect to propagation direction is known as polarization. On a quantum level, it is described as photon polarization. The direction of the polarization is defined as the direction of the electric field.", "title": "Derivation from electromagnetic theory" }, { "paragraph_id": 99, "text": "More general forms of the second-order wave equations given above are available, allowing for both non-vacuum propagation media and sources. Many competing derivations exist, all with varying levels of approximation and intended applications. One very general example is a form of the electric field equation, which was factorized into a pair of explicitly directional wave equations, and then efficiently reduced into a single uni-directional wave equation by means of a simple slow-evolution approximation.", "title": "Derivation from electromagnetic theory" } ]
In physics, electromagnetic radiation (EMR) consists of waves of the electromagnetic (EM) field, which propagate through space and carry momentum and electromagnetic radiant energy. Types of EMR include radio waves, microwaves, infrared, (visible) light, ultraviolet, X-rays, and gamma rays, all of which are part of the electromagnetic spectrum. Classically, electromagnetic radiation consists of electromagnetic waves, which are synchronized oscillations of electric and magnetic fields. Depending on the frequency of oscillation, different wavelengths of electromagnetic spectrum are produced. In a vacuum, electromagnetic waves travel at the speed of light, commonly denoted c. In homogeneous, isotropic media, the oscillations of the two fields are on average perpendicular to each other and perpendicular to the direction of energy and wave propagation, forming a transverse wave. The position of an electromagnetic wave within the electromagnetic spectrum can be characterized by either its frequency of oscillation or its wavelength. Electromagnetic waves of different frequency are called by different names since they have different sources and effects on matter. In order of increasing frequency and decreasing wavelength these are: radio waves, microwaves, infrared radiation, visible light, ultraviolet radiation, X-rays and gamma rays. Electromagnetic waves are emitted by electrically charged particles undergoing acceleration, and these waves can subsequently interact with other charged particles, exerting force on them. EM waves carry energy, momentum, and angular momentum away from their source particle and can impart those quantities to matter with which they interact. Electromagnetic radiation is associated with those EM waves that are free to propagate themselves ("radiate") without the continuing influence of the moving charges that produced them, because they have achieved sufficient distance from those charges. Thus, EMR is sometimes referred to as the far field. In this language, the near field refers to EM fields near the charges and current that directly produced them, specifically electromagnetic induction and electrostatic induction phenomena. In quantum mechanics, an alternate way of viewing EMR is that it consists of photons, uncharged elementary particles with zero rest mass which are the quanta of the electromagnetic field, responsible for all electromagnetic interactions. Quantum electrodynamics is the theory of how EMR interacts with matter on an atomic level. Quantum effects provide additional sources of EMR, such as the transition of electrons to lower energy levels in an atom and black-body radiation. The energy of an individual photon is quantized and is greater for photons of higher frequency. This relationship is given by Planck's equation E = hf, where E is the energy per photon, f is the frequency of the photon, and h is the Planck constant. A single gamma ray photon, for example, might carry ~100,000 times the energy of a single photon of visible light. The effects of EMR upon chemical compounds and biological organisms depend both upon the radiation's power and its frequency. EMR of visible or lower frequencies is called non-ionizing radiation, because its photons do not individually have enough energy to ionize atoms or molecules, or break chemical bonds. The effects of these radiations on chemical systems and living tissue are caused primarily by heating effects from the combined energy transfer of many photons. In contrast, high frequency ultraviolet, X-rays and gamma rays are called ionizing radiation, since individual photons of such high frequency have enough energy to ionize molecules or break chemical bonds. These radiations have the ability to cause chemical reactions and damage living cells beyond that resulting from simple heating, and can be a health hazard.
2001-11-10T06:21:30Z
2023-12-19T21:35:13Z
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9,428
Ernest Hemingway
Ernest Miller Hemingway (/ˈɜːrnɪst ˈhɛmɪŋweɪ/; July 21, 1899 – July 2, 1961) was an American novelist, short-story writer, and journalist. His economical and understated style—which included his iceberg theory—had a strong influence on 20th-century fiction, while his adventurous lifestyle and public image brought him admiration from later generations. Hemingway produced most of his work between the mid-1920s and the mid-1950s, and he was awarded the 1954 Nobel Prize in Literature. He published seven novels, six short-story collections, and two nonfiction works. Three of his novels, four short-story collections, and three nonfiction works were published posthumously. Many of his works are considered classics of American literature. Hemingway was raised in Oak Park, Illinois. After high school, he was a reporter for a few months for The Kansas City Star before leaving for the Italian Front to enlist as an ambulance driver in World War I. In 1918, he was seriously wounded and returned home. His wartime experiences formed the basis for his novel A Farewell to Arms (1929). In 1921, he married Hadley Richardson, the first of four wives. They moved to Paris, where he worked as a foreign correspondent for the Toronto Star and fell under the influence of the modernist writers and artists of the 1920s' "Lost Generation" expatriate community. Hemingway's debut novel The Sun Also Rises was published in 1926. He divorced Richardson in 1927, and married Pauline Pfeiffer. They divorced after he returned from the Spanish Civil War (1936–1939), which he covered as a journalist and which was the basis for his novel For Whom the Bell Tolls (1940). Martha Gellhorn became his third wife in 1940. He and Gellhorn separated after he met Mary Welsh in London during World War II. Hemingway was present with Allied troops as a journalist at the Normandy landings and the liberation of Paris. He maintained permanent residences in Key West, Florida in the 1930s and in Cuba in the 1940s and 1950s. On a 1954 trip to Africa, he was seriously injured in two plane accidents on successive days, leaving him in pain and ill health for much of the rest of his life. In 1959, he bought a house in Ketchum, Idaho, where, in mid-1961, he died by suicide. Ernest Miller Hemingway was born on July 21, 1899, in Oak Park, Illinois, an affluent suburb just west of Chicago, to Clarence Edmonds Hemingway, a physician, and Grace Hall Hemingway, a musician. His parents were well-educated and well-respected in Oak Park, a conservative community about which resident Frank Lloyd Wright said, "So many churches for so many good people to go to." When Clarence and Grace Hemingway married in 1896, they lived with Grace's father, Ernest Miller Hall, after whom they named their first son, the second of their six children. His sister Marcelline preceded him in 1898, followed by Ursula in 1902, Madelaine in 1904, Carol in 1911, and Leicester in 1915. Grace followed the Victorian convention of not differentiating children's clothing by gender. With only a year separating the two, Ernest and Marcelline resembled one-another strongly. Grace wanted them to appear as twins, so in Ernest's first three years she kept his hair long and dressed both children in similarly frilly feminine clothing. Hemingway's mother, a well-known musician in the village, taught her son to play the cello despite his refusal to learn; though later in life he admitted the music lessons contributed to his writing style, evidenced for example in the "contrapuntal structure" of For Whom the Bell Tolls. As an adult Hemingway professed to hate his mother, although biographer Michael S. Reynolds points out that he shared similar energies and enthusiasms. Each summer the family traveled to Windemere on Walloon Lake, near Petoskey, Michigan. There young Ernest joined his father and learned to hunt, fish, and camp in the woods and lakes of Northern Michigan, early experiences that instilled a life-long passion for outdoor adventure and living in remote or isolated areas. Hemingway attended Oak Park and River Forest High School in Oak Park from 1913 until 1917. He was an accomplished athlete involved with a number of sports, including boxing, track and field, water polo, and football. He performed in the school orchestra for two years with his sister Marcelline, and received good grades in English classes. During his last two years at high school he edited the Trapeze and Tabula (the school's newspaper and yearbook), where he imitated the language of sportswriters and used the pen name Ring Lardner Jr.—a nod to Ring Lardner of the Chicago Tribune whose byline was "Line O'Type". Like Mark Twain, Stephen Crane, Theodore Dreiser, and Sinclair Lewis, Hemingway was a journalist before becoming a novelist. After leaving high school, he went to work for The Kansas City Star as a cub reporter. Although he stayed there for only six months, he relied on the Star's style guide as a foundation for his writing, such as "Use short sentences. Use short first paragraphs. Use vigorous English. Be positive, not negative." In December 1917, after being rejected by the U.S. Army for poor eyesight, Hemingway responded to an International Red Cross and Red Crescent Movement recruitment effort and signed on to be an ambulance driver in Italy. In May 1918, he sailed from New York, and arrived in Paris as the city was under bombardment from German artillery. That June he arrived at the Italian Front. On his first day in Milan, he was sent to the scene of a munitions factory explosion to join rescuers retrieving the shredded remains of female workers. He described the incident in his 1932 non-fiction book Death in the Afternoon: "I remember that after we searched quite thoroughly for the complete dead we collected fragments." A few days later, he was stationed at Fossalta di Piave. On July 8, he was seriously wounded by mortar fire, having just returned from the canteen bringing chocolate and cigarettes for the men at the front line. Despite his wounds, Hemingway assisted Italian soldiers to safety, for which he was decorated with the Italian War Merit Cross, the Croce al Merito di Guerra. He was still only 18 at the time. Hemingway later said of the incident: "When you go to war as a boy you have a great illusion of immortality. Other people get killed; not you ... Then when you are badly wounded the first time you lose that illusion and you know it can happen to you." He sustained severe shrapnel wounds to both legs, underwent an immediate operation at a distribution center, and spent five days at a field hospital before he was transferred for recuperation to the Red Cross hospital in Milan. He spent six months at the hospital, where he met and formed a strong friendship with "Chink" Dorman-Smith that lasted for decades and shared a room with future American foreign service officer, ambassador, and author Henry Serrano Villard. While recuperating he fell in love with Agnes von Kurowsky, a Red Cross nurse seven years his senior. When Hemingway returned to the United States in January 1919, he believed Agnes would join him within months and the two would marry. Instead, he received a letter in March with her announcement that she was engaged to an Italian officer. Biographer Jeffrey Meyers writes Agnes's rejection devastated and scarred the young man; in future relationships, Hemingway followed a pattern of abandoning a wife before she abandoned him. Hemingway returned home early in 1919 to a time of readjustment. Before the age of 20, he had gained from the war a maturity that was at odds with living at home without a job and with the need for recuperation. As Reynolds explains, "Hemingway could not really tell his parents what he thought when he saw his bloody knee." He was not able to tell them how scared he had been "in another country with surgeons who could not tell him in English if his leg was coming off or not." In September, he took a fishing and camping trip with high school friends to the back-country of Michigan's Upper Peninsula. The trip became the inspiration for his short story "Big Two-Hearted River", in which the semi-autobiographical character Nick Adams takes to the country to find solitude after returning from war. A family friend offered him a job in Toronto, and with nothing else to do, he accepted. Late that year he began as a freelancer and staff writer for the Toronto Star Weekly. He returned to Michigan the following June and then moved to Chicago in September 1920 to live with friends, while still filing stories for the Toronto Star. In Chicago, he worked as an associate editor of the monthly journal Cooperative Commonwealth, where he met novelist Sherwood Anderson. When St. Louis native Hadley Richardson came to Chicago to visit the sister of Hemingway's roommate, Hemingway became infatuated. He later claimed, "I knew she was the girl I was going to marry." Hadley, red-haired, with a "nurturing instinct", was eight years older than Hemingway. Despite the age difference, Hadley, who had grown up with an overprotective mother, seemed less mature than usual for a young woman her age. Bernice Kert, author of The Hemingway Women, claims Hadley was "evocative" of Agnes, but that Hadley had a childishness that Agnes lacked. The two corresponded for a few months and then decided to marry and travel to Europe. They wanted to visit Rome, but Sherwood Anderson convinced them to visit Paris instead, writing letters of introduction for the young couple. They were married on September 3, 1921; two months later Hemingway was hired as a foreign correspondent for the Toronto Star, and the couple left for Paris. Of Hemingway's marriage to Hadley, Meyers claims: "With Hadley, Hemingway achieved everything he had hoped for with Agnes: the love of a beautiful woman, a comfortable income, a life in Europe." Carlos Baker, Hemingway's first biographer, believes that while Anderson suggested Paris because "the monetary exchange rate" made it an inexpensive place to live, more importantly it was where "the most interesting people in the world" lived. In Paris, Hemingway met American writer and art collector Gertrude Stein, Irish novelist James Joyce, American poet Ezra Pound (who "could help a young writer up the rungs of a career") and other writers. The Hemingway of the early Paris years was a "tall, handsome, muscular, broad-shouldered, brown-eyed, rosy-cheeked, square-jawed, soft-voiced young man." He and Hadley lived in a small walk-up at 74 rue du Cardinal Lemoine in the Latin Quarter, and he worked in a rented room in a nearby building. Stein, who was the bastion of modernism in Paris, became Hemingway's mentor and godmother to his son Jack; she introduced him to the expatriate artists and writers of the Montparnasse Quarter, whom she referred to as the "Lost Generation"—a term Hemingway popularized with the publication of The Sun Also Rises. A regular at Stein's salon, Hemingway met influential painters such as Pablo Picasso, Joan Miró, and Juan Gris. He eventually withdrew from Stein's influence, and their relationship deteriorated into a literary quarrel that spanned decades. While living in Paris in 1922, Hemingway befriended artist Henry Strater who painted two portraits of him. Ezra Pound met Hemingway by chance at Sylvia Beach's bookshop Shakespeare and Company in 1922. The two toured Italy in 1923 and lived on the same street in 1924. They forged a strong friendship, and in Hemingway, Pound recognized and fostered a young talent. Pound introduced Hemingway to James Joyce, with whom Hemingway frequently embarked on "alcoholic sprees". During his first 20 months in Paris, Hemingway filed 88 stories for the Toronto Star newspaper. He covered the Greco-Turkish War, where he witnessed the burning of Smyrna, and wrote travel pieces such as "Tuna Fishing in Spain" and "Trout Fishing All Across Europe: Spain Has the Best, Then Germany". Hemingway was devastated on learning that Hadley had lost a suitcase filled with his manuscripts at the Gare de Lyon as she was traveling to Geneva to meet him in December 1922. In the following September the couple returned to Toronto, where their son John Hadley Nicanor was born on October 10, 1923. During their absence, Hemingway's first book, Three Stories and Ten Poems, was published. Two of the stories it contained were all that remained after the loss of the suitcase, and the third had been written early the previous year in Italy. Within months a second volume, in our time (without capitals), was published. The small volume included six vignettes and a dozen stories Hemingway had written the previous summer during his first visit to Spain, where he discovered the thrill of the corrida. He missed Paris, considered Toronto boring, and wanted to return to the life of a writer, rather than live the life of a journalist. Hemingway, Hadley, and their son (nicknamed Bumby) returned to Paris in January 1924 and moved into a new apartment on the rue Notre-Dame des Champs. Hemingway helped Ford Madox Ford edit The Transatlantic Review, which published works by Pound, John Dos Passos, Baroness Elsa von Freytag-Loringhoven, and Stein, as well as some of Hemingway's own early stories such as "Indian Camp". When In Our Time was published in 1925, the dust jacket bore comments from Ford. "Indian Camp" received considerable praise; Ford saw it as an important early story by a young writer, and critics in the United States praised Hemingway for reinvigorating the short story genre with his crisp style and use of declarative sentences. Six months earlier, Hemingway had met F. Scott Fitzgerald, and the pair formed a friendship of "admiration and hostility". Fitzgerald had published The Great Gatsby the same year: Hemingway read it, liked it, and decided his next work had to be a novel. With his wife Hadley, Hemingway first visited the Festival of San Fermín in Pamplona, Spain, in 1923, where he became fascinated by bullfighting. It is at this time that he began to be referred to as "Papa", even by much older friends. Hadley would much later recall that Hemingway had his own nicknames for everyone and that he often did things for his friends; she suggested that he liked to be looked up to. She did not remember precisely how the nickname came into being; however, it certainly stuck. The Hemingways returned to Pamplona in 1924 and a third time in June 1925; that year they brought with them a group of American and British expatriates: Hemingway's Michigan boyhood friend Bill Smith, Donald Ogden Stewart, Lady Duff Twysden (recently divorced), her lover Pat Guthrie, and Harold Loeb. A few days after the fiesta ended, on his birthday (July 21), he began to write the draft of what would become The Sun Also Rises, finishing eight weeks later. A few months later, in December 1925, the Hemingways left to spend the winter in Schruns, Austria, where Hemingway began revising the manuscript extensively. Pauline Pfeiffer, who was from a wealthy Catholic family in Arkansas and had moved to Paris to work for Vogue magazine where she met the Hemingways, joined them in January. Against Hadley's advice, Pfeiffer urged Hemingway to sign a contract with Scribner's. He left Austria for a quick trip to New York to meet with the publishers and, on his return, began an affair with Pfeiffer during a stop in Paris, before returning to Schruns to finish the revisions in March. The manuscript arrived in New York in April; he corrected the final proof in Paris in August 1926, and Scribner's published the novel in October. The Sun Also Rises epitomized the post-war expatriate generation, received good reviews and is "recognized as Hemingway's greatest work". Hemingway himself later wrote to his editor Max Perkins that the "point of the book" was not so much about a generation being lost, but that "the earth abideth forever"; he believed the characters in The Sun Also Rises may have been "battered" but were not lost. Hemingway's marriage to Hadley deteriorated as he was working on The Sun Also Rises. In early 1926, Hadley became aware of his affair with Pfeiffer, who came to Pamplona with them that July. On their return to Paris, Hadley asked for a separation; in November she formally requested a divorce. They split their possessions while Hadley accepted Hemingway's offer of the proceeds from The Sun Also Rises. The couple were divorced in January 1927, and Hemingway married Pfeiffer in May. Before his marriage to Pfeiffer, Hemingway converted to Catholicism. They honeymooned in Le Grau-du-Roi, where he contracted anthrax, and he planned his next collection of short stories, Men Without Women, which was published in October 1927, and included his boxing story "Fifty Grand". Cosmopolitan magazine editor-in-chief Ray Long praised "Fifty Grand", calling it, "one of the best short stories that ever came to my hands ... the best prize-fight story I ever read ... a remarkable piece of realism." By the end of the year Pauline, who was pregnant, wanted to move back to America. John Dos Passos recommended Key West, and they left Paris in March 1928. Hemingway suffered a severe injury in their Paris bathroom when he pulled a skylight down on his head thinking he was pulling on a toilet chain. This left him with a prominent forehead scar, which he carried for the rest of his life. When Hemingway was asked about the scar, he was reluctant to answer. After his departure from Paris, Hemingway "never again lived in a big city". Hemingway and Pauline traveled to Kansas City, Missouri, where their son Patrick was born on June 28, 1928. Pauline had a difficult delivery; Hemingway fictionalized a version of the event as a part of A Farewell to Arms. After Patrick's birth, Pauline and Hemingway traveled to Wyoming, Massachusetts, and New York. In the winter, he was in New York with Bumby, about to board a train to Florida, when he received a cable telling him that his father had killed himself. Hemingway was devastated, having earlier written to his father telling him not to worry about financial difficulties; the letter arrived minutes after the suicide. He realized how Hadley must have felt after her own father's suicide in 1903, and he commented, "I'll probably go the same way." Upon his return to Key West in December, Hemingway worked on the draft of A Farewell to Arms before leaving for France in January. He had finished it in August but delayed the revision. The serialization in Scribner's Magazine was scheduled to begin in May, but as late as April, Hemingway was still working on the ending, which he may have rewritten as many as seventeen times. The completed novel was published on September 27. Biographer James Mellow believes A Farewell to Arms established Hemingway's stature as a major American writer and displayed a level of complexity not apparent in The Sun Also Rises. (The story was turned into a play by war veteran Laurence Stallings that was the basis for the film starring Gary Cooper.) In Spain in mid-1929, Hemingway researched his next work, Death in the Afternoon. He wanted to write a comprehensive treatise on bullfighting, explaining the toreros and corridas complete with glossaries and appendices, because he believed bullfighting was "of great tragic interest, being literally of life and death." During the early 1930s, Hemingway spent his winters in Key West and summers in Wyoming, where he found "the most beautiful country he had seen in the American West" and hunted deer, elk, and grizzly bear. He was joined there by Dos Passos, and in November 1930, after bringing Dos Passos to the train station in Billings, Montana, Hemingway broke his arm in a car accident. The surgeon tended the compound spiral fracture and bound the bone with kangaroo tendon. Hemingway was hospitalized for seven weeks, with Pauline tending to him; the nerves in his writing hand took as long as a year to heal, during which time he suffered intense pain. His third child, Gloria Hemingway, was born a year later on November 12, 1931, in Kansas City as "Gregory Hancock Hemingway". Pauline's uncle bought the couple a house in Key West with a carriage house, the second floor of which was converted into a writing studio. While in Key West, Hemingway frequented the local bar Sloppy Joe's. He invited friends—including Waldo Peirce, Dos Passos, and Max Perkins—to join him on fishing trips and on an all-male expedition to the Dry Tortugas. Meanwhile, he continued to travel to Europe and to Cuba, and—although in 1933 he wrote of Key West, "We have a fine house here, and kids are all well"—Mellow believes he "was plainly restless". In 1933, Hemingway and Pauline went on safari to Kenya. The 10-week trip provided material for Green Hills of Africa, as well as for the short stories "The Snows of Kilimanjaro" and "The Short Happy Life of Francis Macomber". The couple visited Mombasa, Nairobi, and Machakos in Kenya; then moved on to Tanganyika Territory, where they hunted in the Serengeti, around Lake Manyara, and west and southeast of present-day Tarangire National Park. Their guide was the noted "white hunter" Philip Percival who had guided Theodore Roosevelt on his 1909 safari. During these travels, Hemingway contracted amoebic dysentery that caused a prolapsed intestine, and he was evacuated by plane to Nairobi, an experience reflected in "The Snows of Kilimanjaro". On Hemingway's return to Key West in early 1934, he began work on Green Hills of Africa, which he published in 1935 to mixed reviews. Hemingway bought a boat in 1934, named it the Pilar, and began sailing the Caribbean. In 1935 he first arrived at Bimini, where he spent a considerable amount of time. During this period he also worked on To Have and Have Not, published in 1937 while he was in Spain, the only novel he wrote during the 1930s. In 1937, Hemingway left for Spain to cover the Spanish Civil War for the North American Newspaper Alliance (NANA), despite Pauline's reluctance to have him working in a war zone. He and Dos Passos both signed on to work with Dutch filmmaker Joris Ivens as screenwriters for The Spanish Earth. Dos Passos left the project after the execution of José Robles, his friend and Spanish translator, which caused a rift between the two writers. Hemingway was joined in Spain by journalist and writer Martha Gellhorn, whom he had met in Key West a year earlier. Like Hadley, Martha was a St. Louis native and, like Pauline, she had worked for Vogue in Paris. Of Martha, Kert explains, "she never catered to him the way other women did". In July 1937 he attended the Second International Writers' Congress, the purpose of which was to discuss the attitude of intellectuals to the war, held in Valencia, Barcelona and Madrid and attended by many writers including André Malraux, Stephen Spender and Pablo Neruda. Late in 1937, while in Madrid with Martha, Hemingway wrote his only play, The Fifth Column, as the city was being bombarded by Francoist forces. He returned to Key West for a few months, then back to Spain twice in 1938, where he was present at the Battle of the Ebro, the last republican stand, and he was among the British and American journalists who were some of the last to leave the battle as they crossed the river. In early 1939, Hemingway crossed to Cuba in his boat to live in the Hotel Ambos Mundos in Havana. This was the separation phase of a slow and painful split from Pauline, which began when Hemingway met Martha Gellhorn. Martha soon joined him in Cuba, and they rented "Finca Vigía" ("Lookout Farm"), a 15-acre (61,000 m) property 15 miles (24 km) from Havana. Pauline and the children left Hemingway that summer, after the family was reunited during a visit to Wyoming; when his divorce from Pauline was finalized, he and Martha were married on November 20, 1940, in Cheyenne, Wyoming. Hemingway moved his primary summer residence to Ketchum, Idaho, just outside the newly built resort of Sun Valley, and moved his winter residence to Cuba. He had been disgusted when a Parisian friend allowed his cats to eat from the table, but he became enamored of cats in Cuba and kept dozens of them on the property. Descendants of his cats live at his Key West home. Gellhorn inspired him to write his most famous novel, For Whom the Bell Tolls, which he began in March 1939 and finished in July 1940. It was published in October 1940. His pattern was to move around while working on a manuscript, and he wrote For Whom the Bell Tolls in Cuba, Wyoming, and Sun Valley. It became a Book-of-the-Month Club choice, sold half a million copies within months, was nominated for a Pulitzer Prize and, in the words of Meyers, "triumphantly re-established Hemingway's literary reputation". In January 1941, Martha was sent to China on assignment for Collier's magazine. Hemingway went with her, sending in dispatches for the newspaper PM, but in general he disliked China. A 2009 book by former KGB officer Alexander Vassiliev suggests during that period he may have been recruited to work for NKVD "on ideological grounds" under the code name "Argo". They returned to Cuba before the declaration of war by the United States that December, when he convinced the Cuban government to help him refit the Pilar, which he intended to use to ambush German submarines off the coast of Cuba. Hemingway was in Europe from May 1944 to March 1945. When he arrived in London, he met Time magazine correspondent Mary Welsh, with whom he became infatuated. Martha had been forced to cross the Atlantic in a ship filled with explosives because Hemingway refused to help her get a press pass on a plane, and she arrived in London to find him hospitalized with a concussion from a car accident. She was unsympathetic to his plight; she accused him of being a bully and told him that she was "through, absolutely finished". The last time that Hemingway saw Martha was in March 1945 as he was preparing to return to Cuba, and their divorce was finalized later that year. Meanwhile, he had asked Mary Welsh to marry him on their third meeting. Hemingway accompanied the troops to the Normandy Landings wearing a large head bandage, according to Meyers, but he was considered "precious cargo" and not allowed ashore. The landing craft came within sight of Omaha Beach before coming under enemy fire and turning back. Hemingway later wrote in Collier's that he could see "the first, second, third, fourth and fifth waves of [landing troops] lay where they had fallen, looking like so many heavily laden bundles on the flat pebbly stretch between the sea and first cover". Mellow explains that, on that first day, none of the correspondents were allowed to land and Hemingway was returned to the Dorothea Dix. Late in July, he attached himself to "the 22nd Infantry Regiment commanded by Col. Charles "Buck" Lanham, as it drove toward Paris", and Hemingway became de facto leader to a small band of village militia in Rambouillet outside of Paris. Paul Fussell remarks: "Hemingway got into considerable trouble playing infantry captain to a group of Resistance people that he gathered because a correspondent is not supposed to lead troops, even if he does it well." This was in fact in contravention of the Geneva Convention, and Hemingway was brought up on formal charges; he said that he "beat the rap" by claiming that he only offered advice. On August 25, he was present at the liberation of Paris as a journalist; contrary to the Hemingway legend, he was not the first into the city, nor did he liberate the Ritz. In Paris, he visited Sylvia Beach and Pablo Picasso with Mary Welsh, who joined him there; in a spirit of happiness, he forgave Gertrude Stein. Later that year, he observed heavy fighting in the Battle of Hürtgen Forest. On December 17, 1944, he had himself driven to Luxembourg in spite of illness to cover The Battle of the Bulge. As soon as he arrived, however, Lanham handed him to the doctors, who hospitalized him with pneumonia; he recovered a week later, but most of the fighting was over. In 1947, Hemingway was awarded a Bronze Star for his bravery during World War II. He was recognized for having been "under fire in combat areas in order to obtain an accurate picture of conditions", with the commendation that "through his talent of expression, Mr. Hemingway enabled readers to obtain a vivid picture of the difficulties and triumphs of the front-line soldier and his organization in combat". Hemingway said he "was out of business as a writer" from 1942 to 1945 during his residence in Cuba. In 1946 he married Mary, who had an ectopic pregnancy five months later. The Hemingway family suffered a series of accidents and health problems in the years following the war: in a 1945 car accident, he "smashed his knee" and sustained another "deep wound on his forehead"; Mary broke first her right ankle and then her left in successive skiing accidents. A 1947 car accident left Patrick with a head wound and severely ill. Hemingway sank into depression as his literary friends began to die: in 1939 William Butler Yeats and Ford Madox Ford; in 1940 F. Scott Fitzgerald; in 1941 Sherwood Anderson and James Joyce; in 1946 Gertrude Stein; and the following year in 1947, Max Perkins, Hemingway's long-time Scribner's editor, and friend. During this period, he suffered from severe headaches, high blood pressure, weight problems, and eventually diabetes—much of which was the result of previous accidents and many years of heavy drinking. Nonetheless, in January 1946, he began work on The Garden of Eden, finishing 800 pages by June. During the post-war years, he also began work on a trilogy tentatively titled "The Land", "The Sea" and "The Air", which he wanted to combine in one novel titled The Sea Book. However, both projects stalled, and Mellow says that Hemingway's inability to continue was "a symptom of his troubles" during these years. In 1948, Hemingway and Mary traveled to Europe, staying in Venice for several months. While there, Hemingway fell in love with the then 19-year-old Adriana Ivancich. The platonic love affair inspired the novel Across the River and into the Trees, written in Cuba during a time of strife with Mary, and published in 1950 to negative reviews. The following year, furious at the critical reception of Across the River and Into the Trees, he wrote the draft of The Old Man and the Sea in eight weeks, saying that it was "the best I can write ever for all of my life". The Old Man and the Sea became a book-of-the-month selection, made Hemingway an international celebrity, and won the Pulitzer Prize in May 1953, a month before he left for his second trip to Africa. In January 1954, while in Africa, Hemingway was almost fatally injured in two successive plane crashes. He chartered a sightseeing flight over the Belgian Congo as a Christmas present to Mary. On their way to photograph Murchison Falls from the air, the plane struck an abandoned utility pole and "crash landed in heavy brush". Hemingway's injuries included a head wound, while Mary broke two ribs. The next day, attempting to reach medical care in Entebbe, they boarded a second plane that exploded at take-off, with Hemingway suffering burns and another concussion, this one serious enough to cause leaking of cerebral fluid. They eventually arrived in Entebbe to find reporters covering the story of Hemingway's death. He briefed the reporters and spent the next few weeks recuperating and reading his erroneous obituaries. Despite his injuries, Hemingway accompanied Patrick and his wife on a planned fishing expedition in February, but pain caused him to be irascible and difficult to get along with. When a bushfire broke out, he was again injured, sustaining second-degree burns on his legs, front torso, lips, left hand and right forearm. Months later in Venice, Mary reported to friends the full extent of Hemingway's injuries: two cracked discs, a kidney and liver rupture, a dislocated shoulder and a broken skull. The accidents may have precipitated the physical deterioration that was to follow. After the plane crashes, Hemingway, who had been "a thinly controlled alcoholic throughout much of his life, drank more heavily than usual to combat the pain of his injuries." In October 1954, Hemingway received the Nobel Prize in Literature. He modestly told the press that Carl Sandburg, Isak Dinesen and Bernard Berenson deserved the prize, but he gladly accepted the prize money. Mellow says Hemingway "had coveted the Nobel Prize", but when he won it, months after his plane accidents and the ensuing worldwide press coverage, "there must have been a lingering suspicion in Hemingway's mind that his obituary notices had played a part in the academy's decision." Because he was suffering pain from the African accidents, he decided against traveling to Stockholm. Instead he sent a speech to be read, defining the writer's life: Writing, at its best, is a lonely life. Organizations for writers palliate the writer's loneliness but I doubt if they improve his writing. He grows in public stature as he sheds his loneliness and often his work deteriorates. For he does his work alone and if he is a good enough writer he must face eternity, or the lack of it, each day. From the end of the year in 1955 to early 1956, Hemingway was bedridden. He was told to stop drinking to mitigate liver damage, advice he initially followed but then disregarded. In October 1956, he returned to Europe and met Basque writer Pio Baroja, who was seriously ill and died weeks later. During the trip, Hemingway became sick again and was treated for "high blood pressure, liver disease, and arteriosclerosis". In November 1956, while staying in Paris, he was reminded of trunks he had stored in the Ritz Hotel in 1928 and never retrieved. Upon re-claiming and opening the trunks, Hemingway discovered they were filled with notebooks and writing from his Paris years. Excited about the discovery, when he returned to Cuba in early 1957, he began to shape the recovered work into his memoir A Moveable Feast. By 1959 he ended a period of intense activity: he finished A Moveable Feast (scheduled to be released the following year); brought True at First Light to 200,000 words; added chapters to The Garden of Eden; and worked on Islands in the Stream. The last three were stored in a safe deposit box in Havana, as he focused on the finishing touches for A Moveable Feast. Author Michael Reynolds claims it was during this period that Hemingway slid into depression, from which he was unable to recover. The Finca Vigía became crowded with guests and tourists, as Hemingway, beginning to become unhappy with life there, considered a permanent move to Idaho. In 1959 he bought a home overlooking the Big Wood River, outside Ketchum, and left Cuba—although he apparently remained on easy terms with the Castro government, telling The New York Times he was "delighted" with Castro's overthrow of Batista. He was in Cuba in November 1959, between returning from Pamplona and traveling west to Idaho, and the following year for his 61st birthday; however, that year he and Mary decided to leave after hearing the news that Castro wanted to nationalize property owned by Americans and other foreign nationals. On July 25, 1960, the Hemingways left Cuba for the last time, leaving art and manuscripts in a bank vault in Havana. After the 1961 Bay of Pigs Invasion, the Finca Vigía was expropriated by the Cuban government, complete with Hemingway's collection of "four to six thousand books". President Kennedy arranged for Mary Hemingway to travel to Cuba where she met Fidel Castro and obtained her husband's papers and painting in return for donating Finca Vigía to Cuba. Hemingway continued to rework the material that was published as A Moveable Feast through the 1950s. In mid-1959, he visited Spain to research a series of bullfighting articles commissioned by Life magazine. Life wanted only 10,000 words, but the manuscript grew out of control. He was unable to organize his writing for the first time in his life, so he asked A. E. Hotchner to travel to Cuba to help him. Hotchner helped him trim the Life piece down to 40,000 words, and Scribner's agreed to a full-length book version (The Dangerous Summer) of almost 130,000 words. Hotchner found Hemingway to be "unusually hesitant, disorganized, and confused", and suffering badly from failing eyesight. Hemingway and Mary left Cuba for the last time on July 25, 1960. He set up a small office in his New York City apartment and attempted to work, but he left soon after. He then traveled alone to Spain to be photographed for the front cover of Life magazine. A few days later, the news reported that he was seriously ill and on the verge of dying, which panicked Mary until she received a cable from him telling her, "Reports false. Enroute Madrid. Love Papa." He was, in fact, seriously ill, and believed himself to be on the verge of a breakdown. Feeling lonely, he took to his bed for days, retreating into silence, despite having the first installments of The Dangerous Summer published in Life in September 1960 to good reviews. In October, he left Spain for New York, where he refused to leave Mary's apartment, presuming that he was being watched. She quickly took him to Idaho, where physician George Saviers met them at the train. Hemingway was constantly worried about money and his safety. He worried about his taxes and that he would never return to Cuba to retrieve the manuscripts that he had left in a bank vault. He became paranoid, thinking that the FBI was actively monitoring his movements in Ketchum. The FBI had opened a file on him during World War II, when he used the Pilar to patrol the waters off Cuba, and J. Edgar Hoover had an agent in Havana watch him during the 1950s. Unable to care for her husband, Mary had Saviers fly Hemingway to the Mayo Clinic in Minnesota at the end of November for hypertension treatments, as he told his patient. The FBI knew that Hemingway was at the Mayo Clinic, as an agent later documented in a letter written in January 1961. Hemingway was checked in under Saviers's name to maintain anonymity. Meyers writes that "an aura of secrecy surrounds Hemingway's treatment at the Mayo" but confirms that he was treated with electroconvulsive therapy (ECT) as many as 15 times in December 1960 and was "released in ruins" in January 1961. Reynolds gained access to Hemingway's records at the Mayo, which document ten ECT sessions. The doctors in Rochester told Hemingway the depressive state for which he was being treated may have been caused by his long-term use of Reserpine and Ritalin. Of the ECT therapy, Hemingway told Hotchner, "What is the sense of ruining my head and erasing my memory, which is my capital, and putting me out of business? It was a brilliant cure, but we lost the patient." Hemingway was back in Ketchum in April 1961, three months after being released from the Mayo Clinic, when Mary "found Hemingway holding a shotgun" in the kitchen one morning. She called Saviers, who sedated him and admitted him to the Sun Valley Hospital and once the weather cleared Saviers flew again to Rochester with his patient. Hemingway underwent three electroshock treatments during that visit. He was released at the end of June and was home in Ketchum on June 30. Two days later he "quite deliberately" shot himself with his favorite shotgun in the early morning hours of July 2, 1961. He had unlocked the basement storeroom where his guns were kept, gone upstairs to the front entrance foyer, and shot himself with the "double-barreled shotgun that he had used so often it might have been a friend", which was purchased from Abercrombie & Fitch. Mary was sedated and taken to the hospital, returning home the next day where she cleaned the house and saw to the funeral and travel arrangements. Bernice Kert writes that it "did not seem to her a conscious lie" when she told the press that his death had been accidental. In a press interview five years later, Mary confirmed that he had shot himself. Family and friends flew to Ketchum for the funeral, officiated by the local Catholic priest, who believed that the death had been accidental. An altar boy fainted at the head of the casket during the funeral, and Hemingway's brother Leicester wrote: "It seemed to me Ernest would have approved of it all." He is buried in the Ketchum cemetery. Hemingway's behavior during his final years had been similar to that of his father before he killed himself; his father may have had hereditary hemochromatosis, whereby the excessive accumulation of iron in tissues culminates in mental and physical deterioration. Medical records made available in 1991 confirmed that Hemingway had been diagnosed with hemochromatosis in early 1961. His sister Ursula and his brother Leicester also killed themselves. Hemingway's health was further complicated by heavy drinking throughout most of his life. A memorial to Hemingway just north of Sun Valley is inscribed on the base with a eulogy Hemingway had written for a friend several decades earlier: The New York Times wrote in 1926 of Hemingway's first novel, "No amount of analysis can convey the quality of The Sun Also Rises. It is a truly gripping story, told in a lean, hard, athletic narrative prose that puts more literary English to shame." The Sun Also Rises is written in the spare, tight prose that made Hemingway famous, and, according to James Nagel, "changed the nature of American writing". In 1954, when Hemingway was awarded the Nobel Prize for Literature, it was for "his mastery of the art of narrative, most recently demonstrated in The Old Man and the Sea, and for the influence that he has exerted on contemporary style." If a writer of prose knows enough of what he is writing about he may omit things that he knows and the reader, if the writer is writing truly enough, will have a feeling of those things as strongly as though the writer had stated them. The dignity of movement of an ice-berg is due to only one-eighth of it being above water. A writer who omits things because he does not know them only makes hollow places in his writing. —Ernest Hemingway in Death in the Afternoon Henry Louis Gates believes Hemingway's style was fundamentally shaped "in reaction to [his] experience of world war". After World War I, he and other modernists "lost faith in the central institutions of Western civilization" by reacting against the elaborate style of 19th-century writers and by creating a style "in which meaning is established through dialogue, through action, and silences—a fiction in which nothing crucial—or at least very little—is stated explicitly." Because he began as a writer of short stories, Baker believes Hemingway learned to "get the most from the least, how to prune language, how to multiply intensities and how to tell nothing but the truth in a way that allowed for telling more than the truth." Hemingway called his style the iceberg theory: the facts float above water; the supporting structure and symbolism operate out of sight. The concept of the iceberg theory is sometimes referred to as the "theory of omission". Hemingway believed the writer could describe one thing (such as Nick Adams fishing in "Big Two-Hearted River") though an entirely different thing occurs below the surface (Nick Adams concentrating on fishing to the extent that he does not have to think about anything else). Paul Smith writes that Hemingway's first stories, collected as In Our Time, showed he was still experimenting with his writing style, and when he wrote about Spain or other countries he incorporated foreign words into the text, which sometimes appears directly in the other language (in italics, as occurs in The Old Man and the Sea) or in English as literal translations. He also often used bilingual puns and crosslingual wordplay as stylistic devices. In general, he avoided complicated syntax. About 70 percent of the sentences are simple sentences without subordination—a simple childlike grammar structure. Jackson Benson believes Hemingway used autobiographical details as framing devices about life in general—not only about his life. For example, Benson postulates that Hemingway used his experiences and drew them out with "what if" scenarios: "what if I were wounded in such a way that I could not sleep at night? What if I were wounded and made crazy, what would happen if I were sent back to the front?" Writing in "The Art of the Short Story", Hemingway explains: "A few things I have found to be true. If you leave out important things or events that you know about, the story is strengthened. If you leave or skip something because you do not know it, the story will be worthless. The test of any story is how very good the stuff that you, not your editors, omit." The simplicity of the prose is deceptive. Zoe Trodd believes Hemingway crafted skeletal sentences in response to Henry James's observation that World War I had "used up words". Hemingway offers a "multi-focal" photographic reality. His iceberg theory of omission is the foundation on which he builds. The syntax, which lacks subordinating conjunctions, creates static sentences. The photographic "snapshot" style creates a collage of images. Many types of internal punctuation (colons, semicolons, dashes, parentheses) are omitted in favor of short declarative sentences. The sentences build on each other, as events build to create a sense of the whole. Multiple strands exist in one story; an "embedded text" bridges to a different angle. He also uses other cinematic techniques of "cutting" quickly from one scene to the next; or of "splicing" a scene into another. Intentional omissions allow the reader to fill the gap, as though responding to instructions from the author and create three-dimensional prose. In the late summer that year we lived in a house in a village that looked across the river and the plain to the mountains. In the bed of the river there were pebbles and boulders, dry and white in the sun, and the water was clear and swiftly moving and blue in the channels. Troops went by the house and down the road and the dust they raised powdered the trees. —Opening passage of A Farewell to Arms showing Hemingway's use of the word and Hemingway habitually used the word "and" in place of commas. This use of polysyndeton may serve to convey immediacy. Hemingway's polysyndetonic sentence—or in later works his use of subordinate clauses—uses conjunctions to juxtapose startling visions and images. Benson compares them to haikus. Many of Hemingway's followers misinterpreted his lead and frowned upon all expression of emotion; Saul Bellow satirized this style as "Do you have emotions? Strangle them." However, Hemingway's intent was not to eliminate emotion, but to portray it more scientifically. Hemingway thought it would be easy, and pointless, to describe emotions; he sculpted collages of images in order to grasp "the real thing, the sequence of motion and fact which made the emotion and which would be as valid in a year or in ten years or, with luck and if you stated it purely enough, always". This use of an image as an objective correlative is characteristic of Ezra Pound, T. S. Eliot, James Joyce, and Marcel Proust. Hemingway's letters refer to Proust's Remembrance of Things Past several times over the years, and indicate he read the book at least twice. Hemingway's writing includes themes of love, war, travel, wilderness, and loss. Critic Leslie Fiedler sees the theme he defines as "The Sacred Land"—the American West—extended in Hemingway's work to include mountains in Spain, Switzerland and Africa, and to the streams of Michigan. The American West is given a symbolic nod with the naming of the "Hotel Montana" in The Sun Also Rises and For Whom the Bell Tolls. According to Stoltzfus and Fiedler, in Hemingway's work, nature is a place for rebirth and rest; and it is where the hunter or fisherman might experience a moment of transcendence at the moment they kill their prey. Nature is where men exist without women: men fish; men hunt; men find redemption in nature. Although Hemingway does write about sports, such as fishing, Carlos Baker notes the emphasis is more on the athlete than the sport. At its core, much of Hemingway's work can be viewed in the light of American naturalism, evident in detailed descriptions such as those in "Big Two-Hearted River". Hemingway often wrote about Americans abroad. In Hemingway’s Expatriate Nationalism, Jeffrey Herlihy describes "Hemingway's Transnational Archetype" as one that involves characters who are "multilingual and bicultural, and have integrated new cultural norms from the host community into their daily lives by the time plots begin." In this way, "foreign scenarios, far from being mere exotic backdrops or cosmopolitan milieus, are motivating factors in-character action." Donald Monk comments that Hemingway's use of "expatriation comes to be not so much a psychological as a metaphysical reality. It guarantees his world-view of his heroes, based on a type of rootless outsider." Fiedler believes Hemingway inverts the American literary theme of the evil "Dark Woman" versus the good "Light Woman". The dark woman—Brett Ashley of The Sun Also Rises—is a goddess; the light woman—Margot Macomber of "The Short Happy Life of Francis Macomber"—is a murderess. Robert Scholes says early Hemingway stories, such as "A Very Short Story", present "a male character favorably and a female unfavorably". According to Rena Sanderson, early Hemingway critics lauded his male-centric world of masculine pursuits, and the fiction divided women into "castrators or love-slaves". Feminist critics attacked Hemingway as "public enemy number one", although more recent re-evaluations of his work "have given new visibility to Hemingway's female characters (and their strengths) and have revealed his own sensitivity to gender issues, thus casting doubts on the old assumption that his writings were one-sidedly masculine." Nina Baym believes that Brett Ashley and Margot Macomber "are the two outstanding examples of Hemingway's 'bitch women.'" The world breaks everyone and afterward many are strong in the broken places. But those that will not break it kills. It kills the very good and the very gentle and the very brave impartially. If you are none of these you can be sure it will kill you too but there will be no special hurry. —Ernest Hemingway in A Farewell to Arms The theme of women and death is evident in stories as early as "Indian Camp". The theme of death permeates Hemingway's work. Young believes the emphasis in "Indian Camp" was not so much on the woman who gives birth or the father who kills himself, but on Nick Adams who witnesses these events as a child, and becomes a "badly scarred and nervous young man". Hemingway sets the events in "Indian Camp" that shape the Adams persona. Young believes "Indian Camp" holds the "master key" to "what its author was up to for some thirty-five years of his writing career". Stoltzfus considers Hemingway's work to be more complex with a representation of the truth inherent in existentialism: if "nothingness" is embraced, then redemption is achieved at the moment of death. Those who face death with dignity and courage live an authentic life. Francis Macomber dies happy because the last hours of his life are authentic; the bullfighter in the corrida represents the pinnacle of a life lived with authenticity. In his paper The Uses of Authenticity: Hemingway and the Literary Field, Timo Müller writes that Hemingway's fiction is successful because the characters live an "authentic life", and the "soldiers, fishers, boxers and backwoodsmen are among the archetypes of authenticity in modern literature". The theme of emasculation is prevalent in Hemingway's work, notably in God Rest You Merry, Gentlemen and The Sun Also Rises. Emasculation, according to Fiedler, is a result of a generation of wounded soldiers; and of a generation in which women such as Brett gained emancipation. This also applies to the minor character, Frances Clyne, Cohn's girlfriend in the beginning of The Sun Also Rises. Her character supports the theme not only because the idea was presented early on in the novel but also the impact she had on Cohn in the start of the book while only appearing a small number of times. In God Rest You Merry, Gentlemen, the emasculation is literal, and related to religious guilt. Baker believes Hemingway's work emphasizes the "natural" versus the "unnatural". In "An Alpine Idyll" the "unnaturalness" of skiing in the high country late spring snow is juxtaposed against the "unnaturalness" of the peasant who allowed his wife's dead body to linger too long in the shed during the winter. The skiers and peasant retreat to the valley to the "natural" spring for redemption. Descriptions of food and drink feature prominently in many of Hemingway's works. In the short story "Big Two-Hearted River" Hemingway describes a hungry Nick Adams cooking a can of pork and beans and a can of spaghetti over a fire in a heavy cast iron pot. The primitive act of preparing the meal in solitude is a restorative act and one of Hemingway's narratives of post-war integration. Susan Beegel reports that Charles Stetler and Gerald Locklin read Hemingway's The Mother of a Queen as both misogynistic and homophobic, and Ernest Fontana thought that a "horror of homosexuality" drove the short story "A Pursuit Race". Beegel found that "despite the academy's growing interest in multiculturalism ... during the 1980s ... critics interested in multiculturalism tended to ignore the author as 'politically incorrect.'", listing just two "apologetic articles on [his] handling of race". Barry Gross, comparing Jewish characters in literature of the period, commented that "Hemingway never lets the reader forget that Cohn is a Jew, not an unattractive character who happens to be a Jew but a character who is unattractive because he is a Jew." Hemingway's legacy to American literature is his style: writers who came after him either emulated or avoided it. After his reputation was established with the publication of The Sun Also Rises, he became the spokesperson for the post-World War I generation, having established a style to follow. His books were burned in Berlin in 1933, "as being a monument of modern decadence", and disavowed by his parents as "filth". Reynolds asserts the legacy is that "[Hemingway] left stories and novels so starkly moving that some have become part of our cultural heritage." Benson believes the details of Hemingway's life have become a "prime vehicle for exploitation", resulting in a Hemingway industry. Hemingway scholar Hallengren believes the "hard-boiled style" and the machismo must be separated from the author himself. Benson agrees, describing him as introverted and private as J. D. Salinger, although Hemingway masked his nature with braggadocio. During World War II, Salinger met and corresponded with Hemingway, whom he acknowledged as an influence. In a letter to Hemingway, Salinger claimed their talks "had given him his only hopeful minutes of the entire war" and jokingly "named himself national chairman of the Hemingway Fan Clubs". The extent of his influence is seen from the enduring and varied tributes to Hemingway and his works. 3656 Hemingway, a minor planet discovered in 1978 by Soviet astronomer Nikolai Chernykh, was named for Hemingway, and in 2009, a crater on Mercury was also named in his honor. The Kilimanjaro Device by Ray Bradbury featured Hemingway being transported to the top of Mount Kilimanjaro, while the 1993 motion picture Wrestling Ernest Hemingway explored the friendship of two retired men, played by Robert Duvall and Richard Harris, in a seaside Florida town. His influence is further evident from the many restaurants bearing his name and the proliferation of bars called "Harry's", a nod to the bar in Across the River and Into the Trees. Hemingway's son Jack (Bumby) promoted a line of furniture honoring his father, Montblanc created a Hemingway fountain pen, and multiple lines of clothing inspired by Hemingway have been produced. In 1977, the International Imitation Hemingway Competition was created to acknowledge his distinct style and the comical efforts of amateur authors to imitate him; entrants are encouraged to submit one "really good page of really bad Hemingway" and the winners are flown to Harry's Bar in Italy. Mary Hemingway established the Hemingway Foundation in 1965, and in the 1970s she donated her husband's papers to the John F. Kennedy Library. In 1980, a group of Hemingway scholars gathered to assess the donated papers, subsequently forming the Hemingway Society, "committed to supporting and fostering Hemingway scholarship", publishing The Hemingway Review. Numerous awards have been established in Hemingway's honor to recognize significant achievement in the arts and culture, including the Hemingway Foundation/PEN Award and the Hemingway Award. In 2012, he was inducted into the Chicago Literary Hall of Fame. Almost exactly 35 years after Hemingway's death, on July 1, 1996, his granddaughter Margaux Hemingway died in Santa Monica, California. Margaux was a supermodel and actress, co-starring with her younger sister Mariel in the 1976 movie Lipstick. Her death was later ruled a death by suicide. Three houses associated with Hemingway are listed on the U.S. National Register of Historic Places: the Ernest Hemingway Cottage on Walloon Lake, Michigan, designated in 1968; the Ernest Hemingway House in Key West, designated in 1968; and the Ernest and Mary Hemingway House in Ketchum, designated in 2015. Hemingway's childhood home in Oak Park and his Havana residence were also converted into museums. On April 5, 2021, Hemingway, a three-episode, six-hour documentary, a recapitulation of Hemingway's life, labors, and loves, debuted on PBS. It was co-produced and directed by Ken Burns and Lynn Novick. The following is the list of books that Ernest Hemingway completed during his lifetime. While much of his work was published posthumously, they were finished without his supervision, unlike the works listed below.
[ { "paragraph_id": 0, "text": "Ernest Miller Hemingway (/ˈɜːrnɪst ˈhɛmɪŋweɪ/; July 21, 1899 – July 2, 1961) was an American novelist, short-story writer, and journalist. His economical and understated style—which included his iceberg theory—had a strong influence on 20th-century fiction, while his adventurous lifestyle and public image brought him admiration from later generations. Hemingway produced most of his work between the mid-1920s and the mid-1950s, and he was awarded the 1954 Nobel Prize in Literature. He published seven novels, six short-story collections, and two nonfiction works. Three of his novels, four short-story collections, and three nonfiction works were published posthumously. Many of his works are considered classics of American literature.", "title": "" }, { "paragraph_id": 1, "text": "Hemingway was raised in Oak Park, Illinois. After high school, he was a reporter for a few months for The Kansas City Star before leaving for the Italian Front to enlist as an ambulance driver in World War I. In 1918, he was seriously wounded and returned home. His wartime experiences formed the basis for his novel A Farewell to Arms (1929).", "title": "" }, { "paragraph_id": 2, "text": "In 1921, he married Hadley Richardson, the first of four wives. They moved to Paris, where he worked as a foreign correspondent for the Toronto Star and fell under the influence of the modernist writers and artists of the 1920s' \"Lost Generation\" expatriate community. Hemingway's debut novel The Sun Also Rises was published in 1926. He divorced Richardson in 1927, and married Pauline Pfeiffer. They divorced after he returned from the Spanish Civil War (1936–1939), which he covered as a journalist and which was the basis for his novel For Whom the Bell Tolls (1940). Martha Gellhorn became his third wife in 1940. He and Gellhorn separated after he met Mary Welsh in London during World War II. Hemingway was present with Allied troops as a journalist at the Normandy landings and the liberation of Paris.", "title": "" }, { "paragraph_id": 3, "text": "He maintained permanent residences in Key West, Florida in the 1930s and in Cuba in the 1940s and 1950s. On a 1954 trip to Africa, he was seriously injured in two plane accidents on successive days, leaving him in pain and ill health for much of the rest of his life. In 1959, he bought a house in Ketchum, Idaho, where, in mid-1961, he died by suicide.", "title": "" }, { "paragraph_id": 4, "text": "Ernest Miller Hemingway was born on July 21, 1899, in Oak Park, Illinois, an affluent suburb just west of Chicago, to Clarence Edmonds Hemingway, a physician, and Grace Hall Hemingway, a musician. His parents were well-educated and well-respected in Oak Park, a conservative community about which resident Frank Lloyd Wright said, \"So many churches for so many good people to go to.\" When Clarence and Grace Hemingway married in 1896, they lived with Grace's father, Ernest Miller Hall, after whom they named their first son, the second of their six children. His sister Marcelline preceded him in 1898, followed by Ursula in 1902, Madelaine in 1904, Carol in 1911, and Leicester in 1915. Grace followed the Victorian convention of not differentiating children's clothing by gender. With only a year separating the two, Ernest and Marcelline resembled one-another strongly. Grace wanted them to appear as twins, so in Ernest's first three years she kept his hair long and dressed both children in similarly frilly feminine clothing.", "title": "Life and career" }, { "paragraph_id": 5, "text": "Hemingway's mother, a well-known musician in the village, taught her son to play the cello despite his refusal to learn; though later in life he admitted the music lessons contributed to his writing style, evidenced for example in the \"contrapuntal structure\" of For Whom the Bell Tolls. As an adult Hemingway professed to hate his mother, although biographer Michael S. Reynolds points out that he shared similar energies and enthusiasms. Each summer the family traveled to Windemere on Walloon Lake, near Petoskey, Michigan. There young Ernest joined his father and learned to hunt, fish, and camp in the woods and lakes of Northern Michigan, early experiences that instilled a life-long passion for outdoor adventure and living in remote or isolated areas.", "title": "Life and career" }, { "paragraph_id": 6, "text": "Hemingway attended Oak Park and River Forest High School in Oak Park from 1913 until 1917. He was an accomplished athlete involved with a number of sports, including boxing, track and field, water polo, and football. He performed in the school orchestra for two years with his sister Marcelline, and received good grades in English classes. During his last two years at high school he edited the Trapeze and Tabula (the school's newspaper and yearbook), where he imitated the language of sportswriters and used the pen name Ring Lardner Jr.—a nod to Ring Lardner of the Chicago Tribune whose byline was \"Line O'Type\". Like Mark Twain, Stephen Crane, Theodore Dreiser, and Sinclair Lewis, Hemingway was a journalist before becoming a novelist. After leaving high school, he went to work for The Kansas City Star as a cub reporter. Although he stayed there for only six months, he relied on the Star's style guide as a foundation for his writing, such as \"Use short sentences. Use short first paragraphs. Use vigorous English. Be positive, not negative.\"", "title": "Life and career" }, { "paragraph_id": 7, "text": "In December 1917, after being rejected by the U.S. Army for poor eyesight, Hemingway responded to an International Red Cross and Red Crescent Movement recruitment effort and signed on to be an ambulance driver in Italy. In May 1918, he sailed from New York, and arrived in Paris as the city was under bombardment from German artillery. That June he arrived at the Italian Front. On his first day in Milan, he was sent to the scene of a munitions factory explosion to join rescuers retrieving the shredded remains of female workers. He described the incident in his 1932 non-fiction book Death in the Afternoon: \"I remember that after we searched quite thoroughly for the complete dead we collected fragments.\" A few days later, he was stationed at Fossalta di Piave.", "title": "Life and career" }, { "paragraph_id": 8, "text": "On July 8, he was seriously wounded by mortar fire, having just returned from the canteen bringing chocolate and cigarettes for the men at the front line. Despite his wounds, Hemingway assisted Italian soldiers to safety, for which he was decorated with the Italian War Merit Cross, the Croce al Merito di Guerra. He was still only 18 at the time. Hemingway later said of the incident: \"When you go to war as a boy you have a great illusion of immortality. Other people get killed; not you ... Then when you are badly wounded the first time you lose that illusion and you know it can happen to you.\" He sustained severe shrapnel wounds to both legs, underwent an immediate operation at a distribution center, and spent five days at a field hospital before he was transferred for recuperation to the Red Cross hospital in Milan. He spent six months at the hospital, where he met and formed a strong friendship with \"Chink\" Dorman-Smith that lasted for decades and shared a room with future American foreign service officer, ambassador, and author Henry Serrano Villard.", "title": "Life and career" }, { "paragraph_id": 9, "text": "While recuperating he fell in love with Agnes von Kurowsky, a Red Cross nurse seven years his senior. When Hemingway returned to the United States in January 1919, he believed Agnes would join him within months and the two would marry. Instead, he received a letter in March with her announcement that she was engaged to an Italian officer. Biographer Jeffrey Meyers writes Agnes's rejection devastated and scarred the young man; in future relationships, Hemingway followed a pattern of abandoning a wife before she abandoned him.", "title": "Life and career" }, { "paragraph_id": 10, "text": "Hemingway returned home early in 1919 to a time of readjustment. Before the age of 20, he had gained from the war a maturity that was at odds with living at home without a job and with the need for recuperation. As Reynolds explains, \"Hemingway could not really tell his parents what he thought when he saw his bloody knee.\" He was not able to tell them how scared he had been \"in another country with surgeons who could not tell him in English if his leg was coming off or not.\"", "title": "Life and career" }, { "paragraph_id": 11, "text": "In September, he took a fishing and camping trip with high school friends to the back-country of Michigan's Upper Peninsula. The trip became the inspiration for his short story \"Big Two-Hearted River\", in which the semi-autobiographical character Nick Adams takes to the country to find solitude after returning from war. A family friend offered him a job in Toronto, and with nothing else to do, he accepted. Late that year he began as a freelancer and staff writer for the Toronto Star Weekly. He returned to Michigan the following June and then moved to Chicago in September 1920 to live with friends, while still filing stories for the Toronto Star. In Chicago, he worked as an associate editor of the monthly journal Cooperative Commonwealth, where he met novelist Sherwood Anderson.", "title": "Life and career" }, { "paragraph_id": 12, "text": "When St. Louis native Hadley Richardson came to Chicago to visit the sister of Hemingway's roommate, Hemingway became infatuated. He later claimed, \"I knew she was the girl I was going to marry.\" Hadley, red-haired, with a \"nurturing instinct\", was eight years older than Hemingway. Despite the age difference, Hadley, who had grown up with an overprotective mother, seemed less mature than usual for a young woman her age. Bernice Kert, author of The Hemingway Women, claims Hadley was \"evocative\" of Agnes, but that Hadley had a childishness that Agnes lacked. The two corresponded for a few months and then decided to marry and travel to Europe. They wanted to visit Rome, but Sherwood Anderson convinced them to visit Paris instead, writing letters of introduction for the young couple. They were married on September 3, 1921; two months later Hemingway was hired as a foreign correspondent for the Toronto Star, and the couple left for Paris. Of Hemingway's marriage to Hadley, Meyers claims: \"With Hadley, Hemingway achieved everything he had hoped for with Agnes: the love of a beautiful woman, a comfortable income, a life in Europe.\"", "title": "Life and career" }, { "paragraph_id": 13, "text": "Carlos Baker, Hemingway's first biographer, believes that while Anderson suggested Paris because \"the monetary exchange rate\" made it an inexpensive place to live, more importantly it was where \"the most interesting people in the world\" lived. In Paris, Hemingway met American writer and art collector Gertrude Stein, Irish novelist James Joyce, American poet Ezra Pound (who \"could help a young writer up the rungs of a career\") and other writers.", "title": "Life and career" }, { "paragraph_id": 14, "text": "The Hemingway of the early Paris years was a \"tall, handsome, muscular, broad-shouldered, brown-eyed, rosy-cheeked, square-jawed, soft-voiced young man.\" He and Hadley lived in a small walk-up at 74 rue du Cardinal Lemoine in the Latin Quarter, and he worked in a rented room in a nearby building. Stein, who was the bastion of modernism in Paris, became Hemingway's mentor and godmother to his son Jack; she introduced him to the expatriate artists and writers of the Montparnasse Quarter, whom she referred to as the \"Lost Generation\"—a term Hemingway popularized with the publication of The Sun Also Rises. A regular at Stein's salon, Hemingway met influential painters such as Pablo Picasso, Joan Miró, and Juan Gris. He eventually withdrew from Stein's influence, and their relationship deteriorated into a literary quarrel that spanned decades. While living in Paris in 1922, Hemingway befriended artist Henry Strater who painted two portraits of him.", "title": "Life and career" }, { "paragraph_id": 15, "text": "Ezra Pound met Hemingway by chance at Sylvia Beach's bookshop Shakespeare and Company in 1922. The two toured Italy in 1923 and lived on the same street in 1924. They forged a strong friendship, and in Hemingway, Pound recognized and fostered a young talent. Pound introduced Hemingway to James Joyce, with whom Hemingway frequently embarked on \"alcoholic sprees\".", "title": "Life and career" }, { "paragraph_id": 16, "text": "During his first 20 months in Paris, Hemingway filed 88 stories for the Toronto Star newspaper. He covered the Greco-Turkish War, where he witnessed the burning of Smyrna, and wrote travel pieces such as \"Tuna Fishing in Spain\" and \"Trout Fishing All Across Europe: Spain Has the Best, Then Germany\".", "title": "Life and career" }, { "paragraph_id": 17, "text": "Hemingway was devastated on learning that Hadley had lost a suitcase filled with his manuscripts at the Gare de Lyon as she was traveling to Geneva to meet him in December 1922. In the following September the couple returned to Toronto, where their son John Hadley Nicanor was born on October 10, 1923. During their absence, Hemingway's first book, Three Stories and Ten Poems, was published. Two of the stories it contained were all that remained after the loss of the suitcase, and the third had been written early the previous year in Italy. Within months a second volume, in our time (without capitals), was published. The small volume included six vignettes and a dozen stories Hemingway had written the previous summer during his first visit to Spain, where he discovered the thrill of the corrida. He missed Paris, considered Toronto boring, and wanted to return to the life of a writer, rather than live the life of a journalist.", "title": "Life and career" }, { "paragraph_id": 18, "text": "Hemingway, Hadley, and their son (nicknamed Bumby) returned to Paris in January 1924 and moved into a new apartment on the rue Notre-Dame des Champs. Hemingway helped Ford Madox Ford edit The Transatlantic Review, which published works by Pound, John Dos Passos, Baroness Elsa von Freytag-Loringhoven, and Stein, as well as some of Hemingway's own early stories such as \"Indian Camp\". When In Our Time was published in 1925, the dust jacket bore comments from Ford. \"Indian Camp\" received considerable praise; Ford saw it as an important early story by a young writer, and critics in the United States praised Hemingway for reinvigorating the short story genre with his crisp style and use of declarative sentences. Six months earlier, Hemingway had met F. Scott Fitzgerald, and the pair formed a friendship of \"admiration and hostility\". Fitzgerald had published The Great Gatsby the same year: Hemingway read it, liked it, and decided his next work had to be a novel.", "title": "Life and career" }, { "paragraph_id": 19, "text": "With his wife Hadley, Hemingway first visited the Festival of San Fermín in Pamplona, Spain, in 1923, where he became fascinated by bullfighting. It is at this time that he began to be referred to as \"Papa\", even by much older friends. Hadley would much later recall that Hemingway had his own nicknames for everyone and that he often did things for his friends; she suggested that he liked to be looked up to. She did not remember precisely how the nickname came into being; however, it certainly stuck. The Hemingways returned to Pamplona in 1924 and a third time in June 1925; that year they brought with them a group of American and British expatriates: Hemingway's Michigan boyhood friend Bill Smith, Donald Ogden Stewart, Lady Duff Twysden (recently divorced), her lover Pat Guthrie, and Harold Loeb. A few days after the fiesta ended, on his birthday (July 21), he began to write the draft of what would become The Sun Also Rises, finishing eight weeks later. A few months later, in December 1925, the Hemingways left to spend the winter in Schruns, Austria, where Hemingway began revising the manuscript extensively. Pauline Pfeiffer, who was from a wealthy Catholic family in Arkansas and had moved to Paris to work for Vogue magazine where she met the Hemingways, joined them in January. Against Hadley's advice, Pfeiffer urged Hemingway to sign a contract with Scribner's. He left Austria for a quick trip to New York to meet with the publishers and, on his return, began an affair with Pfeiffer during a stop in Paris, before returning to Schruns to finish the revisions in March. The manuscript arrived in New York in April; he corrected the final proof in Paris in August 1926, and Scribner's published the novel in October.", "title": "Life and career" }, { "paragraph_id": 20, "text": "The Sun Also Rises epitomized the post-war expatriate generation, received good reviews and is \"recognized as Hemingway's greatest work\". Hemingway himself later wrote to his editor Max Perkins that the \"point of the book\" was not so much about a generation being lost, but that \"the earth abideth forever\"; he believed the characters in The Sun Also Rises may have been \"battered\" but were not lost.", "title": "Life and career" }, { "paragraph_id": 21, "text": "Hemingway's marriage to Hadley deteriorated as he was working on The Sun Also Rises. In early 1926, Hadley became aware of his affair with Pfeiffer, who came to Pamplona with them that July. On their return to Paris, Hadley asked for a separation; in November she formally requested a divorce. They split their possessions while Hadley accepted Hemingway's offer of the proceeds from The Sun Also Rises. The couple were divorced in January 1927, and Hemingway married Pfeiffer in May.", "title": "Life and career" }, { "paragraph_id": 22, "text": "Before his marriage to Pfeiffer, Hemingway converted to Catholicism. They honeymooned in Le Grau-du-Roi, where he contracted anthrax, and he planned his next collection of short stories, Men Without Women, which was published in October 1927, and included his boxing story \"Fifty Grand\". Cosmopolitan magazine editor-in-chief Ray Long praised \"Fifty Grand\", calling it, \"one of the best short stories that ever came to my hands ... the best prize-fight story I ever read ... a remarkable piece of realism.\"", "title": "Life and career" }, { "paragraph_id": 23, "text": "By the end of the year Pauline, who was pregnant, wanted to move back to America. John Dos Passos recommended Key West, and they left Paris in March 1928. Hemingway suffered a severe injury in their Paris bathroom when he pulled a skylight down on his head thinking he was pulling on a toilet chain. This left him with a prominent forehead scar, which he carried for the rest of his life. When Hemingway was asked about the scar, he was reluctant to answer. After his departure from Paris, Hemingway \"never again lived in a big city\".", "title": "Life and career" }, { "paragraph_id": 24, "text": "Hemingway and Pauline traveled to Kansas City, Missouri, where their son Patrick was born on June 28, 1928. Pauline had a difficult delivery; Hemingway fictionalized a version of the event as a part of A Farewell to Arms. After Patrick's birth, Pauline and Hemingway traveled to Wyoming, Massachusetts, and New York. In the winter, he was in New York with Bumby, about to board a train to Florida, when he received a cable telling him that his father had killed himself. Hemingway was devastated, having earlier written to his father telling him not to worry about financial difficulties; the letter arrived minutes after the suicide. He realized how Hadley must have felt after her own father's suicide in 1903, and he commented, \"I'll probably go the same way.\"", "title": "Life and career" }, { "paragraph_id": 25, "text": "Upon his return to Key West in December, Hemingway worked on the draft of A Farewell to Arms before leaving for France in January. He had finished it in August but delayed the revision. The serialization in Scribner's Magazine was scheduled to begin in May, but as late as April, Hemingway was still working on the ending, which he may have rewritten as many as seventeen times. The completed novel was published on September 27. Biographer James Mellow believes A Farewell to Arms established Hemingway's stature as a major American writer and displayed a level of complexity not apparent in The Sun Also Rises. (The story was turned into a play by war veteran Laurence Stallings that was the basis for the film starring Gary Cooper.) In Spain in mid-1929, Hemingway researched his next work, Death in the Afternoon. He wanted to write a comprehensive treatise on bullfighting, explaining the toreros and corridas complete with glossaries and appendices, because he believed bullfighting was \"of great tragic interest, being literally of life and death.\"", "title": "Life and career" }, { "paragraph_id": 26, "text": "During the early 1930s, Hemingway spent his winters in Key West and summers in Wyoming, where he found \"the most beautiful country he had seen in the American West\" and hunted deer, elk, and grizzly bear. He was joined there by Dos Passos, and in November 1930, after bringing Dos Passos to the train station in Billings, Montana, Hemingway broke his arm in a car accident. The surgeon tended the compound spiral fracture and bound the bone with kangaroo tendon. Hemingway was hospitalized for seven weeks, with Pauline tending to him; the nerves in his writing hand took as long as a year to heal, during which time he suffered intense pain.", "title": "Life and career" }, { "paragraph_id": 27, "text": "His third child, Gloria Hemingway, was born a year later on November 12, 1931, in Kansas City as \"Gregory Hancock Hemingway\". Pauline's uncle bought the couple a house in Key West with a carriage house, the second floor of which was converted into a writing studio. While in Key West, Hemingway frequented the local bar Sloppy Joe's. He invited friends—including Waldo Peirce, Dos Passos, and Max Perkins—to join him on fishing trips and on an all-male expedition to the Dry Tortugas. Meanwhile, he continued to travel to Europe and to Cuba, and—although in 1933 he wrote of Key West, \"We have a fine house here, and kids are all well\"—Mellow believes he \"was plainly restless\".", "title": "Life and career" }, { "paragraph_id": 28, "text": "In 1933, Hemingway and Pauline went on safari to Kenya. The 10-week trip provided material for Green Hills of Africa, as well as for the short stories \"The Snows of Kilimanjaro\" and \"The Short Happy Life of Francis Macomber\". The couple visited Mombasa, Nairobi, and Machakos in Kenya; then moved on to Tanganyika Territory, where they hunted in the Serengeti, around Lake Manyara, and west and southeast of present-day Tarangire National Park. Their guide was the noted \"white hunter\" Philip Percival who had guided Theodore Roosevelt on his 1909 safari. During these travels, Hemingway contracted amoebic dysentery that caused a prolapsed intestine, and he was evacuated by plane to Nairobi, an experience reflected in \"The Snows of Kilimanjaro\". On Hemingway's return to Key West in early 1934, he began work on Green Hills of Africa, which he published in 1935 to mixed reviews.", "title": "Life and career" }, { "paragraph_id": 29, "text": "Hemingway bought a boat in 1934, named it the Pilar, and began sailing the Caribbean. In 1935 he first arrived at Bimini, where he spent a considerable amount of time. During this period he also worked on To Have and Have Not, published in 1937 while he was in Spain, the only novel he wrote during the 1930s.", "title": "Life and career" }, { "paragraph_id": 30, "text": "In 1937, Hemingway left for Spain to cover the Spanish Civil War for the North American Newspaper Alliance (NANA), despite Pauline's reluctance to have him working in a war zone. He and Dos Passos both signed on to work with Dutch filmmaker Joris Ivens as screenwriters for The Spanish Earth. Dos Passos left the project after the execution of José Robles, his friend and Spanish translator, which caused a rift between the two writers.", "title": "Life and career" }, { "paragraph_id": 31, "text": "Hemingway was joined in Spain by journalist and writer Martha Gellhorn, whom he had met in Key West a year earlier. Like Hadley, Martha was a St. Louis native and, like Pauline, she had worked for Vogue in Paris. Of Martha, Kert explains, \"she never catered to him the way other women did\". In July 1937 he attended the Second International Writers' Congress, the purpose of which was to discuss the attitude of intellectuals to the war, held in Valencia, Barcelona and Madrid and attended by many writers including André Malraux, Stephen Spender and Pablo Neruda. Late in 1937, while in Madrid with Martha, Hemingway wrote his only play, The Fifth Column, as the city was being bombarded by Francoist forces. He returned to Key West for a few months, then back to Spain twice in 1938, where he was present at the Battle of the Ebro, the last republican stand, and he was among the British and American journalists who were some of the last to leave the battle as they crossed the river.", "title": "Life and career" }, { "paragraph_id": 32, "text": "In early 1939, Hemingway crossed to Cuba in his boat to live in the Hotel Ambos Mundos in Havana. This was the separation phase of a slow and painful split from Pauline, which began when Hemingway met Martha Gellhorn. Martha soon joined him in Cuba, and they rented \"Finca Vigía\" (\"Lookout Farm\"), a 15-acre (61,000 m) property 15 miles (24 km) from Havana. Pauline and the children left Hemingway that summer, after the family was reunited during a visit to Wyoming; when his divorce from Pauline was finalized, he and Martha were married on November 20, 1940, in Cheyenne, Wyoming.", "title": "Life and career" }, { "paragraph_id": 33, "text": "Hemingway moved his primary summer residence to Ketchum, Idaho, just outside the newly built resort of Sun Valley, and moved his winter residence to Cuba. He had been disgusted when a Parisian friend allowed his cats to eat from the table, but he became enamored of cats in Cuba and kept dozens of them on the property. Descendants of his cats live at his Key West home.", "title": "Life and career" }, { "paragraph_id": 34, "text": "Gellhorn inspired him to write his most famous novel, For Whom the Bell Tolls, which he began in March 1939 and finished in July 1940. It was published in October 1940. His pattern was to move around while working on a manuscript, and he wrote For Whom the Bell Tolls in Cuba, Wyoming, and Sun Valley. It became a Book-of-the-Month Club choice, sold half a million copies within months, was nominated for a Pulitzer Prize and, in the words of Meyers, \"triumphantly re-established Hemingway's literary reputation\".", "title": "Life and career" }, { "paragraph_id": 35, "text": "In January 1941, Martha was sent to China on assignment for Collier's magazine. Hemingway went with her, sending in dispatches for the newspaper PM, but in general he disliked China.", "title": "Life and career" }, { "paragraph_id": 36, "text": "A 2009 book by former KGB officer Alexander Vassiliev suggests during that period he may have been recruited to work for NKVD \"on ideological grounds\" under the code name \"Argo\".", "title": "Life and career" }, { "paragraph_id": 37, "text": "They returned to Cuba before the declaration of war by the United States that December, when he convinced the Cuban government to help him refit the Pilar, which he intended to use to ambush German submarines off the coast of Cuba.", "title": "Life and career" }, { "paragraph_id": 38, "text": "Hemingway was in Europe from May 1944 to March 1945. When he arrived in London, he met Time magazine correspondent Mary Welsh, with whom he became infatuated. Martha had been forced to cross the Atlantic in a ship filled with explosives because Hemingway refused to help her get a press pass on a plane, and she arrived in London to find him hospitalized with a concussion from a car accident. She was unsympathetic to his plight; she accused him of being a bully and told him that she was \"through, absolutely finished\". The last time that Hemingway saw Martha was in March 1945 as he was preparing to return to Cuba, and their divorce was finalized later that year. Meanwhile, he had asked Mary Welsh to marry him on their third meeting.", "title": "Life and career" }, { "paragraph_id": 39, "text": "Hemingway accompanied the troops to the Normandy Landings wearing a large head bandage, according to Meyers, but he was considered \"precious cargo\" and not allowed ashore. The landing craft came within sight of Omaha Beach before coming under enemy fire and turning back. Hemingway later wrote in Collier's that he could see \"the first, second, third, fourth and fifth waves of [landing troops] lay where they had fallen, looking like so many heavily laden bundles on the flat pebbly stretch between the sea and first cover\". Mellow explains that, on that first day, none of the correspondents were allowed to land and Hemingway was returned to the Dorothea Dix.", "title": "Life and career" }, { "paragraph_id": 40, "text": "Late in July, he attached himself to \"the 22nd Infantry Regiment commanded by Col. Charles \"Buck\" Lanham, as it drove toward Paris\", and Hemingway became de facto leader to a small band of village militia in Rambouillet outside of Paris. Paul Fussell remarks: \"Hemingway got into considerable trouble playing infantry captain to a group of Resistance people that he gathered because a correspondent is not supposed to lead troops, even if he does it well.\" This was in fact in contravention of the Geneva Convention, and Hemingway was brought up on formal charges; he said that he \"beat the rap\" by claiming that he only offered advice.", "title": "Life and career" }, { "paragraph_id": 41, "text": "On August 25, he was present at the liberation of Paris as a journalist; contrary to the Hemingway legend, he was not the first into the city, nor did he liberate the Ritz. In Paris, he visited Sylvia Beach and Pablo Picasso with Mary Welsh, who joined him there; in a spirit of happiness, he forgave Gertrude Stein. Later that year, he observed heavy fighting in the Battle of Hürtgen Forest. On December 17, 1944, he had himself driven to Luxembourg in spite of illness to cover The Battle of the Bulge. As soon as he arrived, however, Lanham handed him to the doctors, who hospitalized him with pneumonia; he recovered a week later, but most of the fighting was over.", "title": "Life and career" }, { "paragraph_id": 42, "text": "In 1947, Hemingway was awarded a Bronze Star for his bravery during World War II. He was recognized for having been \"under fire in combat areas in order to obtain an accurate picture of conditions\", with the commendation that \"through his talent of expression, Mr. Hemingway enabled readers to obtain a vivid picture of the difficulties and triumphs of the front-line soldier and his organization in combat\".", "title": "Life and career" }, { "paragraph_id": 43, "text": "Hemingway said he \"was out of business as a writer\" from 1942 to 1945 during his residence in Cuba. In 1946 he married Mary, who had an ectopic pregnancy five months later. The Hemingway family suffered a series of accidents and health problems in the years following the war: in a 1945 car accident, he \"smashed his knee\" and sustained another \"deep wound on his forehead\"; Mary broke first her right ankle and then her left in successive skiing accidents. A 1947 car accident left Patrick with a head wound and severely ill. Hemingway sank into depression as his literary friends began to die: in 1939 William Butler Yeats and Ford Madox Ford; in 1940 F. Scott Fitzgerald; in 1941 Sherwood Anderson and James Joyce; in 1946 Gertrude Stein; and the following year in 1947, Max Perkins, Hemingway's long-time Scribner's editor, and friend. During this period, he suffered from severe headaches, high blood pressure, weight problems, and eventually diabetes—much of which was the result of previous accidents and many years of heavy drinking. Nonetheless, in January 1946, he began work on The Garden of Eden, finishing 800 pages by June. During the post-war years, he also began work on a trilogy tentatively titled \"The Land\", \"The Sea\" and \"The Air\", which he wanted to combine in one novel titled The Sea Book. However, both projects stalled, and Mellow says that Hemingway's inability to continue was \"a symptom of his troubles\" during these years.", "title": "Life and career" }, { "paragraph_id": 44, "text": "In 1948, Hemingway and Mary traveled to Europe, staying in Venice for several months. While there, Hemingway fell in love with the then 19-year-old Adriana Ivancich. The platonic love affair inspired the novel Across the River and into the Trees, written in Cuba during a time of strife with Mary, and published in 1950 to negative reviews. The following year, furious at the critical reception of Across the River and Into the Trees, he wrote the draft of The Old Man and the Sea in eight weeks, saying that it was \"the best I can write ever for all of my life\". The Old Man and the Sea became a book-of-the-month selection, made Hemingway an international celebrity, and won the Pulitzer Prize in May 1953, a month before he left for his second trip to Africa.", "title": "Life and career" }, { "paragraph_id": 45, "text": "In January 1954, while in Africa, Hemingway was almost fatally injured in two successive plane crashes. He chartered a sightseeing flight over the Belgian Congo as a Christmas present to Mary. On their way to photograph Murchison Falls from the air, the plane struck an abandoned utility pole and \"crash landed in heavy brush\". Hemingway's injuries included a head wound, while Mary broke two ribs. The next day, attempting to reach medical care in Entebbe, they boarded a second plane that exploded at take-off, with Hemingway suffering burns and another concussion, this one serious enough to cause leaking of cerebral fluid. They eventually arrived in Entebbe to find reporters covering the story of Hemingway's death. He briefed the reporters and spent the next few weeks recuperating and reading his erroneous obituaries. Despite his injuries, Hemingway accompanied Patrick and his wife on a planned fishing expedition in February, but pain caused him to be irascible and difficult to get along with. When a bushfire broke out, he was again injured, sustaining second-degree burns on his legs, front torso, lips, left hand and right forearm. Months later in Venice, Mary reported to friends the full extent of Hemingway's injuries: two cracked discs, a kidney and liver rupture, a dislocated shoulder and a broken skull. The accidents may have precipitated the physical deterioration that was to follow. After the plane crashes, Hemingway, who had been \"a thinly controlled alcoholic throughout much of his life, drank more heavily than usual to combat the pain of his injuries.\"", "title": "Life and career" }, { "paragraph_id": 46, "text": "In October 1954, Hemingway received the Nobel Prize in Literature. He modestly told the press that Carl Sandburg, Isak Dinesen and Bernard Berenson deserved the prize, but he gladly accepted the prize money. Mellow says Hemingway \"had coveted the Nobel Prize\", but when he won it, months after his plane accidents and the ensuing worldwide press coverage, \"there must have been a lingering suspicion in Hemingway's mind that his obituary notices had played a part in the academy's decision.\" Because he was suffering pain from the African accidents, he decided against traveling to Stockholm. Instead he sent a speech to be read, defining the writer's life:", "title": "Life and career" }, { "paragraph_id": 47, "text": "Writing, at its best, is a lonely life. Organizations for writers palliate the writer's loneliness but I doubt if they improve his writing. He grows in public stature as he sheds his loneliness and often his work deteriorates. For he does his work alone and if he is a good enough writer he must face eternity, or the lack of it, each day.", "title": "Life and career" }, { "paragraph_id": 48, "text": "From the end of the year in 1955 to early 1956, Hemingway was bedridden. He was told to stop drinking to mitigate liver damage, advice he initially followed but then disregarded. In October 1956, he returned to Europe and met Basque writer Pio Baroja, who was seriously ill and died weeks later. During the trip, Hemingway became sick again and was treated for \"high blood pressure, liver disease, and arteriosclerosis\".", "title": "Life and career" }, { "paragraph_id": 49, "text": "In November 1956, while staying in Paris, he was reminded of trunks he had stored in the Ritz Hotel in 1928 and never retrieved. Upon re-claiming and opening the trunks, Hemingway discovered they were filled with notebooks and writing from his Paris years. Excited about the discovery, when he returned to Cuba in early 1957, he began to shape the recovered work into his memoir A Moveable Feast. By 1959 he ended a period of intense activity: he finished A Moveable Feast (scheduled to be released the following year); brought True at First Light to 200,000 words; added chapters to The Garden of Eden; and worked on Islands in the Stream. The last three were stored in a safe deposit box in Havana, as he focused on the finishing touches for A Moveable Feast. Author Michael Reynolds claims it was during this period that Hemingway slid into depression, from which he was unable to recover.", "title": "Life and career" }, { "paragraph_id": 50, "text": "The Finca Vigía became crowded with guests and tourists, as Hemingway, beginning to become unhappy with life there, considered a permanent move to Idaho. In 1959 he bought a home overlooking the Big Wood River, outside Ketchum, and left Cuba—although he apparently remained on easy terms with the Castro government, telling The New York Times he was \"delighted\" with Castro's overthrow of Batista. He was in Cuba in November 1959, between returning from Pamplona and traveling west to Idaho, and the following year for his 61st birthday; however, that year he and Mary decided to leave after hearing the news that Castro wanted to nationalize property owned by Americans and other foreign nationals. On July 25, 1960, the Hemingways left Cuba for the last time, leaving art and manuscripts in a bank vault in Havana. After the 1961 Bay of Pigs Invasion, the Finca Vigía was expropriated by the Cuban government, complete with Hemingway's collection of \"four to six thousand books\". President Kennedy arranged for Mary Hemingway to travel to Cuba where she met Fidel Castro and obtained her husband's papers and painting in return for donating Finca Vigía to Cuba.", "title": "Life and career" }, { "paragraph_id": 51, "text": "Hemingway continued to rework the material that was published as A Moveable Feast through the 1950s. In mid-1959, he visited Spain to research a series of bullfighting articles commissioned by Life magazine. Life wanted only 10,000 words, but the manuscript grew out of control. He was unable to organize his writing for the first time in his life, so he asked A. E. Hotchner to travel to Cuba to help him. Hotchner helped him trim the Life piece down to 40,000 words, and Scribner's agreed to a full-length book version (The Dangerous Summer) of almost 130,000 words. Hotchner found Hemingway to be \"unusually hesitant, disorganized, and confused\", and suffering badly from failing eyesight.", "title": "Life and career" }, { "paragraph_id": 52, "text": "Hemingway and Mary left Cuba for the last time on July 25, 1960. He set up a small office in his New York City apartment and attempted to work, but he left soon after. He then traveled alone to Spain to be photographed for the front cover of Life magazine. A few days later, the news reported that he was seriously ill and on the verge of dying, which panicked Mary until she received a cable from him telling her, \"Reports false. Enroute Madrid. Love Papa.\" He was, in fact, seriously ill, and believed himself to be on the verge of a breakdown. Feeling lonely, he took to his bed for days, retreating into silence, despite having the first installments of The Dangerous Summer published in Life in September 1960 to good reviews. In October, he left Spain for New York, where he refused to leave Mary's apartment, presuming that he was being watched. She quickly took him to Idaho, where physician George Saviers met them at the train.", "title": "Life and career" }, { "paragraph_id": 53, "text": "Hemingway was constantly worried about money and his safety. He worried about his taxes and that he would never return to Cuba to retrieve the manuscripts that he had left in a bank vault. He became paranoid, thinking that the FBI was actively monitoring his movements in Ketchum. The FBI had opened a file on him during World War II, when he used the Pilar to patrol the waters off Cuba, and J. Edgar Hoover had an agent in Havana watch him during the 1950s. Unable to care for her husband, Mary had Saviers fly Hemingway to the Mayo Clinic in Minnesota at the end of November for hypertension treatments, as he told his patient. The FBI knew that Hemingway was at the Mayo Clinic, as an agent later documented in a letter written in January 1961.", "title": "Life and career" }, { "paragraph_id": 54, "text": "Hemingway was checked in under Saviers's name to maintain anonymity. Meyers writes that \"an aura of secrecy surrounds Hemingway's treatment at the Mayo\" but confirms that he was treated with electroconvulsive therapy (ECT) as many as 15 times in December 1960 and was \"released in ruins\" in January 1961. Reynolds gained access to Hemingway's records at the Mayo, which document ten ECT sessions. The doctors in Rochester told Hemingway the depressive state for which he was being treated may have been caused by his long-term use of Reserpine and Ritalin. Of the ECT therapy, Hemingway told Hotchner, \"What is the sense of ruining my head and erasing my memory, which is my capital, and putting me out of business? It was a brilliant cure, but we lost the patient.\"", "title": "Life and career" }, { "paragraph_id": 55, "text": "Hemingway was back in Ketchum in April 1961, three months after being released from the Mayo Clinic, when Mary \"found Hemingway holding a shotgun\" in the kitchen one morning. She called Saviers, who sedated him and admitted him to the Sun Valley Hospital and once the weather cleared Saviers flew again to Rochester with his patient. Hemingway underwent three electroshock treatments during that visit. He was released at the end of June and was home in Ketchum on June 30. Two days later he \"quite deliberately\" shot himself with his favorite shotgun in the early morning hours of July 2, 1961. He had unlocked the basement storeroom where his guns were kept, gone upstairs to the front entrance foyer, and shot himself with the \"double-barreled shotgun that he had used so often it might have been a friend\", which was purchased from Abercrombie & Fitch.", "title": "Life and career" }, { "paragraph_id": 56, "text": "Mary was sedated and taken to the hospital, returning home the next day where she cleaned the house and saw to the funeral and travel arrangements. Bernice Kert writes that it \"did not seem to her a conscious lie\" when she told the press that his death had been accidental. In a press interview five years later, Mary confirmed that he had shot himself.", "title": "Life and career" }, { "paragraph_id": 57, "text": "Family and friends flew to Ketchum for the funeral, officiated by the local Catholic priest, who believed that the death had been accidental. An altar boy fainted at the head of the casket during the funeral, and Hemingway's brother Leicester wrote: \"It seemed to me Ernest would have approved of it all.\" He is buried in the Ketchum cemetery.", "title": "Life and career" }, { "paragraph_id": 58, "text": "Hemingway's behavior during his final years had been similar to that of his father before he killed himself; his father may have had hereditary hemochromatosis, whereby the excessive accumulation of iron in tissues culminates in mental and physical deterioration. Medical records made available in 1991 confirmed that Hemingway had been diagnosed with hemochromatosis in early 1961. His sister Ursula and his brother Leicester also killed themselves. Hemingway's health was further complicated by heavy drinking throughout most of his life.", "title": "Life and career" }, { "paragraph_id": 59, "text": "A memorial to Hemingway just north of Sun Valley is inscribed on the base with a eulogy Hemingway had written for a friend several decades earlier:", "title": "Life and career" }, { "paragraph_id": 60, "text": "The New York Times wrote in 1926 of Hemingway's first novel, \"No amount of analysis can convey the quality of The Sun Also Rises. It is a truly gripping story, told in a lean, hard, athletic narrative prose that puts more literary English to shame.\" The Sun Also Rises is written in the spare, tight prose that made Hemingway famous, and, according to James Nagel, \"changed the nature of American writing\". In 1954, when Hemingway was awarded the Nobel Prize for Literature, it was for \"his mastery of the art of narrative, most recently demonstrated in The Old Man and the Sea, and for the influence that he has exerted on contemporary style.\"", "title": "Writing style" }, { "paragraph_id": 61, "text": "If a writer of prose knows enough of what he is writing about he may omit things that he knows and the reader, if the writer is writing truly enough, will have a feeling of those things as strongly as though the writer had stated them. The dignity of movement of an ice-berg is due to only one-eighth of it being above water. A writer who omits things because he does not know them only makes hollow places in his writing.", "title": "Writing style" }, { "paragraph_id": 62, "text": "—Ernest Hemingway in Death in the Afternoon", "title": "Writing style" }, { "paragraph_id": 63, "text": "Henry Louis Gates believes Hemingway's style was fundamentally shaped \"in reaction to [his] experience of world war\". After World War I, he and other modernists \"lost faith in the central institutions of Western civilization\" by reacting against the elaborate style of 19th-century writers and by creating a style \"in which meaning is established through dialogue, through action, and silences—a fiction in which nothing crucial—or at least very little—is stated explicitly.\"", "title": "Writing style" }, { "paragraph_id": 64, "text": "Because he began as a writer of short stories, Baker believes Hemingway learned to \"get the most from the least, how to prune language, how to multiply intensities and how to tell nothing but the truth in a way that allowed for telling more than the truth.\" Hemingway called his style the iceberg theory: the facts float above water; the supporting structure and symbolism operate out of sight. The concept of the iceberg theory is sometimes referred to as the \"theory of omission\". Hemingway believed the writer could describe one thing (such as Nick Adams fishing in \"Big Two-Hearted River\") though an entirely different thing occurs below the surface (Nick Adams concentrating on fishing to the extent that he does not have to think about anything else). Paul Smith writes that Hemingway's first stories, collected as In Our Time, showed he was still experimenting with his writing style, and when he wrote about Spain or other countries he incorporated foreign words into the text, which sometimes appears directly in the other language (in italics, as occurs in The Old Man and the Sea) or in English as literal translations. He also often used bilingual puns and crosslingual wordplay as stylistic devices. In general, he avoided complicated syntax. About 70 percent of the sentences are simple sentences without subordination—a simple childlike grammar structure.", "title": "Writing style" }, { "paragraph_id": 65, "text": "Jackson Benson believes Hemingway used autobiographical details as framing devices about life in general—not only about his life. For example, Benson postulates that Hemingway used his experiences and drew them out with \"what if\" scenarios: \"what if I were wounded in such a way that I could not sleep at night? What if I were wounded and made crazy, what would happen if I were sent back to the front?\" Writing in \"The Art of the Short Story\", Hemingway explains: \"A few things I have found to be true. If you leave out important things or events that you know about, the story is strengthened. If you leave or skip something because you do not know it, the story will be worthless. The test of any story is how very good the stuff that you, not your editors, omit.\"", "title": "Writing style" }, { "paragraph_id": 66, "text": "The simplicity of the prose is deceptive. Zoe Trodd believes Hemingway crafted skeletal sentences in response to Henry James's observation that World War I had \"used up words\". Hemingway offers a \"multi-focal\" photographic reality. His iceberg theory of omission is the foundation on which he builds. The syntax, which lacks subordinating conjunctions, creates static sentences. The photographic \"snapshot\" style creates a collage of images. Many types of internal punctuation (colons, semicolons, dashes, parentheses) are omitted in favor of short declarative sentences. The sentences build on each other, as events build to create a sense of the whole. Multiple strands exist in one story; an \"embedded text\" bridges to a different angle. He also uses other cinematic techniques of \"cutting\" quickly from one scene to the next; or of \"splicing\" a scene into another. Intentional omissions allow the reader to fill the gap, as though responding to instructions from the author and create three-dimensional prose.", "title": "Writing style" }, { "paragraph_id": 67, "text": "In the late summer that year we lived in a house in a village that looked across the river and the plain to the mountains. In the bed of the river there were pebbles and boulders, dry and white in the sun, and the water was clear and swiftly moving and blue in the channels. Troops went by the house and down the road and the dust they raised powdered the trees.", "title": "Writing style" }, { "paragraph_id": 68, "text": "—Opening passage of A Farewell to Arms showing Hemingway's use of the word and", "title": "Writing style" }, { "paragraph_id": 69, "text": "Hemingway habitually used the word \"and\" in place of commas. This use of polysyndeton may serve to convey immediacy. Hemingway's polysyndetonic sentence—or in later works his use of subordinate clauses—uses conjunctions to juxtapose startling visions and images. Benson compares them to haikus. Many of Hemingway's followers misinterpreted his lead and frowned upon all expression of emotion; Saul Bellow satirized this style as \"Do you have emotions? Strangle them.\" However, Hemingway's intent was not to eliminate emotion, but to portray it more scientifically. Hemingway thought it would be easy, and pointless, to describe emotions; he sculpted collages of images in order to grasp \"the real thing, the sequence of motion and fact which made the emotion and which would be as valid in a year or in ten years or, with luck and if you stated it purely enough, always\". This use of an image as an objective correlative is characteristic of Ezra Pound, T. S. Eliot, James Joyce, and Marcel Proust. Hemingway's letters refer to Proust's Remembrance of Things Past several times over the years, and indicate he read the book at least twice.", "title": "Writing style" }, { "paragraph_id": 70, "text": "Hemingway's writing includes themes of love, war, travel, wilderness, and loss. Critic Leslie Fiedler sees the theme he defines as \"The Sacred Land\"—the American West—extended in Hemingway's work to include mountains in Spain, Switzerland and Africa, and to the streams of Michigan. The American West is given a symbolic nod with the naming of the \"Hotel Montana\" in The Sun Also Rises and For Whom the Bell Tolls. According to Stoltzfus and Fiedler, in Hemingway's work, nature is a place for rebirth and rest; and it is where the hunter or fisherman might experience a moment of transcendence at the moment they kill their prey. Nature is where men exist without women: men fish; men hunt; men find redemption in nature. Although Hemingway does write about sports, such as fishing, Carlos Baker notes the emphasis is more on the athlete than the sport. At its core, much of Hemingway's work can be viewed in the light of American naturalism, evident in detailed descriptions such as those in \"Big Two-Hearted River\".", "title": "Themes" }, { "paragraph_id": 71, "text": "Hemingway often wrote about Americans abroad. In Hemingway’s Expatriate Nationalism, Jeffrey Herlihy describes \"Hemingway's Transnational Archetype\" as one that involves characters who are \"multilingual and bicultural, and have integrated new cultural norms from the host community into their daily lives by the time plots begin.\" In this way, \"foreign scenarios, far from being mere exotic backdrops or cosmopolitan milieus, are motivating factors in-character action.\" Donald Monk comments that Hemingway's use of \"expatriation comes to be not so much a psychological as a metaphysical reality. It guarantees his world-view of his heroes, based on a type of rootless outsider.\"", "title": "Themes" }, { "paragraph_id": 72, "text": "Fiedler believes Hemingway inverts the American literary theme of the evil \"Dark Woman\" versus the good \"Light Woman\". The dark woman—Brett Ashley of The Sun Also Rises—is a goddess; the light woman—Margot Macomber of \"The Short Happy Life of Francis Macomber\"—is a murderess. Robert Scholes says early Hemingway stories, such as \"A Very Short Story\", present \"a male character favorably and a female unfavorably\". According to Rena Sanderson, early Hemingway critics lauded his male-centric world of masculine pursuits, and the fiction divided women into \"castrators or love-slaves\". Feminist critics attacked Hemingway as \"public enemy number one\", although more recent re-evaluations of his work \"have given new visibility to Hemingway's female characters (and their strengths) and have revealed his own sensitivity to gender issues, thus casting doubts on the old assumption that his writings were one-sidedly masculine.\" Nina Baym believes that Brett Ashley and Margot Macomber \"are the two outstanding examples of Hemingway's 'bitch women.'\"", "title": "Themes" }, { "paragraph_id": 73, "text": "The world breaks everyone and afterward many are strong in the broken places. But those that will not break it kills. It kills the very good and the very gentle and the very brave impartially. If you are none of these you can be sure it will kill you too but there will be no special hurry.", "title": "Themes" }, { "paragraph_id": 74, "text": "—Ernest Hemingway in A Farewell to Arms", "title": "Themes" }, { "paragraph_id": 75, "text": "The theme of women and death is evident in stories as early as \"Indian Camp\". The theme of death permeates Hemingway's work. Young believes the emphasis in \"Indian Camp\" was not so much on the woman who gives birth or the father who kills himself, but on Nick Adams who witnesses these events as a child, and becomes a \"badly scarred and nervous young man\". Hemingway sets the events in \"Indian Camp\" that shape the Adams persona. Young believes \"Indian Camp\" holds the \"master key\" to \"what its author was up to for some thirty-five years of his writing career\". Stoltzfus considers Hemingway's work to be more complex with a representation of the truth inherent in existentialism: if \"nothingness\" is embraced, then redemption is achieved at the moment of death. Those who face death with dignity and courage live an authentic life. Francis Macomber dies happy because the last hours of his life are authentic; the bullfighter in the corrida represents the pinnacle of a life lived with authenticity. In his paper The Uses of Authenticity: Hemingway and the Literary Field, Timo Müller writes that Hemingway's fiction is successful because the characters live an \"authentic life\", and the \"soldiers, fishers, boxers and backwoodsmen are among the archetypes of authenticity in modern literature\".", "title": "Themes" }, { "paragraph_id": 76, "text": "The theme of emasculation is prevalent in Hemingway's work, notably in God Rest You Merry, Gentlemen and The Sun Also Rises. Emasculation, according to Fiedler, is a result of a generation of wounded soldiers; and of a generation in which women such as Brett gained emancipation. This also applies to the minor character, Frances Clyne, Cohn's girlfriend in the beginning of The Sun Also Rises. Her character supports the theme not only because the idea was presented early on in the novel but also the impact she had on Cohn in the start of the book while only appearing a small number of times. In God Rest You Merry, Gentlemen, the emasculation is literal, and related to religious guilt. Baker believes Hemingway's work emphasizes the \"natural\" versus the \"unnatural\". In \"An Alpine Idyll\" the \"unnaturalness\" of skiing in the high country late spring snow is juxtaposed against the \"unnaturalness\" of the peasant who allowed his wife's dead body to linger too long in the shed during the winter. The skiers and peasant retreat to the valley to the \"natural\" spring for redemption.", "title": "Themes" }, { "paragraph_id": 77, "text": "Descriptions of food and drink feature prominently in many of Hemingway's works. In the short story \"Big Two-Hearted River\" Hemingway describes a hungry Nick Adams cooking a can of pork and beans and a can of spaghetti over a fire in a heavy cast iron pot. The primitive act of preparing the meal in solitude is a restorative act and one of Hemingway's narratives of post-war integration.", "title": "Themes" }, { "paragraph_id": 78, "text": "Susan Beegel reports that Charles Stetler and Gerald Locklin read Hemingway's The Mother of a Queen as both misogynistic and homophobic, and Ernest Fontana thought that a \"horror of homosexuality\" drove the short story \"A Pursuit Race\". Beegel found that \"despite the academy's growing interest in multiculturalism ... during the 1980s ... critics interested in multiculturalism tended to ignore the author as 'politically incorrect.'\", listing just two \"apologetic articles on [his] handling of race\". Barry Gross, comparing Jewish characters in literature of the period, commented that \"Hemingway never lets the reader forget that Cohn is a Jew, not an unattractive character who happens to be a Jew but a character who is unattractive because he is a Jew.\"", "title": "Themes" }, { "paragraph_id": 79, "text": "Hemingway's legacy to American literature is his style: writers who came after him either emulated or avoided it. After his reputation was established with the publication of The Sun Also Rises, he became the spokesperson for the post-World War I generation, having established a style to follow. His books were burned in Berlin in 1933, \"as being a monument of modern decadence\", and disavowed by his parents as \"filth\". Reynolds asserts the legacy is that \"[Hemingway] left stories and novels so starkly moving that some have become part of our cultural heritage.\"", "title": "Influence and legacy" }, { "paragraph_id": 80, "text": "Benson believes the details of Hemingway's life have become a \"prime vehicle for exploitation\", resulting in a Hemingway industry. Hemingway scholar Hallengren believes the \"hard-boiled style\" and the machismo must be separated from the author himself. Benson agrees, describing him as introverted and private as J. D. Salinger, although Hemingway masked his nature with braggadocio. During World War II, Salinger met and corresponded with Hemingway, whom he acknowledged as an influence. In a letter to Hemingway, Salinger claimed their talks \"had given him his only hopeful minutes of the entire war\" and jokingly \"named himself national chairman of the Hemingway Fan Clubs\".", "title": "Influence and legacy" }, { "paragraph_id": 81, "text": "The extent of his influence is seen from the enduring and varied tributes to Hemingway and his works. 3656 Hemingway, a minor planet discovered in 1978 by Soviet astronomer Nikolai Chernykh, was named for Hemingway, and in 2009, a crater on Mercury was also named in his honor. The Kilimanjaro Device by Ray Bradbury featured Hemingway being transported to the top of Mount Kilimanjaro, while the 1993 motion picture Wrestling Ernest Hemingway explored the friendship of two retired men, played by Robert Duvall and Richard Harris, in a seaside Florida town. His influence is further evident from the many restaurants bearing his name and the proliferation of bars called \"Harry's\", a nod to the bar in Across the River and Into the Trees. Hemingway's son Jack (Bumby) promoted a line of furniture honoring his father, Montblanc created a Hemingway fountain pen, and multiple lines of clothing inspired by Hemingway have been produced. In 1977, the International Imitation Hemingway Competition was created to acknowledge his distinct style and the comical efforts of amateur authors to imitate him; entrants are encouraged to submit one \"really good page of really bad Hemingway\" and the winners are flown to Harry's Bar in Italy.", "title": "Influence and legacy" }, { "paragraph_id": 82, "text": "Mary Hemingway established the Hemingway Foundation in 1965, and in the 1970s she donated her husband's papers to the John F. Kennedy Library. In 1980, a group of Hemingway scholars gathered to assess the donated papers, subsequently forming the Hemingway Society, \"committed to supporting and fostering Hemingway scholarship\", publishing The Hemingway Review. Numerous awards have been established in Hemingway's honor to recognize significant achievement in the arts and culture, including the Hemingway Foundation/PEN Award and the Hemingway Award.", "title": "Influence and legacy" }, { "paragraph_id": 83, "text": "In 2012, he was inducted into the Chicago Literary Hall of Fame.", "title": "Influence and legacy" }, { "paragraph_id": 84, "text": "Almost exactly 35 years after Hemingway's death, on July 1, 1996, his granddaughter Margaux Hemingway died in Santa Monica, California. Margaux was a supermodel and actress, co-starring with her younger sister Mariel in the 1976 movie Lipstick. Her death was later ruled a death by suicide.", "title": "Influence and legacy" }, { "paragraph_id": 85, "text": "Three houses associated with Hemingway are listed on the U.S. National Register of Historic Places: the Ernest Hemingway Cottage on Walloon Lake, Michigan, designated in 1968; the Ernest Hemingway House in Key West, designated in 1968; and the Ernest and Mary Hemingway House in Ketchum, designated in 2015. Hemingway's childhood home in Oak Park and his Havana residence were also converted into museums.", "title": "Influence and legacy" }, { "paragraph_id": 86, "text": "On April 5, 2021, Hemingway, a three-episode, six-hour documentary, a recapitulation of Hemingway's life, labors, and loves, debuted on PBS. It was co-produced and directed by Ken Burns and Lynn Novick.", "title": "Influence and legacy" }, { "paragraph_id": 87, "text": "The following is the list of books that Ernest Hemingway completed during his lifetime. While much of his work was published posthumously, they were finished without his supervision, unlike the works listed below.", "title": "Selected works" }, { "paragraph_id": 88, "text": "", "title": "External links" }, { "paragraph_id": 89, "text": "", "title": "External links" } ]
Ernest Miller Hemingway was an American novelist, short-story writer, and journalist. His economical and understated style—which included his iceberg theory—had a strong influence on 20th-century fiction, while his adventurous lifestyle and public image brought him admiration from later generations. Hemingway produced most of his work between the mid-1920s and the mid-1950s, and he was awarded the 1954 Nobel Prize in Literature. He published seven novels, six short-story collections, and two nonfiction works. Three of his novels, four short-story collections, and three nonfiction works were published posthumously. Many of his works are considered classics of American literature. Hemingway was raised in Oak Park, Illinois. After high school, he was a reporter for a few months for The Kansas City Star before leaving for the Italian Front to enlist as an ambulance driver in World War I. In 1918, he was seriously wounded and returned home. His wartime experiences formed the basis for his novel A Farewell to Arms (1929). In 1921, he married Hadley Richardson, the first of four wives. They moved to Paris, where he worked as a foreign correspondent for the Toronto Star and fell under the influence of the modernist writers and artists of the 1920s' "Lost Generation" expatriate community. Hemingway's debut novel The Sun Also Rises was published in 1926. He divorced Richardson in 1927, and married Pauline Pfeiffer. They divorced after he returned from the Spanish Civil War (1936–1939), which he covered as a journalist and which was the basis for his novel For Whom the Bell Tolls (1940). Martha Gellhorn became his third wife in 1940. He and Gellhorn separated after he met Mary Welsh in London during World War II. Hemingway was present with Allied troops as a journalist at the Normandy landings and the liberation of Paris. He maintained permanent residences in Key West, Florida in the 1930s and in Cuba in the 1940s and 1950s. On a 1954 trip to Africa, he was seriously injured in two plane accidents on successive days, leaving him in pain and ill health for much of the rest of his life. In 1959, he bought a house in Ketchum, Idaho, where, in mid-1961, he died by suicide.
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https://en.wikipedia.org/wiki/Ernest_Hemingway
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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. An elaborately staged crane shot Hitchcock devised, which appears towards the end of the film, identifies the real murderer. 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. 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. 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. 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. Young and Innocent, like all of Hitchcock's British films, is copyrighted worldwide but has been heavily bootlegged for home video. Despite this, 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.
[ { "paragraph_id": 0, "text": "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. An elaborately staged crane shot Hitchcock devised, which appears towards the end of the film, identifies the real murderer.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "Plot" }, { "paragraph_id": 2, "text": "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.", "title": "Plot" }, { "paragraph_id": 3, "text": "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.", "title": "Plot" }, { "paragraph_id": 4, "text": "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.", "title": "Plot" }, { "paragraph_id": 5, "text": "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.", "title": "Plot" }, { "paragraph_id": 6, "text": "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.", "title": "Plot" }, { "paragraph_id": 7, "text": "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.", "title": "Plot" }, { "paragraph_id": 8, "text": "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.", "title": "Plot" }, { "paragraph_id": 9, "text": "Reunited once again with Tisdall, Erica then tells her father that she thinks it is time they invited him to their home for dinner.", "title": "Plot" }, { "paragraph_id": 10, "text": "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.\"", "title": "Reception" }, { "paragraph_id": 11, "text": "Aggregator Rotten Tomatoes reports 100% approval of Young and Innocent, with an average rating of 7.6/10.", "title": "Reception" }, { "paragraph_id": 12, "text": "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.", "title": "Changes from the novel" }, { "paragraph_id": 13, "text": "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.", "title": "Hitchcock's cameo" }, { "paragraph_id": 14, "text": "Young and Innocent, like all of Hitchcock's British films, is copyrighted worldwide but has been heavily bootlegged for home video. Despite this, 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.", "title": "Copyright and home video status" } ]
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. An elaborately staged crane shot Hitchcock devised, which appears towards the end of the film, identifies the real murderer.
2002-02-25T15:51:15Z
2023-12-03T14:46:26Z
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https://en.wikipedia.org/wiki/Young_and_Innocent
9,432
The Time in Between
The Time in Between is a novel by Canadian author David Bergen. It deals with a man, who mysteriously returns to Vietnam, where he had been a soldier earlier in his life, followed by his children, who also go to Vietnam to search for him. The novel was the recipient of the Scotiabank Giller Prize and the McNally Robinson Book of the Year Award in 2005. Charles Boatman, an army veteran suddenly disappears and his daughter Ada and her younger brother Jon on finding some clues go looking out for him in Danang, Vietnam. The novel mixes various stories from different timeframes narrating Charles's days in Washington when he was young. He married Sara and had daughter Ada while living in Fraser Valley of British Columbia. He gets posted in the wartime era to Vietnam and serves there and upon arrival discovers his wife's infidelity. Sara dies early and by then they also had a son Jon. Charles keeps getting nightmares of his Vietnam days on how he killed an innocent civilian boy in one of the operations and this keeps haunting him. On the other hand, Ada is on a mission to find her father and is helped by a local guy Yen who becomes her guide and guardian in the new country. She engages in a sexual relationship with an older man, Hoang Vu who is an artist by profession. Jon indulges in the nightlife of Vietnam, and Ada keeps getting closer to her father as she travels across the country. Charles discovers author Dang Tho's novel chronicling wartime and this helps him find some peace. The book is author David Bergen's fifth novel. Although generally called a war novel, the author states that he "[doesn't] see The Time in Between as a war novel". The book was released as Audio book by Blackstone Audio in December 2005 and was narrated by Anna Fields, better known as Kate Fleming. Kirkus reviews called the novel a "beautifully composed, unflinching and harrowing story". Nicholas Dinka in their Quill & Quire review mentions that the novel has "much decency and intelligence" and both the stories of the novel are "entirely plausible" but criticises for "remarkable dourness of its prose". While Dennis Lythgoe of Deseret News noted that "Bergen's book lives and breathes the Vietnam experience"; Ron Charles in his The Washington Post review mentioned that "Bergen's ability to dramatize trauma-induced disaffection is undeniable; whether readers will want to sink down that hole with his characters is less clear". Irene Wanner of The Seattle Times appreciated the novel for its writing. The novel won the Scotiabank Giller Prize in 2005 while being nominated along with Luck (by Joan Barfoot), Sweetness in the Belly (by Camilla Gibb), Alligator (by Lisa Moore), and A Wall of Light (by Edeet Ravel). The judges Warren Cariou, Elizabeth Hay, and Richard B. Wright noted "The Time in Between explores our need to understand the relationship between love and duty....[] This is a subtle and elegantly written novel by an author in complete command of his talent". It also won the McNally Robinson Book of the Year Award in 2005. Bergen had earlier won the award in 1996 for A Year of Lesser and later again won in 2009 for The Retreat. Dan Zigmond of SFGate reviews the novel as "a rich and rewarding novel".
[ { "paragraph_id": 0, "text": "The Time in Between is a novel by Canadian author David Bergen. It deals with a man, who mysteriously returns to Vietnam, where he had been a soldier earlier in his life, followed by his children, who also go to Vietnam to search for him. The novel was the recipient of the Scotiabank Giller Prize and the McNally Robinson Book of the Year Award in 2005.", "title": "" }, { "paragraph_id": 1, "text": "Charles Boatman, an army veteran suddenly disappears and his daughter Ada and her younger brother Jon on finding some clues go looking out for him in Danang, Vietnam. The novel mixes various stories from different timeframes narrating Charles's days in Washington when he was young. He married Sara and had daughter Ada while living in Fraser Valley of British Columbia. He gets posted in the wartime era to Vietnam and serves there and upon arrival discovers his wife's infidelity. Sara dies early and by then they also had a son Jon. Charles keeps getting nightmares of his Vietnam days on how he killed an innocent civilian boy in one of the operations and this keeps haunting him. On the other hand, Ada is on a mission to find her father and is helped by a local guy Yen who becomes her guide and guardian in the new country. She engages in a sexual relationship with an older man, Hoang Vu who is an artist by profession. Jon indulges in the nightlife of Vietnam, and Ada keeps getting closer to her father as she travels across the country. Charles discovers author Dang Tho's novel chronicling wartime and this helps him find some peace.", "title": "Plot" }, { "paragraph_id": 2, "text": "The book is author David Bergen's fifth novel. Although generally called a war novel, the author states that he \"[doesn't] see The Time in Between as a war novel\". The book was released as Audio book by Blackstone Audio in December 2005 and was narrated by Anna Fields, better known as Kate Fleming.", "title": "Publication and development" }, { "paragraph_id": 3, "text": "Kirkus reviews called the novel a \"beautifully composed, unflinching and harrowing story\". Nicholas Dinka in their Quill & Quire review mentions that the novel has \"much decency and intelligence\" and both the stories of the novel are \"entirely plausible\" but criticises for \"remarkable dourness of its prose\". While Dennis Lythgoe of Deseret News noted that \"Bergen's book lives and breathes the Vietnam experience\"; Ron Charles in his The Washington Post review mentioned that \"Bergen's ability to dramatize trauma-induced disaffection is undeniable; whether readers will want to sink down that hole with his characters is less clear\". Irene Wanner of The Seattle Times appreciated the novel for its writing.", "title": "Reviews and reception" }, { "paragraph_id": 4, "text": "The novel won the Scotiabank Giller Prize in 2005 while being nominated along with Luck (by Joan Barfoot), Sweetness in the Belly (by Camilla Gibb), Alligator (by Lisa Moore), and A Wall of Light (by Edeet Ravel). The judges Warren Cariou, Elizabeth Hay, and Richard B. Wright noted \"The Time in Between explores our need to understand the relationship between love and duty....[] This is a subtle and elegantly written novel by an author in complete command of his talent\". It also won the McNally Robinson Book of the Year Award in 2005. Bergen had earlier won the award in 1996 for A Year of Lesser and later again won in 2009 for The Retreat. Dan Zigmond of SFGate reviews the novel as \"a rich and rewarding novel\".", "title": "Reviews and reception" } ]
The Time in Between is a novel by Canadian author David Bergen. It deals with a man, who mysteriously returns to Vietnam, where he had been a soldier earlier in his life, followed by his children, who also go to Vietnam to search for him. The novel was the recipient of the Scotiabank Giller Prize and the McNally Robinson Book of the Year Award in 2005.
2023-03-17T13:13:10Z
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https://en.wikipedia.org/wiki/The_Time_in_Between
9,433
Spain in Flames
Spain in Flames is a 1937 compilation film made by Helen van Dongen during the Spanish Civil War. Hal Erickson has written that the film "... is remarkable in its willingness to offer both sides of the conflict -- though its sympathies are firmly with the Loyalists." The film consists of two parts. The first, "The Fight for Freedom", was based on film footage from a Spanish government documentary Spain and the Fight for Freedom. A foreword by the then Spanish Ambassador to the United States, Fernando de los Ríos, began one of the film's screenings in New York in 1937. The second part, "They Shalt Not Pass", was based on a short film No Pasaran! done by the Artkino Film Company of the Soviet Union, where van Dongen was working at the time the film was made. John Dos Passos narrated parts of the film, and the commentary was written by Dos Passos, Ernest Hemingway, Archibald MacLeish, and Prudencio de Pareda. Erickson writes that, "The horrendous images of battlefield carnage, not to mention the close-ups of suffering and dying Spanish children, still pack a wallop when seen today." Later, Hemingway, Dos Passos, Lillian Hellman and others founded the company Contemporary Historians, which produced another film called The Spanish Earth (1937), directed by Joris Ivens and edited by van Dongen. Spain in Flames was banned in New Brunswick, New Jersey and Waterbury, Connecticut. A screening of the film, accompanied by a speech from Granville Hicks, was also banned in Provincetown, Massachusetts.
[ { "paragraph_id": 0, "text": "Spain in Flames is a 1937 compilation film made by Helen van Dongen during the Spanish Civil War. Hal Erickson has written that the film \"... is remarkable in its willingness to offer both sides of the conflict -- though its sympathies are firmly with the Loyalists.\" The film consists of two parts. The first, \"The Fight for Freedom\", was based on film footage from a Spanish government documentary Spain and the Fight for Freedom. A foreword by the then Spanish Ambassador to the United States, Fernando de los Ríos, began one of the film's screenings in New York in 1937.", "title": "" }, { "paragraph_id": 1, "text": "The second part, \"They Shalt Not Pass\", was based on a short film No Pasaran! done by the Artkino Film Company of the Soviet Union, where van Dongen was working at the time the film was made. John Dos Passos narrated parts of the film, and the commentary was written by Dos Passos, Ernest Hemingway, Archibald MacLeish, and Prudencio de Pareda. Erickson writes that, \"The horrendous images of battlefield carnage, not to mention the close-ups of suffering and dying Spanish children, still pack a wallop when seen today.\"", "title": "" }, { "paragraph_id": 2, "text": "Later, Hemingway, Dos Passos, Lillian Hellman and others founded the company Contemporary Historians, which produced another film called The Spanish Earth (1937), directed by Joris Ivens and edited by van Dongen.", "title": "" }, { "paragraph_id": 3, "text": "Spain in Flames was banned in New Brunswick, New Jersey and Waterbury, Connecticut. A screening of the film, accompanied by a speech from Granville Hicks, was also banned in Provincetown, Massachusetts.", "title": "" }, { "paragraph_id": 4, "text": "", "title": "Further reading" } ]
Spain in Flames is a 1937 compilation film made by Helen van Dongen during the Spanish Civil War. Hal Erickson has written that the film "... is remarkable in its willingness to offer both sides of the conflict -- though its sympathies are firmly with the Loyalists." The film consists of two parts. The first, "The Fight for Freedom", was based on film footage from a Spanish government documentary Spain and the Fight for Freedom. A foreword by the then Spanish Ambassador to the United States, Fernando de los Ríos, began one of the film's screenings in New York in 1937. The second part, "They Shalt Not Pass", was based on a short film No Pasaran! done by the Artkino Film Company of the Soviet Union, where van Dongen was working at the time the film was made. John Dos Passos narrated parts of the film, and the commentary was written by Dos Passos, Ernest Hemingway, Archibald MacLeish, and Prudencio de Pareda. Erickson writes that, "The horrendous images of battlefield carnage, not to mention the close-ups of suffering and dying Spanish children, still pack a wallop when seen today." Later, Hemingway, Dos Passos, Lillian Hellman and others founded the company Contemporary Historians, which produced another film called The Spanish Earth (1937), directed by Joris Ivens and edited by van Dongen. Spain in Flames was banned in New Brunswick, New Jersey and Waterbury, Connecticut. A screening of the film, accompanied by a speech from Granville Hicks, was also banned in Provincetown, Massachusetts.
2001-02-02T12:58:18Z
2023-12-30T22:54:03Z
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https://en.wikipedia.org/wiki/Spain_in_Flames
9,441
The Downward Spiral
The Downward Spiral is the second studio album by American industrial rock band Nine Inch Nails, released on March 8, 1994, by Nothing Records in the United States and Island Records in Europe. It is a concept album detailing the self-destruction of a man from the beginning of his misanthropic "downward spiral" to his suicidal breaking point. The album was a commercial success and established Nine Inch Nails as a reputable force in the 1990s music scene, with its sound being widely imitated, and the band receiving media attention and multiple honors. Band frontman Trent Reznor had moved to 10050 Cielo Drive in Benedict Canyon, Los Angeles, the site of the murder of actress Sharon Tate by members of the Manson Family in 1969; it was transformed into a studio for recording the Broken EP (1992) and subsequently The Downward Spiral. The album features elements of industrial rock, techno, metal and ambient soundscapes, in contrast to the band's synth-pop-influenced debut album Pretty Hate Machine (1989). Reznor was strongly influenced by David Bowie's Low and Pink Floyd's The Wall for their themes of introspection and dissociation, and their focus on texture and space. The Downward Spiral has been regarded by music critics and audiences as one of the most important albums of the 1990s, and was praised for its abrasive and eclectic nature and dark themes, although it was sensationalized by social conservatives for some of its lyrics. The album spawned two lead singles, "March of the Pigs" and "Closer", in addition to the promotional singles "Piggy" and "Hurt". The lead singles were accompanied by music videos, with the former shot twice and the latter being heavily censored. A remix album titled Further Down the Spiral was released in 1995. Reznor conceived of The Downward Spiral after Nine Inch Nails' run in the lineup of the Lollapalooza festival tour, feeling increasingly alienated and disinterested. The band's concerts were known for their radical onstage dynamic in which members acted aggressively, injured themselves, destroyed instruments and polluted stages. Reznor had begun to feud with TVT Records, resulting in him co-founding Nothing Records with his then-manager John Malm, Jr. as a subsidiary of Interscope. Simultaneously, he began fleshing out the concept for The Downward Spiral, focusing on the life and death of a misanthropic man who rebels against humanity, and kills God before attempting suicide. Reznor frequently struggled with drug addiction and depression, and the themes of the album gradually allegorized his living situation. His peers at some point recommended him the antidepressant Prozac, but he declined to be medicated. Reznor wanted the album's sound to diverge from the abrasion of Broken, emphasizing mood, texture, restraint and subtlety, although he was unsure about its musical direction. He decided to utilize "full range" sound, focusing on texture and space, and avoiding conventional usage of guitars or synthesizers with a recognizable sound palette. Subsequently, he mainly worked with a Macintosh computer, using music editor programs on the computer to distort frequencies in guitar and bass parts as a form of sound design, and creating collages of sounds with Pro Tools. Reznor searched for and moved to 10050 Cielo Drive in 1992 for recording Broken and The Downward Spiral, a decision made against his initial choice to record the album in New Orleans. 10050 Cielo Drive is referred to as the "Tate House" since Sharon Tate was murdered by members of the Manson Family in 1969; Reznor named the studio "Le Pig" after the message that was scrawled on the front door with Tate's blood by her murderers, and stayed there with Malm for 18 months. He called his first night in 10050 Cielo Drive "terrifying" because he already knew it and read books related to the incident. Reznor chose the Tate house to calibrate his engineering skills and the band bought a large console and two Studer machines as resources, a move that he believed was cheaper than renting. Reznor collaborated with Jane's Addiction and Porno for Pyros drummer Stephen Perkins, progressive rock guitarist Adrian Belew, and Nine Inch Nails drummer Chris Vrenna. Belew's first visit to the studio involved playing the guitar parts in "Mr. Self-Destruct", and he was told to play freely, think on reacting to melodies, concentrate on rhythm, and use noise. This approach improved Reznor's confidence in the instrument: he found it to be more expressive than the keyboard due to the interface. Belew praised Reznor for his "command of technology," and commented that the music of Nine Inch Nails made innovations "that are in [his] realm." Vrenna and Perkins played drum parts recorded live in the studio; the tracks were rendered into looped samples. Reznor took a similar approach to recording guitar parts: he would tape 20- to 25-minute-long sessions of himself playing guitars on a hard disc recorder with the Studio Vision sequencer. Reznor frequently sampled excerpts from his guitar session tracks and processed them to sporadic and expressive points to convey the album's themes, also doing the same with drum parts. Digidesign's TurboSynth and Zoom 9030 effects unit were used extensively to process guitar tracks, often in conjunction with a Marshall JMP-1 preamp; Zoom 9030 was also used to distort vocals. Acoustic drums in various settings, as well as Roland's TR-808 and R-70 drum machines were sampled through multiple Akai S1000s and a Kurzweil K2000. Additionally, Vrenna had compiled various movie samples on Digital Audio Tapes for Reznor to sample, which were gradually identified by fans in the decades following the album's release. Other equipments and software Reznor used for recording the album include Oberheim OB-Mx, Minimoog, Prophet VS keyboard, Eventide H3000 Harmonizer, Pro Tools and various Jackson and Gibson guitars. In December 1993, Reznor was confronted by Patti Tate, who asked if he was exploiting Sharon Tate's death in the house. Reznor responded that he was interested in the house as her death happened there. He later made a statement about this encounter during a 1997 interview with Rolling Stone: While I was working on [The] Downward Spiral, I was living in the house where Sharon Tate was killed. Then one day I met her sister [Patti Tate]. It was a random thing, just a brief encounter. And she said: 'Are you exploiting my sister's death by living in her house?' For the first time, the whole thing kind of slapped me in the face. I said, 'No, it's just sort of my own interest in American folklore. I'm in this place where a weird part of history occurred.' I guess it never really struck me before, but it did then. She lost her sister from a senseless, ignorant situation that I don't want to support. When she was talking to me, I realized for the first time, 'What if it was my sister?' I thought, 'Fuck Charlie Manson.' I went home and cried that night. It made me see there's another side to things, you know? British producer and engineer Flood, known for engineering and producing U2 and Depeche Mode albums, was employed as co-producer on The Downward Spiral; it became his last collaboration with Nine Inch Nails due to creative differences. For instance, a "very dangerously self-destructive" yet humorous short song written for the album, "Just Do It", was not included in the final version, criticized by Flood who said that Reznor had "gone too far." Reznor completed the last song written for the album, "Big Man with a Gun", in late 1993. After the album's recording, Reznor moved out and the house was demolished shortly thereafter. The Downward Spiral entered its mixing and mastering processes, done at the Record Plant and A&M Studios with Alan Moulder, who subsequently took on more extensive production duties for future album releases. Numerous layers of metaphors are present throughout The Downward Spiral, leaving it open to wide interpretation. The album relays nihilism and is defined by a prominent theme of self-abuse and self-control. It is a semi-autobiographical concept album, in which the overarching plot follows the protagonist's descent into madness in his own inner solipsistic world through a metaphorical "downward spiral", dealing with religion, dehumanization, violence, disease, society, drugs, sex, and finally, suicide. Reznor described the concept as consisting of "someone who sheds everything around them to a potential nothingness, but through career, religion, relationship, belief and so on." Media journalists like The New York Times writer Jon Pareles noted the album's theme of angst had already been used by grunge bands like Nirvana, and that Nine Inch Nails' depiction was more generalized. Using elements of genres such as techno, dance, electronic, heavy metal, and hard rock, The Downward Spiral is considered an industrial rock, alternative rock, industrial metal, industrial, and art rock album. Reznor regularly uses noise and distortion in his song arrangements that do not follow verse–chorus form, and incorporates dissonance with chromatic melody or harmony (or both). The treatment of metal guitars in Broken is carried over to The Downward Spiral, which includes innovative techniques such as expanded song structures and unconventional time signatures. The album features a wide range of textures and moods to illustrate the mental progress of the central protagonist. Reznor's singing follows a similar pattern from beginning to end, frequently moving from whispers to screams. These techniques are all used in the song "Hurt", which features a highly dissonant tritone played on guitar during the verses, a B5#11, emphasized when Reznor sings the eleventh note on the word "I" every time the B/E# dyad is played. "Mr. Self Destruct", a song about a powerful person, follows a build-up sampled from the 1971 film THX 1138 with an "industrial roar" and is accompanied by an audio loop of a pinion rotating. "The Becoming" expresses the state of being dead and the protagonist's transformation into a non-human organism. "Closer" concludes with a chromatic piano motif: The melody is introduced during the second verse of "Piggy" on organ, then reappears in power chords at drop D tuning throughout the chorus of "Heresy", and recurs for the final time on "The Downward Spiral". The album was chiefly inspired by David Bowie's Low, an experimental rock album which Reznor related to on songwriting, mood, and structures, as well as progressive rock group Pink Floyd's The Wall, a concept album featuring themes of abuse, isolation, and mental instability. Committere, an installation featuring artwork and sketches for The Downward Spiral, "Closer" and "March of the Pigs" by Russell Mills was displayed at the Glasgow School of Art. Mills explained the ideas and materials that made up the painting (titled "Wound") that was used for the album's cover art: I had been thinking about making works that dealt with layers, physically, materially and conceptually. I wanted to produce works that were about both exposure and revealing and at the same dealt with closure and covering. Given the nature of the lyrics and the power of the music I was working with, I felt justified in attempting to make works that alluded to the apparently contradictory imagery of pain and healing. I wanted to make beautiful surfaces that partially revealed the visceral rawness of open wounds beneath. The mixed media work 'Wound' was the first piece I tackled in this vein (no pun intended) and it became the cover of the album. It is made of plaster, acrylics, oils, rusted metals, insects, moths, blood (mine), wax, varnishes, and surgical bandaging on a wooden panel. "March of the Pigs" and "Closer" were released as singles; two other songs, "Hurt" and "Piggy", were issued to radio without a commercial single release. "March of the Pigs" has an unusual meter, alternating three bars of 7/8 time with one of 8/8. The song's music video was directed by Peter Christopherson and was shot twice; the first version scrapped due to Reznor's involvement, and the released second version being a live performance. "Closer" features a heavily modified bass drum sample from the Iggy Pop song "Nightclubbing" from his album The Idiot. Lyrically, it is a meditation on self-hatred and obsession, but to Reznor's dismay, the song was widely misinterpreted as a lust anthem due to its chorus, which included the line "I wanna fuck you like an animal". The music video for "Closer" was directed by Mark Romanek and received frequent rotation on MTV, though the network heavily censored the original version, which they perceived to be too graphic. The video shows events in a laboratory dealing with religion, sexuality, animal cruelty, politics, and terror; controversial imagery included a nude bald woman with a crucifix mask, a monkey tied to a cross, a pig's head spinning on a machine, a diagram of a vulva, Reznor wearing an S&M mask while swinging in shackles, and of him wearing a ball gag. A radio edit that partially censored the song's explicit lyrics also received extensive airtime. The video has since been made part of the permanent collection of the Museum of Modern Art in New York City. "Piggy" uses "nothing can stop me now", a line that recurs in "Ruiner" and "Big Man with a Gun". The frantic drumming on the song's outro is Reznor's only attempt at performing drums on the record, and one of the few "live" drum performances on the album. He had stated that the recording was from him testing the microphone setup in studio, but he liked the sound too much not to include it. It was released as a promotional single in December 1994 and reached the Top 20 on the Billboard Modern Rock Tracks chart. Released in 1995, "Hurt" clearly includes references to self-harm and heroin addiction. The Nine Inch Nails live band embarked on the Self Destruct tour in support of The Downward Spiral. Chris Vrenna and James Woolley performed drums and keyboards respectively, Robin Finck replaced Richard Patrick on guitar and bassist Danny Lohner was added to the line-up. The stage set-up consisted of dirty curtains which would be pulled down and up for visuals shown during songs such as "Hurt". The back of the stage was littered with darker and standing lights, along with very few actual ones. The tour debuted the band's grungy and messy image in which they would come out in ragged clothes slathered in corn starch. The concerts were violent and chaotic, with band members often injuring themselves. They would frequently destroy their instruments at the end of concerts, attack each other, and stage-dive into the crowd. The tour included a set at Woodstock '94 broadcast on pay-per-view and seen in as many as 24 million homes. The band being covered in mud was a result of pre-concert backstage play, contrary to the belief that it was an attention-grabbing ploy, thus making it difficult for Reznor to navigate the stage: Reznor pushed Lohner into the mud pit as the concert began and saw mud from his hair entering his eyes while performing. Nine Inch Nails was widely proclaimed to have "stolen the show" from its popular contemporaries, mostly classic rock bands, and its fan base expanded. The band received considerable mainstream success thereafter, performing with significantly higher production values and the addition of various theatrical visual elements. Its performance of "Happiness in Slavery" from the Woodstock concert earned the group a Grammy Award for Best Metal Performance in 1995. Entertainment Weekly commented about the band's Woodstock '94 performance: "Reznor unstrings rock to its horrifying, melodramatic core—an experience as draining as it is exhilarating". Despite this acclaim, Reznor attributed his dislike of the concert to its technical difficulties. The main leg of the tour featured Marilyn Manson as the supporting act, who featured bassist Jeordie White (then playing under the pseudonym "Twiggy Ramirez"); White later played bass with Nine Inch Nails from 2005 to 2007. After another tour leg supporting the remix album Further Down the Spiral, Nine Inch Nails contributed to the Alternative Nation Festival in Australia and subsequently embarked on the Dissonance Tour, which included 26 separate performances with co-headliner David Bowie on his Outside Tour. Nine Inch Nails was the opening act for the tour, and its set transitioned into Bowie's set with joint performances of both bands' songs. However, the crowds reportedly did not respond positively to the pairing due to their creative differences. Despite this, in a 2012 Rolling Stone readers' poll, the tour (pairing Nine Inch Nails with Bowie) was named one of the top 10 opening acts in rock history. The tour concluded with "Nights of Nothing", a three-night showcase of performances from Nothing Records bands Marilyn Manson, Prick, Meat Beat Manifesto, and Pop Will Eat Itself, which ended with an 80-minute set from Nine Inch Nails. Kerrang! described the Nine Inch Nails set during the Nights of Nothing showcase as "tight, brash and dramatic", but was disappointed at the lack of new material. On the second of the three nights, Richard Patrick was briefly reunited with the band and contributed guitar to a performance of "Head Like a Hole". After the Self Destruct tour, Chris Vrenna, member of the live band since 1988 and frequent contributor to Nine Inch Nails studio recordings, left the act permanently to pursue a career in producing and to form Tweaker. The Downward Spiral's release date was delayed at various times to slow down Reznor's intended pace of the album's recording. The first delay caused the process of setting up Le Pig to take longer than he expected, and its release was postponed again as he was educating himself different ways to write songs that did not resemble those on Broken and Pretty Hate Machine. He considered delivering the album to Interscope in early 1993, only to experience a writer's block as he was unable to produce any satisfactory material. Interscope grew impatient and concerned with this progress, but Reznor was not forced by their demands of expediency despite crediting the label for giving him creative freedom. He told rock music producer Rick Rubin that his motivation for creating the album was to get it finished, thus Rubin responded that Reznor might not do so until he makes music that is allowed to be heard. Reznor realized that he was in the most fortunate situation he imagined when the album was recorded with a normal budget, "cool" equipment, and a studio to work at. Released on March 8, 1994, to instant success, The Downward Spiral debuted at number two on the US Billboard 200, selling nearly 119,000 copies in its first week. On October 28, 1998, the Recording Industry Association of America (RIAA) certified the album quadruple platinum, and by December 2011, it had sold 3.7 million copies in the United States. The album peaked at number nine on the UK Albums Chart, and on July 22, 2013, it was certified gold by the British Phonographic Industry (BPI), denoting shipments in excess of 100,000 copies in the United Kingdom. It reached number 13 on the Canadian RPM albums chart and received a triple platinum certification from the Canadian Recording Industry Association (CRIA) for shipping 200,000 copies in Canada. A group of early listeners of the album viewed it as "commercial suicide", but Reznor did not make it for profit as his goal was to slightly broaden Nine Inch Nails' scope. Reznor felt that the finished product he delivered to Interscope was complete and faithful to his vision and thought its commercial potential was limited, but after its release he was surprised by the success and received questions about a follow-up single with a music video to be shown on MTV. The album has since sold over four million copies worldwide. Many music critics and audiences praised The Downward Spiral for its abrasive, eclectic nature and dark themes and commented on the concept of a destruction of a man. The New York Times writer Jon Pareles' review of the album found the music to be highly abrasive. Pareles asserted that unlike other electro-industrial groups like Ministry and Nitzer Ebb, "Reznor writes full-fledged tunes" with stronger use of melodies than riffs. He noticed criticisms of Nine Inch Nails from industrial purists for popularizing the genre and the album's transgression. Village Voice critic Robert Christgau gave it an "honorable mention" in his capsule review column and summed the record up as, "musically, Hieronymus Bosch as postindustrial atheist; lyrically, Transformers as kiddie porn." Jonathan Gold, writing for Rolling Stone, likened the album to cyberpunk fiction. Entertainment Weekly reviewer Tom Sinclair commented: "Reznor's pet topics (sex, power, S&M, hatred, transcendence) are all here, wrapped in hooks that hit your psyche with the force of a blowtorch." The Downward Spiral has been listed on several publications' best album lists. In 2003, the album was ranked number 200 on Rolling Stone magazine's list of The 500 Greatest Albums of All Time, then was re-ranked 201 in a 2012 revised list. The Rolling Stone staff wrote: "Holing up in the one-time home of Manson-family victim Sharon Tate, Trent Reznor made an overpowering meditation on NIN's central theme: control." It moved up to 122 on the magazine's revised list in 2020. The album was placed 10th on Spin's 125 Best Albums of the Past 25 Years list; the Spin staff quoted Ann Powers' review that appreciated its bleak, aggressive style. It was ranked number 488 in the book The Top 500 Heavy Metal Albums of All Time by heavy metal music critic Martin Popoff. In 2001, Q named The Downward Spiral as one of the 50 Heaviest Albums of All Time; in 2010, the album was ranked number 102 on their 250 Best Albums of Q's Lifetime (1986–2011) list. The Downward Spiral was featured in Robert Dimery's book 1001 Albums You Must Hear Before You Die. In May 2014, Loudwire placed The Downward Spiral at number two on its "10 Best Hard Rock Albums of 1994" list. In July 2014, Guitar World placed The Downward Spiral at number 43 in their "Superunknown: 50 Iconic Albums That Defined 1994" list. The immediate success of The Downward Spiral established Nine Inch Nails as a reputable force in the 1990s. The band's image and musical style became so recognizable that a Gatorade commercial featured a remix of "Down in It" without their involvement. Reznor felt uncomfortable with the media hype and success the band earned, received false reports of his death, depression, and was falsely reported to have had a relationship with serial killer Jeffrey Dahmer, and was depicted as a sex icon due to his visual appearance. Nine Inch Nails received several honors, including Grammy Award nominations for Best Alternative Performance for The Downward Spiral and Best Rock Song for "Hurt". After the release of The Downward Spiral, many bands such as Gravity Kills, Stabbing Westward, Filter, and Mötley Crüe made albums that imitated the sound of Nine Inch Nails. Reznor interpreted The Downward Spiral as an extension of himself that "became the truth fulfilling itself," as he experienced personal and social issues presented in the album after its release. He had already struggled with social anxiety disorder and depression and started his abuse of narcotics including cocaine while he went on an alcohol binge. Around this time, his studio perfectionism, struggles with addiction, and bouts of writer's block prolonged the production of The Fragile, and Reznor completed rehabilitation from drugs in 2001. One year after The Downward Spiral’s release, the band released an accompanying remix album titled Further Down the Spiral. It features contributions from Coil with Danny Hyde, J. G. Thirlwell, electronic musician Aphex Twin, producer Rick Rubin, and Jane's Addiction guitarist Dave Navarro. The album peaked at number 23 on the Billboard 200 and received mixed reviews. Recoiled, a remix EP of "Gave Up", "Closer", "The Downward Spiral", and "Eraser" by Coil, was released on February 24, 2014, via British record label Cold Spring. Retrospective reviews regard The Downward Spiral as one of the most important albums of the 1990s and Reznor's greatest work. The 2004 edition of The New Rolling Stone Album Guide gave the album five out of five stars and called it "a powerful statement, and one of the landmark albums of the Nineties." Writing for Entertainment Weekly, Kyle Anderson remembered watching the music video of "Closer" on MTV as an adolescent and expressed that the album changed his perception of popular music from that of songs heard on the radio to albums with cover art. Stereogum's Tom Breihan remains favorable toward the album since influenced youth culture, with teenagers wearing ripped fish nets on their arms. The album was also included in the book 1001 Albums You Must Hear Before You Die. The Downward Spiral's emphasis on transgressive themes drew criticism from American social conservatives. Senator Bob Dole, then the head of the Republican Party, sharply denounced Time Warner, the former owner of Interscope's former parent company Warner Music Group, after a meeting between Michael J. Fuchs (head of WMG), William Bennett, and C. Delores Tucker. During the meeting, Tucker and Bennett demanded that Fuchs recite lyrics from "Big Man with a Gun". Interscope had previously been blamed for releasing gangsta rap albums by rappers such as Dr. Dre, Tupac Shakur and Snoop Dogg that were deemed objectionable. Reznor called Tucker (who erroneously referred to Nine Inch Nails as a gangsta rap act) "such a fucking idiot", and claimed that the song was actually a satire of the gangsta rap genre as a whole and was originally about madness. Reznor conceded The Downward Spiral could be "harmful, through implying and subliminally suggesting things", whereas hardcore hip hop could be "cartoonish". Robert Bork also repeatedly referenced "Big Man with a Gun" in his book Slouching Toward Gomorrah as evidence of a supposed cultural decline. Another form of the Downward Spiral ... deeper & deeper it goes. to cuddle w. her, to be one w. her, to love; just laying there. I need a gun. This is a weird entry ... I should feel happy, but shit brought me down. Dylan Klebold from one of his journals two years before the shooting. Before the Columbine High School massacre, perpetrator Dylan Klebold referenced lyrics from Nine Inch Nails songs multiple times in his journal. Klebold heavily identified with the protagonist of The Downward Spiral as a symbol of his own depression. On May 4, 1999, a hearing on the marketing and distribution practices of violent content to minors by the television, music, film, and video game industries was conducted before the United States Senate Committee on Commerce, Science and Transportation. The committee heard testimony from cultural observers, professors, and mental health professionals, that included conservative William Bennett and the Archbishop of Denver, Reverend Charles J. Chaput. Participants criticized the album, Nine Inch Nails' label-mate Marilyn Manson, and the 1999 film The Matrix for their alleged contribution to the environment that made incidents like Columbine possible. The committee requested that the Federal Trade Commission and the United States Department of Justice investigate the entertainment industry's marketing practices to minors. In 2009, Apple rejected a proposal for a Nine Inch Nails iPhone software application, citing objectionable content in the title track. Days later, Apple reversed the decision, but refused to explain its reasoning. All tracks are written by Trent Reznor Notes To mark the album's tenth anniversary, The Downward Spiral was re-released on November 23, 2004, in high-resolution SACD and DualDisc formats. Disc one of the album's deluxe edition re-release is nearly identical to the original version; track anomalies such as sounds from previous tracks creeping up on start of tracks are fixed, and it includes a stereo and multi-channel SACD layer. The second bonus disc is a collection of remixes and B-sides and also includes a stereo SACD layer in addition to the Redbook CD layer. The last three tracks on the bonus disc are previously unreleased demo recordings from the original album. All tracks are written by Trent Reznor, except "Dead Souls" by Joy Division and "Memorabilia" by Soft Cell DualDisc (Halo 8 DVD-A) The DualDisc edition of The Downward Spiral contains the same CD content on Side A as the Deluxe Edition, with a DVD-Audio layer on Side B. When played on DVD-Video players a Dolby Digital 5.1 multi-channel or Dolby Digital 2.0 stereo mix of The Downward Spiral can be selected, along with videos of "March of the Pigs", "Hurt" and an uncensored video of "Closer". There is also an interactive discography and an image gallery. High resolution 24-bit/48 kHz 5.1 Surround sound and stereo versions of The Downward Spiral can be played on a DVD-Audio player, allowing the user a similar high fidelity experience as the SACD layer of the Deluxe Edition. The DualDisc release does not contain the additional B-sides and demo tracks. Credits adapted from the liner notes of The Downward Spiral.
[ { "paragraph_id": 0, "text": "The Downward Spiral is the second studio album by American industrial rock band Nine Inch Nails, released on March 8, 1994, by Nothing Records in the United States and Island Records in Europe. It is a concept album detailing the self-destruction of a man from the beginning of his misanthropic \"downward spiral\" to his suicidal breaking point. The album was a commercial success and established Nine Inch Nails as a reputable force in the 1990s music scene, with its sound being widely imitated, and the band receiving media attention and multiple honors.", "title": "" }, { "paragraph_id": 1, "text": "Band frontman Trent Reznor had moved to 10050 Cielo Drive in Benedict Canyon, Los Angeles, the site of the murder of actress Sharon Tate by members of the Manson Family in 1969; it was transformed into a studio for recording the Broken EP (1992) and subsequently The Downward Spiral. The album features elements of industrial rock, techno, metal and ambient soundscapes, in contrast to the band's synth-pop-influenced debut album Pretty Hate Machine (1989). Reznor was strongly influenced by David Bowie's Low and Pink Floyd's The Wall for their themes of introspection and dissociation, and their focus on texture and space.", "title": "" }, { "paragraph_id": 2, "text": "The Downward Spiral has been regarded by music critics and audiences as one of the most important albums of the 1990s, and was praised for its abrasive and eclectic nature and dark themes, although it was sensationalized by social conservatives for some of its lyrics. The album spawned two lead singles, \"March of the Pigs\" and \"Closer\", in addition to the promotional singles \"Piggy\" and \"Hurt\". The lead singles were accompanied by music videos, with the former shot twice and the latter being heavily censored. A remix album titled Further Down the Spiral was released in 1995.", "title": "" }, { "paragraph_id": 3, "text": "Reznor conceived of The Downward Spiral after Nine Inch Nails' run in the lineup of the Lollapalooza festival tour, feeling increasingly alienated and disinterested. The band's concerts were known for their radical onstage dynamic in which members acted aggressively, injured themselves, destroyed instruments and polluted stages. Reznor had begun to feud with TVT Records, resulting in him co-founding Nothing Records with his then-manager John Malm, Jr. as a subsidiary of Interscope. Simultaneously, he began fleshing out the concept for The Downward Spiral, focusing on the life and death of a misanthropic man who rebels against humanity, and kills God before attempting suicide. Reznor frequently struggled with drug addiction and depression, and the themes of the album gradually allegorized his living situation. His peers at some point recommended him the antidepressant Prozac, but he declined to be medicated.", "title": "Writing and recording" }, { "paragraph_id": 4, "text": "Reznor wanted the album's sound to diverge from the abrasion of Broken, emphasizing mood, texture, restraint and subtlety, although he was unsure about its musical direction. He decided to utilize \"full range\" sound, focusing on texture and space, and avoiding conventional usage of guitars or synthesizers with a recognizable sound palette. Subsequently, he mainly worked with a Macintosh computer, using music editor programs on the computer to distort frequencies in guitar and bass parts as a form of sound design, and creating collages of sounds with Pro Tools.", "title": "Writing and recording" }, { "paragraph_id": 5, "text": "Reznor searched for and moved to 10050 Cielo Drive in 1992 for recording Broken and The Downward Spiral, a decision made against his initial choice to record the album in New Orleans. 10050 Cielo Drive is referred to as the \"Tate House\" since Sharon Tate was murdered by members of the Manson Family in 1969; Reznor named the studio \"Le Pig\" after the message that was scrawled on the front door with Tate's blood by her murderers, and stayed there with Malm for 18 months. He called his first night in 10050 Cielo Drive \"terrifying\" because he already knew it and read books related to the incident. Reznor chose the Tate house to calibrate his engineering skills and the band bought a large console and two Studer machines as resources, a move that he believed was cheaper than renting.", "title": "Writing and recording" }, { "paragraph_id": 6, "text": "Reznor collaborated with Jane's Addiction and Porno for Pyros drummer Stephen Perkins, progressive rock guitarist Adrian Belew, and Nine Inch Nails drummer Chris Vrenna. Belew's first visit to the studio involved playing the guitar parts in \"Mr. Self-Destruct\", and he was told to play freely, think on reacting to melodies, concentrate on rhythm, and use noise. This approach improved Reznor's confidence in the instrument: he found it to be more expressive than the keyboard due to the interface. Belew praised Reznor for his \"command of technology,\" and commented that the music of Nine Inch Nails made innovations \"that are in [his] realm.\" Vrenna and Perkins played drum parts recorded live in the studio; the tracks were rendered into looped samples. Reznor took a similar approach to recording guitar parts: he would tape 20- to 25-minute-long sessions of himself playing guitars on a hard disc recorder with the Studio Vision sequencer.", "title": "Writing and recording" }, { "paragraph_id": 7, "text": "Reznor frequently sampled excerpts from his guitar session tracks and processed them to sporadic and expressive points to convey the album's themes, also doing the same with drum parts. Digidesign's TurboSynth and Zoom 9030 effects unit were used extensively to process guitar tracks, often in conjunction with a Marshall JMP-1 preamp; Zoom 9030 was also used to distort vocals. Acoustic drums in various settings, as well as Roland's TR-808 and R-70 drum machines were sampled through multiple Akai S1000s and a Kurzweil K2000. Additionally, Vrenna had compiled various movie samples on Digital Audio Tapes for Reznor to sample, which were gradually identified by fans in the decades following the album's release. Other equipments and software Reznor used for recording the album include Oberheim OB-Mx, Minimoog, Prophet VS keyboard, Eventide H3000 Harmonizer, Pro Tools and various Jackson and Gibson guitars.", "title": "Writing and recording" }, { "paragraph_id": 8, "text": "In December 1993, Reznor was confronted by Patti Tate, who asked if he was exploiting Sharon Tate's death in the house. Reznor responded that he was interested in the house as her death happened there. He later made a statement about this encounter during a 1997 interview with Rolling Stone:", "title": "Writing and recording" }, { "paragraph_id": 9, "text": "While I was working on [The] Downward Spiral, I was living in the house where Sharon Tate was killed. Then one day I met her sister [Patti Tate]. It was a random thing, just a brief encounter. And she said: 'Are you exploiting my sister's death by living in her house?' For the first time, the whole thing kind of slapped me in the face. I said, 'No, it's just sort of my own interest in American folklore. I'm in this place where a weird part of history occurred.' I guess it never really struck me before, but it did then. She lost her sister from a senseless, ignorant situation that I don't want to support. When she was talking to me, I realized for the first time, 'What if it was my sister?' I thought, 'Fuck Charlie Manson.' I went home and cried that night. It made me see there's another side to things, you know?", "title": "Writing and recording" }, { "paragraph_id": 10, "text": "British producer and engineer Flood, known for engineering and producing U2 and Depeche Mode albums, was employed as co-producer on The Downward Spiral; it became his last collaboration with Nine Inch Nails due to creative differences. For instance, a \"very dangerously self-destructive\" yet humorous short song written for the album, \"Just Do It\", was not included in the final version, criticized by Flood who said that Reznor had \"gone too far.\" Reznor completed the last song written for the album, \"Big Man with a Gun\", in late 1993. After the album's recording, Reznor moved out and the house was demolished shortly thereafter. The Downward Spiral entered its mixing and mastering processes, done at the Record Plant and A&M Studios with Alan Moulder, who subsequently took on more extensive production duties for future album releases.", "title": "Writing and recording" }, { "paragraph_id": 11, "text": "Numerous layers of metaphors are present throughout The Downward Spiral, leaving it open to wide interpretation. The album relays nihilism and is defined by a prominent theme of self-abuse and self-control. It is a semi-autobiographical concept album, in which the overarching plot follows the protagonist's descent into madness in his own inner solipsistic world through a metaphorical \"downward spiral\", dealing with religion, dehumanization, violence, disease, society, drugs, sex, and finally, suicide. Reznor described the concept as consisting of \"someone who sheds everything around them to a potential nothingness, but through career, religion, relationship, belief and so on.\" Media journalists like The New York Times writer Jon Pareles noted the album's theme of angst had already been used by grunge bands like Nirvana, and that Nine Inch Nails' depiction was more generalized.", "title": "Music and lyrics" }, { "paragraph_id": 12, "text": "Using elements of genres such as techno, dance, electronic, heavy metal, and hard rock, The Downward Spiral is considered an industrial rock, alternative rock, industrial metal, industrial, and art rock album. Reznor regularly uses noise and distortion in his song arrangements that do not follow verse–chorus form, and incorporates dissonance with chromatic melody or harmony (or both). The treatment of metal guitars in Broken is carried over to The Downward Spiral, which includes innovative techniques such as expanded song structures and unconventional time signatures. The album features a wide range of textures and moods to illustrate the mental progress of the central protagonist. Reznor's singing follows a similar pattern from beginning to end, frequently moving from whispers to screams. These techniques are all used in the song \"Hurt\", which features a highly dissonant tritone played on guitar during the verses, a B5#11, emphasized when Reznor sings the eleventh note on the word \"I\" every time the B/E# dyad is played.", "title": "Music and lyrics" }, { "paragraph_id": 13, "text": "\"Mr. Self Destruct\", a song about a powerful person, follows a build-up sampled from the 1971 film THX 1138 with an \"industrial roar\" and is accompanied by an audio loop of a pinion rotating. \"The Becoming\" expresses the state of being dead and the protagonist's transformation into a non-human organism. \"Closer\" concludes with a chromatic piano motif: The melody is introduced during the second verse of \"Piggy\" on organ, then reappears in power chords at drop D tuning throughout the chorus of \"Heresy\", and recurs for the final time on \"The Downward Spiral\". The album was chiefly inspired by David Bowie's Low, an experimental rock album which Reznor related to on songwriting, mood, and structures, as well as progressive rock group Pink Floyd's The Wall, a concept album featuring themes of abuse, isolation, and mental instability.", "title": "Music and lyrics" }, { "paragraph_id": 14, "text": "Committere, an installation featuring artwork and sketches for The Downward Spiral, \"Closer\" and \"March of the Pigs\" by Russell Mills was displayed at the Glasgow School of Art. Mills explained the ideas and materials that made up the painting (titled \"Wound\") that was used for the album's cover art:", "title": "Packaging" }, { "paragraph_id": 15, "text": "I had been thinking about making works that dealt with layers, physically, materially and conceptually. I wanted to produce works that were about both exposure and revealing and at the same dealt with closure and covering. Given the nature of the lyrics and the power of the music I was working with, I felt justified in attempting to make works that alluded to the apparently contradictory imagery of pain and healing. I wanted to make beautiful surfaces that partially revealed the visceral rawness of open wounds beneath. The mixed media work 'Wound' was the first piece I tackled in this vein (no pun intended) and it became the cover of the album. It is made of plaster, acrylics, oils, rusted metals, insects, moths, blood (mine), wax, varnishes, and surgical bandaging on a wooden panel.", "title": "Packaging" }, { "paragraph_id": 16, "text": "\"March of the Pigs\" and \"Closer\" were released as singles; two other songs, \"Hurt\" and \"Piggy\", were issued to radio without a commercial single release. \"March of the Pigs\" has an unusual meter, alternating three bars of 7/8 time with one of 8/8. The song's music video was directed by Peter Christopherson and was shot twice; the first version scrapped due to Reznor's involvement, and the released second version being a live performance.", "title": "Promotion" }, { "paragraph_id": 17, "text": "\"Closer\" features a heavily modified bass drum sample from the Iggy Pop song \"Nightclubbing\" from his album The Idiot. Lyrically, it is a meditation on self-hatred and obsession, but to Reznor's dismay, the song was widely misinterpreted as a lust anthem due to its chorus, which included the line \"I wanna fuck you like an animal\". The music video for \"Closer\" was directed by Mark Romanek and received frequent rotation on MTV, though the network heavily censored the original version, which they perceived to be too graphic. The video shows events in a laboratory dealing with religion, sexuality, animal cruelty, politics, and terror; controversial imagery included a nude bald woman with a crucifix mask, a monkey tied to a cross, a pig's head spinning on a machine, a diagram of a vulva, Reznor wearing an S&M mask while swinging in shackles, and of him wearing a ball gag. A radio edit that partially censored the song's explicit lyrics also received extensive airtime. The video has since been made part of the permanent collection of the Museum of Modern Art in New York City.", "title": "Promotion" }, { "paragraph_id": 18, "text": "\"Piggy\" uses \"nothing can stop me now\", a line that recurs in \"Ruiner\" and \"Big Man with a Gun\". The frantic drumming on the song's outro is Reznor's only attempt at performing drums on the record, and one of the few \"live\" drum performances on the album. He had stated that the recording was from him testing the microphone setup in studio, but he liked the sound too much not to include it. It was released as a promotional single in December 1994 and reached the Top 20 on the Billboard Modern Rock Tracks chart.", "title": "Promotion" }, { "paragraph_id": 19, "text": "Released in 1995, \"Hurt\" clearly includes references to self-harm and heroin addiction.", "title": "Promotion" }, { "paragraph_id": 20, "text": "The Nine Inch Nails live band embarked on the Self Destruct tour in support of The Downward Spiral. Chris Vrenna and James Woolley performed drums and keyboards respectively, Robin Finck replaced Richard Patrick on guitar and bassist Danny Lohner was added to the line-up. The stage set-up consisted of dirty curtains which would be pulled down and up for visuals shown during songs such as \"Hurt\". The back of the stage was littered with darker and standing lights, along with very few actual ones. The tour debuted the band's grungy and messy image in which they would come out in ragged clothes slathered in corn starch. The concerts were violent and chaotic, with band members often injuring themselves. They would frequently destroy their instruments at the end of concerts, attack each other, and stage-dive into the crowd.", "title": "Promotion" }, { "paragraph_id": 21, "text": "The tour included a set at Woodstock '94 broadcast on pay-per-view and seen in as many as 24 million homes. The band being covered in mud was a result of pre-concert backstage play, contrary to the belief that it was an attention-grabbing ploy, thus making it difficult for Reznor to navigate the stage: Reznor pushed Lohner into the mud pit as the concert began and saw mud from his hair entering his eyes while performing. Nine Inch Nails was widely proclaimed to have \"stolen the show\" from its popular contemporaries, mostly classic rock bands, and its fan base expanded. The band received considerable mainstream success thereafter, performing with significantly higher production values and the addition of various theatrical visual elements. Its performance of \"Happiness in Slavery\" from the Woodstock concert earned the group a Grammy Award for Best Metal Performance in 1995. Entertainment Weekly commented about the band's Woodstock '94 performance: \"Reznor unstrings rock to its horrifying, melodramatic core—an experience as draining as it is exhilarating\". Despite this acclaim, Reznor attributed his dislike of the concert to its technical difficulties.", "title": "Promotion" }, { "paragraph_id": 22, "text": "The main leg of the tour featured Marilyn Manson as the supporting act, who featured bassist Jeordie White (then playing under the pseudonym \"Twiggy Ramirez\"); White later played bass with Nine Inch Nails from 2005 to 2007. After another tour leg supporting the remix album Further Down the Spiral, Nine Inch Nails contributed to the Alternative Nation Festival in Australia and subsequently embarked on the Dissonance Tour, which included 26 separate performances with co-headliner David Bowie on his Outside Tour. Nine Inch Nails was the opening act for the tour, and its set transitioned into Bowie's set with joint performances of both bands' songs. However, the crowds reportedly did not respond positively to the pairing due to their creative differences. Despite this, in a 2012 Rolling Stone readers' poll, the tour (pairing Nine Inch Nails with Bowie) was named one of the top 10 opening acts in rock history.", "title": "Promotion" }, { "paragraph_id": 23, "text": "The tour concluded with \"Nights of Nothing\", a three-night showcase of performances from Nothing Records bands Marilyn Manson, Prick, Meat Beat Manifesto, and Pop Will Eat Itself, which ended with an 80-minute set from Nine Inch Nails. Kerrang! described the Nine Inch Nails set during the Nights of Nothing showcase as \"tight, brash and dramatic\", but was disappointed at the lack of new material. On the second of the three nights, Richard Patrick was briefly reunited with the band and contributed guitar to a performance of \"Head Like a Hole\". After the Self Destruct tour, Chris Vrenna, member of the live band since 1988 and frequent contributor to Nine Inch Nails studio recordings, left the act permanently to pursue a career in producing and to form Tweaker.", "title": "Promotion" }, { "paragraph_id": 24, "text": "The Downward Spiral's release date was delayed at various times to slow down Reznor's intended pace of the album's recording. The first delay caused the process of setting up Le Pig to take longer than he expected, and its release was postponed again as he was educating himself different ways to write songs that did not resemble those on Broken and Pretty Hate Machine. He considered delivering the album to Interscope in early 1993, only to experience a writer's block as he was unable to produce any satisfactory material. Interscope grew impatient and concerned with this progress, but Reznor was not forced by their demands of expediency despite crediting the label for giving him creative freedom. He told rock music producer Rick Rubin that his motivation for creating the album was to get it finished, thus Rubin responded that Reznor might not do so until he makes music that is allowed to be heard. Reznor realized that he was in the most fortunate situation he imagined when the album was recorded with a normal budget, \"cool\" equipment, and a studio to work at.", "title": "Release and reception" }, { "paragraph_id": 25, "text": "Released on March 8, 1994, to instant success, The Downward Spiral debuted at number two on the US Billboard 200, selling nearly 119,000 copies in its first week. On October 28, 1998, the Recording Industry Association of America (RIAA) certified the album quadruple platinum, and by December 2011, it had sold 3.7 million copies in the United States. The album peaked at number nine on the UK Albums Chart, and on July 22, 2013, it was certified gold by the British Phonographic Industry (BPI), denoting shipments in excess of 100,000 copies in the United Kingdom. It reached number 13 on the Canadian RPM albums chart and received a triple platinum certification from the Canadian Recording Industry Association (CRIA) for shipping 200,000 copies in Canada. A group of early listeners of the album viewed it as \"commercial suicide\", but Reznor did not make it for profit as his goal was to slightly broaden Nine Inch Nails' scope. Reznor felt that the finished product he delivered to Interscope was complete and faithful to his vision and thought its commercial potential was limited, but after its release he was surprised by the success and received questions about a follow-up single with a music video to be shown on MTV. The album has since sold over four million copies worldwide.", "title": "Release and reception" }, { "paragraph_id": 26, "text": "Many music critics and audiences praised The Downward Spiral for its abrasive, eclectic nature and dark themes and commented on the concept of a destruction of a man. The New York Times writer Jon Pareles' review of the album found the music to be highly abrasive. Pareles asserted that unlike other electro-industrial groups like Ministry and Nitzer Ebb, \"Reznor writes full-fledged tunes\" with stronger use of melodies than riffs. He noticed criticisms of Nine Inch Nails from industrial purists for popularizing the genre and the album's transgression. Village Voice critic Robert Christgau gave it an \"honorable mention\" in his capsule review column and summed the record up as, \"musically, Hieronymus Bosch as postindustrial atheist; lyrically, Transformers as kiddie porn.\" Jonathan Gold, writing for Rolling Stone, likened the album to cyberpunk fiction. Entertainment Weekly reviewer Tom Sinclair commented: \"Reznor's pet topics (sex, power, S&M, hatred, transcendence) are all here, wrapped in hooks that hit your psyche with the force of a blowtorch.\"", "title": "Release and reception" }, { "paragraph_id": 27, "text": "The Downward Spiral has been listed on several publications' best album lists. In 2003, the album was ranked number 200 on Rolling Stone magazine's list of The 500 Greatest Albums of All Time, then was re-ranked 201 in a 2012 revised list. The Rolling Stone staff wrote: \"Holing up in the one-time home of Manson-family victim Sharon Tate, Trent Reznor made an overpowering meditation on NIN's central theme: control.\" It moved up to 122 on the magazine's revised list in 2020. The album was placed 10th on Spin's 125 Best Albums of the Past 25 Years list; the Spin staff quoted Ann Powers' review that appreciated its bleak, aggressive style. It was ranked number 488 in the book The Top 500 Heavy Metal Albums of All Time by heavy metal music critic Martin Popoff. In 2001, Q named The Downward Spiral as one of the 50 Heaviest Albums of All Time; in 2010, the album was ranked number 102 on their 250 Best Albums of Q's Lifetime (1986–2011) list. The Downward Spiral was featured in Robert Dimery's book 1001 Albums You Must Hear Before You Die. In May 2014, Loudwire placed The Downward Spiral at number two on its \"10 Best Hard Rock Albums of 1994\" list. In July 2014, Guitar World placed The Downward Spiral at number 43 in their \"Superunknown: 50 Iconic Albums That Defined 1994\" list.", "title": "Release and reception" }, { "paragraph_id": 28, "text": "The immediate success of The Downward Spiral established Nine Inch Nails as a reputable force in the 1990s. The band's image and musical style became so recognizable that a Gatorade commercial featured a remix of \"Down in It\" without their involvement. Reznor felt uncomfortable with the media hype and success the band earned, received false reports of his death, depression, and was falsely reported to have had a relationship with serial killer Jeffrey Dahmer, and was depicted as a sex icon due to his visual appearance. Nine Inch Nails received several honors, including Grammy Award nominations for Best Alternative Performance for The Downward Spiral and Best Rock Song for \"Hurt\". After the release of The Downward Spiral, many bands such as Gravity Kills, Stabbing Westward, Filter, and Mötley Crüe made albums that imitated the sound of Nine Inch Nails.", "title": "Legacy" }, { "paragraph_id": 29, "text": "Reznor interpreted The Downward Spiral as an extension of himself that \"became the truth fulfilling itself,\" as he experienced personal and social issues presented in the album after its release. He had already struggled with social anxiety disorder and depression and started his abuse of narcotics including cocaine while he went on an alcohol binge. Around this time, his studio perfectionism, struggles with addiction, and bouts of writer's block prolonged the production of The Fragile, and Reznor completed rehabilitation from drugs in 2001.", "title": "Legacy" }, { "paragraph_id": 30, "text": "One year after The Downward Spiral’s release, the band released an accompanying remix album titled Further Down the Spiral. It features contributions from Coil with Danny Hyde, J. G. Thirlwell, electronic musician Aphex Twin, producer Rick Rubin, and Jane's Addiction guitarist Dave Navarro. The album peaked at number 23 on the Billboard 200 and received mixed reviews. Recoiled, a remix EP of \"Gave Up\", \"Closer\", \"The Downward Spiral\", and \"Eraser\" by Coil, was released on February 24, 2014, via British record label Cold Spring.", "title": "Legacy" }, { "paragraph_id": 31, "text": "Retrospective reviews regard The Downward Spiral as one of the most important albums of the 1990s and Reznor's greatest work. The 2004 edition of The New Rolling Stone Album Guide gave the album five out of five stars and called it \"a powerful statement, and one of the landmark albums of the Nineties.\" Writing for Entertainment Weekly, Kyle Anderson remembered watching the music video of \"Closer\" on MTV as an adolescent and expressed that the album changed his perception of popular music from that of songs heard on the radio to albums with cover art. Stereogum's Tom Breihan remains favorable toward the album since influenced youth culture, with teenagers wearing ripped fish nets on their arms. The album was also included in the book 1001 Albums You Must Hear Before You Die.", "title": "Legacy" }, { "paragraph_id": 32, "text": "The Downward Spiral's emphasis on transgressive themes drew criticism from American social conservatives. Senator Bob Dole, then the head of the Republican Party, sharply denounced Time Warner, the former owner of Interscope's former parent company Warner Music Group, after a meeting between Michael J. Fuchs (head of WMG), William Bennett, and C. Delores Tucker. During the meeting, Tucker and Bennett demanded that Fuchs recite lyrics from \"Big Man with a Gun\". Interscope had previously been blamed for releasing gangsta rap albums by rappers such as Dr. Dre, Tupac Shakur and Snoop Dogg that were deemed objectionable. Reznor called Tucker (who erroneously referred to Nine Inch Nails as a gangsta rap act) \"such a fucking idiot\", and claimed that the song was actually a satire of the gangsta rap genre as a whole and was originally about madness. Reznor conceded The Downward Spiral could be \"harmful, through implying and subliminally suggesting things\", whereas hardcore hip hop could be \"cartoonish\". Robert Bork also repeatedly referenced \"Big Man with a Gun\" in his book Slouching Toward Gomorrah as evidence of a supposed cultural decline.", "title": "Controversies" }, { "paragraph_id": 33, "text": "Another form of the Downward Spiral ... deeper & deeper it goes. to cuddle w. her, to be one w. her, to love; just laying there. I need a gun. This is a weird entry ... I should feel happy, but shit brought me down.", "title": "Controversies" }, { "paragraph_id": 34, "text": "Dylan Klebold from one of his journals two years before the shooting.", "title": "Controversies" }, { "paragraph_id": 35, "text": "Before the Columbine High School massacre, perpetrator Dylan Klebold referenced lyrics from Nine Inch Nails songs multiple times in his journal. Klebold heavily identified with the protagonist of The Downward Spiral as a symbol of his own depression. On May 4, 1999, a hearing on the marketing and distribution practices of violent content to minors by the television, music, film, and video game industries was conducted before the United States Senate Committee on Commerce, Science and Transportation. The committee heard testimony from cultural observers, professors, and mental health professionals, that included conservative William Bennett and the Archbishop of Denver, Reverend Charles J. Chaput. Participants criticized the album, Nine Inch Nails' label-mate Marilyn Manson, and the 1999 film The Matrix for their alleged contribution to the environment that made incidents like Columbine possible. The committee requested that the Federal Trade Commission and the United States Department of Justice investigate the entertainment industry's marketing practices to minors.", "title": "Controversies" }, { "paragraph_id": 36, "text": "In 2009, Apple rejected a proposal for a Nine Inch Nails iPhone software application, citing objectionable content in the title track. Days later, Apple reversed the decision, but refused to explain its reasoning.", "title": "Controversies" }, { "paragraph_id": 37, "text": "All tracks are written by Trent Reznor", "title": "Track listing" }, { "paragraph_id": 38, "text": "Notes", "title": "Track listing" }, { "paragraph_id": 39, "text": "To mark the album's tenth anniversary, The Downward Spiral was re-released on November 23, 2004, in high-resolution SACD and DualDisc formats. Disc one of the album's deluxe edition re-release is nearly identical to the original version; track anomalies such as sounds from previous tracks creeping up on start of tracks are fixed, and it includes a stereo and multi-channel SACD layer. The second bonus disc is a collection of remixes and B-sides and also includes a stereo SACD layer in addition to the Redbook CD layer. The last three tracks on the bonus disc are previously unreleased demo recordings from the original album.", "title": "Track listing" }, { "paragraph_id": 40, "text": "All tracks are written by Trent Reznor, except \"Dead Souls\" by Joy Division and \"Memorabilia\" by Soft Cell", "title": "Track listing" }, { "paragraph_id": 41, "text": "DualDisc (Halo 8 DVD-A)", "title": "Track listing" }, { "paragraph_id": 42, "text": "The DualDisc edition of The Downward Spiral contains the same CD content on Side A as the Deluxe Edition, with a DVD-Audio layer on Side B. When played on DVD-Video players a Dolby Digital 5.1 multi-channel or Dolby Digital 2.0 stereo mix of The Downward Spiral can be selected, along with videos of \"March of the Pigs\", \"Hurt\" and an uncensored video of \"Closer\". There is also an interactive discography and an image gallery. High resolution 24-bit/48 kHz 5.1 Surround sound and stereo versions of The Downward Spiral can be played on a DVD-Audio player, allowing the user a similar high fidelity experience as the SACD layer of the Deluxe Edition. The DualDisc release does not contain the additional B-sides and demo tracks.", "title": "Track listing" }, { "paragraph_id": 43, "text": "Credits adapted from the liner notes of The Downward Spiral.", "title": "Personnel" } ]
The Downward Spiral is the second studio album by American industrial rock band Nine Inch Nails, released on March 8, 1994, by Nothing Records in the United States and Island Records in Europe. It is a concept album detailing the self-destruction of a man from the beginning of his misanthropic "downward spiral" to his suicidal breaking point. The album was a commercial success and established Nine Inch Nails as a reputable force in the 1990s music scene, with its sound being widely imitated, and the band receiving media attention and multiple honors. Band frontman Trent Reznor had moved to 10050 Cielo Drive in Benedict Canyon, Los Angeles, the site of the murder of actress Sharon Tate by members of the Manson Family in 1969; it was transformed into a studio for recording the Broken EP (1992) and subsequently The Downward Spiral. The album features elements of industrial rock, techno, metal and ambient soundscapes, in contrast to the band's synth-pop-influenced debut album Pretty Hate Machine (1989). Reznor was strongly influenced by David Bowie's Low and Pink Floyd's The Wall for their themes of introspection and dissociation, and their focus on texture and space. The Downward Spiral has been regarded by music critics and audiences as one of the most important albums of the 1990s, and was praised for its abrasive and eclectic nature and dark themes, although it was sensationalized by social conservatives for some of its lyrics. The album spawned two lead singles, "March of the Pigs" and "Closer", in addition to the promotional singles "Piggy" and "Hurt". The lead singles were accompanied by music videos, with the former shot twice and the latter being heavily censored. A remix album titled Further Down the Spiral was released in 1995.
2001-06-14T15:18:22Z
2023-12-26T15:37:09Z
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https://en.wikipedia.org/wiki/The_Downward_Spiral
9,447
Egyptian Lover
Gregory James Broussard (born August 31, 1963), better known by his stage name Egyptian Lover, is an American musician, vocalist, producer and DJ, and was a part of the L.A. dance music, electro, and rap scene in the early 1980s. The Egyptian Lover was born in Los Angeles, California, and started out there as a DJ with Uncle Jamm's Army, DJing dances as large as the L.A. Sports Arena with 10,000 people. He began recording around Los Angeles in 1982 as a member of the Radio Crew, as well as Uncle Jamm's Army. Members of Uncle Jamm's Army and the World Class Wreckin' Cru, including Dr. Dre, The Unknown DJ, Egyptian Lover, Ice-T and Kid Frost would later go on to help define the early West Coast Hip-Hop sound throughout the 1980s. Most of the Egyptian Lover's successful recordings were 12" singles. "Egypt, Egypt" was one of the most popular, which was called part of the "b-boy canon." He eventually released some of the earliest rap LPs, but they were less popular commercially than his singles. On the strength of an alternate mix of his most popular single "Egypt, Egypt", 1984's On the Nile was moderately successful, reaching the Billboard Top 200. It was called "one of the first hip-hop records to come out of the left coast". He also collaborated with several other hip-hop and dance music artists. After a break in the early 1990s, Egyptian Lover returned in 1994 with Back from the Tomb, his first full-length album in over ten years. The Egyptian Lover also established his own record company, Egyptian Empire Records, which included artists such as Rodney O & Joe Cooley, 2 O'Clock & Te & Joezee. His 2015 release, 1984, continues his tradition of using all analog equipment, including the Roland TR-808, along with much of the same gear used on his recordings of the 1980s. The name "1984" refers to his earlier albums. The album was recorded at Skip Saylor, Encore Studios, and at RUSK Studios, the same studio where On The Nile was recorded in 1984. It is widely available on double gatefold LP, CD and cassette tape. The Egyptian Lover began touring again in 2004 throughout Europe, Asia, and North America. His performances often begin with mixing records on turntables before segueing into his original compositions. In 2008, he supported M.I.A. in her People vs. Money Tour.
[ { "paragraph_id": 0, "text": "Gregory James Broussard (born August 31, 1963), better known by his stage name Egyptian Lover, is an American musician, vocalist, producer and DJ, and was a part of the L.A. dance music, electro, and rap scene in the early 1980s.", "title": "" }, { "paragraph_id": 1, "text": "The Egyptian Lover was born in Los Angeles, California, and started out there as a DJ with Uncle Jamm's Army, DJing dances as large as the L.A. Sports Arena with 10,000 people. He began recording around Los Angeles in 1982 as a member of the Radio Crew, as well as Uncle Jamm's Army. Members of Uncle Jamm's Army and the World Class Wreckin' Cru, including Dr. Dre, The Unknown DJ, Egyptian Lover, Ice-T and Kid Frost would later go on to help define the early West Coast Hip-Hop sound throughout the 1980s.", "title": "History" }, { "paragraph_id": 2, "text": "Most of the Egyptian Lover's successful recordings were 12\" singles. \"Egypt, Egypt\" was one of the most popular, which was called part of the \"b-boy canon.\" He eventually released some of the earliest rap LPs, but they were less popular commercially than his singles. On the strength of an alternate mix of his most popular single \"Egypt, Egypt\", 1984's On the Nile was moderately successful, reaching the Billboard Top 200. It was called \"one of the first hip-hop records to come out of the left coast\". He also collaborated with several other hip-hop and dance music artists. After a break in the early 1990s, Egyptian Lover returned in 1994 with Back from the Tomb, his first full-length album in over ten years.", "title": "History" }, { "paragraph_id": 3, "text": "The Egyptian Lover also established his own record company, Egyptian Empire Records, which included artists such as Rodney O & Joe Cooley, 2 O'Clock & Te & Joezee.", "title": "History" }, { "paragraph_id": 4, "text": "His 2015 release, 1984, continues his tradition of using all analog equipment, including the Roland TR-808, along with much of the same gear used on his recordings of the 1980s. The name \"1984\" refers to his earlier albums. The album was recorded at Skip Saylor, Encore Studios, and at RUSK Studios, the same studio where On The Nile was recorded in 1984. It is widely available on double gatefold LP, CD and cassette tape.", "title": "History" }, { "paragraph_id": 5, "text": "The Egyptian Lover began touring again in 2004 throughout Europe, Asia, and North America. His performances often begin with mixing records on turntables before segueing into his original compositions.", "title": "History" }, { "paragraph_id": 6, "text": "In 2008, he supported M.I.A. in her People vs. Money Tour.", "title": "History" } ]
Gregory James Broussard, better known by his stage name Egyptian Lover, is an American musician, vocalist, producer and DJ, and was a part of the L.A. dance music, electro, and rap scene in the early 1980s.
2002-02-10T16:06:36Z
2023-09-08T14:53:44Z
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https://en.wikipedia.org/wiki/Egyptian_Lover
9,450
Electrical telegraph
Electrical telegraphs were point-to-point text messaging systems, primarily used from the 1840s until the late 20th century. It was the first electrical telecommunications system and the most widely used of a number of early messaging systems called telegraphs, that were devised to communicate text messages quicker than physical transportation. Electrical telegraphy can be considered to be the first example of electrical engineering. Text telegraphy consisted of two or more geographically separated stations, called telegraph offices. The offices were connected by wires, usually supported overhead on utility poles. Many different electrical telegraph systems were invented, but the ones that became widespread fit into two broad categories. The first category consists of needle telegraphs in which a needle pointer is made to move electromagnetically with an electric current sent down the telegraph line. Early systems used multiple needles requiring multiple wires. The first commercial system, and the most widely used needle telegraph, was the Cooke and Wheatstone telegraph, invented in 1837. The second category consists of armature systems in which the current activates a telegraph sounder which makes a click. The archetype of this category was the Morse system, invented by Samuel Morse in 1838. In 1865, the Morse system became the standard for international communication using a modified code developed for German railways. Electrical telegraphs were used by the emerging railway companies to develop train control systems, minimizing the chances of trains colliding with each other. This was built around the signalling block system with signal boxes along the line communicating with their neighbouring boxes by telegraphic sounding of single-stroke bells and three-position needle telegraph instruments. In the 1840s, the electrical telegraph superseded optical telegraph systems, becoming the standard way to send urgent messages. By the latter half of the century, most developed nations had created commercial telegraph networks with local telegraph offices in most cities and towns, allowing the public to send messages called telegrams addressed to any person in the country, for a fee. Beginning in 1850, submarine telegraph cables allowed for the first rapid communication between continents. Electrical telegraph networks permitted people and commerce to transmit messages across both continents and oceans almost instantly, with widespread social and economic impacts. c. 1894, the electric telegraph led to Guglielmo Marconi's invention of wireless telegraphy, the first means of radiowave telecommunication. In the early 20th century, manual telegraphy was slowly replaced by teleprinter networks. Increasing use of the telephone pushed telegraphy into a few specialist uses. Use by the general public was mainly special occasion telegram greetings. The rise of the Internet and usage of email in the 1990s largely put an end to dedicated telegraphy networks. Prior to the electric telegraph, visual systems were used, including beacons, smoke signals, flag semaphore, and optical telegraphs for visual signals to communicate over distances of land. An auditory predecessor was West African talking drums. In the 19th century, Yoruba drummers used talking drums to mimic human tonal language to communicate complex messages - usually regarding news of birth, ceremonies, and military conflict - over 4-5 mile distances. From early studies of electricity, electrical phenomena were known to travel with great speed, and many experimenters worked on the application of electricity to communications at a distance. All the known effects of electricity—such as sparks, electrostatic attraction, chemical changes, electric shocks, and later electromagnetism—were applied to the problems of detecting controlled transmissions of electricity at various distances. In 1753, an anonymous writer in the Scots Magazine suggested an electrostatic telegraph. Using one wire for each letter of the alphabet, a message could be transmitted by connecting the wire terminals in turn to an electrostatic machine, and observing the deflection of pith balls at the far end. The writer has never been positively identified, but the letter was signed C.M. and posted from Renfrew leading to a Charles Marshall of Renfrew being suggested. Telegraphs employing electrostatic attraction were the basis of early experiments in electrical telegraphy in Europe, but were abandoned as being impractical and were never developed into a useful communication system. In 1774, Georges-Louis Le Sage realised an early electric telegraph. The telegraph had a separate wire for each of the 26 letters of the alphabet and its range was only between two rooms of his home. In 1800, Alessandro Volta invented the voltaic pile, providing a continuous current of electricity for experimentation. This became a source of a low-voltage current that could be used to produce more distinct effects, and which was far less limited than the momentary discharge of an electrostatic machine, which with Leyden jars were the only previously known man-made sources of electricity. Another very early experiment in electrical telegraphy was an "electrochemical telegraph" created by the German physician, anatomist and inventor Samuel Thomas von Sömmering in 1809, based on an earlier 1804 design by Spanish polymath and scientist Francisco Salva Campillo. Both their designs employed multiple wires (up to 35) to represent almost all Latin letters and numerals. Thus, messages could be conveyed electrically up to a few kilometers (in von Sömmering's design), with each of the telegraph receiver's wires immersed in a separate glass tube of acid. An electric current was sequentially applied by the sender through the various wires representing each letter of a message; at the recipient's end, the currents electrolysed the acid in the tubes in sequence, releasing streams of hydrogen bubbles next to each associated letter or numeral. The telegraph receiver's operator would watch the bubbles and could then record the transmitted message. This is in contrast to later telegraphs that used a single wire (with ground return). Hans Christian Ørsted discovered in 1820 that an electric current produces a magnetic field that will deflect a compass needle. In the same year Johann Schweigger invented the galvanometer, with a coil of wire around a compass, that could be used as a sensitive indicator for an electric current. Also that year, André-Marie Ampère suggested that telegraphy could be achieved by placing small magnets under the ends of a set of wires, one pair of wires for each letter of the alphabet. He was apparently unaware of Schweigger's invention at the time, which would have made his system much more sensitive. In 1825, Peter Barlow tried Ampère's idea but only got it to work over 200 feet (61 m) and declared it impractical. In 1830 William Ritchie improved on Ampère's design by placing the magnetic needles inside a coil of wire connected to each pair of conductors. He successfully demonstrated it, showing the feasibility of the electromagnetic telegraph, but only within a lecture hall. In 1825, William Sturgeon invented the electromagnet, with a single winding of uninsulated wire on a piece of varnished iron, which increased the magnetic force produced by electric current. Joseph Henry improved it in 1828 by placing several windings of insulated wire around the bar, creating a much more powerful electromagnet which could operate a telegraph through the high resistance of long telegraph wires. During his tenure at The Albany Academy from 1826 to 1832, Henry first demonstrated the theory of the 'magnetic telegraph' by ringing a bell through one-mile (1.6 km) of wire strung around the room in 1831. In 1835, Joseph Henry and Edward Davy independently invented the mercury dipping electrical relay, in which a magnetic needle is dipped into a pot of mercury when an electric current passes through the surrounding coil. In 1837, Davy invented the much more practical metallic make-and-break relay which became the relay of choice in telegraph systems and a key component for periodically renewing weak signals. Davy demonstrated his telegraph system in Regent's Park in 1837 and was granted a patent on 4 July 1838. Davy also invented a printing telegraph which used the electric current from the telegraph signal to mark a ribbon of calico infused with potassium iodide and calcium hypochlorite. The first working telegraph was built by the English inventor Francis Ronalds in 1816 and used static electricity. At the family home on Hammersmith Mall, he set up a complete subterranean system in a 175-yard (160 m) long trench as well as an eight-mile (13 km) long overhead telegraph. The lines were connected at both ends to revolving dials marked with the letters of the alphabet and electrical impulses sent along the wire were used to transmit messages. Offering his invention to the Admiralty in July 1816, it was rejected as "wholly unnecessary". His account of the scheme and the possibilities of rapid global communication in Descriptions of an Electrical Telegraph and of some other Electrical Apparatus was the first published work on electric telegraphy and even described the risk of signal retardation due to induction. Elements of Ronalds' design were utilised in the subsequent commercialisation of the telegraph over 20 years later. The Schilling telegraph, invented by Baron Schilling von Canstatt in 1832, was an early needle telegraph. It had a transmitting device that consisted of a keyboard with 16 black-and-white keys. These served for switching the electric current. The receiving instrument consisted of six galvanometers with magnetic needles, suspended from silk threads. The two stations of Schilling's telegraph were connected by eight wires; six were connected with the galvanometers, one served for the return current and one for a signal bell. When at the starting station the operator pressed a key, the corresponding pointer was deflected at the receiving station. Different positions of black and white flags on different disks gave combinations which corresponded to the letters or numbers. Pavel Schilling subsequently improved its apparatus by reducing the number of connecting wires from eight to two. On 21 October 1832, Schilling managed a short-distance transmission of signals between two telegraphs in different rooms of his apartment. In 1836, the British government attempted to buy the design but Schilling instead accepted overtures from Nicholas I of Russia. Schilling's telegraph was tested on a 5-kilometre-long (3.1 mi) experimental underground and underwater cable, laid around the building of the main Admiralty in Saint Petersburg and was approved for a telegraph between the imperial palace at Peterhof and the naval base at Kronstadt. However, the project was cancelled following Schilling's death in 1837. Schilling was also one of the first to put into practice the idea of the binary system of signal transmission. His work was taken over and developed by Moritz von Jacobi who invented telegraph equipment that was used by Tsar Alexander III to connect the Imperial palace at Tsarskoye Selo and Kronstadt Naval Base. In 1833, Carl Friedrich Gauss, together with the physics professor Wilhelm Weber in Göttingen, installed a 1,200-metre-long (3,900 ft) wire above the town's roofs. Gauss combined the Poggendorff-Schweigger multiplicator with his magnetometer to build a more sensitive device, the galvanometer. To change the direction of the electric current, he constructed a commutator of his own. As a result, he was able to make the distant needle move in the direction set by the commutator on the other end of the line. At first, Gauss and Weber used the telegraph to coordinate time, but soon they developed other signals and finally, their own alphabet. The alphabet was encoded in a binary code that was transmitted by positive or negative voltage pulses which were generated by means of moving an induction coil up and down over a permanent magnet and connecting the coil with the transmission wires by means of the commutator. The page of Gauss' laboratory notebook containing both his code and the first message transmitted, as well as a replica of the telegraph made in the 1850s under the instructions of Weber are kept in the faculty of physics at the University of Göttingen, in Germany. Gauss was convinced that this communication would be of help to his kingdom's towns. Later in the same year, instead of a voltaic pile, Gauss used an induction pulse, enabling him to transmit seven letters a minute instead of two. The inventors and university did not have the funds to develop the telegraph on their own, but they received funding from Alexander von Humboldt. Carl August Steinheil in Munich was able to build a telegraph network within the city in 1835–1836. In 1838, Steinheil installed a telegraph along the Nuremberg–Fürth railway line, built in 1835 as the first German railroad, which was the first earth-return telegraph put into service. By 1837, William Fothergill Cooke and Charles Wheatstone had co-developed a telegraph system which used a number of needles on a board that could be moved to point to letters of the alphabet. Any number of needles could be used, depending on the number of characters it was required to code. In May 1837 they patented their system. The patent recommended five needles, which coded twenty of the alphabet's 26 letters. Samuel Morse independently developed and patented a recording electric telegraph in 1837. Morse's assistant Alfred Vail developed an instrument that was called the register for recording the received messages. It embossed dots and dashes on a moving paper tape by a stylus which was operated by an electromagnet. Morse and Vail developed the Morse code signalling alphabet. The first telegram in the United States was sent by Morse on 11 January 1838, across two miles (3 km) of wire at Speedwell Ironworks near Morristown, New Jersey, although it was only later, in 1844, that he sent the message "WHAT HATH GOD WROUGHT" over the 44 miles (71 km) from the Capitol in Washington to the old Mt. Clare Depot in Baltimore. The first commercial electrical telegraph was the Cooke and Wheatstone system. A demonstration four-needle system was installed on the Euston to Camden Town section of Robert Stephenson's London and Birmingham Railway in 1837 for signalling rope-hauling of locomotives. It was rejected in favour of pneumatic whistles. Cooke and Wheatstone had their first commercial success with a system installed on the Great Western Railway over the 13 miles (21 km) from Paddington station to West Drayton in 1838. This was a five-needle, six-wire system. A major advantage of this system was it displayed the letter being sent so operators did not need to learn a code. This system suffered from failing insulation on the underground cables. When the line was extended to Slough in 1843, the telegraph was converted to a one-needle, two-wire system with uninsulated wires on poles. The cost of installing wires was ultimately more economically significant than the cost of training operators. The one-needle telegraph proved highly successful on British railways, and 15,000 sets were still in use at the end of the nineteenth century. Some remained in service in the 1930s. The Electric Telegraph Company, the world's first public telegraphy company was formed in 1845 by financier John Lewis Ricardo and Cooke. Wheatstone developed a practical alphabetical system in 1840 called the A.B.C. System, used mostly on private wires. This consisted of a "communicator" at the sending end and an "indicator" at the receiving end. The communicator consisted of a circular dial with a pointer and the 26 letters of the alphabet (and four punctuation marks) around its circumference. Against each letter was a key that could be pressed. A transmission would begin with the pointers on the dials at both ends set to the start position. The transmitting operator would then press down the key corresponding to the letter to be transmitted. In the base of the communicator was a magneto actuated by a handle on the front. This would be turned to apply an alternating voltage to the line. Each half cycle of the current would advance the pointers at both ends by one position. When the pointer reached the position of the depressed key, it would stop and the magneto would be disconnected from the line. The communicator's pointer was geared to the magneto mechanism. The indicator's pointer was moved by a polarised electromagnet whose armature was coupled to it through an escapement. Thus the alternating line voltage moved the indicator's pointer on to the position of the depressed key on the communicator. Pressing another key would then release the pointer and the previous key, and re-connect the magneto to the line. These machines were very robust and simple to operate, and they stayed in use in Britain until well into the 20th century. The Morse system uses a single wire between offices. At the sending station, an operator taps on a switch called a telegraph key, spelling out text messages in Morse code. Originally, the armature was intended to make marks on paper tape, but operators learned to interpret the clicks and it was more efficient to write down the message directly. In 1851, a conference in Vienna of countries in the German-Austrian Telegraph Union (which included many central European countries) adopted the Morse telegraph as the system for international communications. The international Morse code adopted was considerably modified from the original American Morse code, and was based on a code used on Hamburg railways (Gerke, 1848). A common code was a necessary step to allow direct telegraph connection between countries. With different codes, additional operators were required to translate and retransmit the message. In 1865, a conference in Paris adopted Gerke's code as the International Morse code and was henceforth the international standard. The US, however, continued to use American Morse code internally for some time, hence international messages required retransmission in both directions. In the United States, the Morse/Vail telegraph was quickly deployed in the two decades following the first demonstration in 1844. The overland telegraph connected the west coast of the continent to the east coast by 24 October 1861, bringing an end to the Pony Express. France was slow to adopt the electrical telegraph, because of the extensive optical telegraph system built during the Napoleonic era. There was also serious concern that an electrical telegraph could be quickly put out of action by enemy saboteurs, something that was much more difficult to do with optical telegraphs which had no exposed hardware between stations. The Foy-Breguet telegraph was eventually adopted. This was a two-needle system using two signal wires but displayed in a uniquely different way to other needle telegraphs. The needles made symbols similar to the Chappe optical system symbols, making it more familiar to the telegraph operators. The optical system was decommissioned starting in 1846, but not completely until 1855. In that year the Foy-Breguet system was replaced with the Morse system. As well as the rapid expansion of the use of the telegraphs along the railways, they soon spread into the field of mass communication with the instruments being installed in post offices. The era of mass personal communication had begun. Telegraph networks were expensive to build, but financing was readily available, especially from London bankers. By 1852, National systems were in operation in major countries: The New York and Mississippi Valley Printing Telegraph Company, for example, was created in 1852 in Rochester, New York and eventually became the Western Union Telegraph Company. Although many countries had telegraph networks, there was no worldwide interconnection. Message by post was still the primary means of communication to countries outside Europe. Telegraphy was introduced in Central Asia during the 1870s. A continuing goal in telegraphy was to reduce the cost per message by reducing hand-work, or increasing the sending rate. There were many experiments with moving pointers, and various electrical encodings. However, most systems were too complicated and unreliable. A successful expedient to reduce the cost per message was the development of telegraphese. The first system that did not require skilled technicians to operate was Charles Wheatstone's ABC system in 1840 in which the letters of the alphabet were arranged around a clock-face, and the signal caused a needle to indicate the letter. This early system required the receiver to be present in real time to record the message and it reached speeds of up to 15 words a minute. In 1846, Alexander Bain patented a chemical telegraph in Edinburgh. The signal current moved an iron pen across a moving paper tape soaked in a mixture of ammonium nitrate and potassium ferrocyanide, decomposing the chemical and producing readable blue marks in Morse code. The speed of the printing telegraph was 16 and a half words per minute, but messages still required translation into English by live copyists. Chemical telegraphy came to an end in the US in 1851, when the Morse group defeated the Bain patent in the US District Court. For a brief period, starting with the New York–Boston line in 1848, some telegraph networks began to employ sound operators, who were trained to understand Morse code aurally. Gradually, the use of sound operators eliminated the need for telegraph receivers to include register and tape. Instead, the receiving instrument was developed into a "sounder", an electromagnet that was energized by a current and attracted a small iron lever. When the sounding key was opened or closed, the sounder lever struck an anvil. The Morse operator distinguished a dot and a dash by the short or long interval between the two clicks. The message was then written out in long-hand. Royal Earl House developed and patented a letter-printing telegraph system in 1846 which employed an alphabetic keyboard for the transmitter and automatically printed the letters on paper at the receiver, and followed this up with a steam-powered version in 1852. Advocates of printing telegraphy said it would eliminate Morse operators' errors. The House machine was used on four main American telegraph lines by 1852. The speed of the House machine was announced as 2600 words an hour. David Edward Hughes invented the printing telegraph in 1855; it used a keyboard of 26 keys for the alphabet and a spinning type wheel that determined the letter being transmitted by the length of time that had elapsed since the previous transmission. The system allowed for automatic recording on the receiving end. The system was very stable and accurate and became accepted around the world. The next improvement was the Baudot code of 1874. French engineer Émile Baudot patented a printing telegraph in which the signals were translated automatically into typographic characters. Each character was assigned a five-bit code, mechanically interpreted from the state of five on/off switches. Operators had to maintain a steady rhythm, and the usual speed of operation was 30 words per minute. By this point, reception had been automated, but the speed and accuracy of the transmission were still limited to the skill of the human operator. The first practical automated system was patented by Charles Wheatstone. The message (in Morse code) was typed onto a piece of perforated tape using a keyboard-like device called the 'Stick Punch'. The transmitter automatically ran the tape through and transmitted the message at the then exceptionally high speed of 70 words per minute. An early successful teleprinter was invented by Frederick G. Creed. In Glasgow he created his first keyboard perforator, which used compressed air to punch the holes. He also created a reperforator (receiving perforator) and a printer. The reperforator punched incoming Morse signals onto paper tape and the printer decoded this tape to produce alphanumeric characters on plain paper. This was the origin of the Creed High Speed Automatic Printing System, which could run at an unprecedented 200 words per minute. His system was adopted by the Daily Mail for daily transmission of the newspaper contents. With the invention of the teletypewriter, telegraphic encoding became fully automated. Early teletypewriters used the ITA-1 Baudot code, a five-bit code. This yielded only thirty-two codes, so it was over-defined into two "shifts", "letters" and "figures". An explicit, unshared shift code prefaced each set of letters and figures. In 1901, Baudot's code was modified by Donald Murray. In the 1930s, teleprinters were produced by Teletype in the US, Creed in Britain and Siemens in Germany. By 1935, message routing was the last great barrier to full automation. Large telegraphy providers began to develop systems that used telephone-like rotary dialling to connect teletypewriters. These resulting systems were called "Telex" (TELegraph EXchange). Telex machines first performed rotary-telephone-style pulse dialling for circuit switching, and then sent data by ITA2. This "type A" Telex routing functionally automated message routing. The first wide-coverage Telex network was implemented in Germany during the 1930s as a network used to communicate within the government. At the rate of 45.45 (±0.5%) baud – considered speedy at the time – up to 25 telex channels could share a single long-distance telephone channel by using voice frequency telegraphy multiplexing, making telex the least expensive method of reliable long-distance communication. Automatic teleprinter exchange service was introduced into Canada by CPR Telegraphs and CN Telegraph in July 1957 and in 1958, Western Union started to build a Telex network in the United States. The most expensive aspect of a telegraph system was the installation – the laying of the wire, which was often very long. The costs would be better covered by finding a way to send more than one message at a time through the single wire, thus increasing revenue per wire. Early devices included the duplex and the quadruplex which allowed, respectively, one or two telegraph transmissions in each direction. However, an even greater number of channels was desired on the busiest lines. In the latter half of the 1800s, several inventors worked towards creating a method for doing just that, including Charles Bourseul, Thomas Edison, Elisha Gray, and Alexander Graham Bell. One approach was to have resonators of several different frequencies act as carriers of a modulated on-off signal. This was the harmonic telegraph, a form of frequency-division multiplexing. These various frequencies, referred to as harmonics, could then be combined into one complex signal and sent down the single wire. On the receiving end, the frequencies would be separated with a matching set of resonators. With a set of frequencies being carried down a single wire, it was realized that the human voice itself could be transmitted electrically through the wire. This effort led to the invention of the telephone. (While the work toward packing multiple telegraph signals onto one wire led to telephony, later advances would pack multiple voice signals onto one wire by increasing the bandwidth by modulating frequencies much higher than human hearing. Eventually, the bandwidth was widened much further by using laser light signals sent through fiber optic cables. Fiber optic transmission can carry 25,000 telephone signals simultaneously down a single fiber.) Soon after the first successful telegraph systems were operational, the possibility of transmitting messages across the sea by way of submarine communications cables was first proposed. One of the primary technical challenges was to sufficiently insulate the submarine cable to prevent the electric current from leaking out into the water. In 1842, a Scottish surgeon William Montgomerie introduced gutta-percha, the adhesive juice of the Palaquium gutta tree, to Europe. Michael Faraday and Wheatstone soon discovered the merits of gutta-percha as an insulator, and in 1845, the latter suggested that it should be employed to cover the wire which was proposed to be laid from Dover to Calais. Gutta-percha was used as insulation on a wire laid across the Rhine between Deutz and Cologne. In 1849, C. V. Walker, electrician to the South Eastern Railway, submerged a 2 miles (3.2 km) wire coated with gutta-percha off the coast from Folkestone, which was tested successfully. John Watkins Brett, an engineer from Bristol, sought and obtained permission from Louis-Philippe in 1847 to establish telegraphic communication between France and England. The first undersea cable was laid in 1850, connecting the two countries and was followed by connections to Ireland and the Low Countries. The Atlantic Telegraph Company was formed in London in 1856 to undertake to construct a commercial telegraph cable across the Atlantic Ocean. It was successfully completed on 18 July 1866 by the ship SS Great Eastern, captained by Sir James Anderson, after many mishaps along the away. John Pender, one of the men on the Great Eastern, later founded several telecommunications companies primarily laying cables between Britain and Southeast Asia. Earlier transatlantic submarine cables installations were attempted in 1857, 1858 and 1865. The 1857 cable only operated intermittently for a few days or weeks before it failed. The study of underwater telegraph cables accelerated interest in mathematical analysis of very long transmission lines. The telegraph lines from Britain to India were connected in 1870. (Those several companies combined to form the Eastern Telegraph Company in 1872.) The HMS Challenger expedition in 1873–1876 mapped the ocean floor for future underwater telegraph cables. Australia was first linked to the rest of the world in October 1872 by a submarine telegraph cable at Darwin. This brought news reports from the rest of the world. The telegraph across the Pacific was completed in 1902, finally encircling the world. From the 1850s until well into the 20th century, British submarine cable systems dominated the world system. This was set out as a formal strategic goal, which became known as the All Red Line. In 1896, there were thirty cable laying ships in the world and twenty-four of them were owned by British companies. In 1892, British companies owned and operated two-thirds of the world's cables and by 1923, their share was still 42.7 percent. Cable & Wireless was a British telecommunications company that traced its origins back to the 1860s, with Sir John Pender as the founder, although the name was only adopted in 1934. It was formed from successive mergers including: Main article § Section: History of longitude § Land surveying and telegraphy. The telegraph was very important for sending time signals to determine longitude, providing greater accuracy than previously available. Longitude was measured by comparing local time (for example local noon occurs when the sun is at its highest above the horizon) with absolute time (a time that is the same for an observer anywhere on earth). If the local times of two places differ by one hour, the difference in longitude between them is 15° (360°/24h). Before telegraphy, absolute time could be obtained from astronomical events, such as eclipses, occultations or lunar distances, or by transporting an accurate clock (a chronometer) from one location to the other. The idea of using the telegraph to transmit a time signal for longitude determination was suggested by François Arago to Samuel Morse in 1837, and the first test of this idea was made by Capt. Wilkes of the U.S. Navy in 1844, over Morse's line between Washington and Baltimore. The method was soon in practical use for longitude determination, in particular by the U.S. Coast Survey, and over longer and longer distances as the telegraph network spread across North America and the world, and as technical developments improved accuracy and productivity The "telegraphic longitude net" soon became worldwide. Transatlantic links between Europe and North America were established in 1866 and 1870. The US Navy extended observations into the West Indies and Central and South America with an additional transatlantic link from South America to Lisbon between 1874 and 1890. British, Russian and US observations created a chain from Europe through Suez, Aden, Madras, Singapore, China and Japan, to Vladivostok, thence to Saint Petersburg and back to Western Europe. Australia was linked to Singapore via Java in 1871 and the web circled the globe in 1902 with the connection of Australia and New Zealand to Canada via the All Red Line. The double determination of longitudes from east to west and from west to east agreed within one second of arc (1⁄15 second of time – less than 30 metres). The ability to send telegrams brought obvious advantages to those conducting war. Secret messages were encoded, so interception alone would not be sufficient for the opposing side to gain an advantage. There were also geographical constraints on intercepting the telegraph cables that improved security, however once radio telegraphy was developed interception became far more widespread. The Crimean War was one of the first conflicts to use telegraphs and was one of the first to be documented extensively. In 1854, the government in London created a military Telegraph Detachment for the Army commanded by an officer of the Royal Engineers. It was to comprise twenty-five men from the Royal Corps of Sappers & Miners trained by the Electric Telegraph Company to construct and work the first field electric telegraph. Journalistic recording of the war was provided by William Howard Russell (writing for The Times newspaper) with photographs by Roger Fenton. News from war correspondents kept the public of the nations involved in the war informed of the day-to-day events in a way that had not been possible in any previous war. After the French extended the telegraph to the coast of the Black Sea in late 1854, the news reached London in two days. When the British laid an underwater cable to the Crimean peninsula in April 1855, news reached London in a few hours. The daily news reports energised public opinion, which brought down the government and led to Lord Palmerston becoming prime minister. During the American Civil War the telegraph proved its value as a tactical, operational, and strategic communication medium and an important contributor to Union victory. By contrast the Confederacy failed to make effective use of the South's much smaller telegraph network. Prior to the War the telegraph systems were primarily used in the commercial sector. Government buildings were not inter-connected with telegraph lines, but relied on runners to carry messages back and forth. Before the war the Government saw no need to connect lines within city limits, however, they did see the use in connections between cities. Washington D.C. being the hub of government, it had the most connections, but there were only a few lines running north and south out of the city. It was not until the Civil War that the government saw the true potential of the telegraph system. Soon after the shelling of Fort Sumter, the South cut telegraph lines running into D.C., which put the city in a state of panic because they feared an immediate Southern invasion. Within 6 months of the start of the war, the U.S. Military Telegraph Corps (USMT) had laid approximately 300 miles (480 km) of line. By war's end they had laid approximately 15,000 miles (24,000 km) of line, 8,000 for military and 5,000 for commercial use, and had handled approximately 6.5 million messages. The telegraph was not only important for communication within the armed forces, but also in the civilian sector, helping political leaders to maintain control over their districts. Even before the war, the American Telegraph Company censored suspect messages informally to block aid to the secession movement. During the war, Secretary of War Simon Cameron, and later Edwin Stanton, wanted control over the telegraph lines to maintain the flow of information. Early in the war, one of Stanton's first acts as Secretary of War was to move telegraph lines from ending at McClellan's headquarters to terminating at the War Department. Stanton himself said "[telegraphy] is my right arm". Telegraphy assisted Northern victories, including the Battle of Antietam (1862), the Battle of Chickamauga (1863), and Sherman's March to the Sea (1864). The telegraph system still had its flaws. The USMT, while the main source of telegraphers and cable, was still a civilian agency. Most operators were first hired by the telegraph companies and then contracted out to the War Department. This created tension between generals and their operators. One source of irritation was that USMT operators did not have to follow military authority. Usually they performed without hesitation, but they were not required to, so Albert Myer created a U.S. Army Signal Corps in February 1863. As the new head of the Signal Corps, Myer tried to get all telegraph and flag signaling under his command, and therefore subject to military discipline. After creating the Signal Corps, Myer pushed to further develop new telegraph systems. While the USMT relied primarily on civilian lines and operators, the Signal Corp's new field telegraph could be deployed and dismantled faster than USMT's system. During World War I, Britain's telegraph communications were almost completely uninterrupted, while it was able to quickly cut Germany's cables worldwide. The British government censored telegraph cable companies in an effort to root out espionage and restrict financial transactions with Central Powers nations. British access to transatlantic cables and its codebreaking expertise led to the Zimmermann Telegram incident that contributed to the US joining the war. Despite British acquisition of German colonies and expansion into the Middle East, debt from the war led to Britain's control over telegraph cables to weaken while US control grew. World War II revived the 'cable war' of 1914–1918. In 1939, German-owned cables across the Atlantic were cut once again, and, in 1940, Italian cables to South America and Spain were cut in retaliation for Italian action against two of the five British cables linking Gibraltar and Malta. Electra House, Cable & Wireless's head office and central cable station, was damaged by German bombing in 1941. Resistance movements in occupied Europe sabotaged communications facilities such as telegraph lines, forcing the Germans to use wireless telegraphy, which could then be intercepted by Britain. The Germans developed a highly complex teleprinter attachment (German: Schlüssel-Zusatz, "cipher attachment") that was used for enciphering telegrams, using the Lorenz cipher, between German High Command (OKW) and the army groups in the field. These contained situation reports, battle plans, and discussions of strategy and tactics. Britain intercepted these signals, diagnosed how the encrypting machine worked, and decrypted a large amount of teleprinter traffic. In America, the end of the telegraph era can be associated with the fall of the Western Union Telegraph Company. Western Union was the leading telegraph provider for America and was seen as the best competition for the National Bell Telephone Company. Western Union and Bell were both invested in telegraphy and telephone technology. Western Union's decision to allow Bell to gain the advantage in telephone technology was the result of Western Union's upper management's failure to foresee the surpassing of the telephone over the, at the time, dominant telegraph system. Western Union soon lost the legal battle for the rights to their telephone copyrights. This led to Western Union agreeing to a lesser position in the telephone competition, which in turn led to the lessening of the telegraph. While the telegraph was not the focus of the legal battles that occurred around 1878, the companies that were affected by the effects of the battle were the main powers of telegraphy at the time. Western Union thought that the agreement of 1878 would solidify telegraphy as the long-range communication of choice. However, due to the underestimates of telegraph's future and poor contracts, Western Union found itself declining. AT&T acquired working control of Western Union in 1909 but relinquished it in 1914 under threat of antitrust action. AT&T bought Western Union's electronic mail and Telex businesses in 1990. Although commercial "telegraph" services are still available in many countries, transmission is usually done via a computer network rather than a dedicated wired connection.
[ { "paragraph_id": 0, "text": "Electrical telegraphs were point-to-point text messaging systems, primarily used from the 1840s until the late 20th century. It was the first electrical telecommunications system and the most widely used of a number of early messaging systems called telegraphs, that were devised to communicate text messages quicker than physical transportation. Electrical telegraphy can be considered to be the first example of electrical engineering.", "title": "" }, { "paragraph_id": 1, "text": "Text telegraphy consisted of two or more geographically separated stations, called telegraph offices. The offices were connected by wires, usually supported overhead on utility poles. Many different electrical telegraph systems were invented, but the ones that became widespread fit into two broad categories. The first category consists of needle telegraphs in which a needle pointer is made to move electromagnetically with an electric current sent down the telegraph line. Early systems used multiple needles requiring multiple wires. The first commercial system, and the most widely used needle telegraph, was the Cooke and Wheatstone telegraph, invented in 1837. The second category consists of armature systems in which the current activates a telegraph sounder which makes a click. The archetype of this category was the Morse system, invented by Samuel Morse in 1838. In 1865, the Morse system became the standard for international communication using a modified code developed for German railways.", "title": "" }, { "paragraph_id": 2, "text": "Electrical telegraphs were used by the emerging railway companies to develop train control systems, minimizing the chances of trains colliding with each other. This was built around the signalling block system with signal boxes along the line communicating with their neighbouring boxes by telegraphic sounding of single-stroke bells and three-position needle telegraph instruments.", "title": "" }, { "paragraph_id": 3, "text": "In the 1840s, the electrical telegraph superseded optical telegraph systems, becoming the standard way to send urgent messages. By the latter half of the century, most developed nations had created commercial telegraph networks with local telegraph offices in most cities and towns, allowing the public to send messages called telegrams addressed to any person in the country, for a fee.", "title": "" }, { "paragraph_id": 4, "text": "Beginning in 1850, submarine telegraph cables allowed for the first rapid communication between continents. Electrical telegraph networks permitted people and commerce to transmit messages across both continents and oceans almost instantly, with widespread social and economic impacts. c. 1894, the electric telegraph led to Guglielmo Marconi's invention of wireless telegraphy, the first means of radiowave telecommunication.", "title": "" }, { "paragraph_id": 5, "text": "In the early 20th century, manual telegraphy was slowly replaced by teleprinter networks. Increasing use of the telephone pushed telegraphy into a few specialist uses. Use by the general public was mainly special occasion telegram greetings. The rise of the Internet and usage of email in the 1990s largely put an end to dedicated telegraphy networks.", "title": "" }, { "paragraph_id": 6, "text": "Prior to the electric telegraph, visual systems were used, including beacons, smoke signals, flag semaphore, and optical telegraphs for visual signals to communicate over distances of land.", "title": "History" }, { "paragraph_id": 7, "text": "An auditory predecessor was West African talking drums. In the 19th century, Yoruba drummers used talking drums to mimic human tonal language to communicate complex messages - usually regarding news of birth, ceremonies, and military conflict - over 4-5 mile distances.", "title": "History" }, { "paragraph_id": 8, "text": "From early studies of electricity, electrical phenomena were known to travel with great speed, and many experimenters worked on the application of electricity to communications at a distance. All the known effects of electricity—such as sparks, electrostatic attraction, chemical changes, electric shocks, and later electromagnetism—were applied to the problems of detecting controlled transmissions of electricity at various distances.", "title": "History" }, { "paragraph_id": 9, "text": "In 1753, an anonymous writer in the Scots Magazine suggested an electrostatic telegraph. Using one wire for each letter of the alphabet, a message could be transmitted by connecting the wire terminals in turn to an electrostatic machine, and observing the deflection of pith balls at the far end. The writer has never been positively identified, but the letter was signed C.M. and posted from Renfrew leading to a Charles Marshall of Renfrew being suggested. Telegraphs employing electrostatic attraction were the basis of early experiments in electrical telegraphy in Europe, but were abandoned as being impractical and were never developed into a useful communication system.", "title": "History" }, { "paragraph_id": 10, "text": "In 1774, Georges-Louis Le Sage realised an early electric telegraph. The telegraph had a separate wire for each of the 26 letters of the alphabet and its range was only between two rooms of his home.", "title": "History" }, { "paragraph_id": 11, "text": "In 1800, Alessandro Volta invented the voltaic pile, providing a continuous current of electricity for experimentation. This became a source of a low-voltage current that could be used to produce more distinct effects, and which was far less limited than the momentary discharge of an electrostatic machine, which with Leyden jars were the only previously known man-made sources of electricity.", "title": "History" }, { "paragraph_id": 12, "text": "Another very early experiment in electrical telegraphy was an \"electrochemical telegraph\" created by the German physician, anatomist and inventor Samuel Thomas von Sömmering in 1809, based on an earlier 1804 design by Spanish polymath and scientist Francisco Salva Campillo. Both their designs employed multiple wires (up to 35) to represent almost all Latin letters and numerals. Thus, messages could be conveyed electrically up to a few kilometers (in von Sömmering's design), with each of the telegraph receiver's wires immersed in a separate glass tube of acid. An electric current was sequentially applied by the sender through the various wires representing each letter of a message; at the recipient's end, the currents electrolysed the acid in the tubes in sequence, releasing streams of hydrogen bubbles next to each associated letter or numeral. The telegraph receiver's operator would watch the bubbles and could then record the transmitted message. This is in contrast to later telegraphs that used a single wire (with ground return).", "title": "History" }, { "paragraph_id": 13, "text": "Hans Christian Ørsted discovered in 1820 that an electric current produces a magnetic field that will deflect a compass needle. In the same year Johann Schweigger invented the galvanometer, with a coil of wire around a compass, that could be used as a sensitive indicator for an electric current. Also that year, André-Marie Ampère suggested that telegraphy could be achieved by placing small magnets under the ends of a set of wires, one pair of wires for each letter of the alphabet. He was apparently unaware of Schweigger's invention at the time, which would have made his system much more sensitive. In 1825, Peter Barlow tried Ampère's idea but only got it to work over 200 feet (61 m) and declared it impractical. In 1830 William Ritchie improved on Ampère's design by placing the magnetic needles inside a coil of wire connected to each pair of conductors. He successfully demonstrated it, showing the feasibility of the electromagnetic telegraph, but only within a lecture hall.", "title": "History" }, { "paragraph_id": 14, "text": "In 1825, William Sturgeon invented the electromagnet, with a single winding of uninsulated wire on a piece of varnished iron, which increased the magnetic force produced by electric current. Joseph Henry improved it in 1828 by placing several windings of insulated wire around the bar, creating a much more powerful electromagnet which could operate a telegraph through the high resistance of long telegraph wires. During his tenure at The Albany Academy from 1826 to 1832, Henry first demonstrated the theory of the 'magnetic telegraph' by ringing a bell through one-mile (1.6 km) of wire strung around the room in 1831.", "title": "History" }, { "paragraph_id": 15, "text": "In 1835, Joseph Henry and Edward Davy independently invented the mercury dipping electrical relay, in which a magnetic needle is dipped into a pot of mercury when an electric current passes through the surrounding coil. In 1837, Davy invented the much more practical metallic make-and-break relay which became the relay of choice in telegraph systems and a key component for periodically renewing weak signals. Davy demonstrated his telegraph system in Regent's Park in 1837 and was granted a patent on 4 July 1838. Davy also invented a printing telegraph which used the electric current from the telegraph signal to mark a ribbon of calico infused with potassium iodide and calcium hypochlorite.", "title": "History" }, { "paragraph_id": 16, "text": "The first working telegraph was built by the English inventor Francis Ronalds in 1816 and used static electricity. At the family home on Hammersmith Mall, he set up a complete subterranean system in a 175-yard (160 m) long trench as well as an eight-mile (13 km) long overhead telegraph. The lines were connected at both ends to revolving dials marked with the letters of the alphabet and electrical impulses sent along the wire were used to transmit messages. Offering his invention to the Admiralty in July 1816, it was rejected as \"wholly unnecessary\". His account of the scheme and the possibilities of rapid global communication in Descriptions of an Electrical Telegraph and of some other Electrical Apparatus was the first published work on electric telegraphy and even described the risk of signal retardation due to induction. Elements of Ronalds' design were utilised in the subsequent commercialisation of the telegraph over 20 years later.", "title": "History" }, { "paragraph_id": 17, "text": "The Schilling telegraph, invented by Baron Schilling von Canstatt in 1832, was an early needle telegraph. It had a transmitting device that consisted of a keyboard with 16 black-and-white keys. These served for switching the electric current. The receiving instrument consisted of six galvanometers with magnetic needles, suspended from silk threads. The two stations of Schilling's telegraph were connected by eight wires; six were connected with the galvanometers, one served for the return current and one for a signal bell. When at the starting station the operator pressed a key, the corresponding pointer was deflected at the receiving station. Different positions of black and white flags on different disks gave combinations which corresponded to the letters or numbers. Pavel Schilling subsequently improved its apparatus by reducing the number of connecting wires from eight to two.", "title": "History" }, { "paragraph_id": 18, "text": "On 21 October 1832, Schilling managed a short-distance transmission of signals between two telegraphs in different rooms of his apartment. In 1836, the British government attempted to buy the design but Schilling instead accepted overtures from Nicholas I of Russia. Schilling's telegraph was tested on a 5-kilometre-long (3.1 mi) experimental underground and underwater cable, laid around the building of the main Admiralty in Saint Petersburg and was approved for a telegraph between the imperial palace at Peterhof and the naval base at Kronstadt. However, the project was cancelled following Schilling's death in 1837. Schilling was also one of the first to put into practice the idea of the binary system of signal transmission. His work was taken over and developed by Moritz von Jacobi who invented telegraph equipment that was used by Tsar Alexander III to connect the Imperial palace at Tsarskoye Selo and Kronstadt Naval Base.", "title": "History" }, { "paragraph_id": 19, "text": "In 1833, Carl Friedrich Gauss, together with the physics professor Wilhelm Weber in Göttingen, installed a 1,200-metre-long (3,900 ft) wire above the town's roofs. Gauss combined the Poggendorff-Schweigger multiplicator with his magnetometer to build a more sensitive device, the galvanometer. To change the direction of the electric current, he constructed a commutator of his own. As a result, he was able to make the distant needle move in the direction set by the commutator on the other end of the line.", "title": "History" }, { "paragraph_id": 20, "text": "At first, Gauss and Weber used the telegraph to coordinate time, but soon they developed other signals and finally, their own alphabet. The alphabet was encoded in a binary code that was transmitted by positive or negative voltage pulses which were generated by means of moving an induction coil up and down over a permanent magnet and connecting the coil with the transmission wires by means of the commutator. The page of Gauss' laboratory notebook containing both his code and the first message transmitted, as well as a replica of the telegraph made in the 1850s under the instructions of Weber are kept in the faculty of physics at the University of Göttingen, in Germany.", "title": "History" }, { "paragraph_id": 21, "text": "Gauss was convinced that this communication would be of help to his kingdom's towns. Later in the same year, instead of a voltaic pile, Gauss used an induction pulse, enabling him to transmit seven letters a minute instead of two. The inventors and university did not have the funds to develop the telegraph on their own, but they received funding from Alexander von Humboldt. Carl August Steinheil in Munich was able to build a telegraph network within the city in 1835–1836. In 1838, Steinheil installed a telegraph along the Nuremberg–Fürth railway line, built in 1835 as the first German railroad, which was the first earth-return telegraph put into service.", "title": "History" }, { "paragraph_id": 22, "text": "By 1837, William Fothergill Cooke and Charles Wheatstone had co-developed a telegraph system which used a number of needles on a board that could be moved to point to letters of the alphabet. Any number of needles could be used, depending on the number of characters it was required to code. In May 1837 they patented their system. The patent recommended five needles, which coded twenty of the alphabet's 26 letters.", "title": "History" }, { "paragraph_id": 23, "text": "Samuel Morse independently developed and patented a recording electric telegraph in 1837. Morse's assistant Alfred Vail developed an instrument that was called the register for recording the received messages. It embossed dots and dashes on a moving paper tape by a stylus which was operated by an electromagnet. Morse and Vail developed the Morse code signalling alphabet. The first telegram in the United States was sent by Morse on 11 January 1838, across two miles (3 km) of wire at Speedwell Ironworks near Morristown, New Jersey, although it was only later, in 1844, that he sent the message \"WHAT HATH GOD WROUGHT\" over the 44 miles (71 km) from the Capitol in Washington to the old Mt. Clare Depot in Baltimore.", "title": "History" }, { "paragraph_id": 24, "text": "The first commercial electrical telegraph was the Cooke and Wheatstone system. A demonstration four-needle system was installed on the Euston to Camden Town section of Robert Stephenson's London and Birmingham Railway in 1837 for signalling rope-hauling of locomotives. It was rejected in favour of pneumatic whistles. Cooke and Wheatstone had their first commercial success with a system installed on the Great Western Railway over the 13 miles (21 km) from Paddington station to West Drayton in 1838. This was a five-needle, six-wire system. A major advantage of this system was it displayed the letter being sent so operators did not need to learn a code. This system suffered from failing insulation on the underground cables. When the line was extended to Slough in 1843, the telegraph was converted to a one-needle, two-wire system with uninsulated wires on poles. The cost of installing wires was ultimately more economically significant than the cost of training operators. The one-needle telegraph proved highly successful on British railways, and 15,000 sets were still in use at the end of the nineteenth century. Some remained in service in the 1930s. The Electric Telegraph Company, the world's first public telegraphy company was formed in 1845 by financier John Lewis Ricardo and Cooke.", "title": "Commercial telegraphy" }, { "paragraph_id": 25, "text": "Wheatstone developed a practical alphabetical system in 1840 called the A.B.C. System, used mostly on private wires. This consisted of a \"communicator\" at the sending end and an \"indicator\" at the receiving end. The communicator consisted of a circular dial with a pointer and the 26 letters of the alphabet (and four punctuation marks) around its circumference. Against each letter was a key that could be pressed. A transmission would begin with the pointers on the dials at both ends set to the start position. The transmitting operator would then press down the key corresponding to the letter to be transmitted. In the base of the communicator was a magneto actuated by a handle on the front. This would be turned to apply an alternating voltage to the line. Each half cycle of the current would advance the pointers at both ends by one position. When the pointer reached the position of the depressed key, it would stop and the magneto would be disconnected from the line. The communicator's pointer was geared to the magneto mechanism. The indicator's pointer was moved by a polarised electromagnet whose armature was coupled to it through an escapement. Thus the alternating line voltage moved the indicator's pointer on to the position of the depressed key on the communicator. Pressing another key would then release the pointer and the previous key, and re-connect the magneto to the line. These machines were very robust and simple to operate, and they stayed in use in Britain until well into the 20th century.", "title": "Commercial telegraphy" }, { "paragraph_id": 26, "text": "The Morse system uses a single wire between offices. At the sending station, an operator taps on a switch called a telegraph key, spelling out text messages in Morse code. Originally, the armature was intended to make marks on paper tape, but operators learned to interpret the clicks and it was more efficient to write down the message directly.", "title": "Commercial telegraphy" }, { "paragraph_id": 27, "text": "In 1851, a conference in Vienna of countries in the German-Austrian Telegraph Union (which included many central European countries) adopted the Morse telegraph as the system for international communications. The international Morse code adopted was considerably modified from the original American Morse code, and was based on a code used on Hamburg railways (Gerke, 1848). A common code was a necessary step to allow direct telegraph connection between countries. With different codes, additional operators were required to translate and retransmit the message. In 1865, a conference in Paris adopted Gerke's code as the International Morse code and was henceforth the international standard. The US, however, continued to use American Morse code internally for some time, hence international messages required retransmission in both directions.", "title": "Commercial telegraphy" }, { "paragraph_id": 28, "text": "In the United States, the Morse/Vail telegraph was quickly deployed in the two decades following the first demonstration in 1844. The overland telegraph connected the west coast of the continent to the east coast by 24 October 1861, bringing an end to the Pony Express.", "title": "Commercial telegraphy" }, { "paragraph_id": 29, "text": "France was slow to adopt the electrical telegraph, because of the extensive optical telegraph system built during the Napoleonic era. There was also serious concern that an electrical telegraph could be quickly put out of action by enemy saboteurs, something that was much more difficult to do with optical telegraphs which had no exposed hardware between stations. The Foy-Breguet telegraph was eventually adopted. This was a two-needle system using two signal wires but displayed in a uniquely different way to other needle telegraphs. The needles made symbols similar to the Chappe optical system symbols, making it more familiar to the telegraph operators. The optical system was decommissioned starting in 1846, but not completely until 1855. In that year the Foy-Breguet system was replaced with the Morse system.", "title": "Commercial telegraphy" }, { "paragraph_id": 30, "text": "As well as the rapid expansion of the use of the telegraphs along the railways, they soon spread into the field of mass communication with the instruments being installed in post offices. The era of mass personal communication had begun. Telegraph networks were expensive to build, but financing was readily available, especially from London bankers. By 1852, National systems were in operation in major countries:", "title": "Commercial telegraphy" }, { "paragraph_id": 31, "text": "The New York and Mississippi Valley Printing Telegraph Company, for example, was created in 1852 in Rochester, New York and eventually became the Western Union Telegraph Company. Although many countries had telegraph networks, there was no worldwide interconnection. Message by post was still the primary means of communication to countries outside Europe.", "title": "Commercial telegraphy" }, { "paragraph_id": 32, "text": "Telegraphy was introduced in Central Asia during the 1870s.", "title": "Commercial telegraphy" }, { "paragraph_id": 33, "text": "A continuing goal in telegraphy was to reduce the cost per message by reducing hand-work, or increasing the sending rate. There were many experiments with moving pointers, and various electrical encodings. However, most systems were too complicated and unreliable. A successful expedient to reduce the cost per message was the development of telegraphese.", "title": "Commercial telegraphy" }, { "paragraph_id": 34, "text": "The first system that did not require skilled technicians to operate was Charles Wheatstone's ABC system in 1840 in which the letters of the alphabet were arranged around a clock-face, and the signal caused a needle to indicate the letter. This early system required the receiver to be present in real time to record the message and it reached speeds of up to 15 words a minute.", "title": "Commercial telegraphy" }, { "paragraph_id": 35, "text": "In 1846, Alexander Bain patented a chemical telegraph in Edinburgh. The signal current moved an iron pen across a moving paper tape soaked in a mixture of ammonium nitrate and potassium ferrocyanide, decomposing the chemical and producing readable blue marks in Morse code. The speed of the printing telegraph was 16 and a half words per minute, but messages still required translation into English by live copyists. Chemical telegraphy came to an end in the US in 1851, when the Morse group defeated the Bain patent in the US District Court.", "title": "Commercial telegraphy" }, { "paragraph_id": 36, "text": "For a brief period, starting with the New York–Boston line in 1848, some telegraph networks began to employ sound operators, who were trained to understand Morse code aurally. Gradually, the use of sound operators eliminated the need for telegraph receivers to include register and tape. Instead, the receiving instrument was developed into a \"sounder\", an electromagnet that was energized by a current and attracted a small iron lever. When the sounding key was opened or closed, the sounder lever struck an anvil. The Morse operator distinguished a dot and a dash by the short or long interval between the two clicks. The message was then written out in long-hand.", "title": "Commercial telegraphy" }, { "paragraph_id": 37, "text": "Royal Earl House developed and patented a letter-printing telegraph system in 1846 which employed an alphabetic keyboard for the transmitter and automatically printed the letters on paper at the receiver, and followed this up with a steam-powered version in 1852. Advocates of printing telegraphy said it would eliminate Morse operators' errors. The House machine was used on four main American telegraph lines by 1852. The speed of the House machine was announced as 2600 words an hour.", "title": "Commercial telegraphy" }, { "paragraph_id": 38, "text": "David Edward Hughes invented the printing telegraph in 1855; it used a keyboard of 26 keys for the alphabet and a spinning type wheel that determined the letter being transmitted by the length of time that had elapsed since the previous transmission. The system allowed for automatic recording on the receiving end. The system was very stable and accurate and became accepted around the world.", "title": "Commercial telegraphy" }, { "paragraph_id": 39, "text": "The next improvement was the Baudot code of 1874. French engineer Émile Baudot patented a printing telegraph in which the signals were translated automatically into typographic characters. Each character was assigned a five-bit code, mechanically interpreted from the state of five on/off switches. Operators had to maintain a steady rhythm, and the usual speed of operation was 30 words per minute.", "title": "Commercial telegraphy" }, { "paragraph_id": 40, "text": "By this point, reception had been automated, but the speed and accuracy of the transmission were still limited to the skill of the human operator. The first practical automated system was patented by Charles Wheatstone. The message (in Morse code) was typed onto a piece of perforated tape using a keyboard-like device called the 'Stick Punch'. The transmitter automatically ran the tape through and transmitted the message at the then exceptionally high speed of 70 words per minute.", "title": "Commercial telegraphy" }, { "paragraph_id": 41, "text": "An early successful teleprinter was invented by Frederick G. Creed. In Glasgow he created his first keyboard perforator, which used compressed air to punch the holes. He also created a reperforator (receiving perforator) and a printer. The reperforator punched incoming Morse signals onto paper tape and the printer decoded this tape to produce alphanumeric characters on plain paper. This was the origin of the Creed High Speed Automatic Printing System, which could run at an unprecedented 200 words per minute. His system was adopted by the Daily Mail for daily transmission of the newspaper contents.", "title": "Commercial telegraphy" }, { "paragraph_id": 42, "text": "With the invention of the teletypewriter, telegraphic encoding became fully automated. Early teletypewriters used the ITA-1 Baudot code, a five-bit code. This yielded only thirty-two codes, so it was over-defined into two \"shifts\", \"letters\" and \"figures\". An explicit, unshared shift code prefaced each set of letters and figures. In 1901, Baudot's code was modified by Donald Murray.", "title": "Commercial telegraphy" }, { "paragraph_id": 43, "text": "In the 1930s, teleprinters were produced by Teletype in the US, Creed in Britain and Siemens in Germany.", "title": "Commercial telegraphy" }, { "paragraph_id": 44, "text": "By 1935, message routing was the last great barrier to full automation. Large telegraphy providers began to develop systems that used telephone-like rotary dialling to connect teletypewriters. These resulting systems were called \"Telex\" (TELegraph EXchange). Telex machines first performed rotary-telephone-style pulse dialling for circuit switching, and then sent data by ITA2. This \"type A\" Telex routing functionally automated message routing.", "title": "Commercial telegraphy" }, { "paragraph_id": 45, "text": "The first wide-coverage Telex network was implemented in Germany during the 1930s as a network used to communicate within the government.", "title": "Commercial telegraphy" }, { "paragraph_id": 46, "text": "At the rate of 45.45 (±0.5%) baud – considered speedy at the time – up to 25 telex channels could share a single long-distance telephone channel by using voice frequency telegraphy multiplexing, making telex the least expensive method of reliable long-distance communication.", "title": "Commercial telegraphy" }, { "paragraph_id": 47, "text": "Automatic teleprinter exchange service was introduced into Canada by CPR Telegraphs and CN Telegraph in July 1957 and in 1958, Western Union started to build a Telex network in the United States.", "title": "Commercial telegraphy" }, { "paragraph_id": 48, "text": "The most expensive aspect of a telegraph system was the installation – the laying of the wire, which was often very long. The costs would be better covered by finding a way to send more than one message at a time through the single wire, thus increasing revenue per wire. Early devices included the duplex and the quadruplex which allowed, respectively, one or two telegraph transmissions in each direction. However, an even greater number of channels was desired on the busiest lines. In the latter half of the 1800s, several inventors worked towards creating a method for doing just that, including Charles Bourseul, Thomas Edison, Elisha Gray, and Alexander Graham Bell.", "title": "Commercial telegraphy" }, { "paragraph_id": 49, "text": "One approach was to have resonators of several different frequencies act as carriers of a modulated on-off signal. This was the harmonic telegraph, a form of frequency-division multiplexing. These various frequencies, referred to as harmonics, could then be combined into one complex signal and sent down the single wire. On the receiving end, the frequencies would be separated with a matching set of resonators.", "title": "Commercial telegraphy" }, { "paragraph_id": 50, "text": "With a set of frequencies being carried down a single wire, it was realized that the human voice itself could be transmitted electrically through the wire. This effort led to the invention of the telephone. (While the work toward packing multiple telegraph signals onto one wire led to telephony, later advances would pack multiple voice signals onto one wire by increasing the bandwidth by modulating frequencies much higher than human hearing. Eventually, the bandwidth was widened much further by using laser light signals sent through fiber optic cables. Fiber optic transmission can carry 25,000 telephone signals simultaneously down a single fiber.)", "title": "Commercial telegraphy" }, { "paragraph_id": 51, "text": "Soon after the first successful telegraph systems were operational, the possibility of transmitting messages across the sea by way of submarine communications cables was first proposed. One of the primary technical challenges was to sufficiently insulate the submarine cable to prevent the electric current from leaking out into the water. In 1842, a Scottish surgeon William Montgomerie introduced gutta-percha, the adhesive juice of the Palaquium gutta tree, to Europe. Michael Faraday and Wheatstone soon discovered the merits of gutta-percha as an insulator, and in 1845, the latter suggested that it should be employed to cover the wire which was proposed to be laid from Dover to Calais. Gutta-percha was used as insulation on a wire laid across the Rhine between Deutz and Cologne. In 1849, C. V. Walker, electrician to the South Eastern Railway, submerged a 2 miles (3.2 km) wire coated with gutta-percha off the coast from Folkestone, which was tested successfully.", "title": "Commercial telegraphy" }, { "paragraph_id": 52, "text": "John Watkins Brett, an engineer from Bristol, sought and obtained permission from Louis-Philippe in 1847 to establish telegraphic communication between France and England. The first undersea cable was laid in 1850, connecting the two countries and was followed by connections to Ireland and the Low Countries.", "title": "Commercial telegraphy" }, { "paragraph_id": 53, "text": "The Atlantic Telegraph Company was formed in London in 1856 to undertake to construct a commercial telegraph cable across the Atlantic Ocean. It was successfully completed on 18 July 1866 by the ship SS Great Eastern, captained by Sir James Anderson, after many mishaps along the away. John Pender, one of the men on the Great Eastern, later founded several telecommunications companies primarily laying cables between Britain and Southeast Asia. Earlier transatlantic submarine cables installations were attempted in 1857, 1858 and 1865. The 1857 cable only operated intermittently for a few days or weeks before it failed. The study of underwater telegraph cables accelerated interest in mathematical analysis of very long transmission lines. The telegraph lines from Britain to India were connected in 1870. (Those several companies combined to form the Eastern Telegraph Company in 1872.) The HMS Challenger expedition in 1873–1876 mapped the ocean floor for future underwater telegraph cables.", "title": "Commercial telegraphy" }, { "paragraph_id": 54, "text": "Australia was first linked to the rest of the world in October 1872 by a submarine telegraph cable at Darwin. This brought news reports from the rest of the world. The telegraph across the Pacific was completed in 1902, finally encircling the world.", "title": "Commercial telegraphy" }, { "paragraph_id": 55, "text": "From the 1850s until well into the 20th century, British submarine cable systems dominated the world system. This was set out as a formal strategic goal, which became known as the All Red Line. In 1896, there were thirty cable laying ships in the world and twenty-four of them were owned by British companies. In 1892, British companies owned and operated two-thirds of the world's cables and by 1923, their share was still 42.7 percent.", "title": "Commercial telegraphy" }, { "paragraph_id": 56, "text": "Cable & Wireless was a British telecommunications company that traced its origins back to the 1860s, with Sir John Pender as the founder, although the name was only adopted in 1934. It was formed from successive mergers including:", "title": "Commercial telegraphy" }, { "paragraph_id": 57, "text": "Main article § Section: History of longitude § Land surveying and telegraphy.", "title": "Telegraphy and longitude" }, { "paragraph_id": 58, "text": "The telegraph was very important for sending time signals to determine longitude, providing greater accuracy than previously available. Longitude was measured by comparing local time (for example local noon occurs when the sun is at its highest above the horizon) with absolute time (a time that is the same for an observer anywhere on earth). If the local times of two places differ by one hour, the difference in longitude between them is 15° (360°/24h). Before telegraphy, absolute time could be obtained from astronomical events, such as eclipses, occultations or lunar distances, or by transporting an accurate clock (a chronometer) from one location to the other.", "title": "Telegraphy and longitude" }, { "paragraph_id": 59, "text": "The idea of using the telegraph to transmit a time signal for longitude determination was suggested by François Arago to Samuel Morse in 1837, and the first test of this idea was made by Capt. Wilkes of the U.S. Navy in 1844, over Morse's line between Washington and Baltimore. The method was soon in practical use for longitude determination, in particular by the U.S. Coast Survey, and over longer and longer distances as the telegraph network spread across North America and the world, and as technical developments improved accuracy and productivity", "title": "Telegraphy and longitude" }, { "paragraph_id": 60, "text": "The \"telegraphic longitude net\" soon became worldwide. Transatlantic links between Europe and North America were established in 1866 and 1870. The US Navy extended observations into the West Indies and Central and South America with an additional transatlantic link from South America to Lisbon between 1874 and 1890. British, Russian and US observations created a chain from Europe through Suez, Aden, Madras, Singapore, China and Japan, to Vladivostok, thence to Saint Petersburg and back to Western Europe.", "title": "Telegraphy and longitude" }, { "paragraph_id": 61, "text": "Australia was linked to Singapore via Java in 1871 and the web circled the globe in 1902 with the connection of Australia and New Zealand to Canada via the All Red Line. The double determination of longitudes from east to west and from west to east agreed within one second of arc (1⁄15 second of time – less than 30 metres).", "title": "Telegraphy and longitude" }, { "paragraph_id": 62, "text": "The ability to send telegrams brought obvious advantages to those conducting war. Secret messages were encoded, so interception alone would not be sufficient for the opposing side to gain an advantage. There were also geographical constraints on intercepting the telegraph cables that improved security, however once radio telegraphy was developed interception became far more widespread.", "title": "Telegraphy in war" }, { "paragraph_id": 63, "text": "The Crimean War was one of the first conflicts to use telegraphs and was one of the first to be documented extensively. In 1854, the government in London created a military Telegraph Detachment for the Army commanded by an officer of the Royal Engineers. It was to comprise twenty-five men from the Royal Corps of Sappers & Miners trained by the Electric Telegraph Company to construct and work the first field electric telegraph.", "title": "Telegraphy in war" }, { "paragraph_id": 64, "text": "Journalistic recording of the war was provided by William Howard Russell (writing for The Times newspaper) with photographs by Roger Fenton. News from war correspondents kept the public of the nations involved in the war informed of the day-to-day events in a way that had not been possible in any previous war. After the French extended the telegraph to the coast of the Black Sea in late 1854, the news reached London in two days. When the British laid an underwater cable to the Crimean peninsula in April 1855, news reached London in a few hours. The daily news reports energised public opinion, which brought down the government and led to Lord Palmerston becoming prime minister.", "title": "Telegraphy in war" }, { "paragraph_id": 65, "text": "During the American Civil War the telegraph proved its value as a tactical, operational, and strategic communication medium and an important contributor to Union victory. By contrast the Confederacy failed to make effective use of the South's much smaller telegraph network. Prior to the War the telegraph systems were primarily used in the commercial sector. Government buildings were not inter-connected with telegraph lines, but relied on runners to carry messages back and forth. Before the war the Government saw no need to connect lines within city limits, however, they did see the use in connections between cities. Washington D.C. being the hub of government, it had the most connections, but there were only a few lines running north and south out of the city. It was not until the Civil War that the government saw the true potential of the telegraph system. Soon after the shelling of Fort Sumter, the South cut telegraph lines running into D.C., which put the city in a state of panic because they feared an immediate Southern invasion.", "title": "Telegraphy in war" }, { "paragraph_id": 66, "text": "Within 6 months of the start of the war, the U.S. Military Telegraph Corps (USMT) had laid approximately 300 miles (480 km) of line. By war's end they had laid approximately 15,000 miles (24,000 km) of line, 8,000 for military and 5,000 for commercial use, and had handled approximately 6.5 million messages. The telegraph was not only important for communication within the armed forces, but also in the civilian sector, helping political leaders to maintain control over their districts.", "title": "Telegraphy in war" }, { "paragraph_id": 67, "text": "Even before the war, the American Telegraph Company censored suspect messages informally to block aid to the secession movement. During the war, Secretary of War Simon Cameron, and later Edwin Stanton, wanted control over the telegraph lines to maintain the flow of information. Early in the war, one of Stanton's first acts as Secretary of War was to move telegraph lines from ending at McClellan's headquarters to terminating at the War Department. Stanton himself said \"[telegraphy] is my right arm\". Telegraphy assisted Northern victories, including the Battle of Antietam (1862), the Battle of Chickamauga (1863), and Sherman's March to the Sea (1864).", "title": "Telegraphy in war" }, { "paragraph_id": 68, "text": "The telegraph system still had its flaws. The USMT, while the main source of telegraphers and cable, was still a civilian agency. Most operators were first hired by the telegraph companies and then contracted out to the War Department. This created tension between generals and their operators. One source of irritation was that USMT operators did not have to follow military authority. Usually they performed without hesitation, but they were not required to, so Albert Myer created a U.S. Army Signal Corps in February 1863. As the new head of the Signal Corps, Myer tried to get all telegraph and flag signaling under his command, and therefore subject to military discipline. After creating the Signal Corps, Myer pushed to further develop new telegraph systems. While the USMT relied primarily on civilian lines and operators, the Signal Corp's new field telegraph could be deployed and dismantled faster than USMT's system.", "title": "Telegraphy in war" }, { "paragraph_id": 69, "text": "During World War I, Britain's telegraph communications were almost completely uninterrupted, while it was able to quickly cut Germany's cables worldwide. The British government censored telegraph cable companies in an effort to root out espionage and restrict financial transactions with Central Powers nations. British access to transatlantic cables and its codebreaking expertise led to the Zimmermann Telegram incident that contributed to the US joining the war. Despite British acquisition of German colonies and expansion into the Middle East, debt from the war led to Britain's control over telegraph cables to weaken while US control grew.", "title": "Telegraphy in war" }, { "paragraph_id": 70, "text": "World War II revived the 'cable war' of 1914–1918. In 1939, German-owned cables across the Atlantic were cut once again, and, in 1940, Italian cables to South America and Spain were cut in retaliation for Italian action against two of the five British cables linking Gibraltar and Malta. Electra House, Cable & Wireless's head office and central cable station, was damaged by German bombing in 1941.", "title": "Telegraphy in war" }, { "paragraph_id": 71, "text": "Resistance movements in occupied Europe sabotaged communications facilities such as telegraph lines, forcing the Germans to use wireless telegraphy, which could then be intercepted by Britain. The Germans developed a highly complex teleprinter attachment (German: Schlüssel-Zusatz, \"cipher attachment\") that was used for enciphering telegrams, using the Lorenz cipher, between German High Command (OKW) and the army groups in the field. These contained situation reports, battle plans, and discussions of strategy and tactics. Britain intercepted these signals, diagnosed how the encrypting machine worked, and decrypted a large amount of teleprinter traffic.", "title": "Telegraphy in war" }, { "paragraph_id": 72, "text": "In America, the end of the telegraph era can be associated with the fall of the Western Union Telegraph Company. Western Union was the leading telegraph provider for America and was seen as the best competition for the National Bell Telephone Company. Western Union and Bell were both invested in telegraphy and telephone technology. Western Union's decision to allow Bell to gain the advantage in telephone technology was the result of Western Union's upper management's failure to foresee the surpassing of the telephone over the, at the time, dominant telegraph system. Western Union soon lost the legal battle for the rights to their telephone copyrights. This led to Western Union agreeing to a lesser position in the telephone competition, which in turn led to the lessening of the telegraph.", "title": "End of the telegraph era" }, { "paragraph_id": 73, "text": "While the telegraph was not the focus of the legal battles that occurred around 1878, the companies that were affected by the effects of the battle were the main powers of telegraphy at the time. Western Union thought that the agreement of 1878 would solidify telegraphy as the long-range communication of choice. However, due to the underestimates of telegraph's future and poor contracts, Western Union found itself declining. AT&T acquired working control of Western Union in 1909 but relinquished it in 1914 under threat of antitrust action. AT&T bought Western Union's electronic mail and Telex businesses in 1990.", "title": "End of the telegraph era" }, { "paragraph_id": 74, "text": "Although commercial \"telegraph\" services are still available in many countries, transmission is usually done via a computer network rather than a dedicated wired connection.", "title": "End of the telegraph era" } ]
Electrical telegraphs were point-to-point text messaging systems, primarily used from the 1840s until the late 20th century. It was the first electrical telecommunications system and the most widely used of a number of early messaging systems called telegraphs, that were devised to communicate text messages quicker than physical transportation. Electrical telegraphy can be considered to be the first example of electrical engineering. Text telegraphy consisted of two or more geographically separated stations, called telegraph offices. The offices were connected by wires, usually supported overhead on utility poles. Many different electrical telegraph systems were invented, but the ones that became widespread fit into two broad categories. The first category consists of needle telegraphs in which a needle pointer is made to move electromagnetically with an electric current sent down the telegraph line. Early systems used multiple needles requiring multiple wires. The first commercial system, and the most widely used needle telegraph, was the Cooke and Wheatstone telegraph, invented in 1837. The second category consists of armature systems in which the current activates a telegraph sounder which makes a click. The archetype of this category was the Morse system, invented by Samuel Morse in 1838. In 1865, the Morse system became the standard for international communication using a modified code developed for German railways. Electrical telegraphs were used by the emerging railway companies to develop train control systems, minimizing the chances of trains colliding with each other. This was built around the signalling block system with signal boxes along the line communicating with their neighbouring boxes by telegraphic sounding of single-stroke bells and three-position needle telegraph instruments. In the 1840s, the electrical telegraph superseded optical telegraph systems, becoming the standard way to send urgent messages. By the latter half of the century, most developed nations had created commercial telegraph networks with local telegraph offices in most cities and towns, allowing the public to send messages called telegrams addressed to any person in the country, for a fee. Beginning in 1850, submarine telegraph cables allowed for the first rapid communication between continents. Electrical telegraph networks permitted people and commerce to transmit messages across both continents and oceans almost instantly, with widespread social and economic impacts. c. 1894, the electric telegraph led to Guglielmo Marconi's invention of wireless telegraphy, the first means of radiowave telecommunication. In the early 20th century, manual telegraphy was slowly replaced by teleprinter networks. Increasing use of the telephone pushed telegraphy into a few specialist uses. Use by the general public was mainly special occasion telegram greetings. The rise of the Internet and usage of email in the 1990s largely put an end to dedicated telegraphy networks.
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https://en.wikipedia.org/wiki/Electrical_telegraph
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Event
Event may refer to:
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Event may refer to:
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https://en.wikipedia.org/wiki/Event
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Establishing shot
An establishing shot in filmmaking and television production sets up, or establishes, the context for a scene by showing the relationship between its important figures and objects. It is generally a long or extreme-long shot at the beginning of a scene indicating where, and sometimes when, the remainder of the scene takes place. Establishing shots were more common during the classical era of filmmaking than they are now. Today's filmmakers tend to skip the establishing shot in order to move the scene along more quickly, or merely mention the setting in on-screen text (as is done in the Law & Order franchise). In addition, the expositional nature of the shot may be unsuitable to scenes in mysteries, where details are intentionally obscured or left out.
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An establishing shot in filmmaking and television production sets up, or establishes, the context for a scene by showing the relationship between its important figures and objects. It is generally a long or extreme-long shot at the beginning of a scene indicating where, and sometimes when, the remainder of the scene takes place. Establishing shots were more common during the classical era of filmmaking than they are now. Today's filmmakers tend to skip the establishing shot in order to move the scene along more quickly, or merely mention the setting in on-screen text. In addition, the expositional nature of the shot may be unsuitable to scenes in mysteries, where details are intentionally obscured or left out.
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https://en.wikipedia.org/wiki/Establishing_shot
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Etruscan language
Etruscan (/ɪˈtrʌskən/ ih-TRUSK-ən) was the language of the Etruscan civilization in the ancient region of Etruria, in Etruria Padana and Etruria Campana in what is now Italy. Etruscan influenced Latin but was eventually completely superseded by it. The Etruscans left around 13,000 inscriptions that have been found so far, only a small minority of which are of significant length; some bilingual inscriptions with texts also in Latin, Greek, or Phoenician; and a few dozen purported loanwords. Attested from 700 BC to AD 50, the relation of Etruscan to other languages has been a source of long-running speculation and study, with it mostly being referred to as one of the Tyrsenian languages, at times as an isolate and a number of other less well-known theories. The consensus among linguists and Etruscologists is that Etruscan was a Pre-Indo-European and Paleo-European language, closely related to the Raetic language that was spoken in the Alps, and to the Lemnian language, attested in a few inscriptions on Lemnos. The Etruscan alphabet is similar to the English one. Therefore, linguists have been able to read the inscriptions in the sense of knowing roughly how they would have been pronounced, but have not yet understood their meaning. A comparison between the Etruscan and Greek alphabets reveal how accurately the Etruscans preserved the Greek alphabet. The Etruscan alphabet contains letters that have since been dropped from the Greek alphabet, such as the digamma, sampi and qoppa. Grammatically, the language is agglutinating, with nouns and verbs showing suffixed inflectional endings and some gradation of vowels. Nouns show five cases, singular and plural numbers, with a gender distinction between animate and inanimate in pronouns. Etruscan appears to have had a cross-linguistically common phonological system, with four phonemic vowels and an apparent contrast between aspirated and unaspirated stops. The records of the language suggest that phonetic change took place over time, with the loss and then re-establishment of word-internal vowels, possibly due to the effect of Etruscan's word-initial stress. Etruscan religion influenced that of the Romans, and many of the few surviving Etruscan-language artifacts are of votive or religious significance. Etruscan was written in an alphabet derived from the Greek alphabet; this alphabet was the source of the Latin alphabet, as well as other alphabets in Italy and probably beyond. The Etruscan language is also believed to be the source of certain important cultural words of Western Europe such as military and person, which do not have obvious Indo-European roots. Etruscan literacy was widespread over the Mediterranean shores, as evidenced by about 13,000 inscriptions (dedications, epitaphs, etc.), most fairly short, but some of considerable length. They date from about 700 BC. The Etruscans had a rich literature, as noted by Latin authors. Livy and Cicero were both aware that highly specialized Etruscan religious rites were codified in several sets of books written in Etruscan under the generic Latin title Etrusca Disciplina. The Libri Haruspicini dealt with divination by reading entrails from a sacrificed animal, while the Libri Fulgurales expounded the art of divination by observing lightning. A third set, the Libri Rituales, might have provided a key to Etruscan civilization: its wider scope embraced Etruscan standards of social and political life, as well as ritual practices. According to the 4th-century AD Latin writer Maurus Servius Honoratus, a fourth set of Etruscan books existed, dealing with animal gods, but it is unlikely that any scholar living in that era could have read Etruscan. However, only one book (as opposed to inscription), the Liber Linteus, survived, and only because the linen on which it was written was used as mummy wrappings. By 30 BC, Livy noted that Etruscan was once widely taught to Roman boys, but had since become replaced by the teaching of Greek, while Varro noted that theatrical works had once been composed in Etruscan. The date of extinction for Etruscan is held by scholarship to have been either in the late first century BC, or the early first century AD. Freeman's analysis of inscriptional evidence would appear to imply that Etruscan was still flourishing in the 2nd century BC, still alive in the first century BC, and surviving in at least one location in the beginning of the first century AD; however, the replacement of Etruscan by Latin likely occurred earlier in southern regions closer to Rome. In southern Etruria, the first Etruscan site to be Latinized was Veii, when it was destroyed and repopulated by Romans in 396 BC. Caere (Cerveteri), another southern Etruscan town on the coast 45 kilometers from Rome, appears to have shifted to Latin in the late 2nd century BC. In Tarquinia and Vulci, Latin inscriptions coexisted with Etruscan inscriptions in wall paintings and grave markers for centuries, from the 3rd century BC until the early 1st century BC, after which Etruscan is replaced by the exclusive use of Latin. In northern Etruria, Etruscan inscriptions continue after they disappear in southern Etruria. At Clusium (Chiusi), tomb markings show mixed Latin and Etruscan in the first half of the 1st century BC, with cases where two subsequent generations are inscribed in Latin and then the third, youngest generation, surprisingly, is transcribed in Etruscan. At Perugia, monolingual monumental inscriptions in Etruscan are still seen in the first half of the 1st century BC, while the period of bilingual inscriptions appears to have stretched from the 3rd century to the late 1st century BC. The isolated last bilinguals are found at three northern sites. Inscriptions in Arezzo include one dated to 40 BC followed by two with slightly later dates, while in Volterra there is one dated to just after 40 BC and a final one dated to 10–20 AD; coins with written Etruscan near Saena have also been dated to 15 BC. Freeman notes that in rural areas the language may have survived a bit longer, and that a survival into the late 1st century AD and beyond "cannot wholly be dismissed", especially given the revelation of Oscan writing in Pompeii's walls. Despite the apparent extinction of Etruscan, it appears that Etruscan religious rites continued much later, continuing to use the Etruscan names of deities and possibly with some liturgical usage of the language. In late Republican and early Augustan times, various Latin sources including Cicero noted the esteemed reputation of Etruscan soothsayers. An episode where lightning struck an inscription with the name Caesar, turning it into Aesar, was interpreted to have been a premonition of the deification of Caesar because of the resemblance to Etruscan aisar, meaning 'gods', although this indicates knowledge of a single word and not the language. Centuries later and long after Etruscan is thought to have died out, Ammianus Marcellinus reports that Julian the Apostate, the last pagan Emperor, apparently had Etruscan soothsayers accompany him on his military campaigns with books on war, lightning and celestial events, but the language of these books is unknown. According to Zosimus, when Rome was faced with destruction by Alaric in 408 AD, the protection of nearby Etruscan towns was attributed to Etruscan pagan priests who claimed to have summoned a raging thunderstorm, and they offered their services "in the ancestral manner" to Rome as well, but the devout Christians of Rome refused the offer, preferring death to help by pagans. Freeman notes that these events may indicate that a limited theological knowledge of Etruscan may have survived among the priestly caste much longer. One 19th-century writer argued in 1892 that Etruscan deities retained an influence on early modern Tuscan folklore. Around 180 AD, the Latin author Aulus Gellius mentions Etruscan alongside the Gaulish language in an anecdote. Freeman notes that although Gaulish was clearly still alive during Gellius' time, his testimony may not indicate that Etruscan was still alive because the phrase could indicate a meaning of the sort of "it's all Greek (incomprehensible) to me". At the time of its extinction, only a few educated Romans with antiquarian interests, such as Marcus Terentius Varro, could read Etruscan. The Roman emperor Claudius (10 BC – AD 54) is considered to have possibly been able to read Etruscan, and authored the Tyrrhenika, a (now lost) treatise on Etruscan history; a separate dedication made by Claudius implies a knowledge from "diverse Etruscan sources", but it is unclear if any were fluent speakers of Etruscan. Plautia Urgulanilla, the emperor's first wife, had Etruscan roots. Etruscan had some influence on Latin, as a few dozen Etruscan words and names were borrowed by the Romans, some of which remain in modern languages, among which are possibly voltur 'vulture', tuba 'trumpet', vagina 'sheath', populus 'people'. Inscriptions have been found in northwest and west-central Italy, in the region that even now bears the name of the Etruscan civilization, Tuscany (from Latin tuscī 'Etruscans'), as well as in modern Latium north of Rome, in today's Umbria west of the Tiber, in the Po Valley to the north of Etruria, and in Campania. This range may indicate a maximum Italian homeland where the language was at one time spoken. Outside Italy, inscriptions have been found in Corsica, Gallia Narbonensis, Greece, the Balkans. But by far the greatest concentration is in Italy. In 1998, Helmut Rix put forward the view that Etruscan is related to other extinct languages such as Raetic, spoken in ancient times in the eastern Alps, and Lemnian, to which other scholars added Camunic language, spoken in the Central Alps. Rix's Tyrsenian language family has gained widespread acceptance among scholars, being confirmed by Stefan Schumacher, Norbert Oettinger, Carlo De Simone, and Simona Marchesini. Common features between Etruscan, Raetic, and Lemnian have been found in morphology, phonology, and syntax, but only a few lexical correspondences are documented, at least partly due to the scant number of Raetic and Lemnian texts. On the other hand, the Tyrsenian family, or Common Tyrrhenic, is often considered to be Paleo-European and to predate the arrival of Indo-European languages in southern Europe. Several scholars believe that the Lemnian language could have arrived in the Aegean Sea during the Late Bronze Age, when Mycenaean rulers recruited groups of mercenaries from Sicily, Sardinia and various parts of the Italian peninsula. Scholars such as Norbert Oettinger, Michel Gras and Carlo De Simone think that Lemnian is the testimony of an Etruscan commercial settlement on the island that took place before 700 BC, not related to the Sea Peoples. A 2021 archeogenetic analysis of Etruscan individuals, who lived between 800 BC and 1 BC, concluded that the Etruscans were autochthonous and genetically similar to the Early Iron Age Latins, and that the Etruscan language, and therefore the other languages of the Tyrrhenian family, may be a surviving language of the ones that were widespread in Europe from at least the Neolithic period before the arrival of the Indo-European languages, as already argued by German geneticist Johannes Krause who concluded that it is likely that the Etruscan language (as well as Basque, Paleo-Sardinian and Minoan) "developed on the continent in the course of the Neolithic Revolution". The lack of recent Anatolian-related admixture and Iranian-related ancestry among the Etruscans, who genetically joined firmly to the European cluster, might also suggest that the presence of a handful of inscriptions found at Lemnos, in a language related to Etruscan and Raetic, "could represent population movements departing from the Italian peninsula". Over the centuries many hypotheses on the Etruscan language have been developed, most of which have not been accepted or have been considered highly speculative since they were published. The major consensus among scholars is that Etruscan, and therefore all the languages of the Tyrrhenian family, is neither Indo-European nor Semitic, and may be a Pre–Indo-European and Paleo-European language. At present the major consensus is that Etruscan's only kinship is with the Raetic and Lemnian languages. The idea of a relation between the language of the Minoan Linear A scripts was taken into consideration as the main hypothesis by Michael Ventris before he discovered that, in fact, the language behind the later Linear B script was Mycenean, a Greek dialect. It has been proposed to possibly be part of a wider Paleo-European "Aegean" language family, which would also include Minoan, Eteocretan (possibly descended from Minoan) and Eteocypriot. This has been proposed by Giulio Mauro Facchetti, a researcher who has dealt with both Etruscan and Minoan, and supported by S. Yatsemirsky, referring to some similarities between Etruscan and Lemnian on one hand, and Minoan and Eteocretan on the other. It has also been proposed that this language family is related to the pre-Indo-European languages of Anatolia, based upon place name analysis. The relationship between Etruscan and Minoan, and hypothetical unattested pre-Indo-European languages of Anatolia, is considered unfounded. Some have suggested that Tyrsenian languages may yet be distantly related to early Indo-European languages, such as those of the Anatolian branch. More recently, Robert S. P. Beekes argued in 2002 that the people later known as the Lydians and Etruscans had originally lived in northwest Anatolia, with a coastline to the Sea of Marmara, whence they were driven by the Phrygians circa 1200 BC, leaving a remnant known in antiquity as the Tyrsenoi. A segment of this people moved south-west to Lydia, becoming known as the Lydians, while others sailed away to take refuge in Italy, where they became known as Etruscans. This account draws on the well-known story by Herodotus (I, 94) of the Lydian origin of the Etruscans or Tyrrhenians, famously rejected by Dionysius of Halicarnassus (book I), partly on the authority of Xanthus, a Lydian historian, who had no knowledge of the story, and partly on what he judged to be the different languages, laws, and religions of the two peoples. In 2006, Frederik Woudhuizen went further on Herodotus' traces, suggesting that Etruscan belongs to the Anatolian branch of the Indo-European family, specifically to Luwian. Woudhuizen revived a conjecture to the effect that the Tyrsenians came from Anatolia, including Lydia, whence they were driven by the Cimmerians in the early Iron Age, 750–675 BC, leaving some colonists on Lemnos. He makes a number of comparisons of Etruscan to Luwian and asserts that Etruscan is modified Luwian. He accounts for the non-Luwian features as a Mysian influence: "deviations from Luwian [...] may plausibly be ascribed to the dialect of the indigenous population of Mysia." According to Woudhuizen, the Etruscans were initially colonizing the Latins, bringing the alphabet from Anatolia. For historical, archaeological, genetic, and linguistic reasons, a relationship between Etruscan and the Indo-European Anatolian languages (Lydian or Luwian) and the idea that the Etruscans initially colonized the Latins, bringing the alphabet from Anatolia, have not been accepted, just as the Lydian origin story reported by Herodotus is no longer considered reliable. The interest in Etruscan antiquities and the Etruscan language found its modern origin in a book by a Renaissance Dominican friar, Annio da Viterbo, a cabalist and orientalist now remembered mainly for literary forgeries. In 1498, Annio published his antiquarian miscellany titled Antiquitatum variarum (in 17 volumes) where he put together a theory in which both the Hebrew and Etruscan languages were said to originate from a single source, the "Aramaic" spoken by Noah and his descendants, founders of the Etruscan city Viterbo. The 19th century saw numerous attempts to reclassify Etruscan. Ideas of Semitic origins found supporters until this time. In 1858, the last attempt was made by Johann Gustav Stickel, Jena University in his Das Etruskische durch Erklärung von Inschriften und Namen als semitische Sprache erwiesen. A reviewer concluded that Stickel brought forward every possible argument which would speak for that hypothesis, but he proved the opposite of what he had attempted to do. In 1861, Robert Ellis proposed that Etruscan was related to Armenian. Exactly 100 years later, a relationship with Albanian was to be advanced by Zecharia Mayani, a theory regarded today as disproven and discredited. Several theories from the late 19th and early 20th centuries connected Etruscan to Uralic or even Altaic languages. In 1874, the British scholar Isaac Taylor brought up the idea of a genetic relationship between Etruscan and Hungarian, of which also Jules Martha would approve in his exhaustive study La langue étrusque (1913). In 1911, the French orientalist Baron Carra de Vaux suggested a connection between Etruscan and the Altaic languages. The Hungarian connection was revived by Mario Alinei, Emeritus Professor of Italian Languages at the University of Utrecht. Alinei's proposal has been rejected by Etruscan experts such as Giulio M. Facchetti, Finno-Ugric experts such as Angela Marcantonio, and by Hungarian historical linguists such as Bela Brogyanyi. Another proposal, pursued mainly by a few linguists from the former Soviet Union, suggested a relationship with Northeast Caucasian (or Nakh-Daghestanian) languages. None of these theories has been accepted nor enjoys consensus. The Latin script owes its existence to the Etruscan alphabet, which was adapted for Latin in the form of the Old Italic script. The Etruscan alphabet employs a Euboean variant of the Greek alphabet using the letter digamma and was in all probability transmitted through Pithecusae and Cumae, two Euboean settlements in southern Italy. This system is ultimately derived from West Semitic scripts. The Etruscans recognized a 26-letter alphabet, which makes an early appearance incised for decoration on a small bucchero terracotta lidded vase in the shape of a cockerel at the Metropolitan Museum of Art, ca. 650–600 BC. The full complement of 26 has been termed the model alphabet. The Etruscans did not use four letters of it, mainly because Etruscan did not have the voiced stops b, d and g; the o was also not used. They innovated one letter for f (𐌚). Writing was from right to left except in archaic inscriptions, which occasionally used boustrophedon. An example found at Cerveteri used left to right. In the earliest inscriptions, the words are continuous. From the 6th century BC, they are separated by a dot or a colon, which might also be used to separate syllables. Writing was phonetic; the letters represented the sounds and not conventional spellings. On the other hand, many inscriptions are highly abbreviated and often casually formed, so the identification of individual letters is sometimes difficult. Spelling might vary from city to city, probably reflecting differences of pronunciation. Speech featured a heavy stress on the first syllable of a word, causing syncopation by weakening of the remaining vowels, which then were not represented in writing: Alcsntre for Alexandros, Rasna for Rasena. This speech habit is one explanation of the Etruscan "impossible" consonant clusters. Some of the consonants, especially resonants, however, may have been syllabic, accounting for some of the clusters (see below under Consonants). In other cases, the scribe sometimes inserted a vowel: Greek Hēraklēs became Hercle by syncopation and then was expanded to Herecele. Pallottino regarded this variation in vowels as "instability in the quality of vowels" and accounted for the second phase (e.g. Herecele) as "vowel harmony, i.e., of the assimilation of vowels in neighboring syllables". The writing system had two historical phases: the archaic from the seventh to fifth centuries BC, which used the early Greek alphabet, and the later from the fourth to first centuries BC, which modified some of the letters. In the later period, syncopation increased. The alphabet went on in modified form after the language disappeared. In addition to being the source of the Roman and early Oscan and Umbrian alphabets, it has been suggested that it passed northward into Veneto and from there through Raetia into the Germanic lands, where it became the Elder Futhark alphabet, the oldest form of the runes. The Etruscan corpus is edited in the Corpus Inscriptionum Etruscarum (CIE) and Thesaurus Linguae Etruscae (TLE). The Pyrgi Tablets are a bilingual text in Etruscan and Phoenician engraved on three gold leaves, one for the Phoenician and two for the Etruscan. The Etruscan language portion has 16 lines and 37 words. The date is roughly 500 BC. The tablets were found in 1964 by Massimo Pallottino during an excavation at the ancient Etruscan port of Pyrgi, now Santa Severa. The only new Etruscan word that could be extracted from close analysis of the tablets was the word for 'three', ci. According to Rix and his collaborators, only two unified (though fragmentary) long texts are available in Etruscan: Some additional longer texts are: The main material repository of Etruscan civilization, from the modern perspective, is its tombs, all other public and private buildings having been dismantled and the stone reused centuries ago. The tombs are the main source of Etruscan portables, provenance unknown, in collections throughout the world. Their incalculable value has created a brisk black market in Etruscan objets d'art – and equally brisk law enforcement effort, as it is illegal to remove any objects from Etruscan tombs without authorization from the Italian government. The magnitude of the task involved in cataloguing them means that the total number of tombs is unknown. They are of many types. Especially plentiful are the hypogeal or "underground" chambers or system of chambers cut into tuff and covered by a tumulus. The interior of these tombs represents a habitation of the living stocked with furniture and favorite objects. The walls may display painted murals, the predecessor of wallpaper. Tombs identified as Etruscan date from the Villanovan period to about 100 BC, when presumably the cemeteries were abandoned in favor of Roman ones. Some of the major cemeteries are as follows: See Votive gifts. One example of an early (pre-fifth century BC) votive inscription is on a bucchero oinochoe (wine vase): ṃiṇi mulvaṇịce venalia ṡlarinaṡ. en mipi kapi ṃi(r) ṇuṇai = “Venalia Ṡlarinaṡ gave me. Do not touch me (?), I (am) nunai (an offering?)." This seems to be a rare case from this early period of a female (Venalia) dedicating the votive. A speculum is a circular or oval hand-mirror used predominantly by Etruscan women. Speculum is Latin; the Etruscan word is malena or malstria. Specula were cast in bronze as one piece or with a tang into which a wooden, bone, or ivory handle fitted. The reflecting surface was created by polishing the flat side. A higher percentage of tin in the mirror improved its ability to reflect. The other side was convex and featured intaglio or cameo scenes from mythology. The piece was generally ornate. About 2,300 specula are known from collections all over the world. As they were popular plunderables, the provenance of only a minority is known. An estimated time window is 530–100 BC. Most probably came from tombs. Many bear inscriptions naming the persons depicted in the scenes, so they are often called picture bilinguals. In 1979, Massimo Pallottino, then president of the Istituto di Studi Etruschi ed Italici initiated the Committee of the Corpus Speculorum Etruscanorum, which resolved to publish all the specula and set editorial standards for doing so. Since then, the committee has grown, acquiring local committees and representatives from most institutions owning Etruscan mirror collections. Each collection is published in its own fascicle by diverse Etruscan scholars. A cista is a bronze container of circular, ovoid, or more rarely rectangular shape used by women for the storage of sundries. They are ornate, often with feet and lids to which figurines may be attached. The internal and external surfaces bear carefully crafted scenes usually from mythology, usually intaglio, or rarely part intaglio, part cameo. Cistae date from the Roman Republic of the fourth and third centuries BC in Etruscan contexts. They may bear various short inscriptions concerning the manufacturer or owner or subject matter. The writing may be Latin, Etruscan, or both. Excavations at Praeneste, an Etruscan city which became Roman, turned up about 118 cistae, one of which has been termed "the Praeneste cista" or "the Ficoroni cista" by art analysts, with special reference to the one manufactured by Novios Plutius and given by Dindia Macolnia to her daughter, as the archaic Latin inscription says. All of them are more accurately termed "the Praenestine cistae". Among the most plunderable portables from the Etruscan tombs of Etruria are the finely engraved gemstones set in patterned gold to form circular or ovoid pieces intended to go on finger rings. Around one centimeter in size, they are dated to the Etruscan apogee from the second half of the sixth to the first centuries BC. The two main theories of manufacture are native Etruscan and Greek. The materials are mainly dark red carnelian, with agate and sard entering usage from the third to the first centuries BC, along with purely gold finger rings with a hollow engraved bezel setting. The engravings, mainly cameo, but sometimes intaglio, depict scarabs at first and then scenes from Greek mythology, often with heroic personages called out in Etruscan. The gold setting of the bezel bears a border design, such as cabling. Etruscan-minted coins can be dated between the 5th and 3rd centuries BC. Use of the 'Chalcidian' standard, based on the silver unit of 5.8 grams, indicates that this custom, like the alphabet, came from Greece. Roman coinage later supplanted Etruscan, but the basic Roman coin, the sesterce, is believed to have been based on the 2.5-denomination Etruscan coin. Etruscan coins have turned up in caches or individually in tombs and in excavations seemingly at random, and concentrated, of course, in Etruria. Etruscan coins were in gold, silver, and bronze, the gold and silver usually having been struck on one side only. The coins often bore a denomination, sometimes a minting authority name, and a cameo motif. Gold denominations were in units of silver; silver, in units of bronze. Full or abbreviated names are mainly Pupluna (Populonia), Vatl or Veltuna (Vetulonia), Velathri (Volaterrae), Velzu or Velznani (Volsinii) and Cha for Chamars (Camars). Insignia are mainly heads of mythological characters or depictions of mythological beasts arranged in a symbolic motif: Apollo, Zeus, Culsans, Athena, Hermes, griffin, gorgon, male sphinx, hippocamp, bull, snake, eagle, or other creatures which had symbolic significance. Wallace et alia include the following categories, based on the uses to which they were put, on their site: abecedaria (alphabets), artisans' texts, boundary markers, construction texts, dedications, didaskalia (instructional texts), funerary texts, legal texts, other/unclear texts, prohibitions, proprietary texts (indicating ownership), religious texts, tesserae hospitales (tokens that establish "the claim of the bearer to hospitality when travelling"). In the tables below, conventional letters used for transliterating Etruscan are accompanied by likely pronunciation in IPA symbols within the square brackets, followed by examples of the early Etruscan alphabet which would have corresponded to these sounds. The Etruscan vowel system consisted of four distinct vowels. The vowels o and u appear to have not been phonetically distinguished based on the nature of the writing system, as only one symbol is used to cover both in loans from Greek (e.g. Greek κώθων kōthōn > Etruscan qutun 'pitcher'). Before the front vowels ⟨c⟩ is used, while ⟨k⟩ and ⟨q⟩ are used before respectively unrounded and rounded back vowels. Etruscan also might have had consonants ʧ and ʧʰ, as they might be represented in the writing by using two letters, like in the word prumaθś ('great-nephew' or 'great-grandson'). However, this theory is not widely accepted. The Etruscan consonant system primarily distinguished between aspirated and non-aspirated stops. There were no voiced stops. When words from foreign languages were borrowed into Etruscan, voiced stops typically became unvoiced stops; one example is Greek thriambos, which became Etruscan triumpus and Latin triumphus. Such a lack of voiced stops is not particularly unusual; it is found e.g. in modern Icelandic, in Scottish Gaelic, and in most Chinese languages. Even in English, aspiration is often more important than voice in the distinction of fortis-lenis pairs. Based on standard spellings by Etruscan scribes of words without vowels or with unlikely consonant clusters (e.g. cl 'of this (gen.)' and lautn 'freeman'), it is likely that /m n l r/ were sometimes syllabic sonorants (cf. English little, button). Thus cl /kl̩/ and lautn /ˈlɑwtn̩/. Rix postulates several syllabic consonants, namely /l, r, m, n/ and palatal /lʲ, rʲ, nʲ/ as well as a labiovelar fricative /xʷ/, and some scholars such as Mauro Cristofani also view the aspirates as palatal rather than aspirated but these views are not shared by most Etruscologists. Rix supports his theories by means of variant spellings such as amφare/amφiare, larθal/larθial, aranθ/aranθiia. Etruscan was an agglutinative language, varying the endings of nouns, adjectives, pronouns and verbs with discrete endings for each function. It also had adverbs and conjunctions, whose endings did not vary. Etruscan substantives had five cases—nominative, accusative, genitive, dative, and locative—and two numbers: singular and a plural. Not all five cases are attested for every word. Nouns merge the nominative and accusative; pronouns do not generally merge these. Gender appears in personal names (masculine and feminine) and in pronouns (animate and inanimate); otherwise, it is not marked. Unlike the Indo-European languages, Etruscan noun endings were more agglutinative, with some nouns bearing two or three agglutinated suffixes. For example, where Latin would have distinct nominative plural and dative plural endings, Etruscan would suffix the case ending to a plural marker: Latin nominative singular fili-us, 'son', plural fili-i, dative plural fili-is, but Etruscan clan, clen-ar and clen-ar-aśi. Moreover, Etruscan nouns could bear multiple suffixes from the case paradigm alone: that is, Etruscan exhibited Suffixaufnahme. Pallottino calls this phenomenon "morphological redetermination", which he defines as "the typical tendency ... to redetermine the syntactical function of the form by the superposition of suffixes." His example is Uni-al-θi, 'in the sanctuary of Juno', where -al is a genitive ending and -θi a locative. Steinbauer says of Etruscan, "there can be more than one marker ... to design a case, and ... the same marker can occur for more than one case." Personal pronouns refer to persons; demonstrative pronouns point out English this, that, there. The first-person personal pronoun has a nominative mi ('I') and an accusative mini ('me'). The third person has a personal form an ('he' or 'she') and an inanimate in ('it'). The second person is uncertain but some scholars, such as the Bonfantes, have claimed a dative singular une ('to thee') and an accusative singular un ('thee'). The demonstratives, ca and ta, are used without distinction for 'that' or 'this'. The nominative–accusative singular forms are: ica, eca, ca, ita, ta; the plural: cei, tei. There is a genitive singular: cla, tla, cal and plural clal. The accusative singular: can, cen, cn, ecn, etan, tn; plural cnl 'these/those'. Locative singular: calti, ceiθi, clθ(i), eclθi; plural caiti, ceiθi. Though uninflected for number, adjectives were inflected for case, agreeing with their noun: mlaχ 'good' versus genitive mlakas 'of (the) good...' Adjectives fall into a number of types formed from nouns with a suffix: Adverbs are unmarked: etnam, 'again'; θui, 'now, here'; θuni, 'at first' (compare θu 'one'). Most Indo-European adverbs are formed from the oblique cases, which become unproductive and descend to fixed forms. Cases such as the ablative are therefore called adverbial. If there is any such widespread system in Etruscan, it is not obvious from the relatively few surviving adverbs. The negative adverb is ei (for examples, see below in Imperative moods) . The two enclitic coordinate conjunctions ‐ka/‐ca/‐c 'and' and -um/‐m 'and, but' coordinated phrases and clauses, but phrases could also be coordinated without any conjunction (asyndetic). Verbs had an indicative mood, an imperative mood and others. Tenses were present and past. The past tense had an active voice and a passive voice. Etruscan used a verbal root with a zero suffix or -a without distinction to number or person: ar, ar-a, 'he, she, we, you, they make'. Adding the suffix -(a)ce' to the verb root produces a third-person singular active, which has been called variously a "past", a "preterite", a "perfect." In contrast to Indo-European, this form is not marked for person. Examples: tur 'gives, dedicates' versus tur-ce 'gave, dedicated'; sval 'lives' versus sval-ce 'lived'. The third-person past passive is formed with -che: mena/mena-ce/mena-che, 'offers/offered/was offered'. The imperative was formed with the simple, uninflected root of the verb: tur 'dedicate!', σ́uθ 'put!', trin 'speak!' and nunθen 'invoke!'). The imperative capi 'take, steal' is found in so‐called anti‐theft inscriptions: Verbs with the suffix ‐a indicated the jussive mood, with the force of commanding, or exhorting (within a subjunctive framework). Verbs ending in ‐ri referred to obligatory activities: Verbs formed participles in a variety of ways, among the most frequently attested being -u in lup-u 'dead' from lup- 'die'. Participles could also be formed with ‐θ. These referred to activities that were contemporaneous with that of the main verb: trin‐θ '(while) speaking', nunθen‐θ '(while) invoking', and heχσ‐θ '(while) pouring (?)'. Typical of SOV agglutinative languages, Etruscan had postpositions rather than prepositions, each governing a specific case. Only a few hundred words of the Etruscan vocabulary are understood with some certainty. The exact count depends on whether the different forms and the expressions are included. Below is a table of some of the words grouped by topic. Some words with corresponding Latin or other Indo-European forms are likely loanwords to or from Etruscan. For example, neftś 'nephew', is probably from Latin (Latin nepōs, nepōtis; this is a cognate of German Neffe, Old Norse nefi). A number of words and names for which Etruscan origin has been proposed survive in Latin. At least one Etruscan word has an apparent Semitic/Aramaic origin: talitha 'girl', that could have been transmitted by Phoenicians or by the Greeks (Greek: ταλιθα). The word pera 'house' is a false cognate to the Coptic per 'house'. In addition to words believed to have been borrowed into Etruscan from Indo-European or elsewhere, there is a corpus of words such as familia which seem to have been borrowed into Latin from the older Etruscan civilization as a superstrate influence. Some of these words still have widespread currency in English and Latin-influenced languages. Other words believed to have a possible Etruscan origin include: Much debate has been carried out about a possible Indo-European origin of the Etruscan cardinals. In the words of Larissa Bonfante (1990), "What these numerals show, beyond any shadow of a doubt, is the non-Indo-European nature of the Etruscan language". Conversely, other scholars, including Francisco R. Adrados, Albert Carnoy, Marcello Durante, Vladimir Georgiev, Alessandro Morandi and Massimo Pittau, have proposed a close phonetic proximity of the first ten Etruscan numerals to the corresponding numerals in other Indo-European languages. The lower Etruscan numerals are: It is unclear which of semφ, cezp, and nurφ are 7, 8 and 9. Śar may also mean 'twelve', with halχ for 'ten'. For higher numbers, it has been determined that zaθrum is 20, cealχ/*cialχ 30, *huθalχ 40, muvalχ 50, šealχ 60, and semφalχ and cezpalχ any two in the series 70–90. Śran is 100 (clearly < śar 10, just as Proto-Indo-European *dḱm̥tom- 100 is from *deḱm- 10). Further, θun-z, e-sl-z, ci-z(i) mean 'once, twice, and thrice' respectively; θun[š]na and *kisna 'first' and 'third'; θunur, zelur 'one by one', 'two by two'; and zelarve- and śarve are 'double' and 'quadruple'. From Tabula Capuana: (/ indicates line break; text from Alessandro Morandi Epigrafia Italica Rome, 1982, p.40) First section probably for March (lines 1–7): Start of second section for April (apirase)(starting on line 8):
[ { "paragraph_id": 0, "text": "Etruscan (/ɪˈtrʌskən/ ih-TRUSK-ən) was the language of the Etruscan civilization in the ancient region of Etruria, in Etruria Padana and Etruria Campana in what is now Italy. Etruscan influenced Latin but was eventually completely superseded by it. The Etruscans left around 13,000 inscriptions that have been found so far, only a small minority of which are of significant length; some bilingual inscriptions with texts also in Latin, Greek, or Phoenician; and a few dozen purported loanwords. Attested from 700 BC to AD 50, the relation of Etruscan to other languages has been a source of long-running speculation and study, with it mostly being referred to as one of the Tyrsenian languages, at times as an isolate and a number of other less well-known theories.", "title": "" }, { "paragraph_id": 1, "text": "The consensus among linguists and Etruscologists is that Etruscan was a Pre-Indo-European and Paleo-European language, closely related to the Raetic language that was spoken in the Alps, and to the Lemnian language, attested in a few inscriptions on Lemnos.", "title": "" }, { "paragraph_id": 2, "text": "The Etruscan alphabet is similar to the English one. Therefore, linguists have been able to read the inscriptions in the sense of knowing roughly how they would have been pronounced, but have not yet understood their meaning.", "title": "" }, { "paragraph_id": 3, "text": "A comparison between the Etruscan and Greek alphabets reveal how accurately the Etruscans preserved the Greek alphabet. The Etruscan alphabet contains letters that have since been dropped from the Greek alphabet, such as the digamma, sampi and qoppa.", "title": "" }, { "paragraph_id": 4, "text": "Grammatically, the language is agglutinating, with nouns and verbs showing suffixed inflectional endings and some gradation of vowels. Nouns show five cases, singular and plural numbers, with a gender distinction between animate and inanimate in pronouns.", "title": "" }, { "paragraph_id": 5, "text": "Etruscan appears to have had a cross-linguistically common phonological system, with four phonemic vowels and an apparent contrast between aspirated and unaspirated stops. The records of the language suggest that phonetic change took place over time, with the loss and then re-establishment of word-internal vowels, possibly due to the effect of Etruscan's word-initial stress.", "title": "" }, { "paragraph_id": 6, "text": "Etruscan religion influenced that of the Romans, and many of the few surviving Etruscan-language artifacts are of votive or religious significance. Etruscan was written in an alphabet derived from the Greek alphabet; this alphabet was the source of the Latin alphabet, as well as other alphabets in Italy and probably beyond. The Etruscan language is also believed to be the source of certain important cultural words of Western Europe such as military and person, which do not have obvious Indo-European roots.", "title": "" }, { "paragraph_id": 7, "text": "Etruscan literacy was widespread over the Mediterranean shores, as evidenced by about 13,000 inscriptions (dedications, epitaphs, etc.), most fairly short, but some of considerable length. They date from about 700 BC.", "title": "History of Etruscan literacy" }, { "paragraph_id": 8, "text": "The Etruscans had a rich literature, as noted by Latin authors. Livy and Cicero were both aware that highly specialized Etruscan religious rites were codified in several sets of books written in Etruscan under the generic Latin title Etrusca Disciplina. The Libri Haruspicini dealt with divination by reading entrails from a sacrificed animal, while the Libri Fulgurales expounded the art of divination by observing lightning. A third set, the Libri Rituales, might have provided a key to Etruscan civilization: its wider scope embraced Etruscan standards of social and political life, as well as ritual practices. According to the 4th-century AD Latin writer Maurus Servius Honoratus, a fourth set of Etruscan books existed, dealing with animal gods, but it is unlikely that any scholar living in that era could have read Etruscan. However, only one book (as opposed to inscription), the Liber Linteus, survived, and only because the linen on which it was written was used as mummy wrappings.", "title": "History of Etruscan literacy" }, { "paragraph_id": 9, "text": "By 30 BC, Livy noted that Etruscan was once widely taught to Roman boys, but had since become replaced by the teaching of Greek, while Varro noted that theatrical works had once been composed in Etruscan.", "title": "History of Etruscan literacy" }, { "paragraph_id": 10, "text": "The date of extinction for Etruscan is held by scholarship to have been either in the late first century BC, or the early first century AD. Freeman's analysis of inscriptional evidence would appear to imply that Etruscan was still flourishing in the 2nd century BC, still alive in the first century BC, and surviving in at least one location in the beginning of the first century AD; however, the replacement of Etruscan by Latin likely occurred earlier in southern regions closer to Rome.", "title": "History of Etruscan literacy" }, { "paragraph_id": 11, "text": "In southern Etruria, the first Etruscan site to be Latinized was Veii, when it was destroyed and repopulated by Romans in 396 BC. Caere (Cerveteri), another southern Etruscan town on the coast 45 kilometers from Rome, appears to have shifted to Latin in the late 2nd century BC. In Tarquinia and Vulci, Latin inscriptions coexisted with Etruscan inscriptions in wall paintings and grave markers for centuries, from the 3rd century BC until the early 1st century BC, after which Etruscan is replaced by the exclusive use of Latin.", "title": "History of Etruscan literacy" }, { "paragraph_id": 12, "text": "In northern Etruria, Etruscan inscriptions continue after they disappear in southern Etruria. At Clusium (Chiusi), tomb markings show mixed Latin and Etruscan in the first half of the 1st century BC, with cases where two subsequent generations are inscribed in Latin and then the third, youngest generation, surprisingly, is transcribed in Etruscan. At Perugia, monolingual monumental inscriptions in Etruscan are still seen in the first half of the 1st century BC, while the period of bilingual inscriptions appears to have stretched from the 3rd century to the late 1st century BC. The isolated last bilinguals are found at three northern sites. Inscriptions in Arezzo include one dated to 40 BC followed by two with slightly later dates, while in Volterra there is one dated to just after 40 BC and a final one dated to 10–20 AD; coins with written Etruscan near Saena have also been dated to 15 BC. Freeman notes that in rural areas the language may have survived a bit longer, and that a survival into the late 1st century AD and beyond \"cannot wholly be dismissed\", especially given the revelation of Oscan writing in Pompeii's walls.", "title": "History of Etruscan literacy" }, { "paragraph_id": 13, "text": "Despite the apparent extinction of Etruscan, it appears that Etruscan religious rites continued much later, continuing to use the Etruscan names of deities and possibly with some liturgical usage of the language. In late Republican and early Augustan times, various Latin sources including Cicero noted the esteemed reputation of Etruscan soothsayers. An episode where lightning struck an inscription with the name Caesar, turning it into Aesar, was interpreted to have been a premonition of the deification of Caesar because of the resemblance to Etruscan aisar, meaning 'gods', although this indicates knowledge of a single word and not the language. Centuries later and long after Etruscan is thought to have died out, Ammianus Marcellinus reports that Julian the Apostate, the last pagan Emperor, apparently had Etruscan soothsayers accompany him on his military campaigns with books on war, lightning and celestial events, but the language of these books is unknown. According to Zosimus, when Rome was faced with destruction by Alaric in 408 AD, the protection of nearby Etruscan towns was attributed to Etruscan pagan priests who claimed to have summoned a raging thunderstorm, and they offered their services \"in the ancestral manner\" to Rome as well, but the devout Christians of Rome refused the offer, preferring death to help by pagans. Freeman notes that these events may indicate that a limited theological knowledge of Etruscan may have survived among the priestly caste much longer. One 19th-century writer argued in 1892 that Etruscan deities retained an influence on early modern Tuscan folklore.", "title": "History of Etruscan literacy" }, { "paragraph_id": 14, "text": "Around 180 AD, the Latin author Aulus Gellius mentions Etruscan alongside the Gaulish language in an anecdote. Freeman notes that although Gaulish was clearly still alive during Gellius' time, his testimony may not indicate that Etruscan was still alive because the phrase could indicate a meaning of the sort of \"it's all Greek (incomprehensible) to me\".", "title": "History of Etruscan literacy" }, { "paragraph_id": 15, "text": "At the time of its extinction, only a few educated Romans with antiquarian interests, such as Marcus Terentius Varro, could read Etruscan. The Roman emperor Claudius (10 BC – AD 54) is considered to have possibly been able to read Etruscan, and authored the Tyrrhenika, a (now lost) treatise on Etruscan history; a separate dedication made by Claudius implies a knowledge from \"diverse Etruscan sources\", but it is unclear if any were fluent speakers of Etruscan. Plautia Urgulanilla, the emperor's first wife, had Etruscan roots.", "title": "History of Etruscan literacy" }, { "paragraph_id": 16, "text": "Etruscan had some influence on Latin, as a few dozen Etruscan words and names were borrowed by the Romans, some of which remain in modern languages, among which are possibly voltur 'vulture', tuba 'trumpet', vagina 'sheath', populus 'people'.", "title": "History of Etruscan literacy" }, { "paragraph_id": 17, "text": "Inscriptions have been found in northwest and west-central Italy, in the region that even now bears the name of the Etruscan civilization, Tuscany (from Latin tuscī 'Etruscans'), as well as in modern Latium north of Rome, in today's Umbria west of the Tiber, in the Po Valley to the north of Etruria, and in Campania. This range may indicate a maximum Italian homeland where the language was at one time spoken.", "title": "Geographic distribution" }, { "paragraph_id": 18, "text": "Outside Italy, inscriptions have been found in Corsica, Gallia Narbonensis, Greece, the Balkans. But by far the greatest concentration is in Italy.", "title": "Geographic distribution" }, { "paragraph_id": 19, "text": "In 1998, Helmut Rix put forward the view that Etruscan is related to other extinct languages such as Raetic, spoken in ancient times in the eastern Alps, and Lemnian, to which other scholars added Camunic language, spoken in the Central Alps. Rix's Tyrsenian language family has gained widespread acceptance among scholars, being confirmed by Stefan Schumacher, Norbert Oettinger, Carlo De Simone, and Simona Marchesini.", "title": "Classification" }, { "paragraph_id": 20, "text": "Common features between Etruscan, Raetic, and Lemnian have been found in morphology, phonology, and syntax, but only a few lexical correspondences are documented, at least partly due to the scant number of Raetic and Lemnian texts. On the other hand, the Tyrsenian family, or Common Tyrrhenic, is often considered to be Paleo-European and to predate the arrival of Indo-European languages in southern Europe. Several scholars believe that the Lemnian language could have arrived in the Aegean Sea during the Late Bronze Age, when Mycenaean rulers recruited groups of mercenaries from Sicily, Sardinia and various parts of the Italian peninsula. Scholars such as Norbert Oettinger, Michel Gras and Carlo De Simone think that Lemnian is the testimony of an Etruscan commercial settlement on the island that took place before 700 BC, not related to the Sea Peoples.", "title": "Classification" }, { "paragraph_id": 21, "text": "A 2021 archeogenetic analysis of Etruscan individuals, who lived between 800 BC and 1 BC, concluded that the Etruscans were autochthonous and genetically similar to the Early Iron Age Latins, and that the Etruscan language, and therefore the other languages of the Tyrrhenian family, may be a surviving language of the ones that were widespread in Europe from at least the Neolithic period before the arrival of the Indo-European languages, as already argued by German geneticist Johannes Krause who concluded that it is likely that the Etruscan language (as well as Basque, Paleo-Sardinian and Minoan) \"developed on the continent in the course of the Neolithic Revolution\". The lack of recent Anatolian-related admixture and Iranian-related ancestry among the Etruscans, who genetically joined firmly to the European cluster, might also suggest that the presence of a handful of inscriptions found at Lemnos, in a language related to Etruscan and Raetic, \"could represent population movements departing from the Italian peninsula\".", "title": "Classification" }, { "paragraph_id": 22, "text": "Over the centuries many hypotheses on the Etruscan language have been developed, most of which have not been accepted or have been considered highly speculative since they were published. The major consensus among scholars is that Etruscan, and therefore all the languages of the Tyrrhenian family, is neither Indo-European nor Semitic, and may be a Pre–Indo-European and Paleo-European language. At present the major consensus is that Etruscan's only kinship is with the Raetic and Lemnian languages.", "title": "Classification" }, { "paragraph_id": 23, "text": "The idea of a relation between the language of the Minoan Linear A scripts was taken into consideration as the main hypothesis by Michael Ventris before he discovered that, in fact, the language behind the later Linear B script was Mycenean, a Greek dialect. It has been proposed to possibly be part of a wider Paleo-European \"Aegean\" language family, which would also include Minoan, Eteocretan (possibly descended from Minoan) and Eteocypriot. This has been proposed by Giulio Mauro Facchetti, a researcher who has dealt with both Etruscan and Minoan, and supported by S. Yatsemirsky, referring to some similarities between Etruscan and Lemnian on one hand, and Minoan and Eteocretan on the other. It has also been proposed that this language family is related to the pre-Indo-European languages of Anatolia, based upon place name analysis. The relationship between Etruscan and Minoan, and hypothetical unattested pre-Indo-European languages of Anatolia, is considered unfounded.", "title": "Classification" }, { "paragraph_id": 24, "text": "Some have suggested that Tyrsenian languages may yet be distantly related to early Indo-European languages, such as those of the Anatolian branch. More recently, Robert S. P. Beekes argued in 2002 that the people later known as the Lydians and Etruscans had originally lived in northwest Anatolia, with a coastline to the Sea of Marmara, whence they were driven by the Phrygians circa 1200 BC, leaving a remnant known in antiquity as the Tyrsenoi. A segment of this people moved south-west to Lydia, becoming known as the Lydians, while others sailed away to take refuge in Italy, where they became known as Etruscans. This account draws on the well-known story by Herodotus (I, 94) of the Lydian origin of the Etruscans or Tyrrhenians, famously rejected by Dionysius of Halicarnassus (book I), partly on the authority of Xanthus, a Lydian historian, who had no knowledge of the story, and partly on what he judged to be the different languages, laws, and religions of the two peoples. In 2006, Frederik Woudhuizen went further on Herodotus' traces, suggesting that Etruscan belongs to the Anatolian branch of the Indo-European family, specifically to Luwian. Woudhuizen revived a conjecture to the effect that the Tyrsenians came from Anatolia, including Lydia, whence they were driven by the Cimmerians in the early Iron Age, 750–675 BC, leaving some colonists on Lemnos. He makes a number of comparisons of Etruscan to Luwian and asserts that Etruscan is modified Luwian. He accounts for the non-Luwian features as a Mysian influence: \"deviations from Luwian [...] may plausibly be ascribed to the dialect of the indigenous population of Mysia.\" According to Woudhuizen, the Etruscans were initially colonizing the Latins, bringing the alphabet from Anatolia. For historical, archaeological, genetic, and linguistic reasons, a relationship between Etruscan and the Indo-European Anatolian languages (Lydian or Luwian) and the idea that the Etruscans initially colonized the Latins, bringing the alphabet from Anatolia, have not been accepted, just as the Lydian origin story reported by Herodotus is no longer considered reliable.", "title": "Classification" }, { "paragraph_id": 25, "text": "The interest in Etruscan antiquities and the Etruscan language found its modern origin in a book by a Renaissance Dominican friar, Annio da Viterbo, a cabalist and orientalist now remembered mainly for literary forgeries. In 1498, Annio published his antiquarian miscellany titled Antiquitatum variarum (in 17 volumes) where he put together a theory in which both the Hebrew and Etruscan languages were said to originate from a single source, the \"Aramaic\" spoken by Noah and his descendants, founders of the Etruscan city Viterbo.", "title": "Classification" }, { "paragraph_id": 26, "text": "The 19th century saw numerous attempts to reclassify Etruscan. Ideas of Semitic origins found supporters until this time. In 1858, the last attempt was made by Johann Gustav Stickel, Jena University in his Das Etruskische durch Erklärung von Inschriften und Namen als semitische Sprache erwiesen. A reviewer concluded that Stickel brought forward every possible argument which would speak for that hypothesis, but he proved the opposite of what he had attempted to do. In 1861, Robert Ellis proposed that Etruscan was related to Armenian. Exactly 100 years later, a relationship with Albanian was to be advanced by Zecharia Mayani, a theory regarded today as disproven and discredited.", "title": "Classification" }, { "paragraph_id": 27, "text": "Several theories from the late 19th and early 20th centuries connected Etruscan to Uralic or even Altaic languages. In 1874, the British scholar Isaac Taylor brought up the idea of a genetic relationship between Etruscan and Hungarian, of which also Jules Martha would approve in his exhaustive study La langue étrusque (1913). In 1911, the French orientalist Baron Carra de Vaux suggested a connection between Etruscan and the Altaic languages. The Hungarian connection was revived by Mario Alinei, Emeritus Professor of Italian Languages at the University of Utrecht. Alinei's proposal has been rejected by Etruscan experts such as Giulio M. Facchetti, Finno-Ugric experts such as Angela Marcantonio, and by Hungarian historical linguists such as Bela Brogyanyi. Another proposal, pursued mainly by a few linguists from the former Soviet Union, suggested a relationship with Northeast Caucasian (or Nakh-Daghestanian) languages. None of these theories has been accepted nor enjoys consensus.", "title": "Classification" }, { "paragraph_id": 28, "text": "The Latin script owes its existence to the Etruscan alphabet, which was adapted for Latin in the form of the Old Italic script. The Etruscan alphabet employs a Euboean variant of the Greek alphabet using the letter digamma and was in all probability transmitted through Pithecusae and Cumae, two Euboean settlements in southern Italy. This system is ultimately derived from West Semitic scripts.", "title": "Writing system" }, { "paragraph_id": 29, "text": "The Etruscans recognized a 26-letter alphabet, which makes an early appearance incised for decoration on a small bucchero terracotta lidded vase in the shape of a cockerel at the Metropolitan Museum of Art, ca. 650–600 BC. The full complement of 26 has been termed the model alphabet. The Etruscans did not use four letters of it, mainly because Etruscan did not have the voiced stops b, d and g; the o was also not used. They innovated one letter for f (𐌚).", "title": "Writing system" }, { "paragraph_id": 30, "text": "Writing was from right to left except in archaic inscriptions, which occasionally used boustrophedon. An example found at Cerveteri used left to right. In the earliest inscriptions, the words are continuous. From the 6th century BC, they are separated by a dot or a colon, which might also be used to separate syllables. Writing was phonetic; the letters represented the sounds and not conventional spellings. On the other hand, many inscriptions are highly abbreviated and often casually formed, so the identification of individual letters is sometimes difficult. Spelling might vary from city to city, probably reflecting differences of pronunciation.", "title": "Writing system" }, { "paragraph_id": 31, "text": "Speech featured a heavy stress on the first syllable of a word, causing syncopation by weakening of the remaining vowels, which then were not represented in writing: Alcsntre for Alexandros, Rasna for Rasena. This speech habit is one explanation of the Etruscan \"impossible\" consonant clusters. Some of the consonants, especially resonants, however, may have been syllabic, accounting for some of the clusters (see below under Consonants). In other cases, the scribe sometimes inserted a vowel: Greek Hēraklēs became Hercle by syncopation and then was expanded to Herecele. Pallottino regarded this variation in vowels as \"instability in the quality of vowels\" and accounted for the second phase (e.g. Herecele) as \"vowel harmony, i.e., of the assimilation of vowels in neighboring syllables\".", "title": "Writing system" }, { "paragraph_id": 32, "text": "The writing system had two historical phases: the archaic from the seventh to fifth centuries BC, which used the early Greek alphabet, and the later from the fourth to first centuries BC, which modified some of the letters. In the later period, syncopation increased.", "title": "Writing system" }, { "paragraph_id": 33, "text": "The alphabet went on in modified form after the language disappeared. In addition to being the source of the Roman and early Oscan and Umbrian alphabets, it has been suggested that it passed northward into Veneto and from there through Raetia into the Germanic lands, where it became the Elder Futhark alphabet, the oldest form of the runes.", "title": "Writing system" }, { "paragraph_id": 34, "text": "The Etruscan corpus is edited in the Corpus Inscriptionum Etruscarum (CIE) and Thesaurus Linguae Etruscae (TLE).", "title": "Corpus" }, { "paragraph_id": 35, "text": "The Pyrgi Tablets are a bilingual text in Etruscan and Phoenician engraved on three gold leaves, one for the Phoenician and two for the Etruscan. The Etruscan language portion has 16 lines and 37 words. The date is roughly 500 BC.", "title": "Corpus" }, { "paragraph_id": 36, "text": "The tablets were found in 1964 by Massimo Pallottino during an excavation at the ancient Etruscan port of Pyrgi, now Santa Severa. The only new Etruscan word that could be extracted from close analysis of the tablets was the word for 'three', ci.", "title": "Corpus" }, { "paragraph_id": 37, "text": "According to Rix and his collaborators, only two unified (though fragmentary) long texts are available in Etruscan:", "title": "Corpus" }, { "paragraph_id": 38, "text": "Some additional longer texts are:", "title": "Corpus" }, { "paragraph_id": 39, "text": "The main material repository of Etruscan civilization, from the modern perspective, is its tombs, all other public and private buildings having been dismantled and the stone reused centuries ago. The tombs are the main source of Etruscan portables, provenance unknown, in collections throughout the world. Their incalculable value has created a brisk black market in Etruscan objets d'art – and equally brisk law enforcement effort, as it is illegal to remove any objects from Etruscan tombs without authorization from the Italian government.", "title": "Corpus" }, { "paragraph_id": 40, "text": "The magnitude of the task involved in cataloguing them means that the total number of tombs is unknown. They are of many types. Especially plentiful are the hypogeal or \"underground\" chambers or system of chambers cut into tuff and covered by a tumulus. The interior of these tombs represents a habitation of the living stocked with furniture and favorite objects. The walls may display painted murals, the predecessor of wallpaper. Tombs identified as Etruscan date from the Villanovan period to about 100 BC, when presumably the cemeteries were abandoned in favor of Roman ones. Some of the major cemeteries are as follows:", "title": "Corpus" }, { "paragraph_id": 41, "text": "See Votive gifts.", "title": "Corpus" }, { "paragraph_id": 42, "text": "One example of an early (pre-fifth century BC) votive inscription is on a bucchero oinochoe (wine vase): ṃiṇi mulvaṇịce venalia ṡlarinaṡ. en mipi kapi ṃi(r) ṇuṇai = “Venalia Ṡlarinaṡ gave me. Do not touch me (?), I (am) nunai (an offering?).\" This seems to be a rare case from this early period of a female (Venalia) dedicating the votive.", "title": "Corpus" }, { "paragraph_id": 43, "text": "A speculum is a circular or oval hand-mirror used predominantly by Etruscan women. Speculum is Latin; the Etruscan word is malena or malstria. Specula were cast in bronze as one piece or with a tang into which a wooden, bone, or ivory handle fitted. The reflecting surface was created by polishing the flat side. A higher percentage of tin in the mirror improved its ability to reflect. The other side was convex and featured intaglio or cameo scenes from mythology. The piece was generally ornate.", "title": "Corpus" }, { "paragraph_id": 44, "text": "About 2,300 specula are known from collections all over the world. As they were popular plunderables, the provenance of only a minority is known. An estimated time window is 530–100 BC. Most probably came from tombs.", "title": "Corpus" }, { "paragraph_id": 45, "text": "Many bear inscriptions naming the persons depicted in the scenes, so they are often called picture bilinguals. In 1979, Massimo Pallottino, then president of the Istituto di Studi Etruschi ed Italici initiated the Committee of the Corpus Speculorum Etruscanorum, which resolved to publish all the specula and set editorial standards for doing so.", "title": "Corpus" }, { "paragraph_id": 46, "text": "Since then, the committee has grown, acquiring local committees and representatives from most institutions owning Etruscan mirror collections. Each collection is published in its own fascicle by diverse Etruscan scholars.", "title": "Corpus" }, { "paragraph_id": 47, "text": "A cista is a bronze container of circular, ovoid, or more rarely rectangular shape used by women for the storage of sundries. They are ornate, often with feet and lids to which figurines may be attached. The internal and external surfaces bear carefully crafted scenes usually from mythology, usually intaglio, or rarely part intaglio, part cameo.", "title": "Corpus" }, { "paragraph_id": 48, "text": "Cistae date from the Roman Republic of the fourth and third centuries BC in Etruscan contexts. They may bear various short inscriptions concerning the manufacturer or owner or subject matter. The writing may be Latin, Etruscan, or both. Excavations at Praeneste, an Etruscan city which became Roman, turned up about 118 cistae, one of which has been termed \"the Praeneste cista\" or \"the Ficoroni cista\" by art analysts, with special reference to the one manufactured by Novios Plutius and given by Dindia Macolnia to her daughter, as the archaic Latin inscription says. All of them are more accurately termed \"the Praenestine cistae\".", "title": "Corpus" }, { "paragraph_id": 49, "text": "Among the most plunderable portables from the Etruscan tombs of Etruria are the finely engraved gemstones set in patterned gold to form circular or ovoid pieces intended to go on finger rings. Around one centimeter in size, they are dated to the Etruscan apogee from the second half of the sixth to the first centuries BC. The two main theories of manufacture are native Etruscan and Greek. The materials are mainly dark red carnelian, with agate and sard entering usage from the third to the first centuries BC, along with purely gold finger rings with a hollow engraved bezel setting. The engravings, mainly cameo, but sometimes intaglio, depict scarabs at first and then scenes from Greek mythology, often with heroic personages called out in Etruscan. The gold setting of the bezel bears a border design, such as cabling.", "title": "Corpus" }, { "paragraph_id": 50, "text": "Etruscan-minted coins can be dated between the 5th and 3rd centuries BC. Use of the 'Chalcidian' standard, based on the silver unit of 5.8 grams, indicates that this custom, like the alphabet, came from Greece. Roman coinage later supplanted Etruscan, but the basic Roman coin, the sesterce, is believed to have been based on the 2.5-denomination Etruscan coin. Etruscan coins have turned up in caches or individually in tombs and in excavations seemingly at random, and concentrated, of course, in Etruria.", "title": "Corpus" }, { "paragraph_id": 51, "text": "Etruscan coins were in gold, silver, and bronze, the gold and silver usually having been struck on one side only. The coins often bore a denomination, sometimes a minting authority name, and a cameo motif. Gold denominations were in units of silver; silver, in units of bronze. Full or abbreviated names are mainly Pupluna (Populonia), Vatl or Veltuna (Vetulonia), Velathri (Volaterrae), Velzu or Velznani (Volsinii) and Cha for Chamars (Camars). Insignia are mainly heads of mythological characters or depictions of mythological beasts arranged in a symbolic motif: Apollo, Zeus, Culsans, Athena, Hermes, griffin, gorgon, male sphinx, hippocamp, bull, snake, eagle, or other creatures which had symbolic significance.", "title": "Corpus" }, { "paragraph_id": 52, "text": "Wallace et alia include the following categories, based on the uses to which they were put, on their site: abecedaria (alphabets), artisans' texts, boundary markers, construction texts, dedications, didaskalia (instructional texts), funerary texts, legal texts, other/unclear texts, prohibitions, proprietary texts (indicating ownership), religious texts, tesserae hospitales (tokens that establish \"the claim of the bearer to hospitality when travelling\").", "title": "Corpus" }, { "paragraph_id": 53, "text": "In the tables below, conventional letters used for transliterating Etruscan are accompanied by likely pronunciation in IPA symbols within the square brackets, followed by examples of the early Etruscan alphabet which would have corresponded to these sounds.", "title": "Phonology" }, { "paragraph_id": 54, "text": "The Etruscan vowel system consisted of four distinct vowels. The vowels o and u appear to have not been phonetically distinguished based on the nature of the writing system, as only one symbol is used to cover both in loans from Greek (e.g. Greek κώθων kōthōn > Etruscan qutun 'pitcher').", "title": "Phonology" }, { "paragraph_id": 55, "text": "Before the front vowels ⟨c⟩ is used, while ⟨k⟩ and ⟨q⟩ are used before respectively unrounded and rounded back vowels.", "title": "Phonology" }, { "paragraph_id": 56, "text": "Etruscan also might have had consonants ʧ and ʧʰ, as they might be represented in the writing by using two letters, like in the word prumaθś ('great-nephew' or 'great-grandson'). However, this theory is not widely accepted.", "title": "Phonology" }, { "paragraph_id": 57, "text": "The Etruscan consonant system primarily distinguished between aspirated and non-aspirated stops. There were no voiced stops. When words from foreign languages were borrowed into Etruscan, voiced stops typically became unvoiced stops; one example is Greek thriambos, which became Etruscan triumpus and Latin triumphus. Such a lack of voiced stops is not particularly unusual; it is found e.g. in modern Icelandic, in Scottish Gaelic, and in most Chinese languages. Even in English, aspiration is often more important than voice in the distinction of fortis-lenis pairs.", "title": "Phonology" }, { "paragraph_id": 58, "text": "Based on standard spellings by Etruscan scribes of words without vowels or with unlikely consonant clusters (e.g. cl 'of this (gen.)' and lautn 'freeman'), it is likely that /m n l r/ were sometimes syllabic sonorants (cf. English little, button). Thus cl /kl̩/ and lautn /ˈlɑwtn̩/.", "title": "Phonology" }, { "paragraph_id": 59, "text": "Rix postulates several syllabic consonants, namely /l, r, m, n/ and palatal /lʲ, rʲ, nʲ/ as well as a labiovelar fricative /xʷ/, and some scholars such as Mauro Cristofani also view the aspirates as palatal rather than aspirated but these views are not shared by most Etruscologists. Rix supports his theories by means of variant spellings such as amφare/amφiare, larθal/larθial, aranθ/aranθiia.", "title": "Phonology" }, { "paragraph_id": 60, "text": "Etruscan was an agglutinative language, varying the endings of nouns, adjectives, pronouns and verbs with discrete endings for each function. It also had adverbs and conjunctions, whose endings did not vary.", "title": "Morphology" }, { "paragraph_id": 61, "text": "Etruscan substantives had five cases—nominative, accusative, genitive, dative, and locative—and two numbers: singular and a plural. Not all five cases are attested for every word. Nouns merge the nominative and accusative; pronouns do not generally merge these. Gender appears in personal names (masculine and feminine) and in pronouns (animate and inanimate); otherwise, it is not marked.", "title": "Morphology" }, { "paragraph_id": 62, "text": "Unlike the Indo-European languages, Etruscan noun endings were more agglutinative, with some nouns bearing two or three agglutinated suffixes. For example, where Latin would have distinct nominative plural and dative plural endings, Etruscan would suffix the case ending to a plural marker: Latin nominative singular fili-us, 'son', plural fili-i, dative plural fili-is, but Etruscan clan, clen-ar and clen-ar-aśi. Moreover, Etruscan nouns could bear multiple suffixes from the case paradigm alone: that is, Etruscan exhibited Suffixaufnahme. Pallottino calls this phenomenon \"morphological redetermination\", which he defines as \"the typical tendency ... to redetermine the syntactical function of the form by the superposition of suffixes.\" His example is Uni-al-θi, 'in the sanctuary of Juno', where -al is a genitive ending and -θi a locative.", "title": "Morphology" }, { "paragraph_id": 63, "text": "Steinbauer says of Etruscan, \"there can be more than one marker ... to design a case, and ... the same marker can occur for more than one case.\"", "title": "Morphology" }, { "paragraph_id": 64, "text": "Personal pronouns refer to persons; demonstrative pronouns point out English this, that, there.", "title": "Morphology" }, { "paragraph_id": 65, "text": "The first-person personal pronoun has a nominative mi ('I') and an accusative mini ('me'). The third person has a personal form an ('he' or 'she') and an inanimate in ('it'). The second person is uncertain but some scholars, such as the Bonfantes, have claimed a dative singular une ('to thee') and an accusative singular un ('thee').", "title": "Morphology" }, { "paragraph_id": 66, "text": "The demonstratives, ca and ta, are used without distinction for 'that' or 'this'. The nominative–accusative singular forms are: ica, eca, ca, ita, ta; the plural: cei, tei. There is a genitive singular: cla, tla, cal and plural clal. The accusative singular: can, cen, cn, ecn, etan, tn; plural cnl 'these/those'. Locative singular: calti, ceiθi, clθ(i), eclθi; plural caiti, ceiθi.", "title": "Morphology" }, { "paragraph_id": 67, "text": "Though uninflected for number, adjectives were inflected for case, agreeing with their noun: mlaχ 'good' versus genitive mlakas 'of (the) good...'", "title": "Morphology" }, { "paragraph_id": 68, "text": "Adjectives fall into a number of types formed from nouns with a suffix:", "title": "Morphology" }, { "paragraph_id": 69, "text": "Adverbs are unmarked: etnam, 'again'; θui, 'now, here'; θuni, 'at first' (compare θu 'one'). Most Indo-European adverbs are formed from the oblique cases, which become unproductive and descend to fixed forms. Cases such as the ablative are therefore called adverbial. If there is any such widespread system in Etruscan, it is not obvious from the relatively few surviving adverbs.", "title": "Morphology" }, { "paragraph_id": 70, "text": "The negative adverb is ei (for examples, see below in Imperative moods) .", "title": "Morphology" }, { "paragraph_id": 71, "text": "The two enclitic coordinate conjunctions ‐ka/‐ca/‐c 'and' and -um/‐m 'and, but' coordinated phrases and clauses, but phrases could also be coordinated without any conjunction (asyndetic).", "title": "Morphology" }, { "paragraph_id": 72, "text": "Verbs had an indicative mood, an imperative mood and others. Tenses were present and past. The past tense had an active voice and a passive voice.", "title": "Morphology" }, { "paragraph_id": 73, "text": "Etruscan used a verbal root with a zero suffix or -a without distinction to number or person: ar, ar-a, 'he, she, we, you, they make'.", "title": "Morphology" }, { "paragraph_id": 74, "text": "Adding the suffix -(a)ce' to the verb root produces a third-person singular active, which has been called variously a \"past\", a \"preterite\", a \"perfect.\" In contrast to Indo-European, this form is not marked for person. Examples: tur 'gives, dedicates' versus tur-ce 'gave, dedicated'; sval 'lives' versus sval-ce 'lived'.", "title": "Morphology" }, { "paragraph_id": 75, "text": "The third-person past passive is formed with -che: mena/mena-ce/mena-che, 'offers/offered/was offered'.", "title": "Morphology" }, { "paragraph_id": 76, "text": "The imperative was formed with the simple, uninflected root of the verb: tur 'dedicate!', σ́uθ 'put!', trin 'speak!' and nunθen 'invoke!').", "title": "Morphology" }, { "paragraph_id": 77, "text": "The imperative capi 'take, steal' is found in so‐called anti‐theft inscriptions:", "title": "Morphology" }, { "paragraph_id": 78, "text": "Verbs with the suffix ‐a indicated the jussive mood, with the force of commanding, or exhorting (within a subjunctive framework).", "title": "Morphology" }, { "paragraph_id": 79, "text": "Verbs ending in ‐ri referred to obligatory activities:", "title": "Morphology" }, { "paragraph_id": 80, "text": "Verbs formed participles in a variety of ways, among the most frequently attested being -u in lup-u 'dead' from lup- 'die'.", "title": "Morphology" }, { "paragraph_id": 81, "text": "Participles could also be formed with ‐θ. These referred to activities that were contemporaneous with that of the main verb: trin‐θ '(while) speaking', nunθen‐θ '(while) invoking', and heχσ‐θ '(while) pouring (?)'.", "title": "Morphology" }, { "paragraph_id": 82, "text": "Typical of SOV agglutinative languages, Etruscan had postpositions rather than prepositions, each governing a specific case.", "title": "Morphology" }, { "paragraph_id": 83, "text": "Only a few hundred words of the Etruscan vocabulary are understood with some certainty. The exact count depends on whether the different forms and the expressions are included. Below is a table of some of the words grouped by topic.", "title": "Vocabulary" }, { "paragraph_id": 84, "text": "Some words with corresponding Latin or other Indo-European forms are likely loanwords to or from Etruscan. For example, neftś 'nephew', is probably from Latin (Latin nepōs, nepōtis; this is a cognate of German Neffe, Old Norse nefi). A number of words and names for which Etruscan origin has been proposed survive in Latin.", "title": "Vocabulary" }, { "paragraph_id": 85, "text": "At least one Etruscan word has an apparent Semitic/Aramaic origin: talitha 'girl', that could have been transmitted by Phoenicians or by the Greeks (Greek: ταλιθα). The word pera 'house' is a false cognate to the Coptic per 'house'.", "title": "Vocabulary" }, { "paragraph_id": 86, "text": "In addition to words believed to have been borrowed into Etruscan from Indo-European or elsewhere, there is a corpus of words such as familia which seem to have been borrowed into Latin from the older Etruscan civilization as a superstrate influence. Some of these words still have widespread currency in English and Latin-influenced languages. Other words believed to have a possible Etruscan origin include:", "title": "Vocabulary" }, { "paragraph_id": 87, "text": "Much debate has been carried out about a possible Indo-European origin of the Etruscan cardinals. In the words of Larissa Bonfante (1990), \"What these numerals show, beyond any shadow of a doubt, is the non-Indo-European nature of the Etruscan language\". Conversely, other scholars, including Francisco R. Adrados, Albert Carnoy, Marcello Durante, Vladimir Georgiev, Alessandro Morandi and Massimo Pittau, have proposed a close phonetic proximity of the first ten Etruscan numerals to the corresponding numerals in other Indo-European languages.", "title": "Vocabulary" }, { "paragraph_id": 88, "text": "The lower Etruscan numerals are:", "title": "Vocabulary" }, { "paragraph_id": 89, "text": "It is unclear which of semφ, cezp, and nurφ are 7, 8 and 9. Śar may also mean 'twelve', with halχ for 'ten'.", "title": "Vocabulary" }, { "paragraph_id": 90, "text": "For higher numbers, it has been determined that zaθrum is 20, cealχ/*cialχ 30, *huθalχ 40, muvalχ 50, šealχ 60, and semφalχ and cezpalχ any two in the series 70–90. Śran is 100 (clearly < śar 10, just as Proto-Indo-European *dḱm̥tom- 100 is from *deḱm- 10). Further, θun-z, e-sl-z, ci-z(i) mean 'once, twice, and thrice' respectively; θun[š]na and *kisna 'first' and 'third'; θunur, zelur 'one by one', 'two by two'; and zelarve- and śarve are 'double' and 'quadruple'.", "title": "Vocabulary" }, { "paragraph_id": 91, "text": "From Tabula Capuana: (/ indicates line break; text from Alessandro Morandi Epigrafia Italica Rome, 1982, p.40)", "title": "Sample texts" }, { "paragraph_id": 92, "text": "First section probably for March (lines 1–7):", "title": "Sample texts" }, { "paragraph_id": 93, "text": "Start of second section for April (apirase)(starting on line 8):", "title": "Sample texts" } ]
Etruscan was the language of the Etruscan civilization in the ancient region of Etruria, in Etruria Padana and Etruria Campana in what is now Italy. Etruscan influenced Latin but was eventually completely superseded by it. The Etruscans left around 13,000 inscriptions that have been found so far, only a small minority of which are of significant length; some bilingual inscriptions with texts also in Latin, Greek, or Phoenician; and a few dozen purported loanwords. Attested from 700 BC to AD 50, the relation of Etruscan to other languages has been a source of long-running speculation and study, with it mostly being referred to as one of the Tyrsenian languages, at times as an isolate and a number of other less well-known theories. The consensus among linguists and Etruscologists is that Etruscan was a Pre-Indo-European and Paleo-European language, closely related to the Raetic language that was spoken in the Alps, and to the Lemnian language, attested in a few inscriptions on Lemnos. The Etruscan alphabet is similar to the English one. Therefore, linguists have been able to read the inscriptions in the sense of knowing roughly how they would have been pronounced, but have not yet understood their meaning. A comparison between the Etruscan and Greek alphabets reveal how accurately the Etruscans preserved the Greek alphabet. The Etruscan alphabet contains letters that have since been dropped from the Greek alphabet, such as the digamma, sampi and qoppa. Grammatically, the language is agglutinating, with nouns and verbs showing suffixed inflectional endings and some gradation of vowels. Nouns show five cases, singular and plural numbers, with a gender distinction between animate and inanimate in pronouns. Etruscan appears to have had a cross-linguistically common phonological system, with four phonemic vowels and an apparent contrast between aspirated and unaspirated stops. The records of the language suggest that phonetic change took place over time, with the loss and then re-establishment of word-internal vowels, possibly due to the effect of Etruscan's word-initial stress. Etruscan religion influenced that of the Romans, and many of the few surviving Etruscan-language artifacts are of votive or religious significance. Etruscan was written in an alphabet derived from the Greek alphabet; this alphabet was the source of the Latin alphabet, as well as other alphabets in Italy and probably beyond. The Etruscan language is also believed to be the source of certain important cultural words of Western Europe such as military and person, which do not have obvious Indo-European roots.
2001-05-13T19:26:30Z
2023-12-29T20:53:24Z
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https://en.wikipedia.org/wiki/Etruscan_language
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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 global 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. 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 (king) of a gaṇa (a tribal organization) was elected by the gaṇa. The raja always belonged to the Kshatriya varna (warrior class), and was typically a son of the previous raja. However, the gaṇa 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 (c. 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). 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. 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. Eligible voters may be subject to punitive measures such as a fine for not casting a vote. 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. 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. 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). Electoral systems are the detailed constitutional arrangements and voting systems that convert the vote into a political decision. The first step is for voters to cast the ballots, which may be simple single-choice ballots, but other types, such as multiple choice or ranked ballots may also be used. Then the votes are tallied, for which various vote counting systems may be used. and the voting system then determines 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 (single winner plurality voting) and different methods of majority voting (such as the widely used two-round system). 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. 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. 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 a 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 chooses 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. Rolling elections are elections in which all representatives in a body are elected, but these elections are spread over a period of time rather than all at once. Examples are the presidential primaries in the United States, Elections to the European Parliament (where, due to differing election laws in each member state, elections are held on different days of the same week) and, due to logistics, general elections in Lebanon and India. The voting procedure in the Legislative Assemblies of the Roman Republic are also a classical example. In rolling elections, voters have information about previous voters' choices. While in the first elections, there may be plenty of hopeful candidates, in the last rounds consensus on one winner is generally achieved. In today's context of rapid communication, candidates can put disproportionate resources into competing strongly in the first few stages, because those stages affect the reaction of latter stages. 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, and 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. 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. 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. Scheduling frequent elections can also lead to voter fatigue. 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, utilizing false information, were by China in Taiwan and by Russia in Latvia; the next highest levels were in Bahrain, Qatar and Hungary. 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. 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 the results of the 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 candidate(s) 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. Sham elections can sometimes 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 by the opposition National League for Democracy and consequently, the results were annulled. Examples of sham elections include: the presidential and parliamentary elections of the Islamic Republic of Iran, the 1929 and 1934 elections in Fascist Italy, the 1942 general election in Imperial Japan, those in Nazi Germany, East Germany, the 1940 elections of Stalinist "People's Parliaments" to legitimise the Soviet occupation of Estonia, Latvia and Lithuania, the 2014 and 2018 Egyptian presidential elections, those in Russia, the 2018 Venezuelan presidential election, the 1928, 1935, 1942, 1949, 1951 and 1958 elections in Portugal, the 1991 and 2019 Kazakh presidential elections, 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 it is believed that the government rigged the result. The first fair election was held in 1994, though the opposition did not win until 2000. A predetermined conclusion is permanently established by the regime through suppression of the opposition, coercion of voters, vote rigging, reporting several 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. Scholars argue that the predominance of elections in modern liberal democracies masks the fact that they are actually aristocratic selection mechanisms that deny each citizen an equal chance of holding public office. Such views were expressed as early as the time of Ancient Greece by Aristotle. According to French political scientist Bernard Manin, the inegalitarian nature of elections stems from four factors: the unequal treatment of candidates by voters, the distinction of candidates required by choice, the cognitive advantage conferred by salience, and the costs of disseminating information. These four factors result in the evaluation of candidates based on voters' partial standards of quality and social saliency (for example, skin color and good looks). This leads to self-selection biases in candidate pools due to unobjective standards of treatment by voters and the costs (barriers to entry) associated with raising one's political profile. Ultimately, the result is the election of candidates who are superior (whether in actuality or as perceived within a cultural context) and objectively unlike the voters they are supposed to represent. Additionally, evidence suggests that the concept of electing representatives was originally conceived to be different from democracy. Prior to the 18th century, some societies in Western Europe used sortition as a means to select rulers, a method which allowed regular citizens to exercise power, in keeping with understandings of democracy at the time. However, the idea of what constituted a legitimate government shifted in the 18th century to include consent, especially with the rise of the enlightenment. From this point onwards, sortition fell out of favor as a mechanism for selecting rulers. On the other hand, elections began to be seen as a way for the masses to express popular consent repeatedly, resulting in the triumph of the electoral process until the present day. This conceptual misunderstanding of elections as open and egalitarian when they are not innately so may thus be a root cause of the problems in contemporary governance. Those in favor of this view argue that the modern system of elections was never meant to give ordinary citizens the chance to exercise power - merely privileging their right to consent to those who rule. Therefore, the representatives that modern electoral systems select for are too disconnected, unresponsive, and elite-serving. To deal with this issue, various scholars have proposed alternative models of democracy, many of which include a return to sortition-based selection mechanisms. The extent to which sortition should be the dominant mode of selecting rulers or instead be hybridised with electoral representation remains a topic of debate.
[ { "paragraph_id": 0, "text": "An election is a formal group decision-making process by which a population chooses an individual or multiple individuals to hold public office.", "title": "" }, { "paragraph_id": 1, "text": "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.", "title": "" }, { "paragraph_id": 2, "text": "The global 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.", "title": "" }, { "paragraph_id": 3, "text": "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.", "title": "" }, { "paragraph_id": 4, "text": "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.", "title": "" }, { "paragraph_id": 5, "text": "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).", "title": "History" }, { "paragraph_id": 6, "text": "In the Vedic period of India, the raja (king) of a gaṇa (a tribal organization) was elected by the gaṇa. The raja always belonged to the Kshatriya varna (warrior class), and was typically a son of the previous raja. However, the gaṇa 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.", "title": "History" }, { "paragraph_id": 7, "text": "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 (c. 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.", "title": "History" }, { "paragraph_id": 8, "text": "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).", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "Contexts of elections" }, { "paragraph_id": 10, "text": "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.", "title": "Electorate" }, { "paragraph_id": 11, "text": "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).", "title": "Electorate" }, { "paragraph_id": 12, "text": "Suffrage is typically only for citizens of the country, though further limits may be imposed.", "title": "Electorate" }, { "paragraph_id": 13, "text": "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.", "title": "Electorate" }, { "paragraph_id": 14, "text": "In some countries, voting is required by law. Eligible voters may be subject to punitive measures such as a fine for not casting a vote. 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.", "title": "Electorate" }, { "paragraph_id": 15, "text": "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).", "title": "Electorate" }, { "paragraph_id": 16, "text": "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.", "title": "Electorate" }, { "paragraph_id": 17, "text": "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.", "title": "Candidates" }, { "paragraph_id": 18, "text": "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).", "title": "Candidates" }, { "paragraph_id": 19, "text": "", "title": "Candidates" }, { "paragraph_id": 20, "text": "Electoral systems are the detailed constitutional arrangements and voting systems that convert the vote into a political decision.", "title": "Electoral systems" }, { "paragraph_id": 21, "text": "The first step is for voters to cast the ballots, which may be simple single-choice ballots, but other types, such as multiple choice or ranked ballots may also be used. Then the votes are tallied, for which various vote counting systems may be used. and the voting system then determines 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 (single winner plurality voting) and different methods of majority voting (such as the widely used two-round system). 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).", "title": "Electoral systems" }, { "paragraph_id": 22, "text": "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.", "title": "Electoral systems" }, { "paragraph_id": 23, "text": "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.", "title": "Electoral systems" }, { "paragraph_id": 24, "text": "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.", "title": "Campaigns" }, { "paragraph_id": 25, "text": "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.", "title": "Campaigns" }, { "paragraph_id": 26, "text": "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.", "title": "Election timing" }, { "paragraph_id": 27, "text": "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 a 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 chooses 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.", "title": "Election timing" }, { "paragraph_id": 28, "text": "Rolling elections are elections in which all representatives in a body are elected, but these elections are spread over a period of time rather than all at once. Examples are the presidential primaries in the United States, Elections to the European Parliament (where, due to differing election laws in each member state, elections are held on different days of the same week) and, due to logistics, general elections in Lebanon and India. The voting procedure in the Legislative Assemblies of the Roman Republic are also a classical example.", "title": "Election timing" }, { "paragraph_id": 29, "text": "In rolling elections, voters have information about previous voters' choices. While in the first elections, there may be plenty of hopeful candidates, in the last rounds consensus on one winner is generally achieved. In today's context of rapid communication, candidates can put disproportionate resources into competing strongly in the first few stages, because those stages affect the reaction of latter stages.", "title": "Election timing" }, { "paragraph_id": 30, "text": "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, and 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.", "title": "Non-democratic elections" }, { "paragraph_id": 31, "text": "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.", "title": "Non-democratic elections" }, { "paragraph_id": 32, "text": "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.", "title": "Non-democratic elections" }, { "paragraph_id": 33, "text": "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. Scheduling frequent elections can also lead to voter fatigue.", "title": "Non-democratic elections" }, { "paragraph_id": 34, "text": "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, utilizing false information, were by China in Taiwan and by Russia in Latvia; the next highest levels were in Bahrain, Qatar and Hungary.", "title": "Non-democratic elections" }, { "paragraph_id": 35, "text": "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.", "title": "Non-democratic elections" }, { "paragraph_id": 36, "text": "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 the results of the election.", "title": "Non-democratic elections" }, { "paragraph_id": 37, "text": "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 candidate(s) 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.", "title": "Non-democratic elections" }, { "paragraph_id": 38, "text": "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.", "title": "Non-democratic elections" }, { "paragraph_id": 39, "text": "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.", "title": "Non-democratic elections" }, { "paragraph_id": 40, "text": "Sham elections can sometimes 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 by the opposition National League for Democracy and consequently, the results were annulled.", "title": "Non-democratic elections" }, { "paragraph_id": 41, "text": "Examples of sham elections include: the presidential and parliamentary elections of the Islamic Republic of Iran, the 1929 and 1934 elections in Fascist Italy, the 1942 general election in Imperial Japan, those in Nazi Germany, East Germany, the 1940 elections of Stalinist \"People's Parliaments\" to legitimise the Soviet occupation of Estonia, Latvia and Lithuania, the 2014 and 2018 Egyptian presidential elections, those in Russia, the 2018 Venezuelan presidential election, the 1928, 1935, 1942, 1949, 1951 and 1958 elections in Portugal, the 1991 and 2019 Kazakh presidential elections, those in North Korea, the 1995 and 2002 presidential referendums in Saddam Hussein's Iraq and the 2021 Hong Kong legislative election.", "title": "Non-democratic elections" }, { "paragraph_id": 42, "text": "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 it is believed that the government rigged the result. The first fair election was held in 1994, though the opposition did not win until 2000.", "title": "Non-democratic elections" }, { "paragraph_id": 43, "text": "A predetermined conclusion is permanently established by the regime through suppression of the opposition, coercion of voters, vote rigging, reporting several 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.", "title": "Non-democratic elections" }, { "paragraph_id": 44, "text": "Scholars argue that the predominance of elections in modern liberal democracies masks the fact that they are actually aristocratic selection mechanisms that deny each citizen an equal chance of holding public office. Such views were expressed as early as the time of Ancient Greece by Aristotle. According to French political scientist Bernard Manin, the inegalitarian nature of elections stems from four factors: the unequal treatment of candidates by voters, the distinction of candidates required by choice, the cognitive advantage conferred by salience, and the costs of disseminating information. These four factors result in the evaluation of candidates based on voters' partial standards of quality and social saliency (for example, skin color and good looks). This leads to self-selection biases in candidate pools due to unobjective standards of treatment by voters and the costs (barriers to entry) associated with raising one's political profile. Ultimately, the result is the election of candidates who are superior (whether in actuality or as perceived within a cultural context) and objectively unlike the voters they are supposed to represent.", "title": "Elections as aristocratic" }, { "paragraph_id": 45, "text": "Additionally, evidence suggests that the concept of electing representatives was originally conceived to be different from democracy. Prior to the 18th century, some societies in Western Europe used sortition as a means to select rulers, a method which allowed regular citizens to exercise power, in keeping with understandings of democracy at the time. However, the idea of what constituted a legitimate government shifted in the 18th century to include consent, especially with the rise of the enlightenment. From this point onwards, sortition fell out of favor as a mechanism for selecting rulers. On the other hand, elections began to be seen as a way for the masses to express popular consent repeatedly, resulting in the triumph of the electoral process until the present day.", "title": "Elections as aristocratic" }, { "paragraph_id": 46, "text": "This conceptual misunderstanding of elections as open and egalitarian when they are not innately so may thus be a root cause of the problems in contemporary governance. Those in favor of this view argue that the modern system of elections was never meant to give ordinary citizens the chance to exercise power - merely privileging their right to consent to those who rule. Therefore, the representatives that modern electoral systems select for are too disconnected, unresponsive, and elite-serving. To deal with this issue, various scholars have proposed alternative models of democracy, many of which include a return to sortition-based selection mechanisms. The extent to which sortition should be the dominant mode of selecting rulers or instead be hybridised with electoral representation remains a topic of debate.", "title": "Elections as aristocratic" } ]
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 global 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. 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.
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https://en.wikipedia.org/wiki/Election
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Enniskillen
Enniskillen (/ˌɛnɪsˈkɪlən/ EN-iss-KIL-ən, from Irish: Inis Ceithleann [ˈɪnʲɪʃ ˈcɛlʲən̪ˠ], '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 14,086 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. The town's name comes from the Irish: Inis Ceithleann. 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. 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 in 1612. 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. By 1630 the town had around 180 inhabitants, mostly comprising English and Scottish settlers. 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. Enniskillen is the site of the foundation of two British Army regiments: 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. 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. 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. On Census day 2021 there were 14,086 people living in Enniskillen. Of these: 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: There are four churches in the town centre. These are: There are several other churches outside the town centre. Some of these buildings are outside the town. 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. Enniskillen Rugby Football Club was founded in 1925 and plays its home games at Mullaghmeen. The club currently fields 4 senior men's teams, a senior ladies' team, 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 the Dublin University Football Club. The first match was played on 30 September 1925 against Ballyshannon in County Donegal. Enniskillen Gaels is a Gaelic Athletic Association club founded in 1927. It is based at Brewster Park, Enniskillen. The club has had success in both Gaelic football and hurling winning in both county and provincial competitions. 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". 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. 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 to continue and forced it also to close. 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. A connecting bus from Sligo via Manorhamilton to Enniskillen is operated by Bus Éireann. 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. 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. 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. 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. 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 8+1⁄2 mi (14 km) northwest of Enniskillen. Data has also more recently been collected from Enniskillen/St Angelo Airport, under 4 mi (6 km) 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 29.8 °C (85.6 °F), recorded during July 2006. In an 'average' year, the warmest day is 25.5 °C (77.9 °F) and only 2.4 days a year should rise to 25.1 °C (77.2 °F) or above. The respective absolute maximum for St Angelo is 29.4 °C (84.9 °F) The absolute minimum temperature is −12.9 °C (8.8 °F), recorded during January 1984. In an 'average' year, the coldest night should fall to −8.2 °C (17.2 °F). 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 −14.5 °C (5.9 °F), 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 18.8 °C (65.8 °F) (mean maximum 23.3 °C (73.9 °F), mean minimum 12.9 °C (55.2 °F)), while the coldest month was December 2010, with a mean temperature of −1.8 °C (28.8 °F) (mean maximum 2.9 °C (37.2 °F), mean minimum −5.9 °C (21.4 °F)). 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).
[ { "paragraph_id": 0, "text": "Enniskillen (/ˌɛnɪsˈkɪlən/ EN-iss-KIL-ən, from Irish: Inis Ceithleann [ˈɪnʲɪʃ ˈcɛlʲən̪ˠ], '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 14,086 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.", "title": "" }, { "paragraph_id": 1, "text": "The town's name comes from the Irish: Inis Ceithleann. 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.", "title": "Toponymy" }, { "paragraph_id": 2, "text": "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.", "title": "History" }, { "paragraph_id": 3, "text": "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 in 1612.", "title": "History" }, { "paragraph_id": 4, "text": "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. By 1630 the town had around 180 inhabitants, mostly comprising English and Scottish settlers. 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.", "title": "History" }, { "paragraph_id": 5, "text": "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.", "title": "History" }, { "paragraph_id": 6, "text": "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.", "title": "History" }, { "paragraph_id": 7, "text": "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.", "title": "History" }, { "paragraph_id": 8, "text": "Enniskillen is the site of the foundation of two British Army regiments:", "title": "History" }, { "paragraph_id": 9, "text": "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.", "title": "History" }, { "paragraph_id": 10, "text": "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.", "title": "History" }, { "paragraph_id": 11, "text": "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.", "title": "History" }, { "paragraph_id": 12, "text": "On Census day 2021 there were 14,086 people living in Enniskillen. Of these:", "title": "Demography" }, { "paragraph_id": 13, "text": "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:", "title": "Demography" }, { "paragraph_id": 14, "text": "There are four churches in the town centre. These are:", "title": "Places of interest" }, { "paragraph_id": 15, "text": "There are several other churches outside the town centre.", "title": "Places of interest" }, { "paragraph_id": 16, "text": "Some of these buildings are outside the town.", "title": "Places of interest" }, { "paragraph_id": 17, "text": "The town has two association football teams called Enniskillen Rangers and Enniskillen Town United F.C.", "title": "Sports" }, { "paragraph_id": 18, "text": "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.", "title": "Sports" }, { "paragraph_id": 19, "text": "Enniskillen Rangers have several notable former players including Sandy Fulton and Jim Cleary.", "title": "Sports" }, { "paragraph_id": 20, "text": "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.", "title": "Sports" }, { "paragraph_id": 21, "text": "Enniskillen Rugby Football Club was founded in 1925 and plays its home games at Mullaghmeen. The club currently fields 4 senior men's teams, a senior ladies' team, 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.", "title": "Sports" }, { "paragraph_id": 22, "text": "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 the Dublin University Football Club. The first match was played on 30 September 1925 against Ballyshannon in County Donegal.", "title": "Sports" }, { "paragraph_id": 23, "text": "Enniskillen Gaels is a Gaelic Athletic Association club founded in 1927. It is based at Brewster Park, Enniskillen. The club has had success in both Gaelic football and hurling winning in both county and provincial competitions.", "title": "Sports" }, { "paragraph_id": 24, "text": "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.", "title": "International events" }, { "paragraph_id": 25, "text": "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.", "title": "International events" }, { "paragraph_id": 26, "text": "In January 2009, Enniskillen hosted the ceremonial start of Rally Ireland 2009, the first stage of the WRC FIA World Rally Championship 2009 Calendar.", "title": "International events" }, { "paragraph_id": 27, "text": "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\".", "title": "International events" }, { "paragraph_id": 28, "text": "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.", "title": "Education" }, { "paragraph_id": 29, "text": "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 to continue and forced it also to close.", "title": "Transport" }, { "paragraph_id": 30, "text": "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. A connecting bus from Sligo via Manorhamilton to Enniskillen is operated by Bus Éireann.", "title": "Transport" }, { "paragraph_id": 31, "text": "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.", "title": "Transport" }, { "paragraph_id": 32, "text": "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.", "title": "Transport" }, { "paragraph_id": 33, "text": "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.", "title": "Transport" }, { "paragraph_id": 34, "text": "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.", "title": "Twinning" }, { "paragraph_id": 35, "text": "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.", "title": "Twinning" }, { "paragraph_id": 36, "text": "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 8+1⁄2 mi (14 km) northwest of Enniskillen. Data has also more recently been collected from Enniskillen/St Angelo Airport, under 4 mi (6 km) north of the town centre, which should in time give a more accurate representation of the climate of the Enniskillen area.", "title": "Climate" }, { "paragraph_id": 37, "text": "The absolute maximum temperature is 29.8 °C (85.6 °F), recorded during July 2006. In an 'average' year, the warmest day is 25.5 °C (77.9 °F) and only 2.4 days a year should rise to 25.1 °C (77.2 °F) or above. The respective absolute maximum for St Angelo is 29.4 °C (84.9 °F)", "title": "Climate" }, { "paragraph_id": 38, "text": "The absolute minimum temperature is −12.9 °C (8.8 °F), recorded during January 1984. In an 'average' year, the coldest night should fall to −8.2 °C (17.2 °F). 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 −14.5 °C (5.9 °F), reported during the record cold month of December 2010.", "title": "Climate" }, { "paragraph_id": 39, "text": "The warmest month on record at St Angelo was August 1995 with a mean temperature of 18.8 °C (65.8 °F) (mean maximum 23.3 °C (73.9 °F), mean minimum 12.9 °C (55.2 °F)), while the coldest month was December 2010, with a mean temperature of −1.8 °C (28.8 °F) (mean maximum 2.9 °C (37.2 °F), mean minimum −5.9 °C (21.4 °F)).", "title": "Climate" }, { "paragraph_id": 40, "text": "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.", "title": "Climate" }, { "paragraph_id": 41, "text": "The Köppen climate classification subtype for this climate is \"Cfb\" (Marine West Coast Climate/Oceanic climate).", "title": "Climate" } ]
Enniskillen 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 14,086 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.
2001-05-14T16:01:23Z
2023-08-27T17:10:52Z
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