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when you cancel a download where does the data already downloaded go ? | The space allocated for the entire program, it just becomes unmarked and available for rewriting. | [
"The data may be bought on tape or downloaded free of charge; one has to specify the intended use and sign a license agreement that allows NLM to use and modify the resulting application. NLM can cancel the agreement at any time, at which point the user has to erase the data files.\n",
"If an external data storage device is unexpectedly disengaged or accidentally removed while copying files onto it, the user is given the chance to retry the operation without restarting that file copy operation from the beginning; this gives the user the chance to reconnect that external data storage device involved and retry the operation.\n",
"Users are recommended to regularly backup their data using both a Memory Stick — for photos and contacts — and using the software MyPhoneExplorer to back up other data to a PC. A startup failure can be predicted when the text message menu can no longer be opened.\n",
"The computer that is attempting to go to that site will be blocked from that site only, but can surf any other site. It is a good idea to either redirect the output into nothingness ( 2/dev/null 1/dev/null) or into a file for later analysis ( file.tcpkill ). By default, it will redirect output to the console.\n",
"The company gave users 23 days to migrate or download their data, or it would be deleted. This move was criticized by many users as not being physically possible at the download rates provided by Bitcasa.\n",
"BULLET::::- support for downloading headers only, then deciding for each message whether to download, delete, or leave for later (\"Selective mail download\"). It is possible to download a message in full without deleting it from the server.\n",
"Following the agreement, Snapchat updated its privacy page to state that the company \"can't guarantee that messages will be deleted within a specific timeframe.\" Even after Snapchat deletes message data from their servers, that same data may remain in backup for a certain period of time. In a public blog post, the service warned that \"If you've ever tried to recover lost data after accidentally deleting a drive or maybe watched an episode of \"CSI\", you might know that with the right forensic tools, it's sometimes possible to retrieve data after it has been deleted.\"\n"
] |
Does Space-time have an elastic modulus? | The relationship between the bending of space-time and mass-energy, as you say, is that the Ricci tensor minus its trace times the metric (where the metric is a 4x4 matrix that describes the pythagorean theorem through spacetime and the Ricci tensor is a differential function of the metric) is equal to a constant (8 pi G/c^4 ) times the stress energy tensor, which is an extension of the stress tensor from mechanics.
Spacetime does have elastic (and viscous) properties, which are manifested as gravitational radiation. I'm not sure you can easily ascribe a modulus to it, but the shear induced by a change in the distribution of mass is proportional to the second time derivative of the moment of inertia. | [
"A principal premise of general relativity is that spacetime can be modeled as a 4-dimensional Lorentzian manifold of signature or, equivalently, . Unlike Riemannian manifolds with positive-definite metrics, an indefinite signature allows tangent vectors to be classified into \"timelike\", \"null\" or \"spacelike\". With a signature of or , the manifold is also locally (and possibly globally) time-orientable (see \"Causal structure\").\n",
"Mathematically, a fractal space-time is defined as a nondifferentiable generalization of Riemannian geometry. Such a fractal space-time geometry is the natural choice to develop this new principle of relativity, in the same way that curved geometries were needed to develop Einstein's theory of general relativity.\n",
"The constant also plays an analogous role in four-dimensional potentials associated with Einstein's equations, a fundamental formula which forms the basis of the general theory of relativity and describes the fundamental interaction of gravitation as a result of spacetime being curved by matter and energy:\n",
"Amrit Sorli and Davide Fiscaletti, founders of the Space Life Institute in Slovenia, argue that time exists independently of space, and that time dilation and length contraction can be better described within the framework of a 3D space, with time as the quantity used to measure change. Sorli and Fiscaletti argue that Minkowski spacetime, and the understanding of time as the fourth dimension, lacks any experimental support. They argue that time dilation experiments, such as demonstrating that clocks run slower in high-speed airplanes, support special relativity and time dilation, but not necessarily Minkowski spacetime or length contraction.\n",
"In relativity theory, the Ricci tensor is the part of the curvature of spacetime that determines the degree to which matter will tend to converge or diverge in time (via the Raychaudhuri equation). It is related to the matter content of the universe by means of the Einstein field equation. In differential geometry, lower bounds on the Ricci tensor on a Riemannian manifold allow one to extract global geometric and topological information by comparison (cf. comparison theorem) with the geometry of a constant curvature space form. If the Ricci tensor satisfies the vacuum Einstein equation, then the manifold is an Einstein manifold, which have been extensively studied (cf. ). In this connection, the Ricci flow equation governs the evolution of a given metric to an Einstein metric; the precise manner in which this occurs ultimately leads to the solution of the Poincaré conjecture.\n",
"Special relativity describes spacetime as a manifold whose metric tensor has a negative eigenvalue. This corresponds to the existence of a \"timelike\" direction. A modified metric with multiple negative eigenvalues would correspondingly imply a number of such timelike directions, but there is no consensus regarding the possible relationships of these extra \"times\" to time as conventionally understood.\n",
"where the Ricci tensor/scalar \"R\" and the metric tensor \"g\" describe the structure of spacetime, the stress–energy tensor \"T\" describes the energy and momentum density and flux of the matter in that point in spacetime, and the universal constants \"G\" and \"c\" are conversion factors that arise from using traditional units of measurement. When \"Λ\" is zero, this reduces to the field equation of general relativity usually used in the mid-20th century. When \"T\" is zero, the field equation describes empty space (the vacuum).\n"
] |
- what is the method for calculating how much sand you need in an hour glass of various sizes and times? | Though that is needed what’s more important first is the size of the tight canal they have to travel through, and the size of the grain. Then the volume of sand can be calculated | [
"An estimated 4.3 × 10 ergs or 4.3 × 10 joules of heat energy went into forming the glass and as the temperature required to melt the sand into the glass form observed was about 1470 Celsius, this was the estimated minimum temperature the sand was exposed to.\n",
"Although vital to navigation, the marine glass was not an accurate instrument to measure the passage of time. The design of the glass affected its accuracy in time measurement; the uniformity in fineness of the sand, the inner diameter of the connecting tube, and design aspects allowing wear that would effect the flow of sand all could contribute. In addition, many shipboard factors could affect the duration of sand's flow and therefore influence the time measured, including the humidity inside the glass, the ability for it to be positioned in a perfectly vertical position, and the acceleration or deceleration of the ship's movements. Finally, the use of short duration glasses to measure long periods of time introduced further error. Marine glass use was supplanted by reliable mechanical timepieces, and by other advances in marine navigation.\n",
"To perform a point count using the Gazzi-Dickinson method, a randomly selected thin section from a sedimentary rock is needed, with a slide advance mechanism that will randomly select points on the slide with a petrographic microscope. A minimum of 300 representative points (preferably 500 points) should be used to perform the count. On each randomly selected point that lands on a sand grain, the operator must determine the make-up of the area chosen, i.e. whether it is a mineral grain that is sand sized (larger than 62.5 micrometers) or a finer-grained fragment of another rock type, called a lithic fragment (e.g. a sand-sized piece of shale). These counts are then converted to percentages and used for compositional comparisons in provenance studies. Typically, only framework (non-matrix) grains are counted, or non-framework grains are counted and then excluded from percentages when using descriptive devices such as QFL triangles. This can create problems with pseudomatrix, which are lithic grains that have been deformed and thus blend in with (or have become) matrix.\n",
"A marine sandglass is a timepiece of simple design that is a relative of the common hourglass, a marine (nautical) instrument known since the 14th century (although reasonably presumed to be of very ancient use and origin). They were employed to measure the time at sea or on a given navigational course, in repeated measures of small time increments (e.g., 30 minutes). Used together with the chip log, smaller marine sandglasses were also used to measure the boat speed through the water in knots.\n",
"For table salt in 0.01 M solution at 25 °C, a typical value of formula_144 is 0.0005636, while a typical value of formula_145 is 7.017, highlighting the fact that, in low concentrations, formula_144 is a target for a zero order of magnitude approximation such as perturbation analysis. Unfortunately, because of the boundary condition at infinity, regular perturbation does not work. The same boundary condition prevents us from finding the exact solution to the equations. Singular perturbation may work, however.\n",
"Measurement of the pH of glass surfaces is particularly important if glass objects have a matte surface, or have been exposed to kaolin or other substances. In the case of extremely small objects such as glass beads, pH measurement may be necessary to determine whether alkaline salts are present and changes in the glass are occurring.\n",
"The surface may be either a horizontal metal plate or a leaf hanging naturally, or a bit of wool or cotton representing a large surface of fine fibres. The unit of time is usually one hour, and the measurement is made in the early morning, before the rising sun evaporates the dew. When the apparatus is made self-registering, the surface, with its accumulating dew, hangs at one end of a delicate balance, or from a delicate spiral metallic spring, and by its gradual sinking moves the index that makes the record on a moving sheet of paper.\n"
] |
Is gravity the only force that can produce a black hole? Could an extremely strong electomagnetic field create one? Also, is there a way to vary the strength of the weak and strong force in the lab? Could these forces be adjusted in a confined area? | According to the theory of General Relativity, it is mass-energy which warps spacetime, and if that energy comes in the form of photons, it can form an event horizon just like with matter, forming a [kugelblitz](_URL_0_). | [
"His research now focuses on gravitational self-force, which is the force on a body moving through a gravitational field arising from the mass and energy of the body itself. This self-force is expected to play a crucial role in understanding the motion of a stellar mass black hole orbiting and eventually spiraling into a supermassive black hole such as those that reside at the centers of galaxies. These astronomical systems will be of special interest to space-based gravitational wave detectors such as Laser Interferometer Space Antennae when they are built, because they will allow precision measurements of the gravitational field of a black hole for the first time.\n",
"Black holes are sites of immense gravitational attraction. Classically, the gravitation generated by the gravitational singularity inside a black hole is so powerful that nothing, not even electromagnetic radiation, can escape from the black hole. It is yet unknown how gravity can be incorporated into quantum mechanics. Nevertheless, far from the black hole, the gravitational effects can be weak enough for calculations to be reliably performed in the framework of quantum field theory in curved spacetime. Hawking showed that quantum effects allow black holes to emit exact black-body radiation. The electromagnetic radiation is produced as if emitted by a black body with a temperature inversely proportional to the mass of the black hole.\n",
"The weak field limit of this theory predicts an enhanced gravitational attraction on the boundaries of galaxies, where phenomena related to dark matter use to happen and agrees with General Relativity inward. The behavior of this weak field limit served, for instance, to correctly describe galaxy rotation curves, galactic light bending, and the Bullet Cluster phenomena, without requiring the existence of dark matter. The transition of a standard to enhanced gravitational attraction comes from the interplay between tensor, vector and scalar physical fields. However, this mechanism seems to work solely where gravity is weak. Close to black holes or other compact objects like neutron stars, the gravitational field is very strong and Moffat’s mechanism to retrieve General Relativity breaks.\n",
"Virtual gravitational processes don't conserve anything except gauge charges, because black holes decay into anything with the same charge. So it is difficult to suppress interactions at the gravitational scale. One way to do it is by postulating new gauge symmetries. A different way to suppress these interactions in the context of extra-dimensional models is the \"split fermion scenario\" proposed by Arkani-Hamed and Schmaltz in their paper \"Hierarchies without Symmetries from Extra Dimensions\". In this scenario the wavefunctions of particles that are bound to the brane have a finite width significantly smaller than the extra-dimension, but the center (e.g. of a gaussian wave-packet) can be dislocated along the direction of the extra dimension in what is known as a 'fat brane'. Integrating out the additional dimension(s) to obtain the effective coupling of higher-dimensional operators on the brane, the result is suppressed with the exponential of the square of the distance between the centers of the wave-functions, a factor that generates a suppression by many orders of magnitude already by a dislocation of only a few times the typical width of the wave-function.\n",
"In the last decade or so, a lot of progress has been made in calculating the gravitational self force for EMRIs. Numerical codes are available to calculate the gravitational self force on any bound orbit around a non-rotating (Schwarzschild) black hole. And significant progress has been made for calculating the gravitational self force around a rotating black hole.\n",
"There are several properties that make black holes most promising sources of gravitational waves. One reason is that black holes are the most compact objects that can orbit each other as part of a binary system; as a result, the gravitational waves emitted by such a system are especially strong. Another reason follows from what are called black-hole uniqueness theorems: over time, black holes retain only a minimal set of distinguishing features (these theorems have become known as \"no-hair\" theorems), regardless of the starting geometric shape. For instance, in the long term, the collapse of a hypothetical matter cube will not result in a cube-shaped black hole. Instead, the resulting black hole will be indistinguishable from a black hole formed by the collapse of a spherical mass. In its transition to a spherical shape, the black hole formed by the collapse of a more complicated shape will emit gravitational waves.\n",
"Freeman Dyson and Andrew Lenard did not consider the extreme magnetic or gravitational forces that occur in some astronomical objects. In 1995 Elliott Lieb and coworkers showed that the Pauli principle still leads to stability in intense magnetic fields such as in neutron stars, although at a much higher density than in ordinary matter. It is a consequence of general relativity that, in sufficiently intense gravitational fields, matter collapses to form a black hole.\n"
] |
How does blubber keep mammals warm despite nerves in the skin that sense the extreme cold? | There is a tolerance system involved. Whales don't dive from land to water so their receptor have time to adjust when they enter cold water(they enter gradually). For seals, bears and other "furry" mammals there is an extra thin layer of air/water that gets trapped in the fur and acts as an insulating layer. Even if they jump into cold water the receptors "get used" to the temperature and their signals get blocked after a while and only get reactivated when their signal changes(water temperature changes). | [
"Blubber has advantages over fur (as in sea otters) in that, though fur retains heat by holding pockets of air, the air expels under pressure (i.e., when the animal dives). Blubber, however, does not compress under pressure. It is effective enough that some whales can dwell in temperatures as low as . While diving in cold water, blood vessels covering the blubber constrict and decrease blood flow, thus increasing blubber's efficiency as an insulator.\n",
"In addition to behavioral adaptations, physiological adaptations help ectotherms regulate temperature. Diving reptiles conserve heat by heat exchange mechanisms, whereby cold blood from the skin picks up heat from blood moving outward from the body core, re-using and thereby conserving some of the heat that otherwise would have been wasted. The skin of bullfrogs secretes more mucus when it is hot, allowing more cooling by evaporation.\n",
"Glands in the skin discharge mucus which keeps the skin moist, an important factor in skin respiration and thermoregulation. The sticky layer helps protect against bacterial infections and molds, reduces friction when swimming, and makes the animal slippery and more difficult for predators to catch. Granular glands scattered on the upper surface, particularly the head, back, and tail, produce repellent or toxic secretions. Some salamander toxins are particularly potent. The rough-skinned newt (\"Taricha granulosa\") produces the neurotoxin tetrodotoxin, the most toxic nonprotein substance known. Handling the newts does no harm, but ingestion of even a minute fragment of skin is deadly. In feeding trials, fish, frogs, reptiles, birds, and mammals were all found to be susceptible.\n",
"Heat loss is a major threat to smaller creatures, as they have a larger ratio of surface area to volume. Small warm-blooded animals have insulation in the form of fur or feathers. Aquatic warm-blooded animals, such as seals, generally have deep layers of blubber under the skin and any pelage that they might have; both contribute to their insulation. Penguins have both feathers and blubber. Penguin feathers are scale-like and serve both for insulation and for streamlining. Endotherms that live in very cold circumstances or conditions predisposing to heat loss, such as polar waters, tend to have specialised structures of blood vessels in their extremities that act as heat exchangers. The veins are adjacent to the arteries full of warm blood. Some of the arterial heat is conducted to the cold blood and recycled back into the trunk. Birds, especially waders, often have very well-developed heat exchange mechanisms in their legs—those in the legs of emperor penguins are part of the adaptations that enable them to spend months on Antarctic winter ice. In response to cold many warm-blooded animals also reduce blood flow to the skin by vasoconstriction to reduce heat loss. As a result, they blanch (become paler).\n",
"When animals like the leatherback turtle and dolphins are in colder water to which they are not acclimatized, they use this CCHE mechanism to prevent heat loss from their flippers, tail flukes, and dorsal fins. Such CCHE systems are made up of a complex network of peri-arterial venous plexuses, or venae comitantes, that run through the blubber from their minimally insulated limbs and thin streamlined protuberances. Each plexus consists of a central artery containing warm blood from the heart surrounded by a bundle of veins containing cool blood from the body surface. As these fluids flow past each other, they create a heat gradient in which heat is transferred and retained inside the body. The warm arterial blood transfers most of its heat to the cool venous blood now coming in from the outside. This conserves heat by recirculating it back to the body core. Since the arteries give up a good deal of their heat in this exchange, there is less heat lost through convection at the periphery surface.\n",
"Thermoception is the sense of heat and the absence of heat (cold) by the skin and internal skin passages, or, rather, the heat flux (the rate of heat flow) in these areas. There are specialized receptors for cold (declining temperature) and for heat (increasing temperature). The cold receptors play an important part in the animal's sense of smell, telling wind direction. The heat receptors are sensitive to infrared radiation and can occur in specialized organs, for instance in pit vipers. The thermoceptors in the skin are quite different from the homeostatic thermoceptors in the brain (hypothalamus), which provide feedback on internal body temperature.\n",
"Warm and cold sensitive nerve fibers differ in structure and function. The cold-sensitive and warm-sensitive nerve fibers are underneath the skin surface. Terminals of each temperature-sensitive fiber do not branch away to different organs in the body. They form a small sensitive point which are unique from neighboring fibers. Skin used by the single receptor ending of a temperature-sensitive nerve fiber is small. There are 20 cold points per square centimeter in the lips, 4 in the finger, and less than 1 cold point per square centimeter in trunk areas. There are 5 times as many cold sensitive points as warm sensitive points.\n"
] |
what does it imply when i read that "patents will expire"? | I'm sure some people with patents would like that, but patents are first and foremost a way for *the public to buy inventions*, or rather information about the way inventions work. To get a patent, you have to tell the world how your invention works, and in exchange you get a limited time to be the only one who can market it (or you can license others to use it). After that time, the patented invention is in the public domain, free for anyone to make, use and sell. | [
"The term of a patent is the maximum period during which it can be maintained in force. It is usually expressed in a number of years either starting from the filing date of the patent application or from the date of grant of the patent. In most patent laws, renewal annuities or maintenance fees have to be regularly paid in order to keep the patent in force. Otherwise the patent lapses before term.\n",
"n light of those considerations, we conclude that a patentee's use of a royalty agreement that projects beyond the expiration date of the patent is unlawful per se. If that device were available to patentees, the free market visualized for the post-expiration period would be subject to monopoly influences that have no proper place there.\n",
"Consequently, in most patent laws nowadays, the term of patent is 20 years from the filing date of the application. This however does not forbid the states party to the WTO from providing, in their national law, other type of patent-like rights with shorter terms. Utility models are an example of such rights. Their term is usually 6 or 10 years.\n",
"Even if the scope of a patent is narrowed, neither reissue nor reexamination changes the original expiration date. A reissued or reexamined patent expires on the day the original granted patent would have ordinarily expired. Example: The validity of a patent (filing: January 1, 2000; issue: January 1, 2002; end: January 1, 2020) is challenged. The USPTO issues a Certificate of Reexamination on January 1, 2004. The reexamined patent is in force until January 1, 2020, assuming payment of all maintenance fees.\n",
"Patent law is designed to encourage inventors to disclose their new technology to the world by offering the incentive of a limited-time monopoly on the technology. For U.S. utility patents, this limited-time term of patent is 20 years from the earliest patent application filing date (but this term can be extended via patent term adjustment). After the patent term expires, the new technology enters the public domain and is free for anyone to use.\n",
"For almost 100 years, it has been well established that, in the case of an expired patent, the federal patent laws do create a federal right to \"copy and to use.\" \"Sears\" and \"Compco\" extended that rule to potentially patentable ideas which are fully exposed to the public. ... By offering patent-like protection for ideas deemed unprotected under the present federal scheme, the Florida statute conflicts with the \"strong federal policy favoring free competition in ideas which do not merit patent protection.\n",
"By this point, the original patents were approaching their 1995 expiration. P&G lobbied for an extension, which they received in December 1993. This extension lasted until 25 January 1996. With pressure from P&G, the approval was finally granted on 24 January, one day before the patent expired, automatically extending the patent two years.\n"
] |
Why do car horns sound like they do and which car was the first to make the sound we hear today?? | Most modern cars use a dual tone car horn that actually produces two different notes. The interaction of these two frequencies creates harmonics and are easier for humans to distinguish from general noise. Because of historic manufacturing legacies, most car manufacturers have the same tones in all their cars, and depending on the era, most cars of a single country of origin would have tones in the same key. These common horn keys (F, G & C) are all in the middle octaves, probably because it's easy for humans to hear (we've evolved acoustic and mental sensitivities to noises that are similar in tone to our voice). Most modern horns use a vibrating plate of metal to generate its tone, but trains and semi-trucks take advantage of their onboard air compressors to make really loud sounds. | [
"Oliver Lucas of Birmingham, England, developed a standard electric car horn in 1910. Car horns are usually electric, driven by a flat circular steel diaphragm that has an electromagnet acting on it in one direction and a spring pulling in the opposite direction. The diaphragm is attached to contact points that repeatedly interrupt the current to that electromagnet causing the diaphragm to spring back the other way, which complete the circuit again. This arrangement opens and closes the circuit hundreds of times per second which creates a loud noise like a buzzer or electric bell, which sound enters a horn to be amplified. There is usually a screw to adjust the distance/tension of the electrical contacts for best operation. A spiral exponential horn shape (sometimes called the \"snail\") is cast into the body of the horn, to better match the acoustical impedance of the diaphragm with open air, and thus more effectively transfer the sound energy. Sound levels of typical car horns are approximately 107–109 decibels, and they typically draw 5–6 amperes of current.\n",
"Most modern streetcars, trams and trolley cars including low-floor vehicles around the world also employ horns or whistles as a secondary auditory warning signal in addition to the gong/bell which either use the sound of air horns or electric automobile car horns.\n",
"A horn is a sound-making device that can be equipped to motor vehicles, buses, bicycles, trains, trams (otherwise known as streetcars in North America), and other types of vehicles. The sound made usually resembles a \"honk\" (older vehicles) or a \"beep\" (modern vehicles). The vehicle operator uses the horn to warn others of the vehicle's approach or presence, or to call attention to some hazard. Motor vehicles, ships and trains are required by law in some countries to have horns. Like trams, trolley cars and streetcars, bicycles are also legally required to have an audible warning device in many areas, but not universally, and not always a horn.\n",
"The sound of the carnyx was described as lugubrious and harsh, perhaps due to the loosened tongue of the bell, which shows that the instrument must have been a discrete enhancement of the Etruscan lituus, the sound of which was mostly described as bright and piercing. The carnyx was held vertically so that the sound would travel from more than three meters above the ground. Reconstructions have shown that the instrument's embouchure must have been cut diagonally as an oval opening, so the carnyx could be played in a similar fashion as a modern-day trumpet, i.e. with vibrating lips, however blown from the side. Due to the absence of valves and crooks, melodies were created by producing harmonics with overblowing techniques, as the reconstructional work by John Kenny has convincingly shown (\"see External links for a recording sample\"). The fairly wide bell guaranteed a very high playing volume, and the instrument itself must have had a considerable dynamic range. The best surviving bell of a carnyx was found in North East Scotland as part of the so-called \"Deskford Carnyx\" and featured a movable tongue. In addition the bronze jaw of the animal head may have been loosened as well in order to produce a jarring sound that would surely have been most dreadful when combined with the sound of a few dozen more carnyces in battle. The demoralizing effect of the Gallic battle music must have been enormous: When the Celts advanced on Delphi under Brennus in 279 BC, the unusual echoing effects of the blaring horns completely overawed the Greeks, before even a single fight could commence.\n",
"Many horns have been used as sounding cries by ancient societies. A modern day descendant of the horn, the bugle, is used to call out orders in military camps. The hunting horn was used to communicate on a hunt and is still used today in some places.\n",
"A folk etymology is that it is from white people honking their car horns a lot to get people's attention and perhaps as a metaphor for liberal whites who make a lot of noise (honking) but do not do anything.\n",
"The engine noise in the interior of the car was sometimes criticized; \"Road & Track\" listing noise as one of their biggest complaints about the car, with \"little joy listening to the wheeze of an emission equipment-stifled 4-banger\", and \"Motor\" calling the engine noise a \"raucous cacophony\".\n"
] |
is it possible to freeze fire? | As fire is hot gas, freezing it would just give you frozen CO2 and maybe some soot. | [
"Frozen Fire is a philosophical thriller about the nature of reality by Tim Bowler. The novel was first published in 2006. It introduces a mysterious boy who wants to escape his unhappy life through suicide, and a fifteen-year-old girl who only wants her brother back from wherever he has disappeared to. Frozen Fire has won several awards.\n",
"Fires start when a flammable or a combustible material, in combination with a sufficient quantity of an oxidizer such as oxygen gas or another oxygen-rich compound (though non-oxygen oxidizers exist), is exposed to a source of heat or ambient temperature above the flash point for the fuel/oxidizer mix, and is able to sustain a rate of rapid oxidation that produces a chain reaction. This is commonly called the fire tetrahedron. Fire cannot exist without all of these elements in place and in the right proportions. For example, a flammable liquid will start burning only if the fuel and oxygen are in the right proportions. Some fuel-oxygen mixes may require a catalyst, a substance that is not consumed, when added, in any chemical reaction during combustion, but which enables the reactants to combust more readily.\n",
"Fires become even more of a hazard during extreme cold. Water mains may break and water supplies may become unreliable, making firefighting more difficult. The air during a cold wave is typically denser and thus contains more oxygen, so when air that a fire draws in becomes unusually cold it is likely to cause a more intense fire. However, snow may stop spreading of fires, especially wildfires.\n",
"The threat of wildfires does not cease after the flames have passed, as smoldering heavy fuels may continue to burn unnoticed for days after flaming. It is during this phase that either the burn area exterior or the complete burn area of a fire is cooled so as to not reignite another fire.\n",
"Wildfire suppression depends on the technologies available in the area in which the wildfire occurs. In less developed nations the techniques used can be as simple as throwing sand or beating the fire with sticks or palm fronds. In more advanced nations, the suppression methods vary due to increased technological capacity. Silver iodide can be used to encourage snow fall, while fire retardants and water can be dropped onto fires by unmanned aerial vehicles, planes, and helicopters. Complete fire suppression is no longer an expectation, but the majority of wildfires are often extinguished before they grow out of control. While more than 99% of the 10,000 new wildfires each year are contained, escaped wildfires under extreme weather conditions are difficult to suppress without a change in the weather. Wildfires in Canada and the US burn an average of per year.\n",
"Leaving a fire unattended can be dangerous. Any number of accidents might occur in the absence of people, leading to property damage, personal injury or possibly a wildfire. Ash is a good insulator, so embers left overnight only lose a fraction of their heat. It is often possible to restart the new day's fire using the embers.\n",
"While an oxygen firebreak / thermal fuse cannot stop the initial ignition, it can limit the potential for whole house fires, more serious injury and death. Firebreaks / thermal fuses can also buy more time for a patient and other individuals in the building to escape, and limit the material cost of fire damage.\n"
] |
What are we to make of the story of the Israelites' slavery in Egypt and subsequent Exodus and its reflection on Ancient Israelite society? | As for the consensus, yes. I think this is generally the case that most believe that the Exodus was almost entirely fabricated on the basis of oral tradition. Personally, I’m disinclined from saying it was made up entirely whole cloth. The reason for this sets up the reasons for why I think it was written in the first place.
As you’re already aware, the Exodus narrative is central—and has been central—to Israelite and Jewish identity. In the early stages of state formation, hopeful leaders need narratives they can use to rally support as they approach national identity. (E.g., as stupid as it was, “And who has a better story than Bran” would have worked at the beginning of rallying public support for the creation of Westeros—similar to how Aegon the Conqueror did, but I guess D & D kind of forgot how such things work. But I digress.)
So, why was it written? Ultimately it’s a difficult question to answer, as any honest archaeological work will tell you there’s no proof for the event and so reconstructing such history is nearly impossible beyond being conjectural. So, my theory: there were traditional social memories of *some* kind of relationship between Egypt and what would become Israel. This shouldn’t be surprising, because we do have record of Egyptian involvement in the Levant thanks to the Merneptah Stela (usually cited as 1204 BCE) and the Tale of Wenamun. Merneptah is difficult because we don’t quite fully understand the determinative used with the name Israel. It means “people group,” but it appears in a larger list of cities destroyed by Pharaoh Merneptah. ¯\\\_(ツ)_/¯ It’s possible there was a very small, Proto-Israelite presence in Egypt at some point that would have served as the source of such memories, but we can’t be too certain. These memories were obviously derivative of multiple sources (hence the presence of what we call doublets—two slightly different accounts of the same story; e.g., did Moses receive the Law at Sinai or Horeb? Was his father in law’s name Jethro, Ruel, or Hobab?). These traditions were eventually put into writing, expanded, edited, and redacted to eventually come into their final form as we have it (read: them, there’s no singular source for us for these texts). These exodus traditions were used as a form of social identity construction—an integral part of state formation and preservation. The use of national literature would become far more important in later periods—especially for the Deuteronomist, who ***loved*** to use the Exodus as a central theme for explaining his perspective throughout the Deuteronomistic History (Joshua, Judges, Samuel, Kings).
I don’t think it’s necessarily commentary on Israel’s relationship with Egypt as Egypt kind of falls off pretty significantly after the Iron I. I think it’s national literature, intended to construct social identity by constructing a literary Other. The othering process creates an in/out relationship that early Israelites could identify with—especially in light of the nearby Philistine threat during the Iron I–IIA, eventual Assyrian involvement in the southern Levant in the Iron IIB and later, Babylonian incursions and deportations in the 6th c. BCE, etc.
A couple of sources that might help:
I. Finkelstein, *The Bible Unearthed* — he’s a little over the top with the low chronology, but deals with a lot of important stuff in a very accessible way.
W. Propp’s Exodus commentary is top notch in the Anchor Bible series.
E: fixed a couple of typos. | [
"In the Book of Exodus, the Israelites are enslaved in ancient Egypt. Yahweh, the god of the Israelites, appears to Moses in a burning bush and commands Moses to confront Pharaoh. To show his power, Yahweh inflicts a series of 10 plagues on the Egyptians, culminating in the 10th plague, the death of the first-born.\n",
"The lack of historical evidence for the Egyptian slavery and exodus leads most scholars to omit them from comprehensive histories of Israel and consider them as a myth. Scholars disagree as to when the myth took its present form. The archaeological record does not accord with what is expected from the Book of Exodus, and no evidence shows that the Israelites lived in ancient Egypt. The Israelites most likely originated in Canaan.\n",
"The Book of Genesis and Book of Exodus describe a period of Hebrew servitude in ancient Egypt, during decades of sojourn in Egypt, the escape of well over a million Israelites from the Delta, and the three-month journey through the wilderness to Sinai. This episode is not corroborated by any historical evidence and is regarded by scholars to be fictitious. Israelites first appear in the archeological record on the Merneptah Stele from between 1208–3 BCE at the end of the Bronze Age. A reasonably Bible-friendly interpretation is that they were a federation of Habiru tribes of the hill-country around the Jordan River. Presumably, this federation consolidated into the kingdom of Israel, and Judah split from that, during the dark age that followed the Bronze. The Bronze Age term \"Habiru\" was less specific than the Biblical \"Hebrew\". The term referred simply to Levantine nomads, of any religion or ethnicity. Mesopotamian, Hittite, Canaanite, and Egyptian sources describe them largely as bandits, mercenaries, and slaves. Certainly, there were some Habiru slaves in ancient Egypt, but native Egyptian kingdoms were not heavily slave-based. The Exodus story is considered to be historically inaccurate, although important to various religions.\n",
"BULLET::::- In this alternate history, \"The Book of Aaron\" provides the traumatic story of how the Israelite Exodus from Egypt failed: Moses and many of the Israelites drowned, and the remnant—led by Aaron—were fetched back to slavery in Egypt. Later on, however, the Hebrews were freed from bondage, and until the equivalent of the 20th Century remained a distinct religious-ethnic minority in Egypt, practicing a monotheistic religion, of which \"The Book of Aaron\" is a major Scripture.\n",
"Modern archaeologists believe that the Israelites were indigenous to Canaan and were never in ancient Egypt, and if there is any historical basis to the Exodus it can apply only to a small segment of the population of Israelites at large. Nevertheless, there is also a general understanding that something must lie behind the traditions, even if Moses and the Exodus narrative belong to collective cultural memory rather to history. According to Avraham Faust \"most scholars agree that the narrative has a historical core, and that some of the highland settlers came, one way or another, from Egypt.\"\n",
"The Bible tells how the Israelites are enslaved in Egypt and eventually escape under the leadership of Moses. At least two pharaohs are involved, the \"Pharaoh of the Oppression\" who enslaves the Israelites, and the \"Pharaoh of the Exodus\" during whose rule the Israelites escape. The biblical story does not name or give enough information to identify the period in which the events are set. These are some candidates put forward for the role of Pharaoh of the Exodus:\n",
"When Pharaoh enslaved the Children of Israel, the Egyptians appointed conscription officers over the Israelites to crush their spirits with hard labor. The Israelites were to build up the cities of Pithom and Ra'amses as supply centers for Pharaoh. They made the lives of the Israelites miserable with harsh labor involving mortar and bricks, as well as all kinds of work in the field. Then he issued decrees to kill all the Israelite males. God hardened Pharaoh's heart, so that he would not allow the Hebrews to leave, and then God sent various disasters onto the whole of Egypt. Exodus includes the story of the killing of every firstborn child in Egypt as the final punishment for having enslaved the Israelites.\n"
] |
I often hear people say that the Irish Potato Famine was more a genocide than a true famine. How accurate is this claim? | I had a chuckle to see another North Korea flair in this topic of all places. Cheers, /u/koliano!
This isn't my area of expertise, so a really detailed answer is beyond me. However, the Irish famine is a pretty common topic while you're studying periods of mass hunger, and it was something I saw pop up occasionally while reading about the mechanics behind North Korea's famine (1994-1998). There's something that I think might provide some helpful context for your question -- namely, how we study and think about famine has changed a lot over the last 40 years, and the line between "genocide" and "famine" has gotten blurrier as we recognize that famine is not really an accident.
So -- was the Irish "potato famine" a genocide against the Irish?
**Short answer:** The English didn't commit genocide by the strictest definition of the term, but they did create the circumstances that led to the famine.
**Long answer:** As others have pointed out, there's a troublesome and often politically-charged distinction to be made between genocide and famine:
- **Genocide implies intent.** It's not enough for millions of people to die: Somebody has to *want them dead* and engineer a way to do it, or capitalize on a situation likely to result in mass death. Nobody wants to be told they were responsible for genocide; it's a severe blow to the moral and political authority of the country involved. The Turks resist efforts to characterize [what the Armenians call the "Great Crime"](_URL_1_) as genocide. Russia will tell you to fuck off when you raise the issue of the [Holodomor](_URL_3_) and Stalin's being a huge asshole to the Ukrainians. The Chinese government [only recently stopped censoring public discussion of the famine](_URL_6_) related to the Great Leap Forward. Nobody wants to admit to having committed genocide or -- if it's not genocide by the technical definition of the term -- anything that looks like it.
- By contrast, **famine is seen as a tragedy that nobody could have prevented.** Crops fail. Drought happens. Diseases, predators, and wildfires kill livestock. Earthquakes and floods destroy your ability to move food around. Something bad happens that interferes with your society's ability to grow, store, or transport food, and lots of people die despite your best efforts. Famine is the second horseman of the apocalypse, perennial as the grass, cold and grimly present as its brothers pestilence, war, and death. It is ubiquitous in human history and the immutable lesson is that it can happen to anyone.
Except it doesn't. Certain human societies have been strangely resistant to famine despite weathering the same shocks that caused mass starvation in similar circumstances elsewhere.
Historians and economists had a collective "Eureka!" moment in the late 20th century when we realized that famine DOESN'T just happen, and that it probably never has. Hunger can happen despite your best efforts to prevent it, but *famine is the result of politics*.
**Before we go any farther, we need to talk about a guy named Amartya Sen.** He's an Indian economist and historian who's written a lot of really famous and influential pieces about a variety of topics, and he was awarded the 1999 Nobel Prize for his work on welfare economics. In terms of popular reach, he's probably best-known for [a 1990 essay on "More Than 100 Million Women Are Missing,"](_URL_0_) which addressed the result of sex-selective abortions in Asia. However, in the academic world he's arguably most famous for [his work on famine in human history](_URL_2_), and in particular a theory that sounds bananas when you first hear it, and then more and more frighteningly plausible.
I'll break it into two parts:
- **Sen argued that no famine over the last 1,000 years can be attributed to anything other than primarily man-made causes.** This took a while to get traction; we're used to saying that X famine was caused by a flood, or Y famine happened because of a drought, etc. Sen pointed out that natural disasters and crop failures are actually pretty common, but famines aren't usually the result. Left to their own devices, humans are pretty good at finding and storing food as proof against unpredictable shortages. In order to create a famine, you have to have a bad, unstable, and/or corrupt political/economic system that can't weather a sudden shock and is thrown into crisis. We've gotten used to blaming the shock (e.g., the flood, the drought), when in reality it's just a convenient excuse. The real cause is the shitty and inflexible system that existed before it.
- **Sen further argued that no famine has occurred in a democracy with a free press.** The basic idea is that government that isn't accountable to its people is notoriously unresponsive to its needs, and a free press is good at noticing and publicizing problems that government needs to address. There have been some quibbles over this, mostly related to pockets of continuing hunger in India, but for the most part this is a pretty uncontroversial theory.
Sen published [his first work on famine in 1981](_URL_4_) and has studied the issue on and off since. His work has heavily colored subsequent discussions of hunger and the political systems that create/d it, and it's a big part of the reason we're disposed to evaluate past famines differently these days. Interestingly, the 1981 piece is primarily about [another famine that the British had a hand in](_URL_5_) (the 1943 Bengal famine) due to rice and transport ship confiscations setting off a price panic.
**So let's consider the Irish potato famine :** Again, I have to leave the nitty-gritty details to someone with a better command of this period than I've got, but I can tell you about the commentary that the Irish famine attracts when historians and statisticians are discussing the mechanics of hunger in modern works.
The potato blight has been commonly cited as the reason that the famine happened, and it's entirely true that it played a role. The lack of genetic diversity among the strain of potatoes being grown in Ireland at the time made the island incredibly susceptible to the blight. However, it was a classic example of a "shock" that revealed the underlying corruption in the economic system that surrounded it. The blight may have started the famine, but it didn't actually cause it (if that distinction makes any sense).
**So what did cause it?** Britain's Corn Laws were an aggressively protectionist series of tariffs enacted with the intent to keep grain prices high for the benefit of domestic producers. (TL:DR: Landowners didn't want to compete against cheap grain from abroad and also had to pay their farm laborers a living wage, so Parliament levied high taxes on foreign grain and tweaked them as necessary to try to bump domestic grain to what they considered ideal prices.) The Irish poor (of whom there were many, for a variety of very complicated historical and socioeconomic reasons) were largely unable to afford grain as a result of the Corn Laws, and on the generally-small holdings they farmed (for which they paid punitive rents to largely absentee English landlords) could only grow potatoes in sufficient quantity to feed their families.
The potato was thus the staple food, and the blight an utter catastrophe. When potatoes were no longer available, the poor burned through their meager savings quickly to buy grain, and when that ran out, they starved en masse. Parliament repealed the Corn Laws two years into the famine, but it was too little and too late, and also didn't address the other systemic issues (principally landlord exploitation) that contributed to the famine.
So it's pretty apparent why the genocide/famine distinction is a touchy one here:
- **Did the English commit genocide against the Irish?** Not as such.
- **Did they create the circumstances that led to the famine?** Yes, and most historians judge the government's response to the famine as woefully inadequate, to compound the issue.
| [
"A small minority of historians regard the Irish Potato Famine (1845–1852) as an example of genocide. During the famine approximately 1 million people died and a million more emigrated from Ireland, causing the island's population to fall by between 20% and 25%. The proximate cause of famine was a potato disease commonly known as potato blight. Although blight ravaged potato crops throughout Europe during the 1840s, the impact and human cost in Irelandwhere one-third of the population was entirely dependent on the potato for foodwas exacerbated by a host of political, social, and economic factors that remain the subject of historical debate.\n",
"The famine remains a controversial event in Irish history. Debate and discussion on the British government's response to the failure of the potato crop in Ireland, the exportation of food crops and livestock, the subsequent large-scale starvation, and whether or not this constituted genocide, remains a historically and politically charged issue.\n",
"I have called it an artificial famine: that is to say, it was a famine which desolated a rich and fertile island that produced every year abundance and superabundance to sustain all her people and many more. The English, indeed, call the famine a \"dispensation of Providence\"; and ascribe it entirely to the blight on potatoes. But potatoes failed in like manner all over Europe; yet there was no famine save in Ireland. The British account of the matter, then, is first, a fraud; second, a blasphemy. The Almighty, indeed, sent the potato blight, but the English created the famine.\n",
"The proximate cause of the famine was a natural event, a potato blight, which infected potato crops throughout Europe during the 1840s, precipitating some 100,000 deaths in total in the worst affected areas and among similar tenant farmers of Europe. The food crisis influenced much of the unrest in the more widespread European Revolutions of 1848. The event is sometimes referred to as the Irish Potato Famine, mostly outside Ireland. The impact of the blight was exacerbated by the Government's political belief that a laissez-faire stance would eventually solve the problem.\n",
"A claim was made by a US professor of law, Francis A. Boyle that the Famine was genocide by the British against the Irish, meaning that the famine was part of a deliberate policy of planned extermination. One US historian, James Mullin, insists that what happened can be described as genocide, sometimes accusing other historians, statisticians and researchers who state otherwise of pushing a British point of view, or of revisionism, rewriting history to make excuses for British imperialism. However professional US, British and Irish historians, such as Professors F.S.L. Lyons, John A. Murphy, Roy Foster, and James S. Donnelly, Jr, as well as historians Cecil Woodham-Smith, Peter Gray, Ruth Dudley Edwards and Cormac Ó Gráda have denied claims of a deliberate policy of genocide. All historians generally agree that British policies during the Famine (particularly those applied by the ministry of Lord John Russell) were misguided, ill-informed and counter-productive, and that had a similar crisis occurred in England instead of Ireland then the government's response would have been very different.\n",
"The Great Famine of the 1840s caused the deaths of one million Irish people and over a million more emigrated to escape it. It is sometimes referred to, mostly outside Ireland, as the \"Irish Potato Famine\" because one-third of the population was then solely reliant on this cheap crop for a number of historical reasons. The proximate cause of famine was a potato disease commonly known as potato blight. A census taken in 1841 revealed a population of slightly over 8 million. A census immediately after the famine in 1851 counted 6,552,385, a drop of almost 1.5 million in 10 years.\n",
"Cormac Ó Gráda disagreed that the famine was genocide. He argues that \"genocide includes murderous intent, and it must be said that not even the most bigoted and racist commentators of the day sought the extermination of the Irish\", and also that most people in Whitehall \"hoped for better times for Ireland\". Additionally, he states that the claim of genocide overlooks \"the enormous challenge facing relief agencies, both central and local, public and private\". Ó Gráda thinks that a case of neglect is easier to sustain than that of genocide. Edward Lengel claims that views of the Irish as racially inferior, and for this reason significantly responsible for their circumstances, gained purchase in Great Britain during and immediately after the famine, especially through influential publications such as \"The Medical Times\" and \"The Times\".\n"
] |
why do all drives or partitions defragment all files, but the system one (c: or other) is always fragmented, even if i just defragmented it? | Yes, there are some system files that can't be moved while the system is running. Also, the system partition is used all the time - programs always create and delete temporary files, which usually reside on the system drive.
The same defragmentation software you used has a [boot time defrag](_URL_0_) option. | [
" is often simply a directory on the main (or only) hard drive partition. However, it may be a separate partition. A separate partition is generally only used when bootloaders are incapable of reading the main filesystem (e.g. SILO does not recognize XFS) or other problems not easily resolvable by users.\n",
"With DOS, Microsoft Windows, and OS/2, a common practice is to use one primary partition for the active file system that will contain the operating system, the page/swap file, all utilities, applications, and user data. On most Windows consumer computers, the drive letter C: is routinely assigned to this primary partition. Other partitions may exist on the HDD that may or may not be visible as drives, such as recovery partitions or partitions with diagnostic tools or data. (Microsoft drive letters do not correspond to partitions in a one-to-one fashion, so there may be more or fewer drive letters than partitions.)\n",
"A primary partition contains one file system. In DOS and all early versions of Microsoft Windows systems, Microsoft required what it called the system partition to be the first partition. All Windows operating systems from Windows 95 onwards can be located on (almost) any partition, but the boot files (codice_1, codice_2, codice_3, etc.) must reside on a primary partition. However, other factors, such as a PC's BIOS (see Boot sequence on standard PC) may also impose specific requirements as to which partition must contain the primary OS.\n",
"It is often recommended that Windows be installed to the first primary partition. The boot loaders of both Windows and Linux identify partitions with a number derived by counting the partitions. (Note, both Windows and Linux count the partitions according to the ordering of the partitions \"in the partition table\", which may be different from the order of the partitions on the disk.) Adding or deleting a partition at the end of a hard drive will have no effect on any partitions prior to it. However, if a partition is added or deleted at the beginning or middle of a hard drive, the numbering of subsequent partitions may change. If the number of the system partition changes, it requires boot loader reconfiguration in order for an operating system to boot and function properly.\n",
"By default, a computer's disk is partitioned into two partitions: one of limited size for booting, BitLocker and running the Windows Recovery Environment and the second with the operating system and user files.\n",
"External fragmentation tends to be less of a problem in file systems than in primary memory (RAM) storage systems, because programs usually require their RAM storage requests to be fulfilled with contiguous blocks, but file systems typically are designed to be able use any collection of available blocks (fragments) to assemble a file which logically appears contiguous. Therefore, if a highly fragmented file or many small files are deleted from a full volume and then a new file with size equal to the newly freed space is created, the new file will simply reuse the same fragments that were freed by the deletion. If what was deleted was one file, the new file and will be just as fragmented as that old file was, but in any case there will be no barrier to using all the (highly fragmented) free space to create the new file. In RAM, on the other hand, the storage systems used often cannot assemble a large block to meet a request from small noncontiguous free blocks, and so the request cannot be fulfilled and the program cannot proceed to do whatever it needed that memory for (unless it can reissue the request as a number of smaller separate requests).\n",
"When a file system is first initialized on a partition, it contains only a few small internal structures and is otherwise one contiguous block of empty space. This means that the file system is able to place newly created files anywhere on the partition. For some time after creation, files can be laid out near-optimally. When the operating system and applications are installed or archives are unpacked, separate files end up occurring sequentially so related files are positioned close to each other.\n"
] |
How much does color affect temperature? Details in post. | Color (or more specifically, frequency and wavelength) are supremely important when it comes to radiation heat transfer. Any time light strikes an object, three things can happen to the light.
* The energy of the light can get absorbed by the surface.
* It can be reflected off of the surface.
* It can be transmitted through the surface.
Any time radiation strikes an object, all three of those effects must add up to the amount of energy the light initially had ([First Law of Thermodynamics](_URL_0_) - Conservation of energy). Now, where it gets interesting is that a material's absorptivity, reflectivity, and transmissivity are unique to each material, but are also specific to the wavelength of the light.
For an example, let's say that you're looking at a small piece of blue glass in a stained glass window. The blue glass is reflecting some of the light back out (the glistening of the sun off the outer surface.) Another portion of the light is getting absorbed by the glass. The portion of light that gets absorbed gets converted to heat (and a portion of this heat gets radiated back out of the material.) Whatever remaining light gets transmitted through the glass. This is the light you'll be seeing on the inside. The fact that the light transmitted through the glass was blue means that of all the light shone at the glass, the blue frequencies of light are allowed to pass through, while the portion of the light that was everything **BUT** blue was the component that was reflected and absorbed.
For this reason, if you wear a black shirt in the sun, the shirt will absorb more light and will reach a higher temperature. While a white shirt will reflect more light than a black shirt would, white shirts have a tendency to become transparent when wet so if you're sweating, your skin will actually be exposed to more radiation in a white shirt than a black shirt even though the temperature of the white shirt will be lower. | [
"Color temperature can be indicated in kelvins or mireds (1 million divided by the color temperature in kelvins). The color temperature of a light source is the temperature of a black body that has the same chromaticity (i.e. color) as the light source. A notional temperature, the correlated color temperature, the temperature of a black body which emits light of a hue which to human color perception most closely matches the light from the lamp, is assigned.\n",
"The color temperature of a light source is the temperature of an ideal black-body radiator that radiates light of comparable hue to that of the light source. Color temperature is a characteristic of visible light that has important applications in lighting, photography, videography, publishing, manufacturing, astrophysics, horticulture, and other fields. In practice, color temperature is only meaningful for light sources that do in fact correspond somewhat closely to the radiation of some black body, i.e., those on a line from reddish/orange via yellow and more or less white to blueish white; it does not make sense to speak of the color temperature of, e.g., a green or a purple light. Color temperature is conventionally stated in the unit of absolute temperature, the kelvin, having the unit symbol K.\n",
"The color temperature of a light source is the temperature of an ideal black-body radiator that radiates light of a color comparable to that of the light source. Color temperature is a characteristic of visible light that has important applications in lighting, photography, videography, publishing, manufacturing, astrophysics, horticulture, and other fields. In practice, color temperature is meaningful only for light sources that do in fact correspond somewhat closely to the radiation of some black body, i.e., light in a range going from red to orange to yellow to white to blueish white; it does not make sense to speak of the color temperature of, e.g., a green or a purple light. Color temperature is conventionally expressed in kelvins, using the symbol K, a unit of measure for absolute temperature.\n",
"Color temperature is measured in kelvins. A light's apparent color is determined by its lamp color, the color of any gels in the optical path, its power level, and the color of the material it lights.\n",
"In digital photography, the term color temperature sometimes refers to remapping of color values to simulate variations in ambient color temperature. Most digital cameras and raw image software provide presets simulating specific ambient values (e.g., sunny, cloudy, tungsten, etc.) while others allow explicit entry of white balance values in kelvins. These settings vary color values along the blue–yellow axis, while some software includes additional controls (sometimes labeled \"tint\") adding the magenta–green axis, and are to some extent arbitrary and a matter of artistic interpretation.\n",
"The kelvin is often used as a measure of the colour temperature of light sources. Colour temperature is based upon the principle that a black body radiator emits light with a frequency distribution characteristic of its temperature. Black bodies at temperatures below about appear reddish, whereas those above about appear bluish. Colour temperature is important in the fields of image projection and photography, where a colour temperature of approximately is required to match \"daylight\" film emulsions. In astronomy, the stellar classification of stars and their place on the Hertzsprung–Russell diagram are based, in part, upon their surface temperature, known as effective temperature. The photosphere of the Sun, for instance, has an effective temperature of .\n",
"Color temperature for white light sources also affects their use for certain applications. The color temperature of a white light source is the temperature in kelvins of a theoretical black body emitter that most closely matches the spectral characteristics of the lamp. An incandescent bulb has a color temperature around 2800 to 3000 kelvins; daylight is around 6400 kelvins. Lower color temperature lamps have relatively more energy in the yellow and red part of the visible spectrum, while high color temperatures correspond to lamps with more of a blue-white appearance. For critical inspection or color matching tasks, or for retail displays of food and clothing, the color temperature of the lamps will be selected for the best overall lighting effect. Color may also be used for functional reasons. For example, blue light makes it difficult to see veins and thus may be used to discourage drug use.\n"
] |
Why do plants have longer lifespans than animals? | Differences in life spans across species, or even Kingdom, boundaries is a pretty fascinating topic of research. I've had some exposure to a researcher whose done some work with animals, but I'm not very up to date with the current state of the research. But I can talk about plants. One of the big differences between plant and animal cells is totipotency. Plant cells are totipotent, meaning that an individual cell, if isolated and grown on a suitable culture medium, can grow into a plant that is genetically identical to the mother plant. You can't really do that with animal cells. Granted, plant cells in the wild aren't necessarily exposed to some of those same conditions, so perennial plants retain stem-cell like meristematic tissue (e.g. dormant buds) that can be activated in case of damage to the rest of the tree. The ramifications of this for longevity is that any damage done to a plant can be fixed relatively easily. It's not like limb regeneration in some reptiles or other animals, it's like limb substitution. You can see the results after a big storm that removes a lot of limbs from a tree, where the tree then starts to grow very bushy with lots of new stems. The animal equivalent would be like cutting off your arm and having a new one grow out your chest. So damages done to a perennial plant aren't necessarily "fixed", but circumvented through creation of new structure. The other important thing about how plants respond to damage is that they have a sectored vascular system so that part of a tree (or other type of perennial) can survive even if the whole plant can't. If a human's peripheral limbs can't survive, we can amputate and the person will survive, but if any organs can't survive, the human dies.
The other issue for some plants is the ability for clonal growth. A good example is aspen forests, where you might be looking at an entire forest of trees that originated from the same mother tree. If the original tree dies, the same genetic material from that tree persists in genetically identical clones. Some of my genes persist in my daughter, but not all of them, so she's not identical to me in a genetic (or even physical) sense.
Of course, there's other factors that play major roles in determining life span that have to do with metabolism, resistance to factors that affect senescence, etc.
I'm not sure if you can access [this article](_URL_0_), but it describes in pretty basic terms why trees can live so long relative to other organisms | [
"Generally, in reference to life-history theory, plants will sacrifice their ability in one regard to improve themselves in another regard, so for polycarpic plants that may strive towards continued reproduction, they might focus less on their growth. However, these aspects may not necessarily be directly correlated and some plants, notably invasive species, do not follow this general trend and actually show a fairly long lifespan with frequent reproduction. To an extent, there does seem to be an importance of the balance of these two traits as one study noted how plants that had a very short lifespan as well as plants that had a very long lifespan and also had little reproductive success were not found in any of the nearly 400 plants included in the study. Due to their reduced development, it has been noted how polycarpic plants have less energy to reproduce than monocarpic plants throughout their lifetimes. In addition, as its lifespan increases, the plant is also subject to more inconveniences due to its age, and thus might focus more towards adapting to it, resulting in less energy the plant is able to spend on reproduction. One trend that has been noticed throughout some studies is how quicker lifespans generally impact how quickly the plants increasingly expend their energy towards reproduction. However, the specific structure of polycarpic strategies depends on the specific plant and all polycarpic plants do not seem to have a uniform pattern of how energy is expended on reproduction. These strategies are not concrete and these strategies are also subject to being impacted by the random environmental factors or other functions of the plant itself.\n",
"Plants—and, by extension, animals—could survive longer by evolving other strategies such as requiring less carbon dioxide for photosynthetic processes, becoming carnivorous, adapting to desiccation, or associating with fungi. These adaptations are likely to appear near the beginning of the moist greenhouse (see further).\n",
"Increased allocation to reproduction early in life generally leads to a decrease in survival later in life (senescence); this occurs in both annual and perennial semelparous plants. Exceptions to this pattern include long-lived clonal (see ramets section below) and long-lived non-clonal perennial species (e.g., bristlecone pine).\n",
"Various species of plants and animals, including humans, have different lifespans. Evolutionary theory states that organisms that, by virtue of their defenses or lifestyle, live for long periods and avoid accidents, disease, predation, etc. are likely to have genes that code for slow aging, which often translates to good cellular repair. One theory is that if predation or accidental deaths prevent most individuals from living to an old age, there will be less natural selection to increase the intrinsic life span. That finding was supported in a classic study of opossums by Austad; however, the opposite relationship was found in an equally prominent study of guppies by Reznick.\n",
"One major difference is the totipotent nature of plant cells, allowing them to reproduce asexually much more easily than most animals. They are also capable of polyploidy – where more than two chromosome sets are inherited from the parents. This allows relatively fast bursts of evolution to occur, for example by the effect of gene duplication. The long periods of dormancy that seed plants can employ also makes them less vulnerable to extinction, as they can \"sit out\" the tough periods and wait until more clement times to leap back to life.\n",
"All of the biological organisms have a limited longevity, and different species of animals and plants have different potentials of longevity. Misrepair-accumulation aging theory suggests that the potential of longevity of an organism is related to its structural complexity. Limited longevity is due to the limited structural complexity of the organism. If a species of organisms has too high structural complexity, most of its individuals would die before the reproduction age, and the species could not survive. This theory suggests that limited structural complexity and limited longevity are essential for the survival of a species.\n",
"Many Earth plants and animals undergo major biochemical changes during their life cycles as a response to changing environmental conditions, for example, by having a spore or hibernation state that can be sustained for years or even millennia between more active life stages. Thus, it would be biochemically possible to sustain life in environments that are only periodically consistent with life as we know it.\n"
] |
why is it so hard to rip open a package with wet hands (even if it has a notch for ripping)? | When your hands are wet they are lubricated by the wetness. This reduces friction, which reduces your ability to grab and rip a package open. | [
"Roughing cuts are used to remove large amount of material from the starting workpart as rapidly as possible, i.e. with a large Material Removal Rate (MRR), in order to produce a shape close to the desired form, but leaving some material on the piece for a subsequent finishing operation.\n",
"Household scissors or a utility knife are sometimes used to open difficult packaging. Tin snips are effective for tough plastics; the higher mechanical advantage of compound metal snips make it possible to cut such packages open even using little hand strength. Trauma shears have also shown to be effective at opening packaging of this type.\n",
"Wrap rage, also called package rage, is the common name for heightened levels of anger and frustration resulting from the inability to open packaging, particularly some heat-sealed plastic blister packs and clamshells. People can be injured while opening difficult packaging: cutting tools pose a sharp hazard to the person opening the package, as well as its contents. Easy-opening systems are available to improve package-opening convenience.\n",
"In use a seam ripper, the sharp point of the tool is inserted into the seam underneath the thread to be cut. The thread is allowed to slip down into the fork and the tool is then lifted upwards, allowing the blade to rip through the thread. Once the seam has been undone in this way the loose ends can be removed and the seam resewn.\n",
"Tearing is the act of breaking apart a material by force, without the aid of a cutting tool. A tear in a piece of paper, fabric, or some other similar object may be the result of the intentional effort with one's bare hands, or be accidental. Unlike a cut, which is generally on a straight or patterned line controlled by a tool such as scissors, a tear is generally uneven and, for the most part, unplanned. An exception is a tear along a perforated line, as found on a roll of toilet paper or paper towels, which has been previously partially cut, so the effort of tearing will probably produce a straight line.\n",
"Despite the name, neither the media nor the data is damaged after extraction. Ripping is often used to shift formats, and to edit, duplicate or back up media content. A rip is the extracted content, in its destination format, along with accompanying files, such as a cue sheet or log file from the ripping software.\n",
"When the material being ripped is not in the public domain, and the person making the rip does not have the copyright owner's permission, then such ripping may be regarded as copyright infringement. However, some countries either explicitly allow it in certain circumstances, or at least don't forbid it. Some countries also have fair use-type laws which allow unauthorized copies to be made under certain conditions. As mentioned above, circumventing copy protection mechanisms, such as the encryption used on most commercial DVDs, may also be illegal in many countries.\n"
] |
At what point in history were women knowledgeable enough about their cycles to understand when they might be ovulating? | Well, of course many of them would not have known before my collection of all the knowledge in the Empire of our beloved emperor Vespasianus, long may he reign, in my well known encyclopaideia, the history of the natural world. In fact, I have gathered many strange and interesting phenomena about the female menstruation! Did you know that menstrual blood can reportedly have the most peculiar effects? It turns new wine sour, it can make crops barren, fruits fall of the trees when touched by it, and even whole hives of bees have been known to die! (see book VII, 15)
I should probably warn you also, if you didn't know this already, that intercourse with a menstruating woman during a solar or lunar eclipse, or when moon and sun are in conjunction, can and probably will kill you (see book XXVIII, 23).
Now, where was I? Ah, yes, conception! Well, it has long been understood that blood is necessary for the generation of new life. Aristotle informs us how the female blood quickened by the male sperm (which is the highest form of blood, cooked to its very essence - which women can't do, owing to their lower body temperature) will bring forth new life. You can read about this in particular in his *Generation of Animals*. Thus, when menstruation stops in their 40th or 50th year, they are no longer fertile.
In any case, almost all my contemporaries agree with me^1 in that the chances for conception are the highest shortly after the beginning and towards the end of the menstrual cycle (book VII, 67).
* 1 This was the state of the ancient medical knowledge on the subject - the real reason was unknown, since the mechanics of conception were viewed from a very idiosyncratic point, with blood and it's derivate sperm at the centre. Views differed about the nature of the female part in this, Aristotles view is of course very passive, while Galenos attributed sperm to the woman as well, having an equal part and thus accounting for the transmission of the mother's characteristics in the following generation. In any case, the circular reoccurence of menstruation and it's connection to fertility was well known at least to the educated circles. | [
"In 1905 Theodoor Hendrik van de Velde, a Dutch gynecologist, showed that women only ovulate once per menstrual cycle. In the 1920s, Kyusaku Ogino, a Japanese gynecologist, and Hermann Knaus, from Austria, working independently, each made the discovery that ovulation occurs about fourteen days before the next menstrual period. Ogino used his discovery to develop a formula for use in aiding infertile women to time intercourse to achieve pregnancy.\n",
"He is credited with showing in 1905 that women only ovulate once per menstrual cycle. This contributed to the improvement of calendar-based methods of birth control, and later to the creation of other fertility awareness systems.\n",
"In 1905, Theodoor Hendrik van de Velde, a Dutch gynecologist, showed that women only ovulate once per menstrual cycle. In the 1920s, Kyusaku Ogino, a Japanese gynecologist, and Hermann Knaus, from Austria, working independently, each made the discovery that ovulation occurs about fourteen days before the next menstrual period. Ogino used his discovery to develop a formula for use in aiding infertile women to time intercourse to achieve pregnancy.\n",
"In 1905 Theodoor Hendrik van de Velde, a Dutch gynecologist, showed that women only ovulate once per menstrual cycle. In the 1920s, Kyusaku Ogino, a Japanese gynecologist, and Hermann Knaus, from Austria, independently discovered that ovulation occurs about fourteen days before the next menstrual period. Ogino used his discovery to develop a formula for use in aiding infertile women to time intercourse to achieve pregnancy. In 1930, John Smulders, Roman Catholic physician from the Netherlands, used this discovery to create a method for \"avoiding\" pregnancy. Smulders published his work with the Dutch Roman Catholic medical association, and this was the first formalized system for periodic abstinence: the rhythm method.\n",
"This hypothesis suggests that women concealed ovulation to obtain men's aid in rearing offspring. Schoroder summarizes this hypothesis outlined in Alexander and Noonan's 1979 paper: if women no longer signaled the time of ovulation, men would be unable to detect the exact period in which they were fecund. This led to a change in men's mating strategy: rather than mating with multiple women in the hope that some of them, at least, were fecund during that period, men instead chose to mate with a particular woman repeatedly throughout her menstrual cycle. A mating would be successful in resulting in conception when it occurred during ovulation, and thus, frequent matings, necessitated by the effects of concealed ovulation, would be most evolutionarily successful. A similar hypothesis was proposed by Lovejoy in 1981 that argued that concealed ovulation, reduced canines and bipedalism evolved from a reproductive strategy where males provisioned food resources to his paired female and dependent offspring.\n",
"One of the first modern studies to explore whether women have truly concealed ovulation utilized a simple task: have professional lap dancers record the amount of tips they receive for each day of their ovulatory cycle. The study found that women not using hormonal contraceptives earned significantly more money on the days they were most fertile, compared to other days in the cycle. The researchers suggest that women may be more attractive to men during the fertile window, indicating that women do possess an estrus phase and that their ovulation is not completely concealed.\n",
"It is not known if historical cultures were aware of what part of the menstrual cycle is most fertile. In the year 388, Augustine of Hippo wrote of periodic abstinence. Addressing followers of Manichaeism, his former religion, he said, \"Is it not you who used to counsel us to observe as much as possible the time when a woman, after her purification, is most likely to conceive, and to abstain from cohabitation at that time...?\" If the Manichaieans practiced something like the Jewish observances of menstruation, then the \"time... after her purification\" would have indeed been when \"a woman... is most likely to conceive.\" Over a century previously, however, the influential Greek physician Soranus had written that \"the time directly before and after menstruation\" was the most fertile part of a woman's cycle; this inaccuracy was repeated in the 6th century by the Byzantine physician Aëtius. Similarly, a Chinese sex manual written close to the year 600 stated that only the first five days following menstruation were fertile. Some historians believe that Augustine, too, incorrectly identified the days immediately after menstruation as the time of highest fertility.\n"
] |
Could constant cough lead to emphysema? | I am not aware of any studies that show cough alone can cause damage to the alveoli.
I wouldn't expect to see a lot of alveolar damage due to chronic cough alone (in the absence of any kind of obstruction), anyway.
The physical act of coughing is the result of compression of the lungs while holding the only opening (the glottis) shut, and then opening the glottis fast, releasing a blast of air.
This will cause a backpressure in the lungs, but because the source of the compression is outside the lungs, each alveolus will experience pretty much the same pressure. Because neighboring alveoli will have the same pressure, there is no differential, you aren't going to get any tearing.
Also, the violent movement in cough is an exhalation; a shrinking of the lungs. This means that the violent portion of the cough isn't stretching the alveolar walls. If anything, it's compressing them.
HOWEVER...most of the time, chronic cough is just a symptom of something else; typically some kind of chronic obstruction, inflammation, or infection. And those will cause both alveolar damage *and* cough. Also, if there is an obstruction, you may get places where neighboring alveoli *do* have a pressure differential, and the wall can be stressed or rupture.
So although chronic cough is often associated with emphysema, chronic cough is not known to be a cause of emphysema. | [
"In people with unexplained cough, gastroesophageal reflux disease should be considered. This occurs when acidic contents of the stomach come back up into the esophagus. Symptoms usually associated with GERD include heartburn, sour taste in the mouth, or a feeling of acid reflux in the chest, although, more than half of the people with cough from GERD don’t have any other symptoms. An esophageal pH monitor can confirm the diagnosis of GERD. Sometimes GERD can complicate respiratory ailments related to cough, such as asthma or bronchitis. The treatment involves anti-acid medications and lifestyle changes with surgery indicated in cases not manageable with conservative measures.\n",
"The complications of coughing can be classified as either acute or chronic. Acute complications include cough syncope (fainting spells due to decreased blood flow to the brain when coughs are prolonged and forceful), insomnia, cough-induced vomiting, rupture of blebs causing spontaneous pneumothorax (although this still remains to be proven), subconjunctival hemorrhage or \"red eye\", coughing defecation and in women with a prolapsed uterus, cough urination. Chronic complications are common and include abdominal or pelvic hernias, fatigue fractures of lower ribs and costochondritis. Chronic or violent coughing can contribute to damage to the pelvic floor and a possible cystocele.\n",
"Long-term coughing and constant irritation of the upper airway can be problematic for individuals that have chronic cough. Due to the consistent coughing, this can interfere with an individual's daily life. This interference can thus cause additional problems such as affecting a person's ability to ensure a consistent sleep, daytime fatigue, difficulty concentrating at work or school, headache, and dizziness. Other more severe but rare complications include fainting, urinary incontinence, and broken ribs, caused by excessive coughing.\n",
"With emphysema the shortness of breath due to effective bronchoconstriction from excessive very thick mucous blockage (it is so thick that great difficulty is encountered in expelling it resulting in near exhaustion at times) can bring on panic attacks unless the individual expects this and has effectively learned pursed lip breathing to more quickly transfer oxygen to the blood via the damaged alveoli resulting from the disease. The most common cause of emphysema is smoking and smoking cessation is mandatory if this incurable disease is to be treated. Prevention of bronchoconstriction by this pathway is vital for emphysema sufferers and there are several anticholinergic medications that can greatly improve the quality of life for these individuals. In combination with mucous thinning agents such as Guaifenesin significant improvement in breathing can be accomplished.\n",
"Cough may also be caused by conditions affecting the lung tissue such as bronchiectasis, cystic fibrosis, interstitial lung diseases and sarcoidosis. Coughing can also be triggered by benign or malignant lung tumors or mediastinal masses. Through irritation of the nerve, diseases of the external auditory canal (wax, for example) can also cause cough. Cardiovascular diseases associated with cough are heart failure, pulmonary infarction and aortic aneurysm. Nocturnal cough is associated with heart failure, as the heart does not compensate for the increased volume shift to the pulmonary circulation, in turn causing pulmonary edema and resultant cough. Other causes of nocturnal cough include asthma, post-nasal drip and gastroesophageal reflux disease (GERD). Another cause of cough occurring preferentially in supine position is recurrent aspiration.\n",
"A cough can be the result of a respiratory tract infection such as the common cold, acute bronchitis, pneumonia, pertussis, or tuberculosis. In the vast majority of cases, acute coughs, i.e. coughs shorter than 3 weeks, are due to the common cold. In people with a normal chest X-ray, tuberculosis is a rare finding. Pertussis is increasingly being recognised as a cause of troublesome coughing in adults.\n",
"A persistent dry cough is a relatively common adverse effect believed to be associated with the increases in bradykinin levels produced by ACE inhibitors, although the role of bradykinin in producing these symptoms has been disputed. Patients who experience this cough are often switched to angiotensin II receptor antagonists.\n"
] |
why do nearly all space photographs seem 2d? | Pictures create the illusion of depth using one or more of several methods, such as linear perspective, aerial perspective, etc., all of which are pretty impossible in astrophotography.
Another issue is that the image is taken of an object millions of miles away, and the only background are the stars which are also millions of miles away. This makes it very difficult for your brain to even perceive depth or size. The lack of anything in the foreground and the lack of much of a background add to the "flatness" of the image. | [
"BULLET::::- 1975: \"Blue Studio: Five Segments\" solo-video collaboration with Cunningham created in such a small space that they choose to superimpose different backgrounds on the image, making the space seem larger than in actuality.\n",
"The director determined that only actual photographs would be used, without hand-drawn or computer-generated images (CGI). This required the use of over 7.5 million separate images, captured in space or by telescopes. To present a 3-dimensional effect, images would be composited and moved using multi-plane animation, but no such animation had ever been attempted on this scale. For example, Walt Disney Studios had used this technique with seven layers in films such as \"Snow White and the Seven Dwarfs\", whereas \"In Saturn's Rings\" uses up to 1.2 million layers in its most complex sequence.\n",
"In September 2007, a team of astronomers from the United States and Britain released some of the clearest pictures ever taken of outer space. The pictures were obtained through the use of a new hybrid \"Lucky imaging\" and \"adaptive optics\" system that sharpens pictures taken from the Palomar Observatory. The resolution attained exceeds that of the Hubble Space Telescope by a factor of two.\n",
"This sort of 3D imaging solution is based on the principles of photogrammetry. It is also somewhat similar in methodology to panoramic photography, except that the photos are taken of one object on a three-dimensional space in order to replicate it instead of taking a series of photos from one point in a three-dimensional space in order to replicate the surrounding environment.\n",
"Photographs, both monochrome and color, can be captured and displayed through two side-by-side images that emulate human stereoscopic vision. Stereoscopic photography was the first that captured figures in motion. While known colloquially as \"3-D\" photography, the more accurate term is stereoscopy. Such cameras have long been realized by using film and more recently in digital electronic methods (including cell phone cameras).\n",
"To the right is the first color image derived from images taken by the panoramic camera on the Mars Exploration Rover \"Spirit\". It was the highest resolution image taken on the surface of another planet. According to the camera designer Jim Bell of Cornell University, the panoramic mosaic consists of four pancam images high by three wide. The picture shown originally had a full size of 4,000 by 3,000 pixels. However, a complete pancam panorama is even 8 times larger than that, and could be taken in stereo (i.e., two complete pictures, making the resolution twice as large again.) The colors are fairly accurate. (For a technical explanation, see colors outside the range of the human eye.)\n",
"Space exploration led to a renewed interest in the perspective projection. Now the concern was for a pictorial view from space, not for minimal distortion. A picture taken with a hand-held camera from the window of a spacecraft has a tilted vertical perspective, so the manned Gemini and Apollo space missions sparked interest in this projection.\n"
] |
Wouldn't large scale mining on the moon have a negative impact on Earth? Assuming large deposits of valuable minerals are found in it | No. The moon is simply way too big that mining operations as we know it could have any noticable impact on tides.
The total amount of all mining humans have done on earth since ever is smaller than the margin of error we have on the our estimation on mass of the moon. | [
"Almost all lunar rocks are depleted in volatiles and are completely lacking in hydrated minerals common in Earth rocks. In some regards, lunar rocks are closely related to Earth's rocks in their isotopic composition of the element oxygen. The Apollo Moon rocks were collected using a variety of tools, including hammers, rakes, scoops, tongs, and core tubes. Most were photographed prior to collection to record the condition in which they were found. They were placed inside sample bags and then a \"Special Environmental Sample Container\" for return to the Earth to protect them from contamination. In contrast to the Earth, large portions of the lunar crust appear to be composed of rocks with high concentrations of the mineral anorthite. The mare basalts have relatively high iron values. Furthermore, some of the mare basalts have very high levels of titanium (in the form of ilmenite).\n",
"The carbonaceous boulder that would have been captured by the mission (maximum 6 meter diameter, 20 tons) is too small to harm the Earth because it would burn up in the atmosphere. Redirecting the asteroid mass to a distant retrograde orbit around the Moon would ensure it could not hit Earth and also leave it in a stable orbit for future studies.\n",
"Prospecting operations will be aimed at locating concentrations of extractable lunar gems and minerals. High grade titanium, rare-earth metals and helium-3 (a potential fusion reactor fuel) are all known to exist on the Moon. Low cost flight of concentrated ores to the Earth is feasible using Solar Powered, electromagnetic \"Rail guns\", and other technologies.\n",
"On Earth impact craters have resulted in useful minerals. Some of the ores produced from impact related effects on Earth include ores of iron, uranium, gold, copper, and nickel. It is estimated that the value of materials mined from impact structures is five billion dollars/year just for North America. \n",
"Comparison of the zinc isotopic composition of lunar samples with that of Earth and Mars rocks provides further evidence for the impact hypothesis. Zinc is strongly fractionated when volatilized in planetary rocks, but not during normal igneous processes, so zinc abundance and isotopic composition can distinguish the two geological processes. Moon rocks contain more heavy isotopes of zinc, and overall less zinc, than corresponding igneous Earth or Mars rocks, which is consistent with zinc being depleted from the Moon through evaporation, as expected for the giant impact origin.\n",
"Indirect evidence for the giant impact scenario comes from rocks collected during the Apollo Moon landings, which show oxygen isotope ratios nearly identical to those of Earth. The highly anorthositic composition of the lunar crust, as well as the existence of KREEP-rich samples, suggest that a large portion of the Moon once was molten; and a giant impact scenario could easily have supplied the energy needed to form such a magma ocean. Several lines of evidence show that if the Moon has an iron-rich core, it must be a small one. In particular, the mean density, moment of inertia, rotational signature, and magnetic induction response of the Moon all suggest that the radius of its core is less than about 25% the radius of the Moon, in contrast to about 50% for most of the other terrestrial bodies. Appropriate impact conditions satisfying the angular momentum constraints of the Earth-Moon system yield a Moon formed mostly from the mantles of the Earth and the impactor, while the core of the impactor accretes to the Earth. It is noteworthy that the Earth has the highest density of all the planets in the Solar System; the absorption of the core of the impactor body explains this observation, given the proposed properties of the early Earth and Theia.\n",
"Recent observation made by a number of spacecraft confirmed significant amounts of Lunar water. Mercury does not appear to contain observable quantities of HO, presumably due to loss from giant impacts. In contrast, Earth's hydrosphere contains ~ of HO and sedimentary rocks contain ~, for a total crustal inventory of ~ of HO. The mantle inventory is poorly constrained in the range of . Therefore, the bulk inventory of HO on Earth can be conservatively estimated as 0.04% of Earth's mass (~).\n"
] |
What will happen to a piece of wood, placed in a "pot"with no oxygen and then placed over a fire? | That's basically a way to make charcoal. By starving the wood of oxygen you allow the moisture and volatile compounds to be burned off leaving you with a mostly pure carbon. It's important that it has some kind of vent though because the steam and volatile compounds will pressurize the container. | [
"There are many ways to store firewood. These range from simple piles to free-standing stacks, to specialized structures. Usually the goal of storing wood is to keep water away from it and to continue the drying process.\n",
"Planks can be put directly over open flames, or stood on edge and faced towards the flames (the Finnish method), either method infuses the food with the natural oils and moisture found in the woods adding flavor.\n",
"The conservation of waterlogged wood is a complex process that involves impregnating. The impregnation process involves replacing the water with a material that will strengthen the structure of the wood without causing the wood to contract or come apart. There are different methods used to impregnate wood:\n",
"Impregnation of wood with a potassium silicate solution is an easy and low cost way for rendering the woodwork of houses secure against catching fire. The woodwork is first saturated with a diluted and nearly neutral solution of potash silicate. After drying, one or two coats of a more concentrated solution are usually applied.\n",
"A pot hanging over the fire, although picturesque, may spill, and the rigging may be difficult to construct from found wood. Generally this is done with metal rigging, much of it identical to that historically used in home fireplaces before the invention of stoves. Two vertical iron bars with an iron cross-piece allow pots to be hung at various heights or over different temperatures of fire. Griddles, grills and skewers can also be hung over the fire. When working with wood, one may use two tripods, lashed with tripod lashings, but the rope will be liable to melt or burn. Dovetail joints are more secure, but difficult to carve.\n",
"If a wooden artifact has sustained water damage, then the object must be dried slowly so as not to cause splitting of the wood as it dries. Similar to relative humidity, a rapid fluctuation in moisture from water damage can cause further damage to wooden objects. Slow controlled drying can be achieved by lower the relative humidity and creating a tent for the artifact so that it does not lose moisture too quickly.\n",
"Once started upon a timber prop, the fire would have naturally spread to the adjacent supports, and would have continued to burn as long as plenty of air was available. When the combustion of the supporting frames so weakened them that they gave way under the weight of the waste material lying on them it would have caused a block at that level; the timber then burning in a sort of cul-de-sac, would not have received all the oxygen necessary for the complete combustion of the carbon; the result was that CO was generated in addition to CO.\n"
] |
Gravitational time dilation for solar systems relative to distance from galactic centre. | Well, the truth is that once you get far enough from an object's Schwarzschild radius, the effect isn't very significant. The equation for gravitational time dilation is:
t_0 = t_f*sqrt(1-r_0/r)
where t_0 is the observed time, t_f is "proper time" (time when you're far enough from the source that you're not affected by its gravity, but also at rest relative to the source), r_0 is the Schwarzschild radius, and r is the distance you are from the center.
The Sun's Schwarzschild radius is 3 km, which is to say that if the sun's mass were compressed to a single point, that point would create a black hole whose event horizon would have a radius of 3 km. The sun currently has a radius of about 7\*10^5 km, which means that a second on the surface of the sun would be about sqrt(1-3/7*10^(-5)) = 1.000002 times as long as a "proper" second.
I don't exactly know how far the most inner stars are from the galactic centre, but I know that they have to be far enough that the gravity gradient (the difference between the force of gravity at two points different distances from the source) would be low enough that stars could maintain a fusion cycle. I haven't done the math here, but intuitively I'd assume that if they're far enough away that they can hold a shape on the order of 10^5 km, they're far enough that the gravitational time dilation wouldn't affect them too much.
EDIT: Accidentally a caret. | [
"However, there are a number of complications. The simple derivation above assumed that both the Sun and the object in question are traveling on circular orbits about the Galactic center. This is not true for the Sun (the Sun's velocity relative to the local standard of rest is approximately 13.4 km/s), and not necessarily true for other objects in the Milky Way either. The derivation also implicitly assumes that the gravitational potential of the Milky Way is axisymmetric and always directed towards the center. This ignores the effects of spiral arms and the Galaxy's bar. Finally, both transverse velocity and distance are notoriously difficult to measure for objects which are not relatively nearby.\n",
"The rest frame of the center of mass of our solar system isn't a perfect inertial frame of reference since our solar system orbits around the center of the Milky Way. An estimation for the time of period of circulation is 230 million years (estimations vary between 225 and 250 million years). As the estimation for the distance between our solar system and the center of the Milky Way is about 28000 Ly, the assumed orbital speed of our solar system is formula_80. This would cause an aberration ellipse with a major semiaxis of 2,6' (arcminutes). Therefore, in one year the aberration angle could change (at max.) formula_81 = 4,3 µas (microarcseconds). This very small value isn't detectable now, perhaps it's possible with the planned mission of the Gaia spacecraft.\n",
"Gravitational time dilation is a phenomenon predicted by the theory of General Relativity whereby time passes more slowly in regions of lower gravitational potential. Scientists used the lander to test this hypothesis, by sending radio signals to the lander on Mars, and instructing the lander to send back signals, in cases which sometimes included the signal passing close to the Sun. Scientists found that the observed Shapiro delays of the signals matched the predictions of General Relativity.\n",
"That is, the stronger the gravitational field (and, thus, the larger the acceleration), the more slowly time runs. The predictions of time dilation are confirmed by particle acceleration experiments and cosmic ray evidence, where moving particles decay more slowly than their less energetic counterparts. Gravitational time dilation gives rise to the phenomenon of gravitational redshift and Shapiro signal travel time delays near massive objects such as the sun. The Global Positioning System must also adjust signals to account for this effect.\n",
"Gravitational time dilation is at play e.g. for ISS astronauts. While the astronauts' relative velocity slows down their time, the reduced gravitational influence at their location speeds it up, although at a lesser degree. Also, a climber's time is theoretically passing slightly faster at the top of a mountain compared to people at sea level. It has also been calculated that due to time dilation, the core of the Earth is 2.5 years younger than the crust. \"A clock used to time a full rotation of the earth will measure the day to be approximately an extra 10 ns/day longer for every km of altitude above the reference geoid.\" Travel to regions of space where extreme gravitational time dilation is taking place, such as near a black hole, could yield time-shifting results analogous to those of near-lightspeed space travel.\n",
"Contrarily to velocity time dilation, in which both observers measure the other as aging slower (a reciprocal effect), gravitational time dilation is not reciprocal. This means that with gravitational time dilation both observers agree that the clock nearer the center of the gravitational field is slower in rate, and they agree on the ratio of the difference.\n",
"Gravitational time dilation is experienced by an observer that, at a certain altitude within a gravitational potential well, finds that his local clocks measure less elapsed time than identical clocks situated at higher altitude (and which are therefore at higher gravitational potential).\n"
] |
Would quantum computing make it easier to simulate molecular systems? | In principle, the answer is yes. Since a quantum computer is itself a quantum mechanical system, it inherently is able to deal with quantum mechanical features. This is what Feynman had in mind when he proposed quantum computing in the 1980s, though this proposal has little to do with what we now mean by "(universal) quantum computer".
Instead of running a full-blown algorithm on a generic quantum computer, it can be easier to build a quantum system one can "easily" control which mimics the system you want to simulate. (In more precise terms: You map the Hamiltonian of the system you want to simulate to the Hamiltonian of a system you can experimentally control.) This is actually done quite a bit for solid state systems already, you can find more information here: _URL_0_ | [
"Since chemistry and nanotechnology rely on understanding quantum systems, and such systems are impossible to simulate in an efficient manner classically, many believe quantum simulation will be one of the most important applications of quantum computing. Quantum simulation could also be used to simulate the behavior of atoms and particles at unusual conditions such as the reactions inside a collider.\n",
"The idea that quantum computers might be more powerful than classical computers originated in Richard Feynman's observation that classical computers seem to require exponential time to simulate many-particle quantum systems. Since then, the idea that quantum computers can simulate quantum physical processes exponentially faster than classical computers has been greatly fleshed out and elaborated. Efficient (that is, polynomial-time) quantum algorithms have been developed for simulating both Bosonic and Fermionic systems and in particular, the simulation of chemical reactions beyond the capabilities of current classical supercomputers requires only a few hundred qubits. Quantum computers can also efficiently simulate topological quantum field theories. In addition to its intrinsic interest, this result has led to efficient quantum algorithms for estimating quantum topological invariants such as Jones and HOMFLY polynomials, and the Turaev-Viro invariant of three-dimensional manifolds.\n",
"Entirely new approaches for computing exploit the laws of quantum mechanics for novel quantum computers, which enable the use of fast quantum algorithms. The Quantum computer has quantum bit memory space termed \"Qubit\" for several computations at the same time. This facility may improve the performance of the older systems.\n",
"Quantum machine learning can also be applied to dramatically accelerate the prediction of quantum properties of molecules and materials. This can be helpful for the computational design of new molecules or materials. Some examples include\n",
"It is speculated that in a quantum computer, such simulations would be much more efficient and exact than that done in a classical computer, because it can perform the tunneling directly, rather than needing to add it by hand. Moreover, it may be able to do this without the tight error controls needed to harness the quantum entanglement used in more traditional quantum algorithms. Some confirmation of this is found in exactly solvable models.\n",
"Quantum computers are expected to have a number of significant uses in computing fields such as optimization and machine learning. They are famous for their expected ability to carry out 'Shor's Algorithm', which can be used to factorise large numbers which are mathematically important to secure data transmission.\n",
"Another goal is the development of quantum computers, which are expected to perform certain computational tasks exponentially faster than classical computers. Instead of using classical bits, quantum computers use qubits, which can be in superpositions of states. Quantum programmers are able to manipulate the superposition of qubits in order to solve problems that classical computing cannot do effectively, such as searching unsorted databases or integer factorization. IBM claims that the advent of quantum computing may progress the fields of medicine, logistics, financial services, artificial intelligence and cloud security.\n"
] |
If I am seeing a full moon, does someone a few timezones away see a full moon too? | Yes the moon will be full (or close enough to it) for everyone on earth. The full moon happens with the sun and the moon are on opposite sides of the earth, so that the side of the moon facing the earth is illuminated by the sun.
Fun fact: the side of the moon facing earth is always the same side, since the moon rotates at just the right speed so that as it orbits the same side is always facing us. This is caused by a phenomenon called tidal locking. | [
"A full moon is often thought of as an event of a full night's duration. This is somewhat misleading because its phase seen from Earth continuously waxes or wanes (though much too slowly to notice in real time with the naked eye). By definition, its maximum illumination occurs at the moment waxing stops. For any given location, about half of these maximum full moons may be visible, while the other half occurs during the day, when the full moon is below the horizon.\n",
"Full moon is generally a suboptimal time for astronomical observation of the Moon because shadows vanish. It is a poor time for other observations because the bright sunlight reflected by the Moon, amplified by the opposition surge, then outshines many stars.\n",
"Moonbows are most easily viewed when the moon is at or nearest to its brightest phase full moon. For moonbows to have the greatest prospect of appearing, the moon must be low in the sky (at an elevation of less than 42 degrees, preferably lower) and must not be obscured by cloud. In addition, the night sky must be very dark. Since the sky is not completely dark on a rising/setting full moon, this means they can only be observed two to three hours before sunrise (a time with few observers), or two to three hours after sunset. And, of course, there must be water droplets (e.g. from rain or spray) opposite the moon. This combination of requirements makes moonbows much rarer than rainbows produced by the sun. Moonbows may also be visible when rain falls during full moonrise at extreme latitudes during the winter months when the prevalence of the hours of darkness give more opportunity for the phenomenon to be observed.\n",
"BULLET::::- \"It was a nice night, with a moon, but the cloud covered the moon for most of the time... It was very hard going with our heavy loads; it was hot work. We eventually became split up into three groups. We only had one night sight; the lead man, Lieutenant Arias had it. One of the groups became separated when a vehicle came along the track we had to cross. We thought it was a military patrol. Another group lost contact, and the third separation was caused by someone going too fast. This caused my second in command, Lieutenant Bardi, to fall. He suffered a hairline fracture of the ankle and had to be left behind with a man to help him. … We were at Moody Brook by 5.30 a.m., just on the limits of the time planned, but with no time for the one hour's reconnaissance for which we had hoped.\"\n",
"At higher latitudes, there will be a period of at least one day each month when the Moon does not rise, but there will also be a period of at least one day each month when the Moon does not set. This is similar to the seasonal behaviour of the Sun, but with a period of 27.2 days instead of 365 days. Note that a point on the Moon can actually be visible when it is about 34 arc minutes below the horizon, due to atmospheric refraction.\n",
"Contrary to popular belief, the Moon should ideally not be viewed at its full phase. During a full moon, rays of sunlight are hitting the visible portion of the Moon perpendicular to the surface. As a result, there is less surface detail visible during a full moon than during other phases (such as the quarter and crescent phases) when sunlight hits the Moon at a much shallower angle. The brightness of a full moon as compared to a phase where a smaller percentage of the surface is illuminated tends to wash out substantial amounts of detail and can actually leave an afterimage on an observer's eye that can persist for several minutes. First quarter (six to nine days past new moon) is generally considered the best time to observe the Moon for the average stargazer. Shadows and detail are most pronounced along the \"terminator\", the dividing line between the illuminated (day side) and dark (night side) of the Moon.\n",
"On the right is a 1/10-second exposure showing an overexposed full moon. The Moon is seen through thin vaporous clouds, which glow with a bright disk surrounded by an illuminated red ring. A longer exposure would show more faint colors beyond the outside red ring.\n"
] |
how does the accelerator pedal in cars work? | In most cars, pushing the accellerator (or gas ) pedal increases the flow of fuel to the engine. This means the engine will output more power, causing the car to accellerate.
However, this accelleration doesn't continue forever. Mainly because as a car's speed increases, the amount of wind resistance increases as well, that's like a force pushing against the car forcing it to slow down.
So when you press the accellerator, the engine will push the car harder, and as it speeds up, the air will push harder against it. Once they reach an equilibrium, the car stops accellerating and instead maintains a constant speed. | [
"Automobile accelerator pedals have historically been mechanical assemblies which link the pedal to the engine throttle by mechanical linkages or a Bowden cable. With the advent of electronic throttle control, accelerator pedals consist of a spring-loaded pedal arm connected to an electronic transducer. This transducer, typically a potentiometer or\n",
"The name stems from pre-WW2 vehicles where the accelerator pedal was in the centre (between the clutch on the left and the foot brake to the right). The brake was able to be operated with the heel whilst the accelerator pedal could be simultaneously pressed with the toe. The technique is carried out in modern cars by operating the brake with the toe area, while rocking the foot across to the right to operate the throttle with the right side of the foot. With practice, it becomes possible to smoothly and independently operate both pedals with one foot. The technique is common in all forms of motorsports.\n",
"In order to allow the powertrain computer to optimize performance under every driving condition, the Insight's accelerator pedal is a “drive-by-wire” type that uses an electronic position sensor instead of the conventional metal cable that usually connects the pedal to the engine's throttle body. In the drive-by-wire system, the engine's throttle body is controlled by the powertrain computer in response to the accelerator pedal position—allowing the computer to determine the optimal throttle body, fuel, and CVT settings based on the accelerator pedal position and its rate of travel.\n",
"On many cars, the accelerator pedal motion is communicated via the throttle cable, which is mechanically connected to the throttle linkages, which, in turn, rotate the throttle plate. In cars with electronic throttle control (also known as \"drive-by-wire\"), an electric actuator controls the throttle linkages and the accelerator pedal connects not to the throttle body, but to a sensor, which outputs a signal proportional to the current pedal position and sends it to the ECU. The ECU then determines the throttle opening based on the accelerator pedal's position and inputs from other engine sensors such as the engine coolant temperature sensor.\n",
"With electronic accelerator pedals, there was little inherent friction because of the simplicity of the mechanical design. The tactile pedal response of only a spring force with no hysteresis can make it more difficult for a driver to maintain an accelerator pedal position. Manufacturers of electronic accelerator pedals designed their pedals with additional parts to recreate the tactile response of the older mechanical accelerator pedals. To quote from CTS Corporation's 2004 US patent application:\n",
"Foot pedals can be raised, relocated (for instance swapped to be used by the opposite leg) or replaced with hand-controlled devices. The common form of hand controls consists of a push-pull handle mounted below and projecting to the side of the steering wheel housing. The bar connects by levers to the accelerator and brake pedals, and is typically pivoted so that pushing applies the accelerator while pulling applies the brake. As there is no facility to work a clutch pedal, hand controls must generally be used in cars with automatic transmissions. With one hand continuously engaged working the hand controls, the steering wheel will generally also be fitted with a steering knob to allow one-handed use. More complex fittings may also connect into the electronic circuitry of the vehicle to place indicator and other switches in easy reach of the driver without requiring them to release the hand controls or steering knob. A guard plate may be fitted to prevent inadvertent contact between the driver's feet and the pedals. Extension levers or adapted grips may also be fitted to the parking brake to allow it to be applied by a driver with limited hand or arm strength.\n",
"The older mechanically designed accelerator pedals not only provided a spring return, but the mechanism inherently provided some friction. This friction introduced mechanical hysteresis into the pedal force versus pedal position transfer function. Put more simply, once the pedal was set at a specific position, the friction would help keep the pedal at this setting. This made it easier for the driver to maintain a pedal position. For example, if the driver's foot is slightly jostled\n"
] |
what would happen if i threw a plugged in toaster into the bathtub with me? | With current building codes, probably not much. Any outlet near a tub is a GFCI outlet, which means it has extra protection against exactly this sort of thing. The most likely thing will be that it will short out and trip its breaker before anything happens to you.
If you used an extension cord and ran it from an outlet further away, you'd have a slightly larger chance of something bad happening. If the electrical current happens to go through you on the way to the ground (probably via the drain), and it hits your heart, it could disrupt it and kill you. | [
"BULLET::::- The Heart-Shaped Tub: Plumbing - The contestants must install the running water into their tubs by tapping into an existing plumbing line. After an extensive lesson by Geoff on how to install the shutoff valve. Ajay can't get his solder to stick due to holding the torch too far away and due to the water, so he inexplicably sprays the joint with more water. The other contestants also have similar problems, but Rob quickly addresses it by plugging the pipe with bread, having learned the trick from Geoff in the previous group challenge. However, Dan, who was also taught this trick by Geoff the previous day, doesn't pick up as quickly, but everyone eventually pick up on this trick. Ajay fails as he nearly burns himself with the torch after nearly dropping it. Rob's plumbing works and he passes, but he builds his pipes above the level of his tub deck. Matt's cold water pipe works fine, but he twists and ultimately destroys his hot water pipe in the process of unclogging bread from his pipe for a water test, so he fails, though the rest of his plumbing is noted to be fine. Dan fails as his pipes leak (though it is a minor issue, as Andrew notes). Charlene, having installed a T pointing down toward the floor at a 45 degree angle, ends up slicing off the whole pipe in her efforts to fix it, and so is forced to restart from the beginning well after everyone else is finished.\n",
"BULLET::::- Using AC electrical appliances around bathtubs, swimming pools, hot tubs, etc. with the risk that the appliance may fall into the water and cause electrocution. Only battery-operated devices are safe.\n",
"Water heaters potentially can explode and cause significant damage, injury, or death if certain safety devices are not installed. A safety device called a temperature and pressure relief (T&P or TPR) valve, is normally fitted on the top of the water heater to dump water if the temperature or pressure becomes too high. Most plumbing codes require that a discharge pipe be connected to the valve to direct the flow of discharged hot water to a drain, typically a nearby floor drain, or outside the living space. Some building codes allow the discharge pipe to terminate in the garage.\n",
"Dripping water is an everyday occurrence. As water leaves the faucet, the filament attached to the faucet begins to neck down, eventually to the point that the main droplet detaches from the surface. The filament cannot retract sufficiently rapidly to the faucet to prevent breakup and thus disintegrates into several small satellite drops.\n",
"On December 2, 2013, Canadian Richard Wygand uploaded a YouTube video describing his phone combusting. The phone was plugged into AC power overnight; he woke up to the smell of smoke and burning matter. In the video, the power cord was shown to be severely burnt and showed warped damage to the power plug. Later in the video, Wygand describes how he attempted to get a replacement:\n",
"BULLET::::- Merle – Merle removes the toilet without draining all the water from it, causing him to spill the remaining water all over the bathroom floor. Merle's installation also goes without any issues, although he did manage to briefly misplace two bolts and washers that were needed to hold the water in place. His work earns him a passing grade.\n",
"Because the chemical reaction of the water with the pipe occurs \"inside\" the pipe, it is often difficult to assess the extent of deterioration. The problem can cause both slow leaks and pipe bursting without any previous warning indication. The only long-term solution is to completely replace the polybutylene plumbing throughout the entire building.\n"
] |
how does a new computer know the date when you turn it on, even if not connected to the internet? | There is a small battery on the motherboard which runs a variety of things including a clock. If your computer forgets the time when it turns off this battery is likely dead. They typically last 3 to 5 years. | [
"Some file archivers and some version control software, when they copy a file from some remote computer to the local computer, adjust the timestamps of the local file to show the date/time in the past when that file was created or modified on that remote computer, rather than the date/time when that file was copied to the local computer.\n",
"The date information in the following chronology is difficult to put into proper order. Some dates are for first running a test program, some dates are the first time the computer was demonstrated or completed, and some dates are for the first delivery or installation.\n",
"The 1541 does not have DIP switches to change the device number. If a user added more than one drive to a system the user had to open the case and cut a trace in the circuit board to permanently change the drive's device number, or hand-wire an external switch to allow it to be changed externally. It was also possible to change the drive number via a software command, which was temporary and would be erased as soon as the drive was powered off.\n",
"BULLET::::- Notebooks can be shared across multiple computers. Anyone can edit even while not connected and changes are merged automatically across machines when a connection is made. Changes are labeled with author and change time/date.\n",
"When the change is located, the OS then examines the information in the device to figure out what it is. It then has to load up the appropriate device drivers in order to make it work. In the past, this was an all-or-nothing affair, but modern operating systems often include the ability to find the proper driver on the Internet and install it automatically.\n",
"Some computer cases include a biased switch (push-button) which connects to the motherboard. When the case is opened, the switch position changes and the system records this change. The system's firmware or BIOS may be configured to report this event the next time it is powered on.\n",
"As the turn-of-the-millennium approached, bringing with it the turn-of-the-century (from the 1900s to the 2000s), fear spread, globally, about the possible technical malfunctions that could result as computer hardware and software struggled to cope with changes in computer dates, because many had only been designed to use the last two digits of a year. Rollover of dates at the end of the year, from \"1999\" to \"2000,\" in some computer software and systems, would simply go from the abbreviated date \"99\" to the abbreviated date \"00\"—essentially \"rolling back the clock\" and possibly confusing and disrupting automated operations.\n"
] |
Is it true that sniffing markers/petrol kills brain cells? | _URL_0_
It's not that it's odour particles in your nose, it's often that you're inhaling asphyxiants. They bind to receptors in your lungs which keep you from getting actual oxygen. This causes hypoxia, which can lead to cell death. Your brain needs a constant source of oxygen and you can't regrow brain cells easily if they do die.
People do this intentionally because the lack of oxygen leads to delirium and hallucinations and other problems just caused by your brain not being able to function properly.
There's other chemicals in various inhalants that are going to be absorbed into your blood and have an effect, but the main reason people use them is that they prevent you from properly delivering oxygen to your brain and make you feel funny, and that's also the main mechanism that causes brain cells to die. | [
"In 1977, biochemist Lou Sokoloff, Seymour Kety, and Floyd E. Bloom developed a way of mapping activity in the brain by tracking the rat brain's metabolization of oxygen. Nerve cells require oxygen and glucose for energy. 2-deoxyglucose (2DG) is a radioactive glucose isotope that can be tracked in the brain since it leaves a trace in the cell where it would normally be metabolized for energy if it were glucose. After stimulation of a certain region of cells, X-ray photographs can be sliced to reveal which cells were active, particularly at synaptic junctures.\n",
"Odor inhalation evokes activity throughout olfactory structures in humans. Neuroimaging studies lack resolution to determine the impacts of sniffing frequency on the structure of odor input through the brain, although imaging studies have revealed that the motor act of sniffing is anatomically independent of sniff-evoked odor perception. Implications for this include the shared but distributed pathways for odor processing in the brain.\n",
"Brain positron emission tomography is a form of positron emission tomography (PET) that is used to measure brain metabolism and the distribution of exogenous radiolabeled chemical agents throughout the brain. PET measures emissions from radioactively labeled metabolically active chemicals that have been injected into the bloodstream. The emission data from brain PET are computer-processed to produce multi-dimensional images of the distribution of the chemicals throughout the brain.\n",
"In 2006, it was shown that a second mouse receptor sub-class is found in the olfactory epithelium. Called the trace amine-associated receptors (TAAR), some are activated by volatile amines found in mouse urine, including one putative mouse pheromone. Orthologous receptors exist in humans providing, the authors propose, evidence for a mechanism of human pheromone detection.\n",
"Few studies have explored the impact of neurological disorders on sniffing behavior, although numerous neurological disorders affect respiration. Humans with Parkinson's disease have abnormal sniffing capabilities (i.e., reduced volume and flow rate) which may underlie olfactory perceptual impairments in the disease. Studies into sniffing in mouse models of Alzheimer's disease and also humans have not found major effects of Alzheimer's pathology on both basal respiration and odor-evoked sniffing.\n",
"Measurements of sniffing simultaneously with physiological measures from olfactory centers in the brain have provided information on how sniffing modulates the access and processing of odors at the neural level. Inhalation is necessary for odor input to the brain. Further, odor input through the brain is temporally linked to the respiratory cycle, with bouts of activity occurring with each inhalation. This linkage between sniffing frequency and odor processing provides a mechanism for the control of odor input into the brain by respiratory frequency and possibly amplitude, though this is not well established.\n",
"In mice nicotine increased the probability of later consumption of cocaine and the experiments permitted concrete conclusions on the underlying molecular biological alteration in the brain. The biological changes in mice correspond to the epidemiological observations in humans that nicotine consumption is coupled to an increased probability of later use of cannabis and cocaine.\n"
] |
Would people in the middle ages agree that the Barbarians won? | While the Western Roman Empire collapsed in the 5th century, the Eastern Half existed in one form or another until the 15th century.
Regarding the Barbarians defeating the Roman Empire, it would be fair to say that what the Barbarians did and the Franks in particular is adopt and absorb Rome into their political and religious structure and eventually shifted away from the still existing Roman (Byzantine) Empire in Constantinople. The event that best highlights this was the crowing of Charlemagne as Emperor of the Romans on Christmas 800. What this did was de jure reestablish the Western Empire much to the anger of the Byzantines, who both viewed themselves as the true Roman Empire and that no Barbarian had the right to proclaim themselves as a Roman Emperor.
One book I'd recommend looking at regarding late antiquity and the Barbarians' relationship with Rome/Byzantium is Christopher Wickham's Inheritance of Rome. In short, the Byzantine Empire throughout its history called itself the Roman Empire and its people as Romans while the Franks at the least viewed themselves as the continuation of the Western Empire. | [
"Historians have postulated several explanations for the appearance of \"barbarians\" on the Roman frontier: weather and crops, population pressure, a \"primeval urge\" to push into the Mediterranean or the \"domino effect\" of the Huns falling upon the Goths who, in turn, pushed other Germanic tribes before them. Entire barbarian tribes (or nations) flooded into Roman provinces, ending classical urbanism and beginning new types of rural settlements. In general, French and Italian scholars have tended to view this as a catastrophic event, the destruction of a civilization and the beginning of a \"Dark Age\" that set Europe back a millennium. In contrast, German and English historians have tended to see Roman/Barbarian interaction as the replacement of a \"tired, effete and decadent Mediterranean civilization\" with a \"more virile, martial, Nordic one\".\n",
"The 'Barbarians' are often blamed for the collapse of the Roman Empire, but in reality they were fascinating civilisations that produced magnificent art. Focusing on the often already Christian Huns, Vandals and Goths Januszczak follows each tribe's journey across Europe to settle in new lands and discovers the incredible art they produced along the way.\n",
"In the Byzantine Empire, the term \"barbarians\" () was used for several non-Greek people. The Byzantines regarded most neighbouring people as barbarians. The Bureau of Barbarians was a department of government dealing with matters relating to these \"barbarians\". In the Early Middle Ages in Europe, the term was applied to Huns, Goths, Pechenegs, Avars, Slavs, Bulgars, and others.\n",
"The barbarians comprised war bands or tribes of 10,000 to 20,000 people,[5] but in the course of 100 years they numbered not more than 750,000 in total, compared to an average 39.9 million population of the Roman Empire at that time. Although invasion was common throughout the time of the Roman Empire,[6] the period in question was, in the 19th century, often defined as running from about the 5th to 8th centuries AD.[7][8] The first invasions of peoples were made by Germanic tribes such as the Goths (including the Visigoths and the Ostrogoths), the Vandals, the Anglo-Saxons, the Lombards, the Suebi, the Frisii, the Jutes, the Burgundians, the Alemanni, the Scirii and the Franks; they were later pushed westward by the Huns, the Avars, the Slavs and the Bulgars.[9]\n",
"The Day of the Barbarians: The Battle That Led to the Fall of the Roman Empire is a 2007 nonfiction book by Alessandro Barbero about the Battle of Adrianople. After two centuries in which the \"barbarians\" were successfully integrated in the Roman Empire, a particular episode seems to set the end of this age. Due to corruption and bad organization of the migration phenomenon, the Roman Empire started its fall after this sigle-day battle, which saw the goths immigrants taking over the roman army.\n",
"There is a tendency by some modern scholars to ascribe to ancient barbarians a degree of ethnic solidarity that did not exist, according to A.H.M. Jones. Germanic tribes were constantly fighting each other and even within such tribal confederations as the Franks or Alamanni there were bitter feuds between the constituent tribes and clans. Indeed, a primary reason why many tribal sub-groups surrendered to the Roman authorities (\"dediticii\") and sought to settle in the empire as \"laeti\" was in order to escape pressure from their neighbours. The few known conflicts of loyalty only arose when the Roman army was campaigning against a barbarian-born soldier's own specific clan. Ammianus himself never characterises barbarian-born troops as unreliable. On the contrary, his evidence is that barbarian soldiers were as loyal, and fought as hard, as Roman ones.\n",
"The Roman Empire was not only a political unity enforced by violence. It was also the combined and elaborated civilization of the Mediterranean basin and beyond. It included manufacture, trade, and architecture, widespread secular literacy, written law, and an international language of science and literature. The Western barbarians lost much of these higher cultural practices, but their redevelopment in the Middle Ages by polities aware of the Roman achievement formed the basis for the later development of Europe.\n"
] |
Were the Picts Celtic or non-Indo-European people according to modern historians? | Perhaps an expert will come along and answer this for you, but in the meantime I had a quick look and got what appears to me to be a general consensus towards the Picts being of mainly Celtic origin. Cunliffe summarises the issue as follows:
> "The Irish, Attocotti, and Picts were probably Celtic peoples, althought some linguists claim to be able to detect a pre-Indo-European element in the Pictish language." (263).
Of course, this quote demonstrates (at least in 1997) that nothing is 'known' on this matter, but we do have probability. A few more recent articles I have found seem to support the assertion that the Picts were of Celtic origin (Keys 41, Snow 46), but Teutonic influences later mixed in amongst the population of Scotland and became somewhat dominant, yet the modern 'Scottish' identity betrays a mix of linguistic influences including "Gaelic, English, Welsh, Norse, French, Flemish and Latin" (Hammond 6-8, 26-7). Celtic and non-Indo-European languages could also have co-existed:
> "Though it is fashionable for scholars to ignore it, a non-Indo-European language does seem to be visible in the inscriptions of Pictland, which have never convincingly been interpreted as Celtic. The presence of such a language is supported by the ancient river names, so long as they are not emended. When Isaac analysed Ptolemy’s river names in Britain, he found between thirty-four and forty-one Celtic ones and six non-Indo-European ones, and five of those six rivers turned out to be in north-east Scotland. This is indeed what one might expect on the far edge of an island on the far edge of Europe" (Sims-Williams 431-2).
I've only collected some bits and pieces here and I'm a total layman on this matter so I may have horrible embarrased myself. But the summary of Cunliffe seems reasonable on the matter: that is, that the Picts were predominantly Celtic and perhaps had a smaller non-Indo-European aspect.
Sources:
Cunliffe, Barry, The Ancient Celts, London: Penguin Books, 1999 (1997).
Hammond, Matthew H., "Ethnicity and the Writing of Medieval Scottish History", *The Scottish Historical Review*, 85, 219, 2006, 1-27.
Keys, David, "Rethinking the Picts," *Archaeology*, 57, 5, 2004, 40-4.
Sims-Williams, Dean, "Bronze and Iron Age Celtic Speakers: What we don't know, what we can't know, and what could we know? Language, Genetics and Archaeology in the 21st Century", *The Antiquaries Journal*, 92, 2012, 427-49.
Snow, Dean R., "Scotland's Irish Origins", *Archaeology*, 54, 4, 2001, 46-51.
| [
"Some quotations from the book follow. (Note that Sykes uses the terms \"Celts\" and \"Picts\" to designate the pre-Roman inhabitants of the Isles who spoke Celtic and does not mean the people known as Celts in central Europe.)\n",
"Links with the ancient Middle East are also involved in pseudohistorical claims related to Cornwall and the wider Celtic Britain, including speculation concerning the identity of the Picts. Some have associated the Cornish piskies of folklore with the Picts. The identity and origins of the Picts have attracted various speculations, including a Middle Eastern Semitic, or pharaonic Egyptian origin to the Pictish language. Most mainstream scholars believe the Pictish language to have been P-Celtic (i.e. an Indo-European language of the Celtic branch), and there is no real evidence that legends of piskies are related to the historical Picts.\n",
"BULLET::::- Picts (Picti) - They were a different people from the Britons, but may have shared common ancestry; If their language, Pictish language, was not Celtic it may have been Para-Celtic like Ligurian (i.e. an Indo-European language branch not Celtic but more closely related to Celtic) or (Proto) Germanic. They lived in Caledonia (today's Northern Scotland). Caledonian Forest (Caledonia Silva) was in their land. A tribal confederation.\n",
"The Picts were a confederation of peoples who lived in what is today eastern and northern Scotland during the Late British Iron Age and Early Medieval periods. Where they lived and what their culture was like can be inferred from early medieval texts and Pictish stones. Their Latin name, \"Picti\", appears in written records from Late Antiquity to the 10th century. They lived to the north of the rivers Forth and Clyde. Early medieval sources report the existence of a distinct Pictish language, which today is believed to have been an Insular Celtic language, closely related to the Brittonic spoken by the Britons who lived to the south.\n",
"In Galicia, approximately half of the non Latin toponyms transmitted from antiquity in the works of classical geographers and authors (Pomponius Mela, Pliny the Elder, Ptolemy...), or in epigraphic Roman inscriptions, have been found to be Celtic, being the other half mostly Indo-European but either arguably non Celtic, or lacking a solid Celtic etymology.\n",
"John Rhys, in 1892, proposed that Pictish was a non-Indo-European language. This opinion was based on the apparently unintelligible ogham inscriptions found in historically Pictish areas. A similar position was taken by Heinrich Zimmer, who argued that the Picts' supposedly exotic cultural practices (tattooing and matriliny) were equally non-Indo-European, and a pre-Indo-European model was maintained by some well into the 20th century.\n",
"British, Gaelic, or Anglo-Saxon neighbours. Although analogy and knowledge of other so-called 'Celtic' societies (a term they never used for themselves) may be a useful guide, these extended across a very large area. Relying on knowledge of pre-Roman Gaul, or 13th-century Ireland, as a guide to the Picts of the 6th century may be misleading if analogy is pursued too far.\n"
] |
What did the Russians do the German 6th army after they were captured? | The captured members of the German 6th Army were by in large sent to Siberia, or at least to the east of the country to get them as far from the battle lines as possible. They were basically used for forced labor, suffered from ill clothing and malnutrition and general poor treatment. Out of the roughly 100K+ prisoners of the 6th, only @6,000 survived the war to be repatriated, some were not released until the early 1950s.
(Christina Morina, *Legacies of Stalingrad: Remembering the Eastern Front in Germany since 1945*) | [
"On 22 June 1944, the Red Army launched Operation Bagration. The Soviet forces soon overwhelmed the German forces stationed near Bobruisk and encircled the city on the 27th. On 28 June 1944, Hamann, along with the rest of the Bobruisk garrison, was taken prisoner. On 17 July, he was paraded through the streets of Moscow with 50,000 other captured German soldiers, in the aftermath of Bagration. He was officially promoted to lieutenant general while in Soviet captivity, on 20 August 1944.\n",
"As the Russian Army moved closer to Poland, the Germans decided to liquidate the special ghetto-clearing unit of which Halberstam was a member. All the prisoners were taken to a field outside of Warsaw, told to undress and stand near open pits, where soldiers prepared to machine-gun them. At the last moment, however, a car sped into the field. A high-ranking officer jumped out and communicated the special order from Berlin to stop the execution and send the prisoners to the Dachau concentration camp, where they were needed as slave laborers.\n",
"The Soviet government immediately denied the German charges. They claimed the Polish prisoners of war had been engaged in construction work west of Smolensk, and consequently were captured and executed by invading German units in August 1941. The Soviet response on 15 April to the initial German broadcast of 13 April, prepared by the Soviet Information Bureau, stated \"Polish prisoners-of-war who in 1941 were engaged in construction work west of Smolensk and who...fell into the hands of the German-Fascist hangmen\".\n",
"From October 1944, the 10th Guards Army was one of the Soviet formations committed to besieging German Army Group \"Kurland\" in the Courland Peninsula. This was a lengthy operation that continued until the Germans in Courland surrendered on May 12, 1945.\n",
"When the Soviet army began its advance through Nazi-occupied Estonia in September 1944, the SS started to evacuate the camp. Many prisoners were sent west by sea to the Stutthof concentration camp near Danzig and to Freiburg in Schlesien, present day Świebodzice, then in Germany, now Poland. \n",
"After their recapture of Smolensk in the autumn of 1943, the Soviet government organized its own excavation. This second enquiry concluded that the Polish prisoners of war had been captured and executed by invading German units in August 1941.\n",
"On 15 June 1941, just a week before the Nazi German invasion of Russia, Vitkauskas was sent to the Military Academy of the General Staff in Moscow to complete courses for higher officers. It was part of a larger initiative to send Lithuanian officers to various courses and replace them with Russians. Two explanations are given – as a preparation for the German invasion or a precaution against a possible mutiny due to the June deportation. According to Vitkaukas' wife, the orders to depart to Moscow were urgent and Vitkauskas was placed under armed guard at the railway station. After the completion of the courses in December 1941, he taught tactics of the great military formations. He was a member of the Supreme Soviet of the Soviet Union from 1941 to 1954.\n"
] |
Is there a situation where crossing two beams of light could interfere with the way the beams look/act after they cross paths? | The short answer is yes, it is indeed possible for light to interact with light, though it happens only at very high intensity, around 10^24 W/cm^2 for ~1 micron wavelength light (not far from realization in the laboratory given the present state and trajectory of high intensity laser technology). This is about two orders of magnitude higher in intensity than we can make in the laboratory today and will probably be reached in a decade or so, allowing for direct probing of quantum electrodynamics in the laboratory using high-intensity lasers.
[This article](_URL_0_) describes one such experiment. The essential physics is that at high enough laser intensity, one starts to "polarize" the vacuum, creating virtual electron-positron pairs that interact with the incident light as a nonlinear dielectric. Such dielectric behavior of the vacuum allows for the creation of a "matterless double-slit" in the article. The physics of this process is described well by quantum electrodynamics.
Your projectors are many, many orders of magnitude lower in intensity, so this bit of exotica is not occurring in your classroom.
[Edit: fixed some awkward wording.] | [
"If the apparatus is changed so that a second beam splitter is placed in the upper-right corner, then part of the beams from each path will travel to the right, where they will combine to exhibit interference on a detection screen. Experimenters must explain these phenomena as consequences of the wave nature of light. Each photon must have traveled by both paths as a wave, because if each photon traveled as a particle along just one path then the many photons sent during the experiment would not produce an interference pattern.\n",
"Coherent light must be split into two or more beams prior to being recombined in order to achieve interference. Typical methods for beam splitting are Lloyd´s mirrors, prisms and diffraction gratings.\n",
"In 1911 Laue also discussed a situation where on a platform a beam of light is split and the two beams are made to follow a trajectory in opposite directions. On return to the point of entry the light is allowed to exit the platform in such a way that an interference pattern is obtained. Laue calculated a displacement of the interference pattern if the platform is in rotation – because the speed of light is independent of the velocity of the source, so one beam has covered less distance than the other beam. An experiment of this kind was performed by Georges Sagnac in 1913, who actually measured a displacement of the interference pattern (Sagnac effect). While Sagnac himself concluded that his theory confirmed the theory of an aether at rest, Laue's earlier calculation showed that it is compatible with special relativity as well because in \"both\" theories the speed of light is independent of the velocity of the source. This effect can be understood as the electromagnetic counterpart of the mechanics of rotation, for example in analogy to a Foucault pendulum. Already in 1909–11, Franz Harress (1912) performed an experiment which can be considered as a synthesis of the experiments of Fizeau and Sagnac. He tried to measure the dragging coefficient within glass. Contrary to Fizeau he used a rotating device so he found the same effect as Sagnac. While Harress himself misunderstood the meaning of the result, it was shown by Laue that the theoretical explanation of Harress' experiment is in accordance with the Sagnac effect. Eventually, the Michelson–Gale–Pearson experiment (1925, a variation of the Sagnac experiment) indicated the angular velocity of the Earth itself in accordance with special relativity and a resting aether.\n",
"After an equivalent of approximately 280 trips down the 4 km length to the far mirrors and back again, the two separate beams leave the arms and recombine at the beam splitter. The beams returning from two arms are kept out of phase so that when the arms are both in coherence and interference (as when there is no gravitational wave passing through), their light waves subtract, and no light should arrive at the photodiode. When a gravitational wave passes through the interferometer, the distances along the arms of the interferometer are shortened and lengthened, causing the beams to become slightly less out of phase. This results in the beams coming in phase, creating a resonance, hence, some light arrives at the photodiode, indicating a signal. Light that does not contain a signal is returned to the interferometer using a power recycling mirror, thus increasing the power of the light in the arms. In actual operation, noise sources can cause movement in the optics which produces similar effects to real gravitational wave signals; a great deal of the art and complexity in the instrument is in finding ways to reduce these spurious motions of the mirrors. Observers compare signals from both sites to reduce the effects of noise.\n",
"In 1913, Georges Sagnac showed that if a beam of light is split and sent in two opposite directions around a closed path on a revolving platform with mirrors on its perimeter, and then the beams are recombined, they will exhibit interference effects. From this result Sagnac concluded that light propagates at a speed independent of the speed of the source. The motion of the earth through space had no apparent effect on the speed of the light beam, no matter how the platform was turned. The effect had been observed earlier (by Harress in 1911), but Sagnac was the first to correctly identify the cause.\n",
"Typically (see Fig. 1, the well-known Michelson configuration) a single incoming beam of coherent light will be split into two identical beams by a beam splitter (a partially reflecting mirror). Each of these beams travels a different route, called a path, and they are recombined before arriving at a detector. The path difference, the difference in the distance traveled by each beam, creates a phase difference between them. It is this introduced phase difference that creates the interference pattern between the initially identical waves. If a single beam has been split along two paths, then the phase difference is diagnostic of anything that changes the phase along the paths. This could be a physical change in the path length itself or a change in the refractive index along the path.\n",
"The Geneva 1998 Bell test experiments showed that distance did not destroy the \"entanglement\". Light was sent in fibre optic cables over distances of several kilometers before it was analysed. As with almost all Bell tests since about 1985, a \"parametric down-conversion\" (PDC) source was used.\n"
] |
The Roman Emperor Claudius I is popularly depicted as either a bumbling fool, or a secret genius pretending to be a bumbling fool. What is the historical evidence for either view? | Since I've already been talking about Claudius quite a bit this weekend, I might as well field this question too...
Our understanding of Claudius' talents has been shaped by the nature and biases of the literary sources. There are only four that provide (more or less) independent accounts of his reign: Josephus' *Jewish Antiquities*, Tacitus' *Annals*, Suetonius' *Life of Claudius*, and the *Roman History* of Cassius Dio. Each author had a literary and political agenda, and shaped his portrait of Claudius accordingly.
Josephus, a Jewish protege of the Flavians, was motivated to present Claudius in a generally positive light. Claudius, after all, had been poisoned (or so it was assumed) to make room for Nero; and since the Flavians wanted to blacken the memory of Nero, Claudius was ripe for rehabilitation.
Tacitus, whose great themes were the rise of imperial tyranny and the decadence of the Senate, found ample material in the reign of Claudius, and presented the emperor as an indecisive man driven to tyranny by the machinations of his wives and freedmen.
Suetonius was a biographer, not an historian. In keeping with ancient ideas on the relative functions of those genres, he emphasized the moral qualities and failings of his subject, and accentuated the paradoxical rise of a court fool to the imperial seat.
Cassius Dio, writing in the early third century, presents a basically positive but rather cursory portrait of Claudius, in which the emperor's achievements are his own, and his failings those of this scheming courtiers.
Modern "popular" conceptions of Claudius tend to be dominated by Robert Graves' *I, Claudius* and *Claudius the God* and the BBC series based on them. Graves drew heavily on Suetonius, who provides a fascinating wealth of detail about the emperor's odd personal mannerisms. The idea that Claudius was a secret genius really grows out of Graves' novels, which show a highly intelligent but awkward man trying to survive in a vicious imperial household.
So where does the truth lie? It is clear that Claudius was a competent administrator - his recorded measures are reasonable, and occasionally even far-sighted. It is equally clear that he was a bumbling politician, prone to being used and conspired against.
One of our very few unvarnished views of Claudius comes from the so-called Lyon Tablet, a bronze panel that records verbatim a speech the emperor made in the Senate to advocate citizenship. This is our one real glimpse into how Claudius always spoke - and it is fascinating. The emperor rambles on about historical minutiae, and has to be reminded repeatedly (by senators shouting from the benches) to get to the point. We see, in other words, an obviously intelligent and learned man, but also one awkward in manner and speech. The Lyon Tablet seems to more or less confirm Suetonius' comments on Claudius' behavior as emperor. Claudius was definitely smart - but we should not imagine him as a secret mastermind. | [
"BULLET::::- Nero (historical), Emperor of Rome, portrayed as incompetent, petty, cruel, and subject to manipulation by his courtiers. He listens most intently to flatterers and fools. The novel does indicate, though, that the grossly exaggerating flatteries concerning his abilities as a poet actually have some basis in fact.\n",
"Partly due to a perceived lack of intelligence because of his stutter, the man who became the Roman Emperor Claudius was initially shunned from the public eye and excluded from public office. His infirmity is also thought to have saved him from the fate of many other Roman nobles during the purges of Tiberius and Caligula. Isaac Newton, the English scientist who developed the law of gravity, also had a stutter. Other famous Englishmen who stammered were King George VI and Prime Minister Winston Churchill, who led the UK through World War II. Although George VI went through years of speech therapy for his stammer, Churchill thought that his own very mild stutter added an interesting element to his voice: \"Sometimes a slight and not unpleasing stammer or impediment has been of some assistance in securing the attention of the audience...\" The Stuttering Foundation has a list of Famous People Who Stutter.\n",
"As a person, ancient historians described Claudius as generous and lowbrow, a man who sometimes lunched with the plebeians. They also paint him as bloodthirsty and cruel, overly fond of gladiatorial combat and executions, and very quick to anger; Claudius himself acknowledged the latter trait, and apologized publicly for his temper. According to the ancient historians he was also overly trusting, and easily manipulated by his wives and freedmen. But at the same time they portray him as paranoid and apathetic, dull and easily confused.\n",
"Suetonius paints Claudius as a ridiculous figure, belittling many of his acts and attributing his good works to the influence of others. Thus the portrait of Claudius as the weak fool, controlled by those he supposedly ruled, was preserved for the ages. Claudius’ dining habits figure in the biography, notably his immoderate love of food and drink, and his affection for the city taverns.\n",
"Claudius was deified by Nero and the Senate almost immediately. Those who regard this homage as cynical should note that, cynical or not, such a move would hardly have benefited those involved, had Claudius been \"hated\", as some commentators, both modern and historic, characterize him. Many of Claudius' less solid supporters quickly became Nero's men. Claudius' will had been changed shortly before his death to either recommend Nero and Britannicus jointly or perhaps just Britannicus, who would have been considered an adult man according to Roman law only a few months later.\n",
"Tacitus wrote a narrative for his fellow senators and fitted each of the emperors into a simple mold of his choosing. He wrote of Claudius as a passive pawn and an idiot in affairs relating to the palace and often in public life. During his censorship of 47–48 Tacitus allows the reader a glimpse of a Claudius who is more statesmanlike (XI.23–25), but it is a mere glimpse. Tacitus is usually held to have 'hidden' his use of Claudius' writings and to have omitted Claudius' character from his works. Even his version of Claudius' Lyons tablet speech is edited to be devoid of the Emperor's personality. Dio was less biased, but seems to have used Suetonius and Tacitus as sources. Thus the conception of Claudius as the weak fool, controlled by those he supposedly ruled, was preserved for the ages.\n",
"Claudius was a younger brother of Germanicus, and had long been considered a weakling and a fool by the rest of his family. The Praetorian Guard, however, acclaimed him as emperor. Claudius was neither paranoid like his uncle Tiberius, nor insane like his nephew Caligula, and was therefore able to administer the Empire with reasonable ability. He improved the bureaucracy and streamlined the citizenship and senatorial rolls. He ordered the construction of a winter port at Ostia Antica for Rome, thereby providing a place for grain from other parts of the Empire to be brought in inclement weather.\n"
] |
why does it not matter to climate change that the earth was hotter during certain periods of the past? | Even if we totally accept the argument that climate change has occurred on this scale and with this rapidity before, there's nothing to suggest that it won't be extremely disruptive to our way of life. Regions that are fertile today may become barren, regions that may be farmed in the future may be remote or poorly suited to growing crops. The majority of the human population lives on the edge of the ocean. So we have to shift all our food production around, we have to move our cities. These things don't turn on a dime, and we have a huge population to move and feed. Think of the difficulties right now with Syrian refugees, feeding and housing them. That's < 10 million displaced people. Imagine billions, right when the food infrastructure is suddenly needing massive changes. | [
"And the Earth is not the only one that changed - the luminosity of the sun has increased over time. Because rocks record a history of relatively constant temperatures since Earth's beginnings, there must have been more greenhouse gasses to keep the temperatures up in the Archean when the sun was younger and fainter. All these major differences in the environment of the Earth placed very different constraints on the evolution of life throughout our planet's history. Moreover, more subtle changes in the habitat of life are always occurring, shaping the organisms and traces that we observe today and in the rock record.\n",
"The issue of climate change is one that has rapidly gained traction in the last ten years as there has been a unprecedented increase in the Earth's temperature. Scientist's argue that the reason behind this involves the trapping of the sun's heat in the Earth's lower atmosphere, due to greenhouse gases in the upper atmosphere re-reflecting heat energy back onto the earth.\n",
"Joel Schwartz, an AEI visiting fellow, stated: \"The Earth has indeed warmed during the last few decades and may warm further in the future. But the pattern of climate change is not consistent with the greenhouse effect being the main cause.\"\n",
"Since the late 1800s, the surface of the earth has experienced an increase of 0.6 °C in global temperatures. The earth historically has experienced periods of large increases in global temperatures. For example, around 2 million B.C the surface temperature of the earth is estimated to have been 5 °C warmer than today. While these temperatures increased as a result of the natural warming and cooling of the earth, current increases in global temperatures are attributed to increasing amounts of greenhouse gases in the atmosphere. Greenhouse gases have increased since the late 19th century due to the industrialization of nations worldwide. Examples of greenhouse gases include carbon dioxide, methane, nitrous oxide, and hydro-fluorocarbons. While each of these have a significant impact on the effects of greenhouse gases, carbon dioxide is considered to be the most important as approximately three-quarters of the human-generated global warming effect may attributed to increased carbon dioxide output .\n",
"The Earth has experienced a constantly changing climate in the time since plants first evolved. In comparison to the present day, this history has seen Earth as cooler, warmer, drier and wetter, and (carbon dioxide) concentrations have been both higher and lower. These changes have been reflected by constantly shifting vegetation, for example forest communities dominating most areas in interglacial periods, and herbaceous communities dominating during glacial periods. It has been shown that past climatic change has been a major driver of the processes of speciation and extinction. The best known example of this is the Carboniferous Rainforest Collapse which occurred 350 million years ago. This event decimated amphibian populations and spurred on the evolution of reptiles.\n",
"As the earth warms, the rain belt is projected to move north of the current position. Recent climate change can be attributed to rising carbon dioxide concentrations in the atmosphere; caused by the burning of fossil fuels. The correlation between the concentration of carbon dioxide in the atmosphere and average global temperature is undeniably direct, meaning that as more carbon dioxide is released into the atmosphere, the temperature of the earth is expected to rise as well. Even though the earth is warming as a whole entity, the Northern Hemisphere is warming faster than the Southern because of melting Arctic sea ice.\n",
"Wagner erroneously asserted in March 2017 that climate change is the result of Earth moving closer to the Sun and from greater body heat emanating from a greater number of humans: \"The Earth moves closer to the Sun every year. We have more people. You know, humans have warm bodies so is heat coming off? We're just going through a lot of change, but I think we are, as a society, doing the best we can.\" PolitiFact rated the claims as \"false\" and added \"that movement closer to the sun, scientists say, wouldn't have an impact on climate change... Also, there's no evidence to suggest human body heat is at all related to global climate change.\" The scientific consensus is that humans are primarily causing climate change through the production of carbon dioxide which exacerbates the Earth's greenhouse effect.\n"
] |
shorting the dow | The two main reasons you would short the Dow would be: [1] If you think the DOW will go down. [2] To hedge against some other position. Hedging is another matter and I won't go into it here.
Seeing as it is ELI5 I will use an example that is easier to understand (gold as it is traded in dollars not an index like the DOW).
Assume there is a gold dealer that you know that will let you borrow any amount of gold you like at current market prices at any time, and will also buy it back off you at current market prices at any time. This is what many financial institutions offer.
Say gold is currently worth $1700 and you think it is going to go down in price. A method of speculating that it will go down would be to 'go short' on gold. Going short is where you profit on downward movements in prices. Going long is where you profit of upward movements in prices.
Going short: Firstly, you would borrow an amount of gold. Let's say you borrow 100 ounces at $1700. You have borrowed $1700 x 100 = $170,000 worth of gold. The dealer essentially has given you $170,000 and has said "now you owe me 100 ounces of gold". Say in a weeks time gold is now worth $1600. You still owe the dealer 100 ounces. You decide to take your profit. To pay off your debts you will have to give the dealer back his 100 ounces. To settle your debts you will have to buy 100 ounces of gold and then ship them to the dealer. This will cost you $1600 x 100 = $160,000.
So in summary you borrowed $170,000 from the dealer, a week later you cleared your debts with a $160,000 payment. You have profited the difference of $10,000 from the price of gold going down.
Notes: [1] I have ignored transactions costs and interest payments.
[2] The DOW is exactly the same sort of situation except it is an index that you are trading on the movement of.
[3] Hope this helps! | [
"During the early part of the 2010s, aided somewhat by the loose monetary policy practiced by the Federal Reserve, the Dow made a notable rally attempt, though with significant volatility due to growing global concerns such as the 2010 European sovereign debt crisis, the Dubai debt crisis, and the United States debt ceiling crisis. On May 6, 2010, the index lost around 400 points over the day, then just after 2:30 pm EDT, it lost about 600 points in just a few minutes, and gained the last amount back about as quickly. The intra-day change at the lowest point was 998.50 points, representing an intra-day loss of 9.2%. The event, during which the Dow bottomed out at 9,869 before recovering to end with a 3.2% daily loss at 10,520.32, became known as the 2010 Flash Crash. The index closed the half-year at 9,774.02 for a loss of 7.7%.\n",
"BULLET::::- On October 9, 2007, the Dow Jones Industrial Average closed at the record level of 14,164.53. Two days later on October 11, the Dow would trade at its highest intra-day level ever, at the 14,198.10 mark. In what would normally take many years to accomplish; numerous reasons were cited for the Dow's extremely rapid rise from the 11,000 level in early 2006, to the 14,000 level in late 2007. They included future possible takeovers and mergers, healthy earnings reports particularly in the tech sector, and moderate inflationary numbers; fueling speculation the Federal Reserve would not raise interest rates. Roughly on par with the 2000 record when adjusted for inflation, this represented the final high of the cyclical bull. The index closed 2007 at 13,264.82, a level it would not surpass for nearly five years.\n",
"On October 9, 2007, the Dow Jones Industrial Average closed at a record high of 14,164.53. Two days later on October 11, the Dow traded at an intra-day level high of 14,198.10, a mark which would not be matched until March 2013. In what would normally take many years to accomplish; numerous reasons were cited for the Dow's extremely rapid rise from the 11,000 level in early 2006, to the 14,000 level in late 2007. They included future possible takeovers and mergers, healthy earnings reports particularly in the tech sector, and moderate inflationary numbers; fueling speculation the Federal Reserve would not raise interest rates.\n",
"On Thursday November 13, the Dow Jones Industrial Average marked another dramatic session, with the index (opening at 8,282.66) that after a mixed start tumbled again below the 8,000 mark (to a low of 7,965.42) but then reversed the trend and gained more than 900 points (fourth largest daily swing ever) in less than three hours closing at 8,835.25 with a net gain of more than 550 points (third largest ever).\n",
"BULLET::::- On May 6, 2010, the Dow Jones Industrial Average declined about 1,000 points (about 9 percent) and recovered those losses within minutes. It was the second-largest point swing (1,010.14 points) and the largest one-day point decline (998.5 points) on an intraday basis in the Average's history. This market disruption became known as the Flash Crash and resulted in U.S. regulators issuing new regulations to control market access achieved through automated trading.\n",
"For the decade, the Dow made a 228% increase from the 838 level to 2,753; despite the market crashes, Silver Thursday, an early 1980s recession, the 1980s oil glut, the Japanese asset price bubble and other political distractions such as the Soviet–Afghan War, the Falklands War, the Iran–Iraq War, the Second Sudanese Civil War and the First Intifada in the Middle East. The index had only two negative years, which were in 1981 and 1984.\n",
"During the late part of the 2010s, despite anticipations of post-election selloffs, the Dow rallied significantly after Donald Trump was elected President. On January 25, 2017, the Dow hit a record high of 20,000, an increase of 1,667 points since his election in November 2016. Throughout the course of the rest of 2017 and January 2018, the Dow skyrocketed past a few millenary milestones, including the symbolic 25,000 on January 4, 2018. However, on February 2, 2018, the Dow suffered its biggest loss since Brexit on June 24, 2016. As volatility made its return for next week, the largest intraday point drop of 1,597.08 points and largest closing point drop of 1,175.21 points were both set on February 5, 2018 although percentage changes were not as extreme as some past stock market crashes. Spring and summer brought much-needed relief for the Dow as the index eventually soared to new highs. By \"fall\", the Dow began falling tremendously again for two major reasons: fear of sudden spikes in interest rates by the Federal Reserve and woes in technology stocks. While the Dow plunged more than 10%, but less than 20%, on a closing-basis in late 2018 to confirm correction status, but not bear market status, the index rallied more than 10% from its Christmas Eve low, leading some to argue whether that correction has ended or needs to close at a new high.\n"
] |
[Experiment] Which method would get the boiled water to lower temperature within the same amount of time? | Do the experiment and report back, it's really easy. Any kitchen thermometer will do. To avoid having an effect from fresh tap water being cooler than room temperature, while the other case has 5 minutes to warm up the tap water I suggest using water that has been left at room temperature for 20 minutes.
To get good readings I suggest you note down the temperature in both cases at 10-20 s intervals and draw the graphs.
There are two main mechanisms at work, heat loss through generation of steam (you need energy for the phase transition) and heat loss to the surroundings, which is proportional to the difference in temperature. My gut feeling is that the second mechanism will end up at a lower temperature, but I'd do the experiment and then I'd know with certainty.
**----------------------------------------------------------**
Edit: OK, I've done it for you, we got talking about it and I just needed to see what happens. See here for a picture of the [setup](_URL_0_) and the [results](_URL_1_). After finding two thermometers it only took 20 minutes or so - perfect for a coffee break.
The black cups were used for mixing and measuring the temperatures, the red ones held equal amounts of room temperature (20 C) cold water, the green ones were used to measure equal amounts of freshly boiled water before pouring them into the black cups. As I'm using two equal fresh cups, the second batch does not get an advantage by coming into contact with a preheated cup.
Cup A got the hot and cold water at T=0 (with a little stirring from the thermometer), Cup B got the hot water only, with cold added after 5 minutes.
As expected Cup B cooled quickest while it was hottest, and this larger early loss of heat proved decisive. After equilibration of the mixed fluids Cup B had an advantage of 2 C, which it kept nearly constant during the next 5 minutes. After 10 minutes the final temperatures were: Cup A: 47.5 C and Cup B 45 C.
So in conclusion, if you want the lowest mixing temperature after 10 minutes, add the cold water after taking advantage of the rapid initial cooling due to the large temperature difference.
| [
"The traditional advice of boiling water for ten minutes is mainly for additional safety, since microbes start getting eliminated at temperatures greater than and bringing it to its boiling point is also a useful indication that can be seen without the help of a thermometer, and by this time, the water is disinfected. Though the boiling point decreases with increasing altitude, it is not enough to affect the disinfecting process.\n",
"Boiling water is used as a method of making it potable by killing microbes that may be present. The sensitivity of different micro-organisms to heat varies, but if water is held at 70 °C (158 °F) for ten minutes, many organisms are killed, but some are more resistant to heat and require one minute at the boiling point of water.\n",
"BULLET::::1. Boiling: Bringing water to its boiling point (about 100 °C or 212 F at sea level), is the oldest and most effective way since it eliminates most microbes causing intestine related diseases, but it cannot remove chemical toxins or impurities. For human health, complete sterilization of water is not required, since the heat resistant microbes are not intestine affecting. The traditional advice of boiling water for ten minutes is mainly for additional safety, since microbes start getting eliminated at temperatures greater than . Though the boiling point decreases with increasing altitude, it is not enough to affect the disinfecting process. In areas where the water is \"hard\" (that is, containing significant dissolved calcium salts), boiling decomposes the bicarbonate ions, resulting in partial precipitation as calcium carbonate. This is the \"fur\" that builds up on kettle elements, etc., in hard water areas. With the exception of calcium, boiling does not remove solutes of higher boiling point than water and in fact increases their concentration (due to some water being lost as vapour). Boiling does not leave a residual disinfectant in the water. Therefore, water that is boiled and then stored for any length of time may acquire new pathogens.\n",
"Accordingly, an arbitrary volume of hot water can be stored, as long as the stratification is kept intact. In this case there must not be vertical metal plates or tubes as they would conduct heat through the water layers, defeating the purpose of stratification. When effectively employed this technique can maintain water as high as 95 °C (i.e. just below boiling) yielding a higher energy density, and this energy can be stored a long time provided the hot water remains undiluted.\n",
"BULLET::::2. The boiling temperature of a liquid is dependent on pressure - high pressures will yield high boiling temperatures, and low pressures will yield low boiling temperatures. A common simple experiment is to place a cup of water in a vacuum chamber, and then reduce the pressure in the chamber until the water boils. By reducing the pressure the water will boil even at room temperature. This works both ways - if the pressure is increased beyond normal atmospheric pressures, the boiling of hot water could be suppressed far beyond normal temperatures. The cooling system of a modern internal combustion engine is a common example.\n",
"Water normally freezes at 273.15 K (0 °C or 32 °F), but it can be \"supercooled\" at standard pressure down to its crystal homogeneous nucleation at almost 224.8 K (−48.3 °C/−55 °F). The process of supercooling requires that water be pure and free of nucleation sites, which can be achieved by processes like reverse osmosis or chemical demineralization, but the cooling itself does not require any specialised technique. If water is cooled at a rate on the order of 10 K/s, the crystal nucleation can be avoided and water becomes a glass—that is, an amorphous (non-crystalline) solid. Its glass transition temperature is much colder and harder to determine, but studies estimate it at about 136 K (−137 °C/−215 °F).\n",
"The technology is based on the phenomenon that as the vapour pressure on a liquid reduces, its boiling point reduces. The boiling point of a liquid is defined as the temperature at which the vapour pressure of the liquid is equal to the external pressure. When the pressure above a liquid is reduced, the vapour pressure needed to induce boiling is also reduced, and the boiling point of the liquid decreases. By reducing pressure we can even boil off water at lower temperatures. This rapid evaporation of moisture from the surface and within the products due to the low surrounding pressure, absorbs the necessary latent heat for phase change from the product itself. This latent heat required for evaporation is obtained mostly from the sensible heat of the product and as a consequence of this evaporation the temperature of the product falls and the product can be cooled down to its desired storage temperature.\n"
] |
[li5] a lake in northern canada freezes solid over the winter. what happens to the fish? would fish even live there? | The surface freezes, but the water below remains liquid. The lake remains in equilibrium, such that there is an equal amount of water freezing, as there is ice melting underneath the surface.
The part that makes *me* wonder, is how fish can survive those temperatures. | [
"Moreover the shallow lake freezes solid every seven years on average. This leads to significant winter fishkill, and since rough fish like carp rebound faster than desirable game fish, it has been a struggle to maintain the sport fishery.\n",
"The shallow water can be completely frozen in the cold winters, which results in fish kill. Increasing environmental pressures have degraded the amount of game fish present. In past years, it was not unusual to find large Northern Pike and other predatory species. Most fish caught are bullheads and carp. Grasses and trees border the river for much of its length, and provides habitat for a variety of wildlife. Due to the large number of trees edging the creek, there are many fallen trees which make navigation by canoe difficult or impossible. Beavers have also taken advantage of the trees and built several dams.\n",
"This cold water fish is named after its native lake, which is located in Chukotka, Russian Federation. This species and its relative, the long-finned char (\"Salvethymus svetovidovi\") are limited to this remote lake, which is an impact crater. They are adapted to its very cold waters, which are generally just above the freezing point. The surface is frozen for about 10 months of the year. It may start to melt in the summer, but some years it never fully thaws. This fish spends most of the year in total darkness.\n",
"The lake has little commercial activity, but sees many recreational uses. In the winter, it freezes over completely and hosts a number of ice fishing competitions, making it one of the most intensely fished lakes in Ontario. However, claims that it is one of the world's largest lakes that freeze over completely in winter are pure speculation, and, in fact, spurious; Canada alone has a large number lakes of the same size or larger that do the same.\n",
"The fish fauna of the lakes is quite changeable as many fish die during cold winters because of shallow water. Species such as whitefish, bream, pike, and perch die because of a lack of oxygen. There may be more than ten species of fish in some lakes.\n",
"Frozen fish is used for the preparation of \"stroganina\". The fish for \"stroganina\" is usually caught by ice fishing during the late fall and fresh frozen in order to avoid the formation of ice crystals in the meat. Frozen fish can be glazed with near-freezing ice water in order to avoid dehydration and better-preserve the fish meat in a frozen state. The fish is typically frozen straight, without bending its body.\n",
"Ice fishing is allowed on Lake Gilead during the winter. Fish species present include (but are not limited too) largemouth bass, rainbow, lake and brown trout, chain pickerel, yellow perch, and panfish. In the 1990s a local fisherman illegally introduced northern pike, though they are rarely caught.\n"
] |
Adding salt to a supercooled liquid? | It would depend on how deeply supercooled the liquid is. Deeply supercooled solutions (say, beer below -20 & deg;C) would be extremely sensitive to agitation and vibration, so even the act of stirring in the salt would probably trigger a nucleation event. The salt itself would not serve as a "seed crystal", because its lattice is not matched to the crystalline structure of ice, but the process of adding the salt could create a sufficient perturbation to initiate nucleation in the supercooled liquid.
-
If the degree of supercooling is low or moderate (e.g., beer above -10 & deg;C) , then adding the salt would lower the equilibrium freezing temperature (and also lower the nucleation temperature), thus reducing the supercooling (if temperature is held constant). | [
"Supersaturation has been a frequent topic of research throughout history. Early studies of these solutions were normally conducted with sodium sulfate, also known as Glauber’s Salt, due to the stability of the crystal and the rising role it had in industry. Through the use of this salt, an important scientific discovery was made by Jean-Baptiste Ziz, a botanist from Mayence, in 1809. His experiments allowed him to conclude that the crystallization of a supersaturated solution does not simply come from its agitation, (the previous belief) but from solid matter entering and acting as a “starting” site for crystals to form, now called nuclei sites. Expanding upon this, Gay-Lussac brought attention to the kinematics of salt ions and the characteristics of the container having an impact on the supersaturation state. He was also able to expand upon the number of salts with which a supersaturated solution can be obtained. Later Henri Löwel came to the conclusion that both nuclei of the solution and the walls of the container have a catalyzing effect on the solution that cause crystallization. Explaining and providing a model for this phenomenon has been a task taken on by more recent research. Désiré Gernez contributed to this research by discovering that nuclei must be of the same salt that is being crystallized in order to yield crystallization.\n",
"Supersaturated solutions will also undergo crystallization under specific conditions. In a normal solution, once the maximum amount of solute is dissolved, adding more solute would either cause the dissolved solute to precipitate out and/or for the solute to not dissolve at all. Similarly, there are cases wherein solubility of a saturated solution is decreased by manipulating temperature, pressure, or volume but a supersaturated state does not occur. In these cases, the solute will simply precipitate out. This is because a supersaturated solution is in a higher energy state than a saturated solution.\n",
"Some aqueous solutions can be supercooled into a glassy state, for instance LiCl:\"R\"HO (a solution of lithium chloride salt and water molecules) in the composition range 4<\"R\"<8. An aqueous solution containing sugar has a glassy state and can be used as a surfactant.\n",
"Electrolytes or molten salts are mixtures of different ions. In a mixture of three or more ionic species of dissimilar size and shape, crystallization can be so difficult that the liquid can easily be supercooled into a glass.\n",
"But later, this gave way to seeding the supersaturated solution with high-purity aluminium hydroxide (Al(OH)) crystal, which eliminated the need for cooling the liquid and was more economically feasible:\n",
"Undercooling, or supercooling, is the cooling of a liquid below its equilibrium freezing temperature while it remains a liquid. This can occur wherever crystal nucleation is suppressed. In levitated samples, heterogeneous nucleation is suppressed due to lack of contact with a solid surface. Levitation techniques typically allow samples to be cooled several hundred degrees Celsius below their equilibrium freezing temperatures.\n",
"Replacing the liquid electrolyte with a solid has been a major ongoing field of research. Recent experiments using solidified melted salts have shown some promise, but currently suffer from higher degradation during continued operation, and are not flexible.\n"
] |
how do choloroplasts have their own dna but 95% of the proteins in chloroplasts are encoded by nuclear genes? | Essentially Chloroplasts (and mitochondria) were originally free bacteria. Chloroplasts descend from cyano-bacteria, which means they can photosynthesise.
You get things like [lichen](_URL_0_) today, which are a mixture of fungal cells, and cyanobacteria living together. At some point in the past, the ancestor of all plants was something like this. A cyanobacteria was engulfed into a "plant" cell, which resulted in the double-membrane structure. This would confer the plant cell a survival advantage, as it could now get energy directly form the sugars produced by the internal cyanobateria.
However, if the cyanobacteria reproduced out of control, it would kill it's host cell. Sometimes bacterial chromosomes (the circular loops) will lose a chunk, which drifts off. If this DNA migrates to the nucleus, it can be integrated into the plant cell itself. Now, the proteins are produced by the DNA encoded in the nucleus, but originally they came from the bacteria!
Over time many genes have migrated to the nucleus, which domesticates the chloroplasts, since they cannot reproduce without the nucleus making proteins for them. Proteins which are made at a large rate have stayed inside the chloroplasts themselves.
Now the chloroplasts are part of the plant, but originally they were free living bacteria who gradually become tamed. | [
"Of the approximately three-thousand proteins found in chloroplasts, some 95% of them are encoded by nuclear genes. Many of the chloroplast's protein complexes consist of subunits from both the chloroplast genome and the host's nuclear genome. As a result, protein synthesis must be coordinated between the chloroplast and the nucleus. The chloroplast is mostly under nuclear control, though chloroplasts can also give out signals regulating gene expression in the nucleus, called \"retrograde signaling\".\n",
"The chloroplast genome most commonly includes around 100 genes which code for a variety of things, mostly to do with the protein pipeline and photosynthesis. As in prokaryotes, genes in chloroplast DNA are organized into operons. Introns are common in chloroplast DNA molecules, while they are rare in prokaryotic DNA molecules (plant mitochondrial DNAs commonly have introns, but not human mtDNA).\n",
"The chloroplast genome most commonly includes around 100 genes that code for a variety of things, mostly to do with the protein pipeline and photosynthesis. As in prokaryotes, genes in chloroplast DNA are organized into operons. Unlike prokaryotic DNA molecules, chloroplast DNA molecules contain introns (plant mitochondrial DNAs do too, but not human mtDNAs).\n",
"Of the approximately 3000 proteins found in chloroplasts, some 95% of them are encoded by nuclear genes. Many of the chloroplast's protein complexes consist of subunits from both the chloroplast genome and the host's nuclear genome. As a result, protein synthesis must be coordinated between the chloroplast and the nucleus. The chloroplast is mostly under nuclear control, though chloroplasts can also give out signals regulating gene expression in the nucleus, called \"retrograde signaling\".\n",
"Eukaryotic chloroplasts, as well as the other plant plastids, also contain extrachromosomal DNA molecules. Most chloroplasts house all of their genetic material in a single ringed chromosome, however in some species there is evidence of multiple smaller ringed plasmids. A recent theory that questions the current standard model of ring shaped chloroplast DNA (cpDNA), suggests that cpDNA may more commonly take a linear shape. A single molecule of cpDNA can contain anywhere from 100-200 genes and varies in size from species to species. The size of cpDNA in higher plants is around 120–160 kb. The genes found on the cpDNA code for mRNAs that are responsible for producing necessary components of the photosynthetic pathway as well as coding for tRNAs, rRNAs, RNA polymerase subunits, and ribosomal protein subunits. Like mtDNA, cpDNA is not fully autonomous and relies upon nuclear gene products for replication and production of chloroplast proteins. Chloroplasts contain multiple copies of cpDNA and the number can vary not only from species to species or cell type to cell type, but also within a single cell depending upon the age and stage of development of the cell. For example, cpDNA content in the chloroplasts of young cells, during the early stages of development where the chloroplasts are in the form of indistinct proplastids, are much higher than those present when that cell matures and expands, containing fully mature plastids.\n",
"Protein synthesis within chloroplasts relies on two RNA polymerases. One is coded by the chloroplast DNA, the other is of nuclear origin. The two RNA polymerases may recognize and bind to different kinds of promoters within the chloroplast genome. The ribosomes in chloroplasts are similar to bacterial ribosomes.\n",
"Chloroplasts have their own genome, which encodes a number of thylakoid proteins. However, during the course of plastid evolution from their cyanobacterial endosymbiotic ancestors, extensive gene transfer from the chloroplast genome to the cell nucleus took place. This results in the four major thylakoid protein complexes being encoded in part by the chloroplast genome and in part by the nuclear genome. Plants have developed several mechanisms to co-regulate the expression of the different subunits encoded in the two different organelles to assure the proper stoichiometry and assembly of these protein complexes. For example, transcription of nuclear genes encoding parts of the photosynthetic apparatus is regulated by light. Biogenesis, stability and turnover of thylakoid protein complexes are regulated by phosphorylation via redox-sensitive kinases in the thylakoid membranes. The translation rate of chloroplast-encoded proteins is controlled by the presence or absence of assembly partners (control by epistasy of synthesis). This mechanism involves negative feedback through binding of excess protein to the 5' untranslated region of the chloroplast mRNA. Chloroplasts also need to balance the ratios of photosystem I and II for the electron transfer chain. The redox state of the electron carrier plastoquinone in the thylakoid membrane directly affects the transcription of chloroplast genes encoding proteins of the reaction centers of the photosystems, thus counteracting imbalances in the electron transfer chain.\n"
] |
how exactly does a transformator transform energy to a lower voltage? | Do you mean a transformer? The EMF induced in the secondary coil is proportional to the rate of change of magnetic flux through the coil. More loops means a higher magnetic field (and therefore flux) inside the secondary coil. Less coils means less flux and therefore less induced EMF.
So in a step-down transformer, the primary coil has more loops than the secondary coil. | [
"A transformer is a static device that converts alternating current from one voltage level to another level (higher or lower), or to the same level, without changing the frequency. A transformer transfers electrical energy from one circuit to another through inductively coupled conductors—the transformer's coils. A varying electric current in the first or \"primary\" winding creates a varying magnetic flux in the transformer's core and thus a varying magnetic field through the \"secondary\" winding. This varying magnetic field induces a varying electromotive force (emf) or \"voltage\" in the secondary winding. This effect is called mutual induction.\n",
"A transformer is a passive electrical device that transfers electrical energy between two or more circuits. A varying current in one coil of the transformer produces a varying magnetic flux, which, in turn, induces a varying electromotive force across a second coil wound around the same core.\n",
"A transformer is a device that transfers electrical energy from one circuit to another through its coils (windings). The properties needed for motor windings are similar to those needed for transformers, but with the additional requirement to withstand mechanical vibration and centrifugal forces at operating temperatures.\n",
"A transformer is a static electrical machine which performs the task of energy transformer from one electrical circuit to another electrical circuit through a magnetic circuit without change in frequency. It operates on AC only. It works on the principle of mutual induction. The main parts of a transformer are: windings, cores, insulating material, bushings and cooling arrangements.\n",
"A transformer is a device with two or more magnetically coupled windings (or sections of a single winding). A time varying current in one coil (called the primary winding) generates a magnetic field which induces a voltage in the other coil (called the secondary winding). A few types:\n",
"The transformer is driven by a pulse or square wave for efficiency, generated by an electronic oscillator circuit. Each pulse serves to drive resonant sinusoidal oscillations in the tuned winding, and due to resonance a high voltage can be developed across the secondary.\n",
"Usually, a transformer is placed between the lines and consumption. When a high-voltage, low-intensity current in the primary circuit (before the transformer) is converted into a low-voltage, high-intensity current in the secondary circuit (after the transformer), the equivalent resistance of the secondary circuit becomes higher and transmission losses are reduced in proportion.\n"
] |
how do people with a hearing impairment think words? i think the way words sound to me - how does it work for others? | You know that thing you do when you're thinking to yourself and your move your mouth as if you were speaking, but without actually speaking? That's called [subvocalization](_URL_0_), and you do it even when you don't want to. Whenever you read, whenever you think to yourself, you're subvocalizing subconsciously. When your brain is recalling language, it activates every part associated with that, including the parts required to actually speak it, even if you aren't speaking it.
Deaf people do the same thing with the muscles in their arms, hands, and fingers. They "subvocalize" whatever sign language they use (also, as an aside, there is no single universal sign language: there is American Sign Language [ASL], British Sign Language [BSL], Australian Sign Language [Auslan], French Sign Language [which for historical reasons is the basis of American Sign Language], etc.). Their muscles twitch slightly, imitating the nerve signals that would normally be required for signing, just not fully activating the muscles to sign in the same way that you don't fully activate the muscles in your mouth and larynx.
Mind, that is for those who are *Deaf* (capital D Deaf). Meaning, those who are part of the Deaf community and most likely know a sign language as their first and primary language. If someone is lower case d deaf (someone who cannot hear but isn't part of the community), or hard-of-hearing (but still capable of understanding spoken language, even if it's with a cochlear implant) they probably still think in whatever spoken language they learned before they lost their hearing. If you could magically hear their thoughts, it probably wouldn't sound very familiar, but then again, someone from the [American Southeast](_URL_2_) listening in on the thoughts of someone from [certain parts of England](_URL_1_) would probably be very confused. | [
"When the difficult sound is mastered, the child will then learn to say the sound in syllables, then words, then phrases and then sentences. When a child can speak a whole sentence without lisping, attention is then focused on making correct sounds throughout natural conversation. Towards the end of the course of therapy, the child will be taught how to monitor his or her own speech, and how to correct as necessary. Speech therapy can sometimes fix the problem, but however in some cases speech therapy fails to work.\n",
"Hearing plays an important part in both speech generation and comprehension. When speaking, the person can hear their speech, and the brain uses what it hears as a feedback mechanism to fix speech errors. If a single feedback correction occurs multiple times, the brain will begin to incorporate the correction to all future speech, making it a feed forward mechanism. This is apparent in some deaf people. Deafness, as well as other, smaller deficiencies in hearing, can greatly affect one's ability to comprehend spoken language, as well as to speak it. However, if the person loses hearing ability later in life, most can still maintain a normal level of verbal intelligence. This is thought to be because of the brain's feed forward mechanism still helping to fix speech errors, even in the absence of auditory feedback.\n",
"Speech impairments can seriously limit the manner in which an individual interacts with others in work, school, social, and even home environments. Inability to correctly form speech sounds might create stress, embarrassment, and frustration in both the speaker and the listener. Over time, this could create aggressive responses on the part of the listener for being misunderstood, or out of embarrassment. Alternatively, it could generate an avoidance of social situations that create these stressful situations. Language impairments create similar difficulties in communicating with others, but may also include difficulties in understanding what others are trying to say (receptive language). Because of the pervasive nature of language impairments, communicating, reading, writing, and academic success may all be compromised in these students. Similar to individuals with speech impairments, individuals with language impairments may encounter long-term difficulties associated with work, school, social, and home environments.\n",
"A person's listening vocabulary is all the words they can recognize when listening to speech. People may still understand words they were not exposed to before using cues such as tone, gestures, the topic of discussion and the social context of the conversation.\n",
"BULLET::::- For those who learn to speak by learning the whole sound of a word, phonics is not an ideal form of reading instruction, because these learners do not naturally break words into separate sounds.\n",
"Speech agnosia: Pure word deafness, or speech agnosia, is an impairment in which a person maintains the ability to hear, produce speech, and even read speech, yet they are unable to understand or properly perceive speech. These patients seem to have all of the skills necessary in order to properly process speech, yet they appear to have no experience associated with speech stimuli. Patients have reported, \"I can hear you talking, but I can't translate it\". Even though they are physically receiving and processing the stimuli of speech, without the ability to determine the meaning of the speech, they essentially are unable to perceive the speech at all.\n",
"BULLET::::- Speech perception – Another aspect of hearing involves the perceived clarity of a word rather than the intensity of sound made by the word. In humans, that aspect is usually measured by tests of speech discrimination. These tests measure one's ability to understand speech, not to merely detect sound. There are very rare types of hearing loss which affect speech discrimination alone. One example is auditory neuropathy, a variety of hearing loss in which the outer hair cells of the cochlea are intact and functioning, but sound information is not faithfully transmitted to the auditory nerve and brain properly.\n"
] |
if the worst nfl teams always get the first (or early) round draft picks, why do the same teams continue to suck year after year? | The overall "best" player isn't necessarily the best fit for a team and its needs. Consistently getting high draft picks and not much improvement is a sign of poor management, simple as that.
| [
"Each NFL franchise seeks to add new players through the annual NFL draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl). Prior to the merger agreements in 1966, the American Football League (AFL) operated in direct competition with the NFL and held a separate draft. This led to a bidding war over top prospects between the two leagues. As part of the merger agreement on June 8, 1966, the two leagues held a multiple-round \"common draft\". Once the AFL officially merged with the NFL in 1970, the common craft became the NFL draft.\n",
"Each NFL franchise seeks to add new players through the annual NFL Draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl). Prior to the merger agreements in 1966, the American Football League (AFL) operated in direct competition with the NFL and held a separate draft. This led to a bidding war over top prospects between the two leagues. As part of the merger agreement on June 8, 1966, the two leagues held a multiple round \"Common Draft\". Once the AFL officially merged with the NFL in 1970, the \"Common Draft\" became the NFL Draft.\n",
"Each NFL franchise seeks to add new players through the annual NFL Draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl). Prior to the merger agreements in 1966, the American Football League (AFL) operated in direct competition with the NFL and held a separate draft. This led to a bidding war over top prospects between the two leagues. As part of the merger agreement on June 8, 1966, the two leagues held a multiple round \"Common Draft\". Once the AFL officially merged with the NFL in 1970, the \"Common Draft\" became the NFL Draft.\n",
"Each NFL franchise seeks to add new players through the annual NFL draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl). Prior to the merger agreements in 1966, the American Football League (AFL) operated in direct competition with the NFL and held a separate draft. This led to a bidding war over top prospects between the two leagues. As part of the merger agreement on June 8, 1966, the two leagues held a multiple-round \"common draft\". Once the AFL officially merged with the NFL in 1970, the common draft became the NFL draft.\n",
"Each NFL franchise seeks to add new players through the annual NFL draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl). Prior to the merger agreements in 1966, the American Football League (AFL) operated in direct competition with the NFL and held a separate draft. This led to a bidding war over top prospects between the two leagues. As part of the merger agreement on June 8, 1966, the two leagues held a multiple-round \"common draft\". Once the AFL officially merged with the NFL in 1970, the common draft became the NFL draft.\n",
"Each NFL franchise seeks to add new players through the annual NFL Draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl).\n",
"Each NFL franchise seeks to add new players through the annual NFL Draft. The draft rules were last updated in 2009. The team with the worst record the previous year picks first, the next-worst team second, and so on. Teams that did not make the playoffs are ordered by their regular-season record with any remaining ties broken by strength of schedule. Playoff participants are sequenced after non-playoff teams, based on their round of elimination (wild card, division, conference, and Super Bowl).\n"
] |
what happens when im thinking of nothing? | Honestly you probably just get lost in studying the visual aspects of the thing you're looking at. I don't believe you can ever be truly without a thought. | [
"This does not mean that at one time it thinks but at another time it does not think, but when separated it is just exactly what it is, and this alone is deathless and everlasting (though we have no memory, because this sort of intellect is not acted upon, while the sort that is acted upon is destructible), and without this nothing thinks.\n",
"This does not mean that at one time it thinks but at another time it does not think, but when separated it is just exactly what it is, and this alone is deathless and everlasting (though we have no memory, because this sort of intellect is not acted upon, while the sort that is acted upon is destructible), and without this nothing thinks.\n",
"This does not mean that at one time it thinks but at another time it does not think, but when separated it is just exactly what it is, and this alone is deathless and everlasting (though we have no memory, because this sort of intellect is not acted upon, while the sort that is acted upon is destructible), and without this nothing thinks.\n",
"Then it says, \"Lay down all thoughts, surrender to the void – it is shining. That you may see the meaning of within – it is being.\" From birth to death all we ever do is think: we have one thought, we have another thought, another thought, another thought. Even when you are asleep you are having dreams, so there is never a time from birth to death when the mind isn't always active with thoughts. But you can turn off your mind, and go to the part which Maharishi described as: \"Where was your last thought before you thought it?\"\n",
"Perseveration of thought indicates an inability to switch ideas or responses. An example of perseveration is, during a conversation, if an issue has been fully explored and discussed to a point of resolution, it is not uncommon for something to trigger the reinvestigation of the matter. This can happen at any time during a conversation.\n",
"Do not think of any good or evil whatsoever. Whenever a thought occurs, be aware of it; as soon as you are aware of it, it will vanish. If you remain for a long period forgetful of objects, you will naturally become unified.\n",
"\"Everything I Shouldn't Be Thinking About\" is a song by country music duo Thompson Square. The song is the duo's sixth single release overall, and the second from their second studio album, \"Just Feels Good\". Both members of the duo wrote the song with David Lee Murphy and Brett James.\n"
] |
How does the history of Nazi Germany and the Holocaust affect modern Germany? | How the past is interpreted and processed is perhaps the most important question for an historian, so I think the question is very relevant.
Germany has tried to find ways to come to terms with the past. The English language has actually used German terms for struggle, mainly [Vergangenheitsbewältigung](_URL_1_) and Geschichtsaufarbeitung. Both concepts refer to the attempt to understand what has happened and to learn from it.
That's obviously a very generalized answer. What actually happened is, as always, way more complex.
It starts with the Four Ds of the allied occupation forces. Denazification, Demilitarization, Democratization, Decentralization (sometimes also Deindustrialization and Decartellization). The Allies tried from the beginning to instill a general feeling of guilt and shame to the German people. Visits to the Camps, screenings of videos of war crimes, the whole Nuremberg-thing. On the other hand, there was an obvious continuity of personnel. Germany was a highly industrialized and bureaucratic nation... replacing all officials and elites that had already worked under the NS regime was just impossible.
What impact this had on the German people is actually very hard to say. To a certain degree, it just wasn't important. Many people had lost their homes, everybody was mourning over some lost family member, some had lost everything. They were sick of ideology and more occupied with the task of finding a new place to live and enough coal to make it through the winter. The 1950s are usually seen as a very unpolitical time in Germany... there was so much to do, so much to worry about that after the initial shock of losing the war, bigger problems took the scene.
This changes with the 1960s and especially with movement of the new left. This new generation, who were in their late teens or early twenties in 1967 and couldn't remember Hitler, started to ask questions about the past of their parents and grandparents. This is where deep and hidden conflicts between the generations break open. (See, for example, Heinrich Bölls novel "Das Vermächtnis" about a Nazi-officer who manages to easily find his way back in the post-war society. Böll wrote it in 1948, but couldn't find a publisher.)
This struggle and the inability of the older generations to properly "answer" these questions lead to the belief of the radicalized elements of the left that fascism was always lurking behind the boring lives of boring people in a capitalistic society.
Anyway... to wrap this whole thing up a bit:
On an academic level, this whole question leads to the [Historikerstreit](_URL_0_)
For that, I recommend an article by Götz Aly: The logic of horror, which tries to summarize the whole dispute:
>
> Twenty years ago the "Historikerstreit", or "historians' dispute", flared up, a decisive conflict on the historical interpretation of the Holocaust and the Germans' understanding of themselves. In the article "Vergangenheit, die nicht vergehen will" (the past that does not want to pass) in the Frankfurter Allgemeine Zeitung on June 6, 1986, historian Ernst Nolte maintained the Holocaust should be viewed in the light of the entirety of 20th century European history. Nolte further explained the murder of the Jews as a reaction to the mechanism of extermination in Soviet Russia: "Was not the 'Gulag Archipelago' prior to 'Auschwitz'?" In an answer in Die Zeit, philosopher Jürgen Habermas accused Nolte of playing down German guilt, and insisted on the singular nature of the Holocaust. The ensuing debate on German guilt and its historical interpretation involved all major German historians.
_URL_2_ | [
"Others like Russell Jacoby contend that the Holocaust is a product of German history with deep roots in German society ranging from, \"German authoritarianism, feeble liberalism, brash nationalism or virulent antisemitism. From A. J. P. Taylor's \"The Course of German History\" fifty-five years ago to Daniel Goldhagen's controversial work, \"Hitler's Willing Executioners\", Nazism is understood as the outcome of a long history of uniquely German traits\". While some claim that the specificity of the Holocaust was also rooted in the constant antisemitism from which Jews had been the target since the foundation of Christianity, intellectual historian George Mosse argued that the extreme form of European racism that led to the Holocaust fully emerged in the eighteenth century. Others argue that pseudo-scientific racist theories were elaborated upon in order to justify white supremacy, and that they were accompanied by the Darwinian belief in the survival of the fittest and eugenic notions of racial hygiene—particularly within the German scientific community.\n",
"German society largely responded to the enormity of the evidence for and the horror of the Holocaust with an attitude of self-justification and a practice of keeping quiet. Germans attempted to rewrite their own history to make it more palatable in the post-war era. For decades, West Germany and then unified Germany refused to allow access to its Holocaust-related archives in Bad Arolsen, citing privacy concerns. In May 2006, a 20-year effort by the United States Holocaust Memorial Museum led to the announcement that 30–50 million pages would be made available to survivors, historians and others.\n",
"About the long-term origins of the Holocaust, Browning argued that by the end of the 19th century, antisemitism was widely accepted by most German conservatives and that virtually all German conservatives supported the Nazi regime's antisemitic laws of 1933–34 (and the few who did object like President Hindenburg only objected to the inclusion of Jewish war veterans in the antisemitic laws that they otherwise supported) but that left to their own devices, would not have gone further and that for all their fierce anti-Semitism, German conservatives would not have engaged in genocide. Browning also contended that the long prior to 1933 antisemitism of German conservative elites in the military and the bureaucracy meant that they made few objections, moral or otherwise to the Nazi/völkisch antisemitism. Browning was echoing the conclusions of the German conservative historian Andreas Hillgruber who once presented at a historians' conference in 1984 a counter-factual scenario whereby, had it been a coalition of the German National People's Party and the \"Stahlhelm\" that took power in 1933 without the NSDAP, all the antisemitic laws in Germany that were passed between 1933 and 1938 would still have occurred but there would have been no Holocaust.\n",
"Historical works would turn focus on the nature and intent of Nazi policy. Heinz Heger, Gunter Grau and Richard Plant all contributed greatly to the early Holocaust discourse which emerged throughout the 1970s and early 1980s. Central to these studies was the notion that statistically speaking, homosexuals suffered greater losses than many of the smaller minorities under Nazi persecution such as the Jehovah’s Witnesses and within the camps experienced harsher treatments and ostracization as well as execution.\n",
"Most Holocaust historians define the Holocaust as the enactment, between 1941 and 1945, of the German state policy to exterminate the European Jews. In \"Teaching the Holocaust\" (2015), Michael Gray, a specialist in Holocaust education, offers three definitions: (a) \"the persecution and murder of Jews by the Nazis and their collaborators between 1933 and 1945\", which views the events of \"Kristallnacht\" in Germany in 1938 as an early phase of the Holocaust; (b) \"the systematic mass murder of the Jews by the Nazi regime and its collaborators between 1941 and 1945\", which acknowledges the shift in German policy in 1941 toward the extermination of the Jewish people in Europe; and (c) \"the persecution and murder of various groups by the Nazi regime and its collaborators between 1933 and 1945\", which includes all the Nazis' victims. The third definition fails, Gray writes, to acknowledge that only the Jewish people were singled out for annihilation.\n",
"Immediately after World War II, intense debates arose in intellectual circles about how to interpret Nazi Germany, a contested discussion that continues today. Two of the more hotly debated questions were whether Nazism was in some way part of the \"German national character\" and how much responsibility, if any, the German people bore for the crimes of Nazism. Various non-German historians in the immediate post-war era, such as A. J. P. Taylor and Sir Lewis Namier, argued that Nazism was the culmination of German history and that the vast majority of Germans were responsible for Nazi crimes. Different assessments of Nazism were common among Marxists, who insisted on the economic aspects of Nazism and conceived of it as the culmination of a capitalist crisis, and liberals, who emphasized Hitler's personal role and responsibility and bypassed the larger problem of the relation of ordinary German people to the regime. Within West Germany, then, most historians were strongly defensive. In the assessment of Gerhard Ritter and others, Nazism was a totalitarian movement that represented only the work of a small criminal clique; Germans were victims of Nazism, and the Nazi era represented a total break in German history.\n",
"The advance of the \"Einsatzgruppen\", \"Aktion Reinhardt\", and other significant events in the Holocaust did not happen in the Third Reich proper (or what is now the territory of the Federal Republic). The history of the memorials and archives which have been erected at these sites in eastern Europe is associated with the Communist regimes that ruled these areas for more than four decades after World War II. The Nazis promoted an idea of an expansive German nation extending into territories where ethnic Germans had previously settled. They invaded and controlled much of Central and Eastern Europe, unleashing violence against various Slavic groups, as well as Jews, Communists, homosexuals, Gypsies, prisoners of war, and so-called partisans. There were millions of victims in addition to Jews. After the war, the eastern European nations expelled German settlers as well as long settled ethnic Germans (the \"Volksdeutsche\") as a reaction to the Reich's attempt to claim the eastern lands on behalf of ethnic Germans.\n"
] |
What pieces of medieval/Renaissance garb still exist? | A room in an Austrian castle, sealed off in the 15th century, was recently opened. It contained many textiles, including undergarments and shoes. [Check out this write-up](_URL_0_)--at this point, the publicly available information seems quite scant, but I'm eager for the publication of an article on the finds! | [
"The unique decorated leather cover of the small Northumbrian St Cuthbert Gospel, the oldest Western bookbinding to survive unaltered, can be dated to 698 or shortly before. It uses incised lines, some colours, and relief decoration built up over cord and gesso or leather pieces. Larger prestige manuscripts had metalwork treasure bindings, several of which are mentioned, but there may well have been much decorated leatherwork for secular satchels, purses, belts and the like, which contemporaries did not bother to mention and which represents a gap in our knowledge for the Early Medieval period throughout Europe.\n",
"A surviving garment similar to the medieval tabard is the monastic scapular. This is a wide strip of fabric worn front back of the body, with an opening for the head and no sleeves. It may have a hood, and may be worn under or over a belt.\n",
"Textile works from the Middle Ages are kept in the Textile Chamber. The objects are mostly textiles used in churches or by priests and bishops. The oldest and most noted object is a 13th-century tapestry from Skog Church, the Skog tapestry. It was found in 1912, wrapped around a bridal crown. Another tapestry is the Grödinge tapestry.\n",
"Archaeological finds from medieval cities all over Europe, such as London, Newcastle, Oslo, Amsterdam, and Lübeck, as well as tax lists, prove the spread of knitted goods for everyday use from the 14th century onward. Like many archaeological textiles, most of the finds are only fragments of knitted items so that in most cases their former appearance and use is unknown. One of the exceptions is a 14th or 15th century woollen child's cap from Lübeck.\n",
"The most famous garment of early medieval Scandinavia is the so-called Apron Dress (also called a trägerrock, hängerock, or smokkr). This may have evolved from the peplos of the early Germanic Iron Age. The garment is often interpreted as a tube shape (either fitted or loose) that is worn with straps over the shoulder and large brooches (sometimes called \"turtle brooches\") at the upper chest. Examples of appliqued silk bands used as decoration have been found in a number of graves. Not all graves identified as belonging to women contain the brooches that typify this type of garment, indicating that some women wore a different style of clothing. There is evidence from Dublin that at least some Norse women wore caps or other head-coverings, it is unclear however how pervasive this practice was.\n",
"From the ninth century, enshrining items which had once belonged to saints or church leaders, such as their bones or parts of their clothing, was an important feature of religious life in early medieval Europe. The reliquary could often be in the shape of a foot, arm, bell or even a domed building. In this case, the medieval silversmith had designed the relic deposit container in the shape of St. Eustace's head, who was an important Roman military saint. The image was designed to convey the sacredness and majesty of the saint to the pious faithful. Many of these luxury items were later melted down and destroyed during the reformation.\n",
"Quilted leather open jackets and trousers were worn by Scythian horsemen before the 4th century BC, as can be seen on Scythian gold ornaments crafted by Greek goldsmiths. The European gambeson can be traced at least to the late 10th century, but it is likely to have been in use in various forms for longer than that. In Europe, its use became widespread in the 13th century, and peaked in the 14th and 15th centuries.\n"
] |
Why do things bounce? | Solid object deform when you apply forces to them. If an object has elasticity, it will tend to return to its original shape. Now imagine the case of a ball dropped. The ball gains some kinetic energy in its descent, and this energy, at impact serves to deform the both the ball as well as the ground. If the ground or the ball (or both) hold some elasticity, they will attempt to return to their original shape, which will apply a force opposite in direction to the initial force applied.
If an object bounces in a collision, the collision is elastic to some extent and energy is conserved in the system as it is transferred from the motion of the object into the compression of the object, into the internal restoring forces of the object, and back out into the object as kinetic energy, giving it motion in the direction opposite the initial direction
EDIT: To comment on elasticity, when an elastic object is deformed, the structure as a whole is disturbed from its minimal energy state, and will subsequently to return to this minimal energy state from the higher energy state (provided the object is not permanently deformed and a new minimal energy state created). | [
"The physics of a bouncing ball concerns the physical behaviour of bouncing balls, particularly its motion before, during, and after impact against the surface of another body. Several aspects of a bouncing ball's behaviour serve as an introduction to mechanics in high school or undergraduate level physics courses. However, the exact modelling of the behaviour is complex and of interest in sports engineering.\n",
"In bounce juggling, a form of tossing, silicone or rubber balls are allowed to bounce off a hard surface, typically the floor, before catching again. There are a few distinct tricks with bouncing balls, mixing up different rhythms, speeds and types of throws, but most popular is numbers bouncing. Bounce juggling may be \"easier to accomplish than is toss juggling because the balls are grabbed at the top of their trajectories, when they are moving the slowest.\"\n",
"Nevertheless, bouncing an oval-shaped ball is still a volatile skill. Even top level players will occasionally lose the ball while bouncing it, by accidentally bouncing the ball on its point, only to see it quickly skid away from him or her.\n",
"A person photographed while bouncing may appear to be levitating. This optical illusion is used by religious groups and by spiritualist mediums, claiming that their meditation techniques allow them to levitate in the air. You can usually find telltale signs in the photography indicating that the subject was in the act of bouncing, like blurry body parts, a flailing scarf, hair being suspended in the air, etc.\n",
"Some objects are in \"resting contact\", that is, in collision, but neither bouncing off, nor interpenetrating, such as a vase resting on a table. In all cases, resting contact requires special treatment: If two objects collide (\"a posteriori\") or slide (\"a priori\") and their relative motion is below a threshold, friction becomes stiction and both objects are arranged in the same branch of the scene graph.\n",
"A metal ball is retained away from an orifice by sitting upon a ring. Any shaking of the mechanism will cause the ball to roll off its ledge and fall down to block the orifice. It is reset using either an external magnetic device or an internal lift mechanism. If it is too sensitive, it may be triggered by normal vibrations such as passing vehicles. After a severe seismic event, gas piping may be damaged, requiring complete re-inspection for breaks or leaks.\n",
"Vibration in automobiles may occur for many reasons, such as wheel unbalance, imperfect tire or wheel shape, brake pulsation, and worn or loose driveline, suspension, or steering components. Foreign material, such as road tar, stones, ice, or snow, that is stuck in a tire's tread or otherwise adhered to the tire or wheel may also cause a temporary unbalance and subsequent vibration.\n"
] |
Why did Charles Cornwallis not face Washington directly after surrendering at Yorktown? Was this an attempt to slight Washington, and, if so, was it seen as dishonorable or childish? | Gen. Charles Cornwallis, 1st Marquess and 2nd Earl Cornwallis, [surrendered to American forces on October 19th, 1781](_URL_0_) after two days of a ceasefire. It came after a week of fighting where British troops failed to advance or make any dent in the American and French forces who had surrounded them and were well\-fortified. The loss was quite shocking, with over 8,000 British troops being captured by the Americans. The negotations for the surrender were held by Cornwallis' subordinates, which was not unsusual for 18th century warefare. What was unusual is that Gen. Cornwallis did not attend the surrender ceremony, claiming an illness prevented him from coming.
Brigadier General Charles O'Hara was the office in charge and led the British army onto the field. Reports say that Gen. O'Hara attempted to surrender to French General Jean\-Baptiste Donatien de Vimeur, comte de Rochambeau , who refused to address O'Hara, and and pointed to Washington instead. O'Hara offered his sword in a ceremonial position of surrender, but Washington refused and had Major Gen. Benjamin Lincoln accept it, thus initiating the formal surrender of the British Army at Yorktown.
While it might seem dishonorable to us that Cornwallis did not take to the field, neither his loss of Yorktown nor his refusal to take to the field was largely seen as dishonorable in the eyes of his countrymen. Having just suffered the arguably most embarrasing defeat in 18th century British history \(in the eyes of the British\), Cornwallis may have very\-well been ill and unable to attend. As some historians have noted, "[Although the Yorktown capitulation decided the war in favour of the colonists, Cornwallis remained in high esteem at home.](_URL_1_)" Cornwallis went on to become governor of Indian just four years after his defeat at Yorktown. He went on to have an impressive career, including a promotion to marquess in 1792. It appears that his loss at Yorktown did not hold back his future successes. | [
"Washington had intended for his attack to be a second Trenton. Had everything gone according to plan, Washington may have trapped and destroyed a second major British force. Coupled with Burgoyne's defeat at Saratoga, the defeat of Howe at Germantown could have compelled Lord North and the British government to sue for peace.\n",
"Washington withdrew to Manhattan without any losses in men or ordnance. Following the withdrawal, the Staten Island Peace Conference failed to negotiate peace, as the British delegates did not possess the authority to recognize independence. Howe then seized control of New York City on September 15, and unsuccessfully engaged the Americans the following day. He attempted to encircle Washington, but the Americans successfully withdrew. On October 28, the British fought an indecisive action against Washington, in which Howe declined to attack Washington's army, instead concentrating his efforts upon a hill that was of no strategic value.\n",
"When it was clear that the British were not going to make an attempt on Ticonderoga in 1776, Gates marched some of the army south to join Washington's army in Pennsylvania, where it had retreated after the fall of New York City. Though his troops were with Washington at the Battle of Trenton, Gates was not. Always an advocate of defensive action, Gates argued that Washington should retreat further rather than attack. When Washington dismissed this advice, Gates claimed illness as an excuse not to join the nighttime attack and instead traveled on to Baltimore, where the Continental Congress was meeting. Gates had always maintained that he and not Washington should have commanded the Continental Army, an opinion supported by several wealthy and prominent New England delegates to the Continental Congress. Although Gates actively lobbied Congress for the appointment, Washington's stunning successes at Trenton and Princeton subsequently left no doubt as to who should be commander-in-chief. Gates was then sent back north with orders to assist Schuyler in the Northern Department.\n",
"Washington finally forced the British to withdraw from Boston by putting Henry Knox's artillery on Dorchester Heights overlooking the city, and preparing in detail to attack the city from Cambridge if the British tried to assault the position. The British evacuated Boston and sailed away, although Washington did not know they were headed for Halifax, Nova Scotia. Believing they were headed for New York City (which was indeed Major General William Howe's eventual destination), Washington rushed most of the army there.\n",
"Washington finally forced the British to withdraw from Boston by putting Henry Knox's artillery on Dorchester Heights overlooking the city, and preparing in detail to attack the city from Cambridge if the British tried to assault the position. The British evacuated Boston and sailed away, although Washington did not know they were headed for Halifax, Nova Scotia. Believing they were headed for New York City (which was indeed Major General William Howe's eventual destination), Washington rushed most of the army there.\n",
"Blake was the mayor of Washington when British troops laid siege to the city on August 24, 1814, as part of the War of 1812. He put the city on alert a few days before the siege, insisting that \"I would exert myself to the last moment and agree to die in the streets rather than give up the city, but, if all resistance was given over, and our military abandoned it, I would then also leave it and not surrender myself a prisoner to the enemy.\" It was Blake who urged Dolley Madison, the First Lady, to flee Washington before the British arrived. He then rounded up men to defend the city, so occupied with its fortification that his wife and four children were forced to make escape on their own.\n",
"After Washington had successfully attacked the Hessians at Trenton, the British dispatched a large army under Gen. Charles Cornwallis to chase down Washington's smaller force and neutralize it. Washington again resorted to some of the same tactics he had successfully used months earlier in Brooklyn, spiriting the bulk of his troops out of harm's way with a nighttime retreat, muffling the wheels of the wagons and gun carriages to reduce their noise and leaving a rear guard to keep the campfires burning in order to fool his British pursuers. Washington was able to move his army into a position from which he was able to defeat the British at the Battle of Princeton in early 1777.\n"
] |
what is the difference between fruits and flowers? | A flower is the reproductive structure in flowering plants (called angiosperms). The purpose of a flower is to offer up & receive pollen from other flowers.
Flowers are often brightly coloured & scented to attract animals, & offer up substances like nectar to lure insects/birds into the flower, where they can pick up pollen from the flower, that they will carry to the next flower they visit.
Pollen is the equivalent to sperm in animals. If it reaches a flower of the same type & it gets transmitted to the female part of the flower, it will fertilise it. The pollinated flower will then develop seeds that will potentially grow into another plant if it is in the right conditions.
To get to the right conditions though, the seed often needs to be protected & transported. Some plants have again encouraged animals to help transport the seeds by providing them with another incentive to collect their seeds: by encasing them inside a tasty fruit. The flower will develop into the fleshy body of the fruit surrounding the seeds, which animals will pick & carry or eat.
Most seeds in edible fruit are strong enough to pass through through an animal's digestive tract, so they will be pooped out some distance from the parent plant, where it will be able to grow without having to compete with its parent for nutrients.
Other, inedible, fruits are just there to protect the seed from being crushed or otherwise destroyed, eg. to deter them from being eaten, because the seeds wouldn't be able to survive the digestive process.
**TL;DR**: Some plants have structures called flowers to receive pollen from other plants so they can become fertilised & produce seeds. These flowers then develop into fruits that protect the seeds & help them be transported. | [
"Plant scientists have grouped fruits into three main groups, simple fruits, aggregate fruits, and composite or multiple fruits. The groupings are not evolutionarily relevant, since many diverse plant taxa may be in the same group, but reflect how the flower organs are arranged and how the fruits develop.\n",
"Fruits are found in three main anatomical categories: simple fruits, aggregate fruits, and multiple fruits. Aggregate fruits are formed from a single compound flower and contain many ovaries or fruitlets. Examples include raspberries and blackberries. Multiple fruits are formed from the fused ovaries of multiple flowers or inflorescence. An example of multiple fruits are the fig, mulberry, and the pineapple. Simple fruit are formed from a single ovary and may contain one or many seeds. They can be either fleshy or dry. In fleshy fruit, during development, the pericarp and other accessory structures become the fleshy portion of the fruit. The types of fleshy fruits are berries, pomes, and drupes. In berries, the entire pericarp is fleshy but this excludes the exocarp which acts as more as a skin. There are berries that are known as pepo, a type of berry with an inseparable rind, or hesperidium, which has a separable rind. An example of a pepo is the cucumber and a lemon would be an example of a hesperidium. The fleshy portion of the pomes is developed from the floral tube and like the berry most of the pericarp is fleshy but the endocarp is cartilaginous, an apple is an example of a pome. Lastly, drupes are known for being one seeded with a fleshy mesocarp, an example of this would be the peach. However, there are fruits were the fleshy portion is developed from tissues that are not the ovary, such as in the strawberry. The edible part of the strawberry is formed from the receptacle of the flower. Due, to this difference the strawberry is known as a false fruit or an accessory fruit. There is a shared method of seed dispersal within fleshy fruits. These fruits depend on animals to eat the fruits and disperse the seeds in order for their populations to survive. Dry fruits also develop from the ovary but unlike the fleshy fruits they do not depend on the mesocarp but the endocarp for seed dispersal. Dry fruits depend more on physical forces, like wind and water. Dry fruits' seeds can also perform pod shattering, which involve the seed being ejected from the seed coat by shattering it. Some dry fruits are able to perform wisteria, which is an extreme case where there is an explosion of the pod, resulting the seed to be dispersed over long distances. Like fleshy fruits, dry fruits can also depend on animals to spread their seeds by adhering to animal's fur and skin, this is known as epizoochory. Types of dry fruits include achenes, capsules, follicles or nuts. Dry fruits can also be separated into dehiscent and indehiscent fruits. Dry dehiscent fruits are described as a fruit where the pod has an increase in internal tension to allow seeds to be released. These include the sweet pea, soybean, alfalfa, milkweed, mustard, cabbage and poppy. Dry indehiscent fruit differ in that they do not have this mechanism and simply depend on physical forces. Examples of species indehiscent fruit are sunflower seeds, nuts, and dandelions.\n",
"Fruits are the mature ovary of seed-bearing plants, and they include the contents of the ovary, which can be floral parts like the receptacle, involucre, calyx, and others that are fused to it. Fruits are often used to identify plant taxa, help to place the species in the correct family, or differentiate different groups within the same family.\n",
"Multiple fruits, also called collective fruits, are fruiting bodies formed from a cluster of fruiting flowers, the \"inflorescence\". Each flower in the inflorescence produces a fruit, but these mature into a single mass in which each flower has produced a true fruit. After flowering the mass is called an infructescence. Examples are the fig, pineapple, mulberry, osage-orange, and breadfruit.\n",
"A fruit is the ripened ovary or ovaries—together with seeds—from one or more flowers. The fruits of a plant are responsible for dispersing the seeds that contain the embryo and protecting the seeds as well. In many species, the fruit incorporates some surrounding tissues, or is dispersed with some non-fruit tissues.\n",
"A multiple fruit is one formed from a cluster of flowers (called an \"inflorescence\"). Each flower produces a fruit, but these mature into a single mass. Examples are the pineapple, fig, mulberry, osage-orange, and breadfruit.\n",
"Fruits are the ripened ovaries of plants, including the seeds within. Many plants and animals have coevolved such that the fruits of the former are an attractive food source to the latter, because animals that eat the fruits may excrete the seeds some distance away. Fruits, therefore, make up a significant part of the diets of most cultures. Some botanical fruits, such as tomatoes, pumpkins, and eggplants, are eaten as vegetables. (For more information, see list of fruits.)\n"
] |
How did Napoleon III's reforms affect the later development of France's economy? | Napoleon III's probably most lasting economic reforms took place in the education and financial sectors. While in the short-term the lowering of tariffs across the board spurred productivity growth and encouraged foreign trade, in the long-term the true determinants of economic growth are threefold: population growth, human capital (i.e. education), and increased liquidity of capital. Modernizing the French agricultural industry helped to mitigate the famines that routinely decimated early-modern France and the new public education system (which competed with the existing Catholic school based system) further served to improve literacy and otherwise prepared children for the "real world."
That being said, the legacy of Napoleon III persists mostly in the form of the large number of banks that he encouraged or supported. BNP Paribas (a combination of Banque Nationale de Paris and Paris Bank), Societe-Generale, Credit Lyonnais (which merged with Credit Agricole), are all banks that were created during the Second French Empire. They quickly grew to be some of the world's largest banks and persist even to this day as some of the largest and most sophisticated financial institutions. Without the financial bedrock that they were able to provide (in tandem with a surplus of gold into global markets that increased the currency supply), it is unlikely that Napoleon III could have been able to finance any of the fiscal and infrastructure reforms that he needed to modernize France. The now-defunct Credit Mobiliere, for instance, was a major contributor to the finance of French railways, French public transit, and even the French intervention into the Crimean War. The rise of the French banking sector also worked well with the increased savings of French workers, which provided a sufficient capital base for investment and further growth. | [
"The French swept away centuries worth of outmoded restrictions and introduced unprecedented levels of efficiency. The chaos and barriers in a land divided and subdivided among many different petty principalities gave way to a rational, simplified, centralized system controlled by Paris and run by Napoleon's relatives. The most important impact came from the abolition of all feudal privileges and historic taxes, the introduction of legal reforms of the Napoleonic Code, and the reorganization of the judicial and local administrative systems. The economic integration of the Rhineland with France increased prosperity, especially in industrial production, while business accelerated with the new efficiency and lowered trade barriers. The Jews were liberated from the ghetto. One sour point was the hostility of the French officials toward the Roman Catholic Church, the choice of most of the residents. Much of South Germany felt a similar but more muted influence of the French Revolution, while in Prussia and areas to the east there was far less impact. The reforms were permanent. Decades later workers and peasants in the Rhineland often appealed to Jacobinism to oppose unpopular government programs, while the intelligentsia demanded the maintenance of the Napoleonic Code (which was stayed in effect for a century).\n",
"The French swept away centuries worth of outmoded restrictions and introduced unprecedented levels of efficiency. The chaos and barriers in a land divided and subdivided among many different petty principalities gave way to a rational, simplified, centralized system controlled by Paris and run by Napoleon's relatives. The most important impact came from the abolition of all feudal privileges and historic taxes, the introduction of legal reforms of the Napoleonic Code, and the reorganization of the judicial and local administrative systems. The economic integration of the Rhineland with France increased prosperity, especially in industrial production, while business accelerated with the new efficiency and lowered trade barriers. The Jews were liberated from the ghetto. There was limited resistance; most Germans welcomed the new regime, especially the urban elites, but one sour point was the hostility of the French officials toward the Roman Catholic Church, the choice of most of the residents. The reforms were permanent. Decades later workers and peasants in the Rhineland often appealed to Jacobinism to oppose unpopular government programs, while the intelligentsia demanded the maintenance of the Napoleonic Code (which was stayed in effect for a century).\n",
"In 1833, France was experiencing a number of social problems arising out of the Industrial Revolution. A number of sweeping plans of reform were developed by thinkers on the left. Among the more grandiose were the plans of Charles Fourier and the followers of Henri de Saint-Simon. Fourier wanted to replace modern cities with utopian communities while the Saint-Simonians advocated directing the economy by manipulating credit. Although these programs did not have much support, they did expand the political and social imagination of their contemporaries, including Marx.\n",
"In 1833, France was experiencing a number of social problems arising out of the Industrial Revolution. A number of sweeping plans of reform were developed by thinkers on the political left. Among the more grandiose were the plans of Charles Fourier and the followers of Saint-Simon. Fourier wanted to replace modern cities with utopian communities while the Saint-Simonians advocated directing the economy by manipulating credit. Although these programs did not have much support, they did expand the political and social imagination of Marx.\n",
"Despite the return of the House of Bourbon to power, France was much changed from the era of the \"ancien régime\". The egalitarianism and liberalism of the revolutionaries remained an important force and the autocracy and hierarchy of the earlier era could not be fully restored. Economic changes, which had been underway long before the revolution, had progressed further during the years of turmoil and were firmly entrenched by 1815. These changes had seen power shift from the noble landowners to the urban merchants. The administrative reforms of Napoleon, such as the Napoleonic Code and efficient bureaucracy, also remained in place. These changes produced a unified central government that was fiscally sound and had much control over all areas of French life, a sharp difference from the complicated mix of feudal and absolutist traditions and institutions of pre-Revolutionary Bourbons.\n",
"Napoleon III also directed the building of the French railway network, which greatly contributed to the development of the coal mining and steel industry in France, thereby radically changing the nature of the French economy, which entered the modern age of large-scale capitalism. The French economy, the second largest in the world at the time (behind the British economy), experienced a very strong growth during the reign of Napoleon III. Names such as steel tycoon Eugène Schneider or banking mogul James de Rothschild are symbols of the period. Two of France's largest banks, Société Générale and Crédit Lyonnais, still in existence today, were founded during that period. The French stock market also expanded prodigiously, with many coal mining and steel companies issuing stocks. Historians credit Napoleon chiefly for supporting the railways, but not otherwise building the economy.\n",
"French economic history since its late-18th century Revolution was tied to three major events and trends: the Napoleonic Era, the competition with Britain and its other neighbors in regards to 'industrialization', and the 'total wars' of the late-19th and early 20th centuries. Quantitative analysis of output data shows the French per capita growth rates were slightly smaller than Britain. However the British population tripled in size, while France grew by only third—so the overall British economy grew much faster. François Crouzet has succinctly summarized the ups and downs of French per capita economic growth in 1815–1913 as follows: \n"
] |
Why was Theodore Roosevelt known as the "Trust Buster" when Taft broke up more trusts? | I'm confused by this question. Roosevelt gained his reputation as a trust buster during his presidency. Taft had not served as president yet. How would people know not to declare Roosevelt a trust buster because his successor would use the Sherman Act more aggressively? | [
"For his aggressive use of the 1890 Sherman Antitrust Act, compared to his predecessors, Roosevelt became mythologized as the \"trust-buster\"; but in reality he was more of a trust regulator. Roosevelt viewed big business as a necessary part of the American economy, and sought only to prosecute the \"bad trusts\" that restrained trade and charged unfair prices. He brought 44 antitrust suits, breaking up the Northern Securities Company, the largest railroad monopoly; and regulating Standard Oil, the largest oil and refinery company. Presidents Benjamin Harrison, Grover Cleveland, and William McKinley combined prosecuted only 18 anti-trust violations under the Sherman Antitrust Act.\n",
"From the 1890s until his death, Taft played a major role in the international legal community. He was active in many organizations, was a leader in the worldwide arbitration movement, and taught international law at the Yale Law School. One of the reasons for his bitter break with Roosevelt in 1910–12 was Roosevelt's insistence that arbitration was naïve and that only war could decide major international disputes.\n",
"Roosevelt engraved in public memory the image of Taft as a Buchanan-like figure, with a narrow view of the presidency which made him unwilling to act for the public good. Roosevelt was not alone in his negative assessment, as every major newspaper reporter of that time who left reminiscences of Taft's presidency was critical of him. Taft was convinced he would be vindicated by history. After he left office, he was estimated to be about in the middle of U.S. presidents by greatness, and subsequent rankings by historians have by and large sustained that verdict. In a 2017 C-SPAN survey 91 presidential historians ranked Taft 24th among the 43 former presidents, including then-president Barack Obama (unchanged from his ranking in 2009 and 2000). His rankings in the various categories of this most recent poll were as follows: public persuasion (31), crisis leadership (26), economic management (20), moral authority (25), international relations (21), administrative skills (12), relations with congress (23), vision/setting an agenda (28), pursued equal justice for all (22), performance with context of times (24). A 2018 poll of the American Political Science Association's Presidents and Executive Politics section ranked Taft as the 25th best president.\n",
"Hart was a devoted friend and follower of Theodore Roosevelt and was elected as a Roosevelt delegate to the Republican convention of 1912. He became an enthusiastic trustee and supporter of the Roosevelt Memorial Association, now called the Theodore Roosevelt Association and said that from the time of TR's death he had the idea to \"present in alphabetical arrangement extracts sufficiently numerous and comprehensive to display all the phases of Roosevelt's activities and opinions as expressed by him.\" This work would eventually be called the Theodore Roosevelt Cyclopedia.\n",
"Roosevelt, frustrated by his own relative inaction, showered Taft with advice, fearing that the electorate would not appreciate Taft's qualities, and that Bryan would win. Roosevelt's supporters spread rumors that the president was in effect running Taft's campaign. This annoyed Nellie Taft, who never trusted the Roosevelts. Nevertheless, Roosevelt supported the Republican nominee with such enthusiasm that humorists suggested \"TAFT\" stood for \"Take advice from Theodore\".\n",
"Theodore Roosevelt also attacked President Taft in the Chicago Tribune on June 17, 1912 with his own column. In the column Roosevelt wrote about the differences in delegates that Taft and he had. He stated that the delegates Taft had were from territories or states that had never cast a Republican electoral vote or were controlled by federal patronage. Roosevelt summed up Taft's delegates as, \"one-eighth of his delegates represent a real sentiment for him and seven-eighths represent nothing whatever but the use of patronage in his interest in certain Democratic states\". Roosevelt made it clear that Taft had turned the Republican Party for the worst and that he had no chance of winning the election.\n",
"Lurie argued that Taft did not receive the public credit for his policies that he should have. Few trusts had been broken up under Roosevelt (although the lawsuits received much publicity). Taft, more quietly than his predecessor, filed many more cases than did Roosevelt, and rejected his predecessor's contention that there was such a thing as a \"good\" trust. This lack of flair marred Taft's presidency; according to Lurie, Taft \"was boring—honest, likable, but boring\". Scott Bomboy for the National Constitution Center wrote that despite being \"one of the most interesting, intellectual, and versatile presidents ... a chief justice of the United States, a wrestler at Yale, a reformer, a peace activist, and a baseball fan ... today, Taft is best remembered as the president who was so large that he got stuck in the White House bathtub,\" a story that is not true. Taft similarly remains known for another physical characteristic—as the last president with facial hair to date.\n"
] |
"unincorporated" small town | Some people see unincorporated as a positive. In a city, there's essentially four levels of government that people live under: city, county, state and federal. In an unincorporated region, it's just county, state and federal. Less government is a plus to some. | [
"An unincorporated community may be part of a census-designated place (CDP). A CDP is an area defined by the United States Census Bureau for statistical purposes only. It is a populated area that generally includes one officially designated but currently unincorporated community, for which the CDP is named, plus surrounding inhabited countryside of varying dimensions and, occasionally, other, smaller unincorporated communities as well. Otherwise, it has no legal status.\n",
"Unincorporated towns are settlements eminently governed by the county in which they are located, but who, by local referendum or by the act of the county commission, can form limited local governments in the form of a Town Advisory Board (TAB)/ Citizens Advisory Council (CAC), or a Town Board.\n",
"Towns are often annexed by neighboring cities and villages in whole or in part. In Brown County, the Town of Preble was incorporated wholly into the city of Green Bay in 1964, thus terminating its status as a town. Piecemeal annexation has left some rather small towns, such as the Town of Germantown which covers , or the Town of Brookfield covering . This contrasts with the Town of Winter which covers . Most towns are about the size of a survey township, or . The Town of Menominee is unique in that it is co-extensive with the County of Menominee, and covers ; this is due to its unique history and connection with the Menominee Indian Reservation.\n",
"An unincorporated community is one general term for a geographic area having a common social identity without municipal organization or official political designation (i.e., incorporation as a city or town). There are two main types of unincorporated communities:\n",
"In law, an unincorporated area is a region of land that is not governed by a local municipal corporation; similarly an unincorporated community is a settlement that is not governed by its own local municipal corporation, but rather is administered as part of larger administrative divisions, such as a township, parish, borough, county, city, canton, state, province or country. Occasionally, municipalities dissolve or disincorporate, which may happen if they become fiscally insolvent, and services become the responsibility of a higher administration. Widespread unincorporated communities and areas are a distinguishing feature of the United States and Canada. In most other countries of the world, there are either no unincorporated areas at all, or these are very rare; typically remote, outlying, sparsely populated or uninhabited areas.\n",
"Under this law, unincorporated towns are provided extra services by the county, paid for by property taxes or other revenue sources from the town. A town can be formed by an initiative petition by residents, or by the county commissioners.\n",
"A relatively small unincorporated community, similar to a hamlet in New York state, or even a relatively small community within an incorporated city or town, may be termed a village. This informal usage may be found even in states that have villages as an incorporated municipality and is similar to the usage of the term \"unincorporated town\" in states having town governments.\n"
] |
How is the historical argument of David Graeber's "Debt: The First 5000 Years" viewed? | I always find it hilarious when non-lawyers discuss legal topics (e.g. money and contracts).
So, without giving this gentleman from Yale too much credit, and taking into account that only so much can be expected from him as long as he is speaking outside of his area of speciality, I present to you the first error:
"The story goes back at least to Adam Smith and in its own way it’s the founding myth of economics."
Right. If he had even done cursory research he would have discovered that the Roman jurists also regarded "purchase and sale for cash" (emptio venditio) as a sub-category of the barter transaction (permutatio). The Romans also referred to the creation of currency as being something which happened temporally later than the barter economy.
"Now, I’m an anthropologist and we anthropologists have long known this is a myth simply because if there were places where everyday transactions took the form of: “I’ll give you twenty chickens for that cow,” we’d have found one or two by now."
There are such places. I often barter with other people, even in my own town. For me, this takes the form of me offering some service in exchange for another service (e.g., my neighbor and I each receive each other's packages free of charge). Every now and then I engage in item-for-item barter as well. However, the point is: barter and trade for money co-exist and are readily observable in many contexts today. (Although perhaps not in Yale classrooms.)
"[...]how does that broad sense of ‘I owe you one’ turn into a precise system of measurement[...]"
More importantly, when does it become legally necessary to enforce the "I owe you one" if the other person refuses to comply. When do social sanctions no longer work? When is an organized system of contract enforcement necessary? All of this goes well beyond anthropology.
"You say that by the time historical records start to be written in the Mesopotamia around 3200 BC a complex financial architecture is already in place."
This is the narrator, not the author. But the Mesopotamian financial system is not excessively complex. Money lending and credit did exist but no banks or fractional reserve banking existed. Also, to say the least, there were no stocks, bonds or currency fluctuations.
"This was the great social evil of antiquity – families would have to start pawning off their flocks, fields and before long, their wives and children would be taken off into debt peonage."
Debt-peonage is under-rated. Happy to expand on this if anyone asks.
And calling slavery on account of debt a "social evil" is the worst presentism.
"Once you recognize that money is just a social construct, a credit, an IOU, then first of all what is to stop people from generating it endlessly?"
It's not, it's a mode of exchange, and that is how it functions. If you generate it endlessly it ceases to be meaningful as a mode of exchange. That stops people from generating it endlessly, as presumably those people have an interest in maintaining the mode of exchange's function.
The rest of the interview is all present-day bullshitting about the EU debt crisis.
I'll spare everybody my opinions on that kerfuffle. | [
"Debt: The First 5,000 Years is a book by anthropologist David Graeber published in 2011. It explores the historical relationship of debt with social institutions such as barter, marriage, friendship, slavery, law, religion, war and government; in short, much of the fabric of human life in society. It draws on the history and anthropology of a number of civilizations, large and small, from the first known records of debt from Sumer in 3500 BC until the present.\n",
"The Bible (760 BCE) and Hammurabi's Code (1763 BCE) both explain economic remediations for cyclic sixty-year recurring great depressions, via fiftieth-year Jubilee (biblical) debt and wealth resets. Thirty major debt forgiveness events are recorded in history including the debt forgiveness given to most european nations in the 1930s to 1954.\n",
"In 1771 Price published his \"Appeal to the Public on the Subject of the National Debt\" (ed. 1772 and 1774). This pamphlet excited considerable controversy, and is supposed to have influenced William Pitt the Younger in re-establishing the sinking fund for the extinction of the national debt, created by Robert Walpole in 1716 and abolished in 1733. The means proposed for the extinction of the debt are described by Lord Overstone as \"a sort of hocus-pocus machinery,\" supposed to work \"without loss to any one,\" and consequently unsound. Price's views were attacked by John Brand in 1776. When Brand returned to finance and fiscal matters, \"Alteration of the Constitution of the House of Commons and the Inequality of the Land Tax\" (1793), he used work of Price, among others.\n",
"A second major argument of the book is that, contrary to standard accounts of the history of money, debt is probably the oldest means of trade, with cash and barter transactions being later developments.\n",
"In 2005, the Make Poverty History campaign, mounted in the run-up to the G8 Summit in Scotland, brought the issue of debt once again to the attention of the media and world leaders. Some have claimed that it was the Live 8 concerts which were instrumental in raising the profile of the debt issue at the G8, but these were announced after the Summit pre-negotiations had essentially agreed the terms of the debt announcement made at the Summit, and so can only have been of marginal utility. Make Poverty History, in contrast, had been running for five months prior to the Live 8 announcement and, in form of the Jubilee 2000 campaign (of which Make Poverty History was essentially a re-branding) for ten years. Debt cancellation for the 18 countries qualifying under this new initiative has also brought impressive results on paper. For example, it has been reported that Zambia used savings to significantly increase its investment in health, education, and rural infrastructure. The fungibility of savings from debt service makes such claims difficult to establish. Under the terms of the G8 debt proposal, the funding sources available to Heavily Indebted Poor Countries (HIPC) are also curtailed; some researchers have argued that the net financial benefit of the G8 proposals is negligible, even though on paper the debt burden seems temporarily alleviated.\n",
"BULLET::::- The debt held by the public rose from $6.3 trillion on January 31, 2009 to $14.4 trillion on December 31, 2016, an increase of $8.1 trillion or 128%. Measured as a % GDP, it rose from 52.3% GDP in 2009 to 76% GDP by 2016. As described above, most of the debt increase was inherited from the prior administration (e.g., tax cuts and wars) or was due to the Great Recession (e.g., declining revenue and higher automatic stabilizer spending), as opposed to Obama's policies.\n",
"By historic peacetime standards, the national debt is large and growing in overall terms though now falling as a percentage of GDP. It is currently nowhere near its historical peaks after the Napoleonic and World War eras. However, there is concern that official calculations of national debt omit many 'off-book' liabilities which mask the true nature of the debt: for example, Nick Silver of the Institute of Economic Affairs estimated the current British liabilities, including state & public pensions, as well as other commitments by the government, to be near £5 trillion, compared with the Government's estimate of £845 billion (as of 17 November 2010) These liabilities can be compared to total net assets (2010 figures) of £7.3 trillion, which equates to approximately a net worth of £120,000 per head of the population. Based on such a method of calculation, UK national debt would be equivalent to, or potentially exceed, historic highs.\n"
] |
what exactly happens to person when they're only awake during the night? | You get really fucked up. Shift work is worse as my body can attest. But straight nights causes your body to go all haywire. Basically your body doesn't work well, not receiving Vitamin D, Metabolism diminishes, you're more likely to have heart conditions, blue like also messes you up on nights. I can't recall the article but it was State side where they studied a neighbourhood with new installed LED street lights (blue light spectrum) vs without and there were higher domestic disturbance police calls then the neighbourhoods with regular condescent or halogen street lighting same income range for households and such.
_URL_2_
_URL_1_
_URL_0_
That's just the first page of Google, | [
"It is common for patients who have difficulty falling asleep to also have nocturnal awakenings with difficulty returning to sleep. Two-thirds of these patients wake up in the middle of the night, with more than half having trouble falling back to sleep after a middle-of-the-night awakening.\n",
"People with normal circadian systems can generally fall asleep quickly at night if they slept too little the night before. Falling asleep earlier will in turn automatically help to advance their circadian clocks due to decreased light exposure in the evening. In contrast, people with DSPD have difficulty falling asleep before their usual sleep time, even if they are sleep-deprived. Sleep deprivation does not reset the circadian clock of DSPD patients, as it does with normal people.\n",
"Affected people often report that while they do not get to sleep until the early morning, they do fall asleep around the same time every day. Unless they have another sleep disorder such as sleep apnea in addition to DSPD, patients can sleep well and have a normal need for sleep. However, they find it very difficult to wake up in time for a typical school or work day. If they are allowed to follow their own schedules, e.g. sleeping from 4:00 am to 1:00 pm, their sleep is improved and they may not experience excessive daytime sleepiness. Attempting to force oneself onto daytime society's schedule with DSPD has been compared to constantly living with jet lag; DSPD has, in fact, been referred to as \"social jet lag\".\n",
"Waking up in the middle of the night, or nocturnal awakening, is the most frequently reported insomnia symptom, with approximately 35% of Americans over 18 reporting waking up three or more times per week. Of those who experience nocturnal awakenings, 43% report difficulty in resuming sleep after waking, while over 90% report the condition persisting for more than six months. Greater than 50% contend with MOTN conditions for more than five years.\n",
"Modern humans often find themselves desynchronized from their internal circadian clock, due to the requirements of work (especially night shifts), long-distance travel, and the influence of universal indoor lighting. Even if they have sleep debt, or feel sleepy, people can have difficulty staying asleep at the peak of their circadian cycle. Conversely they can have difficulty waking up in the trough of the cycle. A healthy young adult entrained to the sun will (during most of the year) fall asleep a few hours after sunset, experience body temperature minimum at 6 a.m., and wake up a few hours after sunrise.\n",
"People with late chronotypes go to bed late and rise late. Forced to arise earlier than their circadian rhythm dictates, they have a low body temperature and may require a few hours to feel really awake. They are unable to fall asleep as early as \"larks\" can.\n",
"Disruptions in sleep can be caused by a variety of issues, including teeth grinding (bruxism) and night terrors. When a person suffers from difficulty falling asleep and/or staying asleep with no obvious cause, it is referred to as insomnia.\n"
] |
is there a correlation between how hard you blow and the size of a bubble? if not what defines the size of a bubble? | It's liquid tension - the harder you blow the more force is pushed against the inside of the bubble which has more potential to pop it. A slow smooth bubble will allow more surface area without breaking liquid tension | [
"When two bubbles merge, they adopt a shape which makes the sum of their surface areas as small as possible, compatible with the volume of air each bubble encloses. If the bubbles are of equal size, their common wall is flat. If they aren't the same size, their common wall bulges into the larger bubble, since the smaller one has a higher internal pressure than the larger one, as predicted by the Young–Laplace equation.\n",
"According to these statements, if the nucleation rate of bubbles is small, we will end up with bubbles that form clusters and will not collide with each other, with the heat release from vacuum decay stored in the domain-walls, quite different from what the hot Big-Bang starts from.\n",
"Clean bubbles that are sufficiently small will collapse due to surface tension if the supersaturation is low. Bubbles with semipermeable surfaces will either stabilise at a specific radius depending on the pressure, the composition of the surface layer, and the supersaturation, or continue to grow indefinitely, if larger than the critical radius.\n",
"When bubbles are disturbed, they pulsate (that is, they oscillate in size) at their natural frequency. Large bubbles (negligible surface tension and thermal conductivity) undergo adiabatic pulsations, which means that no heat is transferred either from the liquid to the gas or vice versa. The natural frequency of such bubbles is determined by the equation:\n",
"Because it is often difficult to observe intrinsic values in real-life markets, bubbles are often conclusively identified only in retrospect, once a sudden drop in prices has occurred. Such a drop is known as a \"crash\" or a \"bubble burst\". In an economic bubble, prices can fluctuate erratically and become impossible to predict from supply and demand alone.\n",
"Any increase in size of the bubble will decrease its potential energy, as the energy of the wall increases as the surface area of a sphere formula_1 but the negative contribution of the interior increases more quickly, as the volume of a sphere formula_2. Therefore, after the bubble is nucleated, it quickly begins expanding at very nearly the speed of light. The excess energy contributes to the very large kinetic energy of the walls. If two bubbles are nucleated and they eventually collide, it is thought that particle production would occur where the walls collide.\n",
"The equilibrium shapes of bubbles expanding and contracting on capillaries (blunt needles) can exhibit hysteresis depending on the relative magnitude of the maximum capillary pressure to ambient pressure, and the relative magnitude of the bubble volume at the maximum capillary pressure to the dead volume in the system. The bubble shape hysteresis is a consequence of gas compressibility, which causes the bubbles to behave differently across expansion and contraction. During expansion, bubbles undergo large non equilibrium jumps in volume, while during contraction the bubbles are more stable and undergo a relatively smaller jump in volume resulting in an asymmetry across expansion and contraction. The bubble shape hysteresis is qualitatively similar to the adsorption hysteresis, and as in the contact angle hysteresis, the interfacial properties play an important role in bubble shape hysteresis.\n"
] |
why is snot green. | When your body first makes it, it's clear. But it's like fly paper. It's there to catch debris going into your nose. So stuff gets mixed in, and if you do have an infection, your white blood cells can turn it green (something in them is oxidizing in the atmosphere) | [
"Malachite green is an organic compound that is used as a dyestuff and controversially as an antimicrobial in aquaculture. Malachite green is traditionally used as a dye for materials such as silk, leather, and paper. Despite its name the dye is not prepared from the mineral malachite, and the name just comes from the similarity of color.\n",
"Agent Green is the code name for a powerful herbicide and defoliant used by the U.S. military in its herbicidal warfare program during the Vietnam War. The name comes from the green stripe painted on the barrels to identify the contents. Largely inspired by the British use of herbicides and defoliants during the Malayan Emergency, it was one of the so-called \"Rainbow Herbicides\". Agent Green was only used between 1962 and 1964, during the early \"testing\" stages of the spraying program.\n",
"Quinizarine Green SS, also called Solvent Green 3 is an anthraquinone derivative. It is a black powder that is soluble in polar organic solvents, but insoluble in water. It is used as a dye for adding greenish coloring to cosmetics and medications. It is used in some colored smoke formulations.\n",
"Scheele's Green, also called Schloss Green, is chemically a cupric hydrogen arsenite (also called copper arsenite or acidic copper arsenite), . It is chemically related to Paris Green. It is a yellowish-green pigment which in the past was used in some paints, but has since fallen out of use because of its toxicity and the instability of its color in the presence of sulfides and various chemical pollutants.\n",
"Malachite green is classified in the dyestuff industry as a triarylmethane dye and also using in pigment industry. Formally, malachite green refers to the chloride salt [CHC(CHN(CH))]Cl, although the term malachite green is used loosely and often just refers to the colored cation. The oxalate salt is also marketed. The anions have no effect on the color. The intense green color of the cation results from a strong absorption band at 621 nm (extinction coefficient of ).\n",
"The Green is a mystical realm inhabited by the minds of all members of the Parliament of Trees, and it is a phenomenon that connects all forms of botanical life on earth. It is in the same category as The Red (which is connected to all animal life and run by the Parliament of Limbs), The Clear (which is associated with aquatic life and run by the Parliament of Vapors), an unnamed fire realm (which is associated with fire elementals and connected to the Parliament of Flames, which resides in the Earth's sun), The Melt (which is connected to Earth elementals and run by the Parliament of Stones), The Grey (which is connected to all fungal life), and The Black (which is associated with Death, was also called The Rot, and run by the Parliament of Decay). Various plant elementals of the DCU have been known to communicate with the Green as well and appear to have an in-tune rapport with it. These select few include the following:\n",
"Blue green alga was first used as a means of fixing nitrogen by allowing cyanobacteria to multiply in the soil. Nitrogen fixation is important as a means of allowing inorganic compounds such as nitrogen to be converted to organic forms which can then be used by plants. The use of cyanobacteria is an economically sound and environmentally friendly method of increasing productivity. Rice production in India and Iran have employed this method of using the nitrogen fixing properties of free living cyanobacteria to supplement nitrogen content in soils.\n"
] |
why did the special effects industry move from bluescreen to greenscreen? | _URL_0_
This portion:
Processing a green backdrop[edit source | editbeta]
Green is currently used as a backdrop more than any other color because image sensors in digital video cameras are most sensitive to green, due to the bayer pattern allocating more pixels to the green channel, mimicking the human eye's increased sensitivity to green light.[6] Therefore, the green camera channel contains the least "noise" and can produce the cleanest key/matte/mask. Additionally, less light is needed to illuminate green, again because of the higher sensitivity to green in image sensors.[7] Bright green has also become favored since a blue background may match a subject's eye color or common items of clothing, such as jeans, or a dark-navy suit. | [
"The first special effects in the cinema were created while the film was being shot. These came to be known as \"in-camera\" effects. Later, optical and digital effects were developed so that editors and visual effects artists could more tightly control the process by manipulating the film in post-production.\n",
"The film is noted for its surprising quality of the special effects which were in their infancy at the time this film was made. The film was released in black and white although a colour version of the film also exists.\n",
"A major difference between a virtual studio and the bluescreen special effects used in movies is that the computer graphics are rendered in realtime, removing the need for any post production work, and allowing it to be used in live television broadcasts.\n",
"\"The whole idea was to capture the era, since obviously the original films were shot in black and white,\" Bogdanovich says. \"My cinematographer, Laszlo Kovacs, carefully lit everything to accommodate black-and-white, which is why the lighting looks so good. We used a lot of the techniques of the silent era, irising in and out of scenes. There are no opticals at all in the film. But all the studio wanted was another broad comedy like \"What's Up, Doc?\" \"\n",
"With these special effects, the film managed to surprise and make enjoy the experience to a public of 1901, thanks to the great concentration of tricks, the fast pace of the actions or the aesthetics itself. It is a film that was not innovative in technical matters, but knew how to intelligently apply the innovations that had existed until then in a primary scenario to explain a story, instead of showing mastery of visual tricks, giving more importance to the story than to the special effects.\n",
"Special effects shots using black velvet trick photography took three weeks of post-production and were scheduled after the film completed production on July 13, 1956. Warren described the special effects as \"hard to assign correctly.\" Clifford Stine, whose field was process work and rear-screen projection, is credited with \"special photography\". The boat scene at the beginning of the film was shot on Universal's process stage which allowed for rear screen projection. Shots of Scott in certain scenes such as his encounter with the mist were shot with him against a black velvet black drop. \n",
"Special effects (often abbreviated as SFX, SPFX, or simply FX) are illusions or visual tricks used in the film, television, theatre, video game and simulator industries to simulate the imagined events in a story or virtual world.\n"
] |
citizens united v. federal election commission | It used to be that corporations were allowed to run things called **Issue Ads**, but were not allowed to support actual candidates. So they could run an ad saying, "Support Solar Energy" but not "Support Candidate 'A.'"
Citizens United decided that this was an unreasonable restraint on a corporation's and union's rights and that they should be able to spend money in support of candidates. This has angered a lot of people who feel that the decision opened yet another door by which corporations can influence elections and buy favor with candidates. An influence that individuals can't match.
However, direct contributions from Corporations and Unions direct to candidates' campaigns were not in question and are still banned under current law. | [
"Another Supreme Court case related to the issue is \"Citizens United v. Federal Election Commission\". The dispute was over whether Citizens United, a non-profit corporation, had the same right to fund political campaigns as a person. In this controversial case, the Supreme Court's 5-4 decision favored Citizen United, granting corporations, profit and non-profit, and unions the right to financially support political campaigns.\n",
"In 2010, the Supreme Court in \"Citizens United v. Federal Election Commission\" overturned \"Austin v. Michigan Chamber of Commerce\" (1990), portions of \"McConnell v. Federal Election Commission\" (2003), and Section 203 of the Bipartisan Campaign Reform Act (2002) that prohibited electioneering communications by corporations. The Harvard Journal of Law and Public Policy described the reasoning of the \"Citizens\" majority as based on two propositions. The first was that the Court has recognized that \"First Amendment protections extend to corporations,\" for which the Court cited \"Bellotti\" as an example. The Court \"returned to the principle established in \"Buckley\" and \"Bellotti\" that the Government may not suppress political speech based on the speaker's corporate identity.\" The Court cited \"Bellotti\" in arguing that political speech is \"indispensable to decision making in a democracy and [that] this is no less true because the speech comes from a corporation.\" The second proposition addressed contribution expenditure and corruption. The Court ruled that independent expenditure limits were unconstitutional because, unlike campaign contribution limits, they fail to \"serve any substantial government interest in stemming the reality or appearance of corruption in the electoral process.\" The Court argued, \"\"Austin\" upheld a corporate independent expenditure restriction\" by recognizing a \"new governmental interest\" in preventing corruption to \"bypass \"Buckley\" and \"Bellotti\".\" The Court rejected the anti-distortion reasoning argued in \"Austin\" and returned to the qui pro quo conception of corruption used in \"Buckley\", stating that \"independent expenditures, including those made by corporations, do not give rise to corruption or the appearance of corruption.\" In overruling \"Austin\", the \"Citizens\" majority insisted, \"before \"Austin\", the court had not allowed the exclusion of a class of speakers from general public dialogue.\" The Court did concede that the \"Bellotti\" case \"did not address the constitutionality\" of bans on \"corporate independent expenditures to support candidates.\" However, the court reasoned that such bans \"would have been unconstitutional under \"Bellotti's\" central principle that the First Amendment does not allow political speech restrictions based on a speaker's corporate identity.\"\n",
"The Open Our Democracy Act is a bill introduced in the United States House of Representatives by U.S. Representative John Delaney. The bill would establish Election Day as a federal holiday, mandate open and top-two primary elections so that all eligible voters can participate in them, and end gerrymandering by requiring independent commissions to draw the districts in each state.\n",
"The Commonwealth argued that Part IIID of the Act did not single out the States, nor interfere with their proper activities, since State elections were treated in exactly the same way as Federal elections were.\n",
"In explaining the litigation, Equal Citizens' chief counsel Jason Harrow argued that \"the framers of the Constitution intended presidential electors to be able to exercise independent judgment in casting their votes for president of the United States\". In March 2017, an administrative law judge rejected the arguments of the Washington plaintiffs. Thurston County Superior Court Judge Carol Murphy later denied their claim in December 2017. After the ruling, Harrow said that Murphy’s decision did not affect Equal Citizens' goal of eventually taking the case to the U.S. Supreme Court. In April 2018, U.S. District Court Senior Judge Wiley Y. Daniel rejected the Colorado plaintiffs' case, declaring that they lacked standing. Equal Citizens appealed the judge’s decision.\n",
"In 2011, Yarmuth introduced a bill alongside Republican Congressman Walter Jones that would seek to overturn key parts of the controversial court case \"Citizens United v. FEC\". The legislation would also give Congress the power to enact mandatory public financing for Congressional candidates and create a national holiday for voting purposes.\n",
"Citizens United v. Federal Election Commission, 558 U.S. 310 (2010), is a landmark United States Supreme Court case concerning campaign finance. The Court held that the free speech clause of the First Amendment prohibits the government from restricting independent expenditures for political communications by corporations, including nonprofit corporations, labor unions, and other associations.\n"
] |
How did the US Marines and National Guard come to have their own air arms? | Let me correct a few misconceptions.
The US Marine Corps is NOT a part of the US Navy. It falls under the Department of the Navy for administrative purposes but is a separate arm in its own right for operational purposes. Furthermore, Marine Aviation did not come about in World War 2. It dates back, for all intents and purposes, to this man: _URL_0_ This is Lieutenant Colonel Alfred Austell Cunningham, and the photo was taken in 1912. As this is not directly related to your question, if you want follow-up on this, go to Wikipedia: _URL_1_ (it's a nice article with references).
Marine Aviation was created Feb 26 in Philadelphia, Pennsylvania, when Cunningham was instructed to organize an Aviation Company for the Advanced Base Force. In 1919, Major Cunningham was assigned to command the new Aviation Section, Headquarters Marine Corps. So, by 1941 the air arm of the USMC was already well established, even if not very powerful (they were flying goddamn Brewster Buffaloes as their main fighter aircraft).
And now to answer your question: why did the USMC (I know I'm skipping the National Guard, sorry) get its own air arm? Because it needed one. The USMC utilizes Navy ships, but it's an independent force, and thus has to rely mainly on itself in conducting operations, especially once the marines get further away from the coast. Probably if the USMC brass in 1917 hadn't thought of creating its own air arm, some provisions would have been made eventually for the Navy to provide all types of air support.
Source & further reading: *The United States Marine Corps: A Chronology, 1775 to the Present*, by John C. Fredriksen. ABC-Clio, Santa Barbara, CA, 2011. | [
"The United States Marine Corps (USMC) is currently the largest and only marine combined-arms force in the world. Created in 1775, it was originally intended only to guard naval vessels during the American Revolutionary War. While the USMC is a component part of the US Department of the Navy in the military command structure, it is a separate military branch from the United States Navy, with its own representative on the Joint Chiefs of Staff. The Corps’ major functions include: seizure or defense of advanced naval bases and ... land operations ... essential to ... a naval campaign, ... provid[ing] detachments and organizations for service on armed vessels of the Navy ... [and] security detachments for the protection of naval property at naval stations and bases ... and such other duties as the President may direct ... [and] develop[ing] ... those phases of amphibious operations that pertain to the tactics, technique, and equipment used by landing forces. It also conducts maritime boarding operations and operates its own aviation units mainly to provide air support to the rest of its forces. It also has other missions. These include, among others, providing personnel as security guards at US diplomatic missions throughout the world, and providing helicopter transportation for the President of the United States aboard Marine One. Its motto is \"Semper Fidelis\", which means \"always faithful\" in Latin.\n",
"In May 2005, 3rd Battalion, 11th Marines, based at Marine Corps Air Ground Combat Center Twentynine Palms, became the first Marine unit to begin fielding the new M777. 580 guns were supplied to the Marines, and 421 to the U.S. Army and National Guard.\n",
"The formal and permanent use of Marines as security guards began with the Foreign Service Act of 1946, which authorized the Secretary of Navy to, upon the request of the Secretary of State, assign Marines to serve as custodians under the supervision of the senior diplomatic officer at a diplomatic post. The first joint Memorandum of Agreement was signed on 15 December 1948 regarding the provisions of assigning Marines overseas. Trained at the Foreign Service Institute, the first Marines arrived at Tangier and Bangkok in early 1949. The Marine Corps assumed the primary training responsibility in November 1954. The authority granted in the Foreign Service Act of 1946 has since been replaced by and the most recent Memorandum of Agreement was signed in August 2008.\n",
"The air arm was given the responsibility for land-based air defense of the coasts of the United States and the overseas possessions, an assignment increasing the Air Corps' requirements for long range air capabilities.\n",
"In June 1965, U.S. Coast Guard Squadron One used the range facilities for small arms training in preparation for deployment to Vietnam. Training was completed with pistols, rifles and machine guns under the auspices of the U.S. Navy.\n",
"The Congress did not dis-establish the Army Air Corps as a combat arm until 26 July 1947, when the National Security Act of 1947 (61 \"Stat.\" 502) became law. Most members of the Army Air Forces also remained members of the Air Corps. In May 1945, 88 percent of officers serving in the Army Air Forces were commissioned in the Air Corps, while 82 percent of enlisted members assigned to AAF units and bases had the Air Corps as their combat arm branch.\n",
"During World War I the Fifth and Sixth Marines fought in France as the Fourth Marine Brigade of the US Army's 2nd Infantry Division were forced to wear the Army's uniform. The Marines had only the eagle, globe, and anchor on their soft covers to distinguish themselves from their Army brothers-in-arms. As this did not sit well with the Marines, a patch was designed to distinguish them from their counterparts. A black shield with one five-pointed star and an Indian head with full war bonnet was selected. It is said that the black was for mourning and respect for their casualties, the shield for defense, and the star for the Second Division Commander, Brigadier General John A. Lejeune, and the Indian for General Lejeune's nickname \"Old Indian.\" Another source says the patch was derived from a U.S. Coin in circulation at the time.\n"
] |
Would we know if another animal on our planet reached a state of sentience/sapience to the level of reason? | It all depends on how you define sentience:
* Elephants are known to [grieve and bury their dead.](_URL_6_)
* Apes are known to [wage war on each other,](_URL_0_) (I've seen actual footage of an attack in a forest but can't find it now) [make tools,](_URL_5_) and even [weapons](_URL_1_)
* Chimps are commonly used for studying behavior relating to humans and exhibit [jealousy and a sense of fairness](_URL_2_). I've read elsewhere that in a similar experiment, grapes were traded as currency [in one case with Capuchins in exchange for sex.](_URL_3_)
* Dolphins are known to [kill for sport/fun](_URL_4_) | [
"\"Convergent evidence indicates that non-human animals [...], including all mammals and birds, and other creatures, [...] have the necessary neural substrates of consciousness and the capacity to exhibit intentional behaviors.\"\n",
"Wilson's (1984) biophilia hypothesis is based on the premise that our attachment to and interest in animals stems from the strong possibility that human survival was partly dependent on signals from animals in the environment indicating safety or threat. The biophilia hypothesis suggests that if we see animals at rest or in a peaceful state, this may signal to us safety, security and feelings of well-being which in turn may trigger a state where personal change and healing are possible.\n",
"In the animal kingdom, there is a gradation in the nervous complexity, taking examples from the marine sponges that lack neurons, intestinal worms with ~ 300 neurons or humans with ~ 86 billion. While the existence of neurons is not sufficient to demonstrate the existence of sentience in an animal, it is a necessary condition, without neurons there is no place where it can happen (and the fewer the neurons, the lower the maximum capacity of intelligence an organism).\n",
"It has been suggested that metacognition in some animals provides some evidence for cognitive self-awareness. The great apes, dolphins, and rhesus monkeys have demonstrated the ability to monitor their own mental states and use an \"I don't know\" response to avoid answering difficult questions. Unlike the mirror test, which reveals awareness of the condition of one's own body, this uncertainty monitoring is thought to reveal awareness of one's internal mental state. A 2007 study has provided some evidence for metacognition in rats, although this interpretation has been questioned. These species might also be aware of the strength of their memories.\n",
"In 2013, Whiten reviewed the literature and concluded that regarding the question \"Are chimpanzees truly mentalists, like we are?\", he stated he could not offer an affirmative or negative answer. A similarly equivocal view was stated in 2014 by Brauer, who suggested that many previous experiments on ToM could be explained by the animals possessing other abilities. They went on further to make reference to several authors who suggest it is pointless to ask a \"yes or no\" question, rather, it makes more sense to ask which psychological states animals understand and to what extent. At the same time, it was suggested that a \"minimal theory of mind\" may be \"what enables those with limited cognitive resources or little conceptual sophistication, such as infants, chimpanzees, scrub-jays and human adults under load, to track others' perceptions, knowledge states and beliefs.\"\n",
"Pythagoreans believed that human beings were animals, but with an advanced intellect and therefore humans had to purify themselves through training. Through purification humans could join the psychic force that pervaded the cosmos. Pythagoreans reasoned that the logic of this argument could not be avoided by killing an animal painlessly. The Pythagoreans also thought that animals were sentient and minimally rational. The arguments advanced by Pythagoreans convinced numerous of their philosopher contemporaries to adopt a vegetarian diet. The Pythagorean sense of kinship with non-humans positioned them as a counterculture in the dominant meat-eating culture. The philosopher Empedocles is said to have refused the customary blood sacrifice by offering a substitute sacrifice after his victory in a horse race in Olympia. \n",
"This relationship is not limited to humans. A number of animals consume different psychoactive plants, animals, berries and even fermented fruit, becoming intoxicated, such as cats after consuming catnip. Traditional legends of sacred plants often contain references to animals that introduced humankind to their use. Animals and psychoactive plants appear to have co-evolved, possibly explaining why these chemicals and their receptors exist within the nervous system.\n"
] |
what's up with the "num lk" on keyboards and what possible scenario would i want the number pad to not work? | Num lock turns the numpad into arrows.
_URL_0_ | [
"Since ThinkPad computers have a nub that is responsive to pressure in a direction, and there is a patent for this, other companies have made it so a person has to move the finger a large distance to cause the nub to rock from side to side in a much less efficient way.\n",
"LOMAK is an acronym for Light Operated Mouse And Keyboard. It is an assistive technology device designed for use by people who cannot use a standard computer keyboard and mouse. The Lomak is clipped to an adjustable stand placed vertically underneath the computer screen and is operated by a small laser pointer mounted on a hat or headband. Some people who have arm movement can alternatively use the Lomak horizontally with a hand-pointer. It can be used as an additional keyboard and mouse with any desktop or laptop computer which has a spare USB port. Like many computer peripherals for people with special access needs, it is very expensive, about $1500.\n",
"Numeric sections on usual keyboards for personal computers do not comply to the standard, as they usually have a Num lock key in the upper left corner where the standard requires the “+” key, and therefore also show a different arrangement of the other arithmetic keys (usually lacking an “=” key; see the second picture). By this, the standard in its present form (ISO/IEC 9995-4:2009) can be considered outdated.\n",
"There is not yet an agreed-upon standard for the placement of the Fn key, although most manufacturers have elected to place it alongside a shrunken and/or displaced left Control key. Because the Control key is most frequently associated with OS and application shortcuts (such as Control+S to save a document, or Control+Shift+Escape to launch the Task Manager in modern versions of Microsoft Windows), altering its size and placement is often regarded as inconvenient for users accustomed to the larger left Control key on IBM PC-style keyboards commonly used for desktop computers.\n",
"The ESDF variation is an alternative to WASD and is sometimes preferred because it provides access to movement independent keys for the little finger (, , ) which generally allows for more advanced manual binding. Incidentally, it allows the left hand to remain in the home row with the advantage of the key home row marker (available on most standard keyboards) to easily return to position with the index finger.\n",
"is the palm-sized, 17-key section of a standard computer keyboard, usually on the far right. It provides calculator-style efficiency for entering numbers. The idea of a 10-key number pad cluster was originally introduced by Tadao Kashio, the developer of Casio electronic calculators. \n",
"A different solution, which side-steps the Fn key placement issue altogether, is to remap the Caps-Lock key as Control. This emulates the layout of the IBM Model F keyboard for the original IBM PC, which placed the Caps-Lock key where right Control is found on modern keyboards, a location that is favoured by some Vim and Emacs users because of its prominent location and long-time use on Unix workstations.\n"
] |
do birds stop migrating? i mean, do i have birds in my city that consider this home base, or is every bird i see just pit stopping on their way to somewhere else? | Some birds stay all winter long. Robins and crows are 2 that I can think of. Bald eagles too. | [
"Migrating birds can lose their way and appear outside their normal ranges. This can be due to flying past their destinations as in the \"spring overshoot\" in which birds returning to their breeding areas overshoot and end up further north than intended. Certain areas, because of their location, have become famous as watchpoints for such birds. Examples are the Point Pelee National Park in Canada, and Spurn in England.\n",
"Migratory birds are flying toward the south-west during the autumn, many of them attempt to follow land as long as they can (especially such birds that cannot land on water), and as Falsterbo is located as south-west as possible at the Scandinavian peninsula. The migratory birds tend to gather around Falsterbo for a rest or until the weather conditions are good in order to fly across the Baltic Sea to the European continent. The high number of migratory birds during September, October and November also attract birds of prey to the area.\n",
"Bird migration is the regular seasonal movement, often north and south along a flyway, between breeding and wintering grounds. Many species of bird migrate. Migration carries high costs in predation and mortality, including from hunting by humans, and is driven primarily by availability of food. It occurs mainly in the northern hemisphere, where birds are funneled on to specific routes by natural barriers such as the Mediterranean Sea or the Caribbean Sea.\n",
"These birds are altitudinal migrants; they follow the progress of flowers as they develop at increasing altitudes throughout the year. Seeking food at low elevation exposes them to low elevation disease organisms and high mortality. It has been theorized that the Iiwi can migrate between islands and it may be why the bird has not gone extinct on smaller islands such as Molokai.\n",
"Many bird populations migrate long distances twice a year. The most common pattern involves flying north in the spring to breed in the temperate parts of the northern hemisphere or the Arctic during summer and returning southward in the autumn to wintering grounds in warmer regions, often on the other side of the equator. A similar pattern occurs in the southern hemisphere with birds flying south to breed and north to overwinter, but on a much smaller scale. The flyway, or route, taken by different bird species varies, but each population has its traditional staging points along the route where birds feed to build up their energy reserves to prepare for the next migratory stage; the route used on the spring migration may be different from that used in the autumn and will depend on such factors as wind direction and the availability of food at staging points.\n",
"While migrating, these birds have been reported travelling through middle America, Florida, the West Indies, Cuba, the Caribbean and Bermuda, finally completing their journey in the wintering grounds of South America, primarily Argentina.\n",
"If a bird sets off in the opposite direction, shown by the orange arrow, it will end up in Western Europe instead of South East Asia. This is a mechanism that leads to birds such as Pallas's warbler turning up thousands of kilometres from where they should be. Keith Vinicombe suggested that birds from east of Lake Baikal in Siberia (circled) could not occur in western Europe because the migration routes were too north-south. Most of these lost young birds perish in unsuitable wintering grounds, but there is some evidence that a few survive, and either re-orient in successive winters, or even return to the same area.\n"
] |
Why are some planets / moons in our solar system so uniformly colored? | I might not be the best person to answer this question, but I'll take a stab at it.
Disregarding life, vegetation, atmosphere, and the ocean (none of which are present in the moon), the Earth would actually look quite a bit more homogeneous than it does now. Much of the variation that would be present would be sure to the fact that the earth is geologically active. The Grand Canyon is red because it is made of sandstone, Mauna Kea is black because it is made of basalt, etc. By contrast, the moon is largely geologically inactive. It has neither liquid water nor atmosphere, so there are no sedimentary rocks. It is not as massive as earth, so there wouldn't be much metamorphization (if that's a word). Those metamorphic rocks that did form would never be brought to the surface because the moon doesn't have tectonic activity.
In short, the moon looks homogeneous because there are not any processes that would make it heterogeneous. | [
"Each planet's system displays slightly different characteristics. Jupiter's irregulars are grey to slightly red, consistent with C, P and D-type asteroids. Some groups of satellites are observed to display similar colours (see later sections). Saturn's irregulars are slightly redder than those of Jupiter.\n",
"Although no images from within Jupiter's atmosphere have ever been taken, artistic representations typically assume that the planet's sky is blue, though dimmer than Earth's, because the sunlight there is on average 27 times fainter, at least in the upper reaches of the atmosphere. The planet's narrow rings might be faintly visible from latitudes above the equator. Further down into the atmosphere, the Sun would be obscured by clouds and haze of various colors, most commonly blue, brown, and red. Although theories abound on the cause of the colors, there is currently no unambiguous answer.\n",
"The red colors of the planets may be explained by the presence of iron and silicate atmospheric clouds, while their low surface gravities might explain the strong disequilibrium concentrations of carbon monoxide and the lack of strong methane absorption.\n",
"The Sun looks the same from the Moon as it does from Earth's orbit, somewhat brighter than it does from the Earth's surface, and colored pure white, due to the lack of atmospheric scattering and absorption.\n",
"BULLET::::- The planet Uranus is colored cyan because of the abundance of methane in its atmosphere. Methane absorbs red light and reflects the blue-green light which allows observers to see it as cyan.\n",
"All the inner satellites of Jupiter, Uranus, and Neptune have very dark surfaces with an albedo between 0.06 (Metis) and 0.10 (Adrastea). Saturn's satellites, in contrast, have very bright surfaces, with albedos between 0.4 and 0.6. This is thought to be because their surfaces are being coated with fresh ice particles swept up from the ring system within which they orbit. The inner satellites around the other planets may have been darkened by space weathering. None of the known inner satellites possesses an atmosphere.\n",
"Planets with equilibrium temperatures between about 350 K (170 °F, 80 °C) and 800 K (980 °F, 530 °C) do not form global cloud cover, because they lack suitable chemicals in the atmosphere to form clouds. These planets would appear as featureless azure-blue globes because of Rayleigh scattering and absorption by methane in their atmospheres, appearing like Jovian-mass versions of Uranus and Neptune. Because of the lack of a reflective cloud layer, the Bond albedo is low, around 0.12 for a class-III planet around a Sun-like star. They exist in the inner regions of a planetary system, roughly corresponding to the location of Mercury.\n"
] |
do people who speak "faster" languages think faster? | No, Spanish has more consonant clusters and news reporters etc will always talk really fast but they're producing the same amount of information. Another example would be written Chinese where each character has a whole meaning which is different to english which depends on an alphabet to build words. Even though a few Chinese characters can say what a lot of English words do, it takes about the same amount of time to extract the same amount of information. This is because, in reading, you skip most of the letters, ie you recognise whole words without recognising individual letters.
You can train your brain to think and react faster, just keep using it productively. Don't be stuck in the same routines all the time, read and learn more things, exercise more, challenge yourself with new ideas. | [
"Speedsters may at times use the ability to speed-read at incredible rates and in doing so, process vast amounts of information. Whatever knowledge they acquire in this manner is usually temporary. Their ability to think fast also allows them some immunity to telepathy, as their thoughts operate at a rate too rapid for telepaths such as Martian Manhunter or Gorilla Grodd to read or influence their minds.\n",
"In the absence of reliable evidence to support it, it seems that the widespread view that some languages are spoken more rapidly than others is an illusion. This illusion may well be related to other factors such as differences of rhythm and pausing. In another study, an analysis of speech rate and perception in radio bulletins, the average rate of bulletins varied from 168 (English, BBC) to 210 words per minutes (Spanish, RNE).\n",
"L2 speech rate is typically slower than native speech. For example, Mandarin Chinese speakers’ speech rate in an English utterance is slower than native English speakers’ speech rate (Derwing and Munro, 1995), and speech rates in a sentence by highly experienced Italian and Korean nonnative speakers of English are slower than that of native English speakers' (Guion et al., 2000). In this study, the main factor of the slower speech rate for the Italian and Korean accented English was the durations of the vowels and sonorant consonants (Guion et al., 2000). Another source of the slower speech rate in L2 speech is that L2 speakers tend to not reduce function words, such as \"the\" or \"and,\" as much as native speakers (Aoyama and Guion, 2007). The generally slower speech rate in L2 speech is correlated with the degree of perceived foreign accent by native listeners (Derwing and Munro, 1997).\n",
"Speed thinking is a type of thinking technique proposed by authors such as Dr Ken Hudson, Malcolm Gladwell and Edward de Bono that, according to the authors, could accelerate the pace of thinking and improve how an individual or group thinks, creates, solves and acts.\n",
"Speedtalk is a fictional constructed language and key plot device in Robert A. Heinlein's novella \"Gulf\" (1949). Speedtalk is a logic-based language with complex syntax, minimal vocabulary, and a rich phoneme inventory (written with letters such as œ, ħ, ø, and ʉ); it would make both communication and thought more efficient and precise. A single phoneme indicates a word, so a \"word\" indicates a sentence. In the only example given, a \"word\" means \"\"The far horizons draw no nearer.\"\"\n",
"So although it is often assumed that young children learn languages more easily than adolescents and adults, the reverse is in fact true; older learners are faster. The only exception to this rule is in pronunciation. Young children invariably learn to speak their second language with native-like pronunciation, whereas learners who start learning a language at an older age only rarely reach a native-like level.\n",
"It is often assumed that young children learn languages more easily than adolescents and adults. However, the reverse is true; older learners are faster. The only exception to this rule is in pronunciation. Young children invariably learn to speak their second language with native-like pronunciation, whereas learners who start learning a language at an older age only rarely reach a native-like level.\n"
] |
How does movement on a quantum scale work? | > they have to be somewhere?
A tidal wave has to be somewhere, but you can't determine its location more precisely that a few meters. For a ship, you could define it's center of mass and find that location very precisely, but something like a wave doesn't even have a well-defined shape. | [
"In Schenkerian theory, a scale-step () is a triad (based on one of the diatonic scale degrees) that is perceived as an organizing force for a passage of music (in accordance with the principle of composing-out). In \"Harmony\", Schenker gives the following example and asserts that \n",
"Motion estimation is the process of determining motion vectors that describe the transformation from one 2D image to another; usually from adjacent frames in a video sequence. The motion vectors may relate to the whole image (global motion estimation) or specific parts, such as rectangular blocks, arbitrary shaped patches or even per pixel. The motion vectors may be represented by a translational model or many other models that can approximate the motion of a real video camera, such as rotation and translation in all three dimensions and zoom.\n",
"Motion estimation is the process of determining motion vectors that describe the transformation from one 2D image to another; usually from adjacent frames in a video sequence. It is an ill-posed problem as the motion is in three dimensions but the images are a projection of the 3D scene onto a 2D plane. The motion vectors may relate to the whole image (global motion estimation) or specific parts, such as rectangular blocks, arbitrary shaped patches or even per pixel. The motion vectors may be represented by a translational model or many other models that can approximate the motion of a real video camera, such as rotation and translation in all three dimensions and zoom.\n",
"A motion move is when a player moves one of their pieces vertically, horizontally, or diagonally along the lines of the board and into an unoccupied space. However, a piece’s move is limited by the direction(s) its indicator(s) are pointed, as well as the type of piece. A player may not move more than one piece on a turn, and a player may only move in the direction of one of the piece’s indicators. If a space is occupied by a piece of another color, the player may capture it.\n",
"A motion diagram represents the motion of an object by displaying its location at various equally spaced times on the same diagram. Motion diagrams are a pictorial description of an object's motion. They show an object's position and velocity initially, and present several spots in the center of the diagram. These spots reveal whether or not the object has accelerated or decelerated.\n",
"In scale relativity, quantum mechanical effects appear as effects of fractal structures on the movement. The fundamental indeterminism and nonlocality of quantum mechanics are deduced from the fractal geometry itself.\n",
"A motion simulator or motion platform is a mechanism that creates the feelings of being in a real motion environment. In a simulator, the movement is synchronised with a visual display of the outside world (OTW) scene. Motion platforms can provide movement in all of the six degrees of freedom (DOF) that can be experienced by an object that is free to move, such as an aircraft or spacecraft:. These are the three rotational degrees of freedom (roll, pitch, yaw) and three translational or linear degrees of freedom (surge, heave, sway).\n"
] |
When batteries run out in a Gameboy then you turn it back on, it can run for a short while. Why? | While the device is on it is consuming power. Placing an electrical load on the battery causes the voltage to "sag" a little. Once the voltage sags below a certain point, the device detects it as a dead battery. Turning off the device relieves the batteries of the load and the chemical reaction inside the cells quickly recovers the voltage to a point above what the device considers "dead." As soon as you turn the device on again it consumes what little power was generated in the down time and reverts to "dead" status. | [
"The Game Boy Battery Pack sold for about $30 USD. The battery peripheral itself is roughly 3 in. long, 2 in. wide, and 0.5 in. thick. One end sprouts a thin cable that ends by being plugged into the external power jack of the Game Boy, while the other end connects to a standard mains plug. The first version of it is gray with purple lettering, to match the colors used on the Game Boy. It also features a belt clip. The battery pack was good for several hours of gameplay per charge, providing an alternative to purchasing more AA batteries once their power had exhausted. The product used nickel-cadmium batteries, lasted about 4–5 hours per charge, and could be charged roughly 1000 times before a significant loss in effectiveness. A major drawback of the battery pack is its weight, as well as the way the plug stuck out prominently from the side of the Game Boy.\n",
"Even though third-party rechargeable batteries were available for the battery-hungry alternatives to the Game Boy, these batteries employed a nickel-cadmium process and had to be completely discharged before being recharged to ensure maximum efficiency; lead-acid batteries could be used with automobile circuit limiters (cigarette lighter plug devices); but the batteries had mediocre portability. The later NiMH batteries, which do not share this requirement for maximum efficiency, were not released until the late 1990s, years after the Game Gear, Atari Lynx, and original Game Boy had been discontinued. During the time when technologically superior handhelds had strict technical limitations, batteries had a very low mAh rating since batteries with heavy power density were not yet available.\n",
"The blue LEDs also indicate the battery's state: on pressing any button (other than the power button) while the controller is not being used to play games, four LEDs flash to indicate full battery, three for 75%, two for 50%, and one for 25% life remaining.\n",
"The \"B\" boards hold battery-backed memory containing decryption keys needed for the games to run. As time passes, these batteries lose their charge and the games stop functioning, because the CPU cannot execute any code without the decryption keys. This is known to hobbyists as the \"suicide battery\". It is possible to bypass the original battery and swap it out with a new one in-circuit, but this must be done before the original falls below 2V or the keys will be lost.\n",
"As a mixed string of new and old batteries is depleted, the string voltage will drop, and when the old batteries are exhausted the new batteries still have charge available. The newer cells may continue to discharge through the rest of the string, but due to the low voltage this energy flow may not be useful, and may be wasted in the old cells as resistance heating.\n",
"Power for the LED was provided by two AA batteries. However, because the game was mechanical, in the right light conditions, it was possible to play \"Blip\" without batteries as one could see the unlit LED under the screen.\n",
"The blue LEDs also show how much battery power remains on the Wii Remote. By pressing any button, besides the power button while the controller is not being used to play games, a certain number of the four blue LEDs will light up, showing the battery life: four of the LEDs flash when it is at, or near, full power. Three lights flash when it is at 75%, two lights when at 50%, and one light flashes when there is 25% or less power remaining.\n"
] |
why is turning your computer off at the powerpoint, rather than shutting it down properly, bad? | When you're done brushing your teeth, you can carefully wash your toothbrush and put it in its little holder. You can also just throw it down onto the countertop and walk away. Doing it that way will *usually* work, but there's a chance that someone will knock it onto the floor or get some hair on it.
Turning off a computer is the same way. | [
"To shut down or power off a computer is to remove power from a computer's main components in a controlled way. After a computer is shut down, main components such as CPUs, RAM modules and hard disk drives are powered down, although some internal components, such as an internal clock, may retain power.\n",
"The user is instructed to power on and power off all peripherals in proper order to avoid corrupting data or potentially damaging hardware components. The manuals for the TRS-80 advise turning on the monitor first, then any peripherals attached to the E/I (if multiple disk drives are attached, the last drive on the chain is to be powered on first and work down from there), the E/I, and the computer last. When powering down, the computer is to be turned off first, followed by the monitor, E/I, and peripherals. In addition, users are instructed to remove all disks from the drives during power up or down (or else leave the drive door open to disengage the read/write head from the disk). This is because a transient electrical surge from the drive's read/write head would create a magnetic pulse that could corrupt data. This was a common problem on many early floppy drives.\n",
"In Microsoft Windows and ReactOS, a PC or server is shut down by selecting the Shutdown item from the Start menu on the desktop. Options include shutting down the system and powering off, automatically restarting the system after shutting down, or putting the system into stand-by mode.\n",
"BULLET::::- Managing power states: Logging off and shutdown has always been a function of the Start menu. In Windows 8, the shutdown function was moved out of the Start screen, only to be brought back in Windows 8.1 Update (in April 2014) with a sufficiently high screen resolution. Computer power states can also be managed by pressing Alt+F4, or by pressing Ctrl+Alt+Del.\n",
"BULLET::::- \"shutdown\" is the label of an optional routine used if the system console operator has requested to shut down timesharing. The program has a short period to allow itself to clean up any necessary features and quit. When the routine completes, the program is terminated and the user automatically logged off. If no shutdown routine exists, the program is cancelled without warning and the user automatically logged off.\n",
"BULLET::::- \"Idle power-down\": This technique exploits gaps in workload demand to shut off components that are idle. When shut down, components cannot do any useful work. The problems unique to this approach are: (1) it costs time and energy to transition between active and idle power-down states, (2) no work can be done in the off state, so power-up must be done to handle a request, and (3) predicting idle periods and adapting appropriately by choosing the right power state at any moment is difficult.\n",
"Shutdown Day is a global Internet experiment whose purpose is to get people to think about how their lives have changed with the increasing use of the home computer, and whether or not any good things are being lost because of this. The concept of the \"Shutdown Day\" project is to simply shutdown one's computer for one whole day each year, and become involved in other activities: outdoors, nature, sports, fun stuff with friends and family, just to remind yourself that there is a real world beyond the computer screen.\n"
] |
the legalization of marijuana in colorado. | According to [this article](_URL_0_) people 21 years of age can purchase it from specially regulated retail stores, and adults can grow up to 6 plants for personal use. Public use and driving under the influence is still illegal. | [
"Colorado is open to cannabis (marijuana) tourism. With the adoption of their 64th state amendment in 2013, Colorado became the first state in the union to legalize the medicinal (2000), industrial (2013), and recreational (2014) use of marijuana. Colorado's marijuana industry sold $1.31 billion worth of marijuana in 2016 and $1.26 billion in the first three quarters of 2017. The state generated tax, fee, and license revenue of $194 million in 2016 on legal marijuana sales. Colorado regulates hemp as any part of the plant with less than 0.3% THC.\n",
"Cannabis in Colorado refers to cannabis (the legal term for \"marijuana\") use and possession in the state of Colorado. The Colorado Amendment 64, which was passed by voters on November 6, 2012, led to legalization in January 2014. The policy has led to cannabis tourism. There are two sets of policies in Colorado relating to cannabis use: those for medicinal cannabis and for recreational drug use along with a third set of rules governing hemp.\n",
"Colorado is now 1 of 8 states that have legalized both medical and recreational marijuana, allowing them to tax the product. As of July 2014, six months after recreational shops began sales of marijuana in Colorado, the state has enjoyed a tax revenue of 45 million with 98 million expected by the end of the calendar year. This is in addition to increased economic revenues from \"pot tourists.\"\n",
"In November 2012, the Campaign to Regulate Marijuana Like Alcohol, a ballot initiative campaign backed by MPP, successfully passed Amendment 64, making legal in Colorado the possession, use, production, distribution, and personal cultivation of marijuana. MPP also played a lead role in drafting and campaigning for the historic initiative.\n",
"In January 2018, Coffman joined other Colorado congressman in criticizing a memo by Attorney General Jeff Sessions announcing his intention to rescind the Obama-era practice of allowing states to make marijuana use legal. Coffman suggested that the memo violated the constitution’s commerce clause. “The decision that was made to legalize marijuana in Colorado was made by the voters of Colorado and only applies within the boundaries of our state,” he said. “Colorado had every right to legalize marijuana and I will do everything I can do protect that right against the power of an overreaching federal government.”\n",
"The Adult Use of Marijuana Act (AUMA) (Proposition 64) was a 2016 voter initiative to legalize cannabis in California. The full name is the Control, Regulate and Tax Adult Use of Marijuana Act. The initiative passed with 57% voter approval and became law on November 9, 2016, leading to recreational cannabis sales in California by January 2018.\n",
"On November 6, 2012, voters amended the state constitution to protect \"personal use\" of marijuana for adults, establishing a framework to regulate marijuana in a manner similar to alcohol. The first recreational marijuana shops in Colorado, and by extension the United States, opened their doors on January 1, 2014.\n"
] |
why does mankind need a higher power like god to explain our existence? | Long story short? Fear. Fear of what we can't understand, fear of the unknown, fear of what comes next. They take comfort in having answers, even if they are completely bullshit. | [
"Throughout history power is typically seen to be a very dangerous and destructive element in people's lives. It is a canker to society or is wicked if you will. Some theorists believe that power itself is actually in fact morally neutral. It is the results of power that determine whether or not power is seen as good. The people in power are then also seen as not wicked in their nature, but rather the urgency for power and within the nature of it is what makes power seen as a wicked idea. Theorists believe that if men were the wicked ones in the equation then the solution to the issues at stake would be ethical improvement. In the end, it isn't power or man that are wicked, but the results of power that cause it to be wicked.\n",
"Long before Friedrich Nietzsche’s coining of a similar phrase, Emerson’s essay claims that \"life is a search after power\" and that \"a cultivated man, wise to know and bold to perform, is the end to which nature works\" (45). In this framework, power is not only a desirable end, but also a natural attribute of powerful people. Such people stand out in every circle of society. The reasons for their power are their \"causationism\", self-reliance, and health. Power is thus not necessarily with the refined elite. In fact, \"the instinct of the people is right\" (54)—the heartland’s farmers’ natural way of living and their straight approach to concrete problems makes them apt to be rulers. This is a major concession of a New England intellectual to Jacksonian Democracy and a \"popular government\". However, it comes along with the optimist prospect that after all, \"power educates the potentate\" (53). In large parts, the text conceptualizes power as an attribute of a few special people. However, there is also a more pragmatic side to the text, which claims that concentration, use, and routine can also help to develop a powerful personality: \"Practice is nine tenth\" (67). In the end, the text reconciles this practical tendency with the intellectual approach to life: \"We can easily overpraise the vulgar hero.\" (69)\n",
"I believe in a higher power which appears to us in the multiplicity of nature and of human life. We have manifestations of certain primal forces which we regard as gods and we have a division in the roles of the gods. These are powers that are visible, half-visible and sometimes invisible. One could have a long scholarly discussion on the role of individual gods, but in the end this is a question of a feeling for the different aspects of life.\n",
"Power tends to confuse itself with virtue and a great nation is particularly susceptible to the idea that its power is a sign of God's favor, conferring upon it a special responsibility for other nations—to make them richer and happier and wiser, to remake them, that is, in its own shining image. Power confuses itself with virtue and tends also to take itself for omnipotence. Once imbued with the idea of a mission, a great nation easily assumes that it has the means as well as the duty to do God's work.\n",
"\"We need a power strong enough to change human nature and build bridges between man and man, faction and faction. This starts when everyone admits his own faults instead of spot-lighting the other fellow's. God alone can change human nature. The secret lies in that great forgotten truth, that when man listens, God speaks; when man obeys, God acts; when men change, nations change.\"\n",
"In his book \"Power...\" Wrong argued:It has been argued that, like \"freedom\" or \"justice\" – those \"big words which make us so unhappy\", as Stephen Dedalus called them – \"power\" is an \"essentially contested concept\", meaning that people with different values and beliefs are bound to disagree over its nature and definition. It is claimed therefore that there cannot be any commonly accepted or even preferred meaning so long as people differ on normative issues as they are likely to do indefinitely, if not forever. \"Power\", however, does not seem to me to be an inherently normative concept. [...] its scope and pervasiveness, its involvement in any and all spheres of social life, give it almost unavoidable evaluative overtones. Positive or negative, benign or malign, auras come to envelop it, linking it still more closely to ideological controversy. Yet power as a generic attribute of social life is surely more like the concepts of \"society\", \"group\" or \"social norm\" than like such essentially and inescapably normative notions as \"justice\", \"democracy\" or \"human rights\". (Wrong 2002: viii)\n",
"BULLET::::- Power is the ability to do what one wants, regardless of the will of others. (Domination, a closely related concept, is the power to make others' behavior conform to one's commands). This refers to two different types of power, which are possession of power and exercising power. For example, some people in charge of the government have an immense amount of power, and yet they do not make much money.\n"
] |
how to plants that react to touch like the venus flytrap of the sensitive mimosa work? | If I remember correctly, for the Venus flytrap, there’s sensitive hairs on at the ‘clamping’ area. It takes lots of energy though, so when one hair is triggered, there’s a timing mechanism that’s set off. Only if multiple hairs are ‘moved’ within a set timeframe does the plant exert substantial energy to close the trap.
Not an explanation on the cellular scale though, hope someone can explain further too! | [
"Electrical signaling experiments were conducted on \"Mimosa pudica\", where 1.3–1.5 volts and 2–10 µC of charge acted as the threshold to induce closing of the leaves. This topic was further explored in 2017 by neuroscientist Greg Gage who connected \"Mimosa pudica\" to \"Dionaea muscipula\", better known as the Venus flytrap. Both plants had electrical wiring connecting them and were linked to an electrocardiogram. The results showed how causing an action potential in one plant led to an electrical response, causing both plants to respond.\n",
"Thigmonastic movements, those that occur in response to touch, are used as a defense in some plants. The leaves of the sensitive plant, \"Mimosa pudica\", close up rapidly in response to direct touch, vibration, or even electrical and thermal stimuli. The proximate cause of this mechanical response is an abrupt change in the turgor pressure in the pulvini at the base of leaves resulting from osmotic phenomena. This is then spread via both electrical and chemical means through the plant; only a single leaflet need be disturbed. This response lowers the surface area available to herbivores, which are presented with the underside of each leaflet, and results in a wilted appearance. It may also physically dislodge small herbivores, such as insects.\n",
"It is hypothesized that there is a threshold of ion buildup for the Venus flytrap to react to stimulation. The acid growth theory states that individual cells in the outer layers of the lobes and midrib rapidly move H (hydrogen ions) into their cell walls, lowering the pH and loosening the extracellular components, which allows them to swell rapidly by osmosis, thus elongating and changing the shape of the trap lobe. Alternatively, cells in the inner layers of the lobes and midrib may rapidly secrete other ions, allowing water to follow by osmosis, and the cells to collapse. Both of these mechanisms may play a role and have some experimental evidence to support them.\n",
"It has been concluded that loss of turgor pressure within the leaves of \"Mimosa pudica\" is responsible for the reaction the plant has when touched. Other factors such as changes in osmotic pressure, protoplasmic contraction and increase in cellular permeability have been observed to affect this response. It has also been recorded that turgor pressure is different in the upper and lower pulvinar cells of the plant, and the movement of potassium and calcium ions throughout the cells cause the increase in turgor pressure. When touched, the pulvinus is activated and exudes contractile proteins, which in turn increases turgor pressure and closes the leaves of the plant.\n",
"The Venus Flytrap (\"Dionaea muscipula\") presents a spectacular example of thigmonasty; when an insect lands on a trap formed by two curved lobes of a single leaf, the trap rapidly switches from an open to a closed configuration. Investigators have observed an action potential and changes in leaf turgor that accompany the reflex; they trigger the rapid elongation of individual cells. The common term for the elongation is acid growth although the process does not involve cell division.\n",
"Some plants are capable of rapid movement: the so-called \"sensitive plant\" (\"Mimosa pudica\") responds to even the slightest physical touch by quickly folding its thin pinnate leaves such that they point downwards, and carnivorous plants such as the Venus flytrap (\"Dionaea muscipula\") produce specialized leaf structures that instantaneously snap shut when touched or landed upon by insects. In the Venus flytrap, touch is detected by cilia lining the inside of the specialized leaves, which generate an action potential that stimulates motor cells and causes movement to occur.\n",
"In general, when a plant is exposed to a pathogen, or nonpathogenic microbe, there is an initial response, known as PAMP-triggered immunity (PTI), because the plant detects conserved motifs known as pathogen-associated molecular patterns (PAMPs). These PAMPs are detected by specialized receptors in the host known as pattern recognition receptors (PRRs) on the plant cell surface.\n"
] |
If mesons carry the force that binds protons and neutrons together, do other composite bosons (like helium nuclei, for example) carry their own forces as well? | The answer is kind of yes and no. The mesons that bind nucleons together (via what's often called the residual strong force) act as gauge bosons (much like the fundamental force carriers) associated with emergent broken symmetries of QCD, so they actually play something of a special role.
But in a more general sense, the mesons aren't actually 'carrying the force' independently of the gluon (the gauge bosons of the strong force). [Here](_URL_1_) is a Feynman diagram showing the interaction between a proton and a neutron via a pion, where the pion is clearly behaving as a force-carrying particle (the proton and neutron are interacting through it). However, if you look deeper, you would see [this](_URL_0_).
In a direct strong force interaction, two color-charge carrying particles would exchange a gluon. In this pion exchange, something more complicated is going on. The individual quarks that compose the nucleons are only ever interacting directly via gluons, but the end result is analogous to trading a pion.
I suppose something similar could in principle happen with any composite particle, but the likelihood of such an interaction will vanish astonishingly quickly as the complexity of the particle increases. For example if you wanted to draw an interaction between two particles via the exchange of a helium nucleus, you would have to add *a lot* of extra quarks and gluons to that second diagram, and in general, every vertex (a point where multiple particle lines meet) in a Feynman diagram will reduce the likelihood of that interaction actually occurring, and therefore would correspond to a very weak interaction. | [
"The residual strong force is thus a minor residuum of the strong force that binds quarks together into protons and neutrons. This same force is much weaker \"between\" neutrons and protons, because it is mostly neutralized \"within\" them, in the same way that electromagnetic forces between neutral atoms (van der Waals forces) are much weaker than the electromagnetic forces that hold electrons in association with the nucleus, forming the atoms.\n",
"BULLET::::- Elementary particles which are thought of as carrying forces are all bosons with spin 1. They include the photon which carries the electromagnetic force, the gluon (strong force), and the W and Z bosons (weak force). The ability of bosons to occupy the same quantum state is used in the laser, which aligns many photons having the same quantum number (the same direction and frequency), superfluid liquid helium resulting from helium-4 atoms being bosons, and superconductivity where pairs of electrons (which individually are fermions) act as single composite bosons.\n",
"Therefore, another force, called the \"nuclear force\" (or \"residual strong force\") holds the nucleons of nuclei together. This force is a residuum of the strong interaction, which binds quarks into nucleons at an even smaller level of distance.\n",
"The symmetry resulting in the strong force, proposed by Werner Heisenberg, is that protons and neutrons are identical in every respect, other than their charge. This is not completely true, because neutrons are a tiny bit heavier, but it is an approximate symmetry. Protons and neutrons are therefore viewed as the same particle, but with different isospin quantum numbers; conventionally, the proton is \"isospin up,\" while the neutron is \"isospin down.\" The strong force is invariant under SU(2) isospin transformations, just as other interactions between particles are invariant under SU(2) transformations of intrinsic spin. In other words, both isospin and intrinsic spin transformations are isomorphic to the SU(2) symmetry group. There are only strong attractions when the total isospin of the set of interacting particles is 0, which is confirmed by experiment.\n",
"Nuclei are bound together by the residual strong force (nuclear force). The residual strong force is a minor residuum of the strong interaction which binds quarks together to form protons and neutrons. This force is much weaker \"between\" neutrons and protons because it is mostly neutralized within them, in the same way that electromagnetic forces \"between\" neutral atoms (such as van der Waals forces that act between two inert gas atoms) are much weaker than the electromagnetic forces that hold the parts of the atoms together internally (for example, the forces that hold the electrons in an inert gas atom bound to its nucleus).\n",
"The strong interaction is observable at two ranges and mediated by two force carriers. On a larger scale (about 1 to 3 fm), it is the force (carried by mesons) that binds protons and neutrons (nucleons) together to form the nucleus of an atom. On the smaller scale (less than about 0.8 fm, the radius of a nucleon), it is the force (carried by gluons) that holds quarks together to form protons, neutrons, and other hadron particles. In the latter context, it is often known as the color force. The strong force inherently has such a high strength that hadrons bound by the strong force can produce new massive particles. Thus, if hadrons are struck by high-energy particles, they give rise to new hadrons instead of emitting freely moving radiation (gluons). This property of the strong force is called color confinement, and it prevents the free \"emission\" of the strong force: instead, in practice, jets of massive particles are produced.\n",
"In the case of the weak interaction, fermions can exchange three distinct types of force carriers known as the W, W, and Z bosons. The mass of each of these bosons is far greater than the mass of a proton or neutron, which is consistent with the short range of the weak force. The force is in fact termed \"weak\" because its field strength over a given distance is typically several orders of magnitude less than that of the strong nuclear force or electromagnetic force.\n"
] |
Is it possible that the dark matter is actually stars with Dyson spheres around them so we can't see them? | Nice idea, but it won't work. There are a few reasons:
(1) We know dark matter does not feel the electromagnetic force. If the dark matter were Dyson spheres, from absorbing the energy of the stars they surround, they would radiate in the infrared, and so we'd detect this. In fact, people have looked, and [no Dyson spheres](_URL_0_) have been found.
(2) Dyson spheres would be an example of MACHOs (massive compact halo objects), which more conventionally includes things like brown dwarves (stars that didn't quite ignite). Searches for MACHOs show that the vast majority of dark matter cannot be in MACHO form.
(3) Studies of the cosmic microwave background radiation give us the ratio of ordinary to non-ordinary matter in the universe (there has to be a certain amount of matter that interacts with ordinary matter via gravitation but does not interact with photons). Without dark matter, this doesn't work.
| [
"In 2008 a study was published showing that M94 had very little or no dark matter present. The study analyzed the rotation curves of the galaxy's stars and the density of hydrogen gas and found that ordinary luminous matter appeared to account for all of the galaxy's mass. This result was unusual and somewhat controversial, as current models do not indicate how a galaxy could form without a dark matter halo or how a galaxy could lose its dark matter. Other explanations for galactic rotation curves, such as MOND, also have difficulty explaining this galaxy. This result has yet to be confirmed or accepted by other research groups, however, and has not actually been tested against the predictions of standard galaxy formation models.\n",
"Baryonic dark matter may occur in non-luminous gas or in Massive Astrophysical Compact Halo Objects (MACHOs) - condensed objects such as black holes, neutron stars, white dwarfs, very faint stars, or non-luminous objects like planets and brown dwarfs.\n",
"On 25 August 2016, astronomers reported that Dragonfly 44, an ultra diffuse galaxy (UDG) with the mass of the Milky Way galaxy, but with nearly no discernable stars or galactic structure, may be made almost entirely of dark matter.\n",
"If dark matter is composed of weakly-interacting particles, an obvious question is whether it can form objects equivalent to planets, stars, or black holes. Historically, the answer has been it cannot,ref name=\"siegel\"\n",
"However, the dark star is capable of emitting indirect radiation – outward-aimed light and matter can leave the \"r\" = 2\"M\" surface briefly before being recaptured, and while outside the critical surface, can interact with other matter, or be accelerated free from the star through such interactions. A dark star, therefore, has a rarefied atmosphere of \"visiting particles\", and this ghostly halo of matter and light can radiate, albeit weakly. Also as Faster than light speeds are possible in Newtonian mechanics, it is possible for particles to escape.\n",
"The apparent lack of dark matter in NGC 1052-DF2 may help prove that dark matter is real: if what appears to be dark matter is really just a currently unknown effect of the gravity of ordinary matter then this apparent dark matter should also appear in this galaxy. Further study will be needed before this and any other possible implications can be confirmed. If confirmed, the absence of dark matter may also have implications for theories of galaxy formation, as dark matter has been thought to be needed for galaxy formation.\n",
"Michell suggested that there might be many \"dark stars\" in the universe, and today astronomers believe that black holes do indeed exist at the centers of most galaxies. Similarly, Michell proposed that astronomers could detect \"dark stars\" by looking for star systems which behaved gravitationally like two stars, but where only one star could be seen. Michell argued that this would show the presence of a \"dark star\". It was an extraordinarily accurate prediction. All of the dozen candidate stellar black holes in our galaxy (the Milky Way) are in X-ray compact binary systems.\n"
] |
why aren't aol-style chat rooms still a thing? | They are. Most proprietary formats have died out, but many people still user IRC. The Freenode network is the most popular, and many communities have channels there. You might have better luck just logging onto Freenode or looking for IRC directories.
There are more ad-hoc sites like Tinychat, or group conversations hosted on services like Discord, that are similar as well. | [
"Third party chat servers were used primarily to host chat rooms on the network. This is because of the improved administration systems in third party servers as well as the ability to host a chat room without having to use the winmx client. Some Third party chat clients also contained useful shortcuts or menus to make administrating a channel easier. For normal users, chat clients or the WinMX client itself could be used to view rooms independently of the server. Web listings of the chat room were also available.\n",
"BULLET::::4. \"multi-user dungeons and chat rooms\" tend to be considerably less market-oriented in their focus, containing information that is often fantasy-oriented, social, sexual and relational in nature. General search engines (e.g., Yahoo! or excite) provide good directories of these communities. Dungeons and chat rooms may still be of interest to marketing researchers (see, e.g., ) because of their ability to provide insight into particular themes (e.g., certain industry, demographic or lifestyle segments). However, many marketing researchers will find the generally more focused and more information-laden content provided by the members of boards, rings and lists to be more useful to their investigation than the more social information present in dungeons and chat rooms.\n",
"AOL customers often experience problems with the service due to AOL's proxy settings. However, Onspeed's website states that AOL customers may still use the service providing they use an alternative browser such as Mozilla Firefox.\n",
"In the manual, the creator of AOHell claims that he created the program because the AOL administrators would frequently shut down hacker and warez chatrooms for violation of AOL's terms of service while refusing to shut down the pedophilia chat rooms which regularly traded child pornography. \"Da Chronic\" claimed that when he confronted AOL's TOSAdvisor about it, he was met with an account deletion:\n",
"Similar chat rooms have sprung up as an open chat room that exchanges food pictures without a word became popular. As the popularity of the celebrity theme \" solitary chat rooms, \" celebrities went into the chat room themselves.\n",
"There have been many complaints over rules that govern an AOL user's conduct. Some users disagree with the TOS, citing the guidelines are too strict to follow coupled with the fact the TOS may change without users being made aware. A considerable cause for this was likely due to alleged censorship of user-generated content during the earlier years of growth for AOL.\n",
"Some of the advancements by the major portals in Internet search, such as Google's famous page-ranking scheme, do not apply in the wireless world since people are not searching for Web sites as much as answers to specific questions. 2006 showed a significant movement to the question-answer model. In this model answers are sent in reply to directory service queries similar to the nature of conventional 411 operators. AskMeNow, Ask.com and Bing.com all made efforts in this regard.\n"
] |
How do chemists produce a weakened state of a disease to create vaccines? How can they confidently determine the disease is ready to be used as a vaccination? | It depends on the vaccine.
The simplest to imagine are whole-cell vaccines against bacterial diseases: simply kill off the bacteria. Since they are dead they can no longer infect anyone - but they will still contain all the antigens (structures that antibodies can bind to) that will make the immune system recognize them, which will teach the body to fight them.
Other ones are more interesting. For example, the tetanus vaccine is an inactivated form of the toxin (tetanospasmin) produced by the bacteria that cause tetanus (*Clostridium tetani*) instead of the bacteria themselves. The toxin is a protein that can be inactivated by e.g. formaldehyde: this denatures the protein (imagine cooking an egg - heat denatures the egg white and turns it solid) enough to make it essentially harmless while still being recognizable by the immune system.
Many vaccines against viruses use another process, by first growing the viruses in the human cells that are their original hosts and then [passing them through cell cultures that they are not adapted to, like e.g. chicken cells](_URL_0_). Viruses are finely tuned, so as they adapt to those other cells, they start to lose the capacity to effectively infect the original human cells - but again, they will still contain all the bits that will make the body recognize them.
Then there are modern methods like recombinant vaccines, where you use modern gene editing techniques to create the specific antigens you are after.
As for how they can "confidently determine the disease is ready to be used as a vaccination": testing, testing, testing and more testing. Testing in cell cultures. Testing in animals. Testing in people: clinical trials upon clinical trials to determine if the vaccine is safe, if it produces the desired antibodies, and then finally to see if it actually works in practice - and works better than any alternatives already out there.
And then there is constant quality control testing of the product itself, to make sure that the plant is still making exactly what they think they are making. | [
"By identifying the antigens responsible for a particular immune response, it is possible to identify viable targets for novel drugs. In addition, specific antigens can further be classified based on immunoreactivity for identification of future potential vaccine preparations. In addition to the identification of vaccine candidates, immunoproteomic techniques such as western blotting can additionally be used for measuring the efficacy of a given vaccine.\n",
"A vaccine candidate drug is first identified through preclinical evaluations that could involve high throughput screening and selecting the proper antigen to invoke an immune response. The preclinical stages are also necessary to determine approximate dose ranges and proper drug formulations (i.e., tablet, injection etc…) This is also the stage in which the drug candidate may be first tested in laboratory animals prior to moving to the phase one trials. Vaccines such as the oral polio vaccine have been first tested for adverse effects and immunogenicity in monkeys as well as non-human primates. Recent scientific advances have helped to use transgenic animals as a part of vaccine preclinical protocol in hopes to more accurately determine drug reactions in humans. Understanding vaccine safety and the immunological response to the drug, such as toxicity, are necessary components of the preclinical stage. Other drug trials focus on the pharmacodynamics and pharmacokinetics; however, in vaccine studies it is essential to understand toxic effects at all possible dosage levels and the interactions with the immune system.\n",
"For example, scientists developing a new viral drug to treat an infection with a pathogenic virus (e.g. HIV-1) may find that a candidate drug functions to prevent viral replication in an \"in vitro\" setting (typically cell culture). However, before this drug is used in the clinic, it must progress through a series of \"in vivo\" trials to determine if it is safe and effective in intact organisms (typically small animals, primates, and humans in succession). Typically, most candidate drugs that are effective \"in vitro\" prove to be ineffective \"in vivo\" because of issues associated with delivery of the drug to the affected tissues, toxicity towards essential parts of the organism that were not represented in the initial \"in vitro\" studies, or other issues.\n",
"Conventional trials to study efficacy by exposure of humans to the pathogen are obviously not feasible in this case. For such situations, the FDA has established the \"Animal Efficacy Rule\" allowing limited licensure to be approved on the basis of animal model studies that replicate human disease, combined with evidence of safety. A number of experimental treatments are being considered for use in the context of this outbreak, and are currently or will soon undergo clinical trials. A distributed computing project, Outsmart Ebola Together, has been launched by World Community Grid in collaboration with the Scripps Research Institute to help find chemical compounds to fight the disease. It uses the idle processing capacity of volunteers' computers and tablets.\n",
"A direction of research is towards the use of drugs that target remyelinating inhibitor proteins, or other inhibitors. Possible strategies include vaccination against these proteins (active immunisation), or treatment with previously created antibodies (passive immunisation). These strategies appear promising on animal models with experimental autoimmune encephalomyelitis (EAE), a model of MS.\n",
"Unlike traditional vaccines, in which attenuated or killed virus/bacteria is used to generate an immune response, viral immunotherapy uses genetically engineered viruses to present a specific antigen to the immune system. That antigen could be from any species of virus/bacteria or even human disease antigens, for example cancer antigens.\n",
"Identifying the biological origin of a disease, and the potential targets for intervention, is the first step in the discovery of a medicine using the reverse pharmacology approach. Potential drug targets are not necessarily disease causing but must by definition be disease modifying. An alternative means of identifying new drug targets is forward pharmacology based on phenotypic screening to identify \"orphan\" ligands whose targets are subsequently identified through target deconvolution.\n"
] |
why are / were there flag bearers in armies | It's to accomplish the same thing as radios and computers in today's modern armies. Communication. Imagine a battlefield filled with thousands of people, many wearing the same uniform. But each small unit with a different mission. The flag or more precisely guidon is a point of rally for those in the small unit as well as asifthatwouldhappen mentioned commanders to I'd their troops. Fun fact the guidon bearer is a place of honor only for the most ferocious warrior, if the guidon was seized by enemy forces all communication between commander and unit would cease so the guidon bearer must be able to defend all attacks. This tradition is carried in today in the us marine corps as place of honor for the most worthy marine for all other marines to follow. | [
"Prior to 1956 the Army was the only armed service without a flag, official or otherwise, to represent the entire service. In 1955, prompted by the need for a flag to represent the U.S. Army in joint service ceremonies, Secretary of the Army Wilber M. Brucker requested the creation of an army flag.\n",
"Military flags were not all equal. There was an order of importance. Every larger detachment of the army was honored with a flag (sancak). Smaller units had banners called bayrak, with various emblems used mainly as recognition signals. In battle they were carried in the front lines. During rest trusted into the ground placed front of the tent or on top.\n",
"Military funerals often use the nation's flag as a pall. In the United Kingdom, members of the Royal Family or the peerage may use a flag bearing their arms as a pall. The City of London Livery Companies have collections of often magnificently embroidered \"hearse-cloths\", which were from the 16th century traditionally donated by prominent members for use in covering distinguished members' coffins. An exhibition of such palls was made in the Victoria and Albert Museum in London in 1927.\n",
"In the United States Army, Air Force, and Marine Corps, the term \"flag officer\" generally is applied to all general officers authorized to fly their own command flags—i.e., brigadier general, or pay grade O-7, and above. However, as a matter of law, Title 10 of the United States Code makes a distinction between general officers and flag officers. Non-naval officers usually fly their flags from their headquarters, vessels, or vehicles, typically only for the most senior officer present. In the United States all flag and general officers must be nominated by the President and confirmed by the Senate; each subsequent promotion requires renomination and re-approval. For the Navy, each flag officer assignment is usually limited to a maximum of two years, followed by either reassignment, reassignment and promotion, or retirement.\n",
"In the Army war flags are normally carried by infantry, tank and special forces regiments and battalions, by the Evelpidon Military Academy, the Non-Commissioned Officers Academy and the Presidential Guard when in battle or in parade. However, flying a war flag in battle is unlikely with current warfare tactics.\n",
"Flaggers usually operate at the state level. Their primary purpose is to make the Confederate battle flag as visible as possible. They carry it at demonstrations and other public events, and erect it on private land. These flags are frequently visible from major highways, and have often been the subject of controversy and legal efforts to have them removed. They (as individuals) lobby or appear at meetings to speak against removal of Confederate monuments and memorials. Some are anti-Abraham Lincoln and for the right of states to secede, i.e., that the Confederacy was legitimate under U.S. law. See Lost Cause of the Confederacy.\n",
"The flag which is to be presented is draped over the casket of the soldier or sailor being laid to rest, a practice dating back to the Napoleonic Wars when the dead were carried off the battlefield in flags. It is not exactly certain when the practice of presenting the flag came about but is believed to have regularly begun in the early 20th century.\n"
] |
sports eli5: why are sports playoffs like hockey and baseball best out of 7 but american football is single elimination? | football is *way* too demanding physically to be played multiple times a week. this in addition to if they did have a series and it was played out once a week the playoffs would last months. | [
"Major League Baseball, the National Basketball Association, and the National Hockey League are three professional sports that feature best-of-seven games series in their playoffs. Coming back to win a seven-game series when down by three games has only been accomplished by four National Hockey League teams and only one Major League Baseball team in the history of the MLB, NBA, and NHL.BR\n",
"Aside from North American sports leagues, game sevens are also a fixture in many other sports around the world, mostly in baseball, basketball, and ice hockey leagues. Most codes of football do not employ a best-of-seven series (or any best-of-\"x\" series in general), hence game sevens are not played in those leagues.\n",
"Because each postseason series is split between the home fields of the two teams, home-field advantage does not usually play a large role in the postseason unless the series goes to its maximum number of games, giving one team an additional game at home. However, the first two games of a postseason series are hosted by the same team. That team may have an increased chance of starting the series with two wins, thereby gaining some momentum for the rest of the series.\n",
"The best teams in a given season reach a playoff tournament, and the winner of the playoffs is crowned champion of the league. American and Canadian sports leagues typically have such \"playoff\" systems. These have their roots in long travel distances common in US and Canadian sports; to cut down on travel, leagues are typically divided into geographic divisions and feature unbalanced schedules with teams playing more matches against opponents in the same division. Due to the unbalanced schedule typical in US and Canadian leagues, not all teams face the same opponents, and some teams may not meet during a regular season at all. This results in teams with identical records that have faced different opponents differing numbers of times, making team records alone an imperfect measure of league supremacy. \n",
"BULLET::::- More games against interleague opponents means fewer games against same-league and division rivals – the latter of which may be more compelling. However, the leagues currently play an unbalanced schedule that favors divisional opponents rather than teams from other divisions (which is important due to the postseason qualifying structure – only the best team from a given division is guaranteed a berth in the postseason). Now, divisional opponents meet each other 19 times per season, and each natural rivalry sees only 4 games as opposed to 6 in previous years.\n",
"The NFL is the only one of the four major professional sports leagues in the United States to use a single-elimination tournament in all rounds of its playoffs. Major League Baseball (MLB) (not including their Wild Card postseason round), the National Basketball Association (NBA), and the National Hockey League (NHL) all use a \"best-of\" series format instead.\n",
"In many sports, playoffs consist of a 'series' of games played between two teams. These series are usually a best-of-5 or best-of-7 format, where the first team to win 3 or 4 games, respectively, wins the playoff. Since these best-of series always involve an odd number of games, it is impossible to guarantee that an equal number of games will be played at each team's home venue. As a result, one team must be scheduled to have one more home game than the other. This team is said to have home-field advantage for that playoff series.\n"
] |
I'm an innkeeper during the High Middle Ages in Europe. What is my life like? | As far as customers at your inn are concerned, you would most often see the traveling lords and vassals, members of the church, and possibly a small number of the artisan/merchant class. Serfs themselves were forbidden from leaving their fiefs without explicit permission and instruction from their local lord, and in some respects, were thought of as property much like the land itself. The result of this restricting ownership is that the "riff-raff" is kept out of your inn (so long as its primarily not a tavern). Merchants and artisans, aside from nobles and clergymen, were the only ones that could potentially have the funds and impetus to travel.
| [
"BULLET::::- \"The Eighteenth-century English Inn: a transient \"Golden Age\" \" in B. Kümin & B.A. Tlusty (Eds.) (2002) \"The World of the Tavern: Public Houses in Early Modern Europe\", Ashgate, Aldershot, pp. 205-226.\n",
"A traveller in the early Middle Ages could obtain overnight accommodation in monasteries, but later a demand for hostelries grew with the popularity of pilgrimages and travel. The Hostellers of London were granted guild status in 1446 and in 1514 the guild became the Worshipful Company of Innholders. A survey in 1577 of drinking establishment in England and Wales for taxation purposes recorded 14,202 alehouses, 1,631 inns, and 329 taverns, representing one pub for every 187 people.\n",
"In Europe during the Middle Ages, beer, often of very low strength, was an everyday drink for all classes and ages of people. A document from that time mentions nuns having an allowance of six pints of ale each day. Cider and pomace wine were also widely available; grape wine was the prerogative of the higher classes.\n",
"The inn is a traditional Welsh thatch roofed, with old stonework and beams which retain a medieval feel. The Good Pub Guide said of \"It's the appealing warren of little rooms and cosy corners in this character-laden, 600-year-old tavern that provide its appeal. The building has massive walls, low-beamed rooms and tiny doorways, with open fires everywhere, including one in an inglenook with antique oak seats built into its stripped stonework. Other seats and tables are worked into a series of chatty little alcoves, and the more open front bar still has an ancient lime-ash floor.\" The pub serves various ales and is also noted for its gastronomy.\n",
"A 1377 document mentions an innkeeper living in the outer bailey. The inhabitants of the castle, artisans, peasants and travelers were invited to make a stop at the inn. The café on the grounds of the castle is a modern building but it is probably situated on the site of the medieval inn.\n",
"In Europe, it is the provision of accommodation, if anything, that now distinguishes inns from taverns, alehouses and pubs. The latter tend to provide alcohol (and, in the UK, soft drinks and often food), but less commonly accommodation. Inns tend to be older and grander establishments: historically they provided not only food and lodging, but also stabling and fodder for the traveller's horse(s) and on some roads fresh horses for the mail coach. Famous London inns include The George, Southwark and The Tabard. There is, however, no longer a formal distinction between an inn and other kinds of establishment. Many pubs use \"Inn\" in their name, either because they are long established former coaching inns, or to summon up a particular kind of image, or in many cases simply as a pun on the word \"in\", as in \"The Welcome Inn\", the name of many pubs in Scotland.\n",
"BULLET::::- \"Old man\" bars, whose clientele are mainly long-time male patrons who know each other well; since most patrons are retired, they often begin drinking much earlier in the day, consume inexpensive beer/whisky and may spend much of the day chatting, reading the newspaper, and watching TV\n"
] |
They say as babies our bones are mostly cartilage. How does this change occur as we grow older and why is it advantageous to do so? | Bone growth can occur by one of two processes: endochondral ossification and intramembranous ossification. But to understand those in detail you have to understand exactly what bone is.
Bone is a highly active tissue, with important hormonal, structural, hematological, and immunological functions. Your skeleton receives 25% of the cardiac output at rest, one of the highest of any organ. The majority of bone is composed of extracellular matrix, there are in fact very few cells in bone tissue. Additionally, there are several types of cells that make up the cells within bone tissue. The 4 major bone-cell types are osteocytes, osteoblasts, osteoclasts, and osteoprogenitor cells. Osteoprogenitor cells are like bone-stem cells. They can differentiate into different cell lines depending on the needs of the tissue. These are generally mesenchymal stem cells (MSCs). MSCs can become osteoblasts or osteocytes (among a host of other cell lines including muscle and cartilage) but cannot become osteoclasts. Osteoblasts are the work horses of bone tissue, and actively secrete extracellular matrix (ECM) made up of collagen, hydroxyapatite (HA) and calcium phosphate (CaP). Osteoclasts function as a foil to osteoblasts, and actively destroy the ECM. These cells are derived from the hematapoetic cell linage (white blood cells, specifically macrophages). Osteocytes are long lived stellate-shaped cells that have become trapped within the ECM they secreted (as osteoblasts) and have terminally differentiated (essentially gone into retirement). Osteocytes have a role in hormonal regulation in bone. All these cells work in concert to actively remodel and maintain mature bone tissue.
In endochondral ossification, the ECM of bone is laid down in a sort of 'trial structure' where the collagen is laid down but the ECM is not ossified (mineralized). This occurs in the long bones such as the femur, tibia, humerus, radius, ulna, and facial bones. This first allows the general shape of the bone to come to form without wasting valuable mineral resources (collagen is a protein, and essentially ubiquitous in the body). During gestation, the collagenous structure is resorbed and then partially ossified except at the ends, the epiphyseal plate. This is the 'growth plate' visible in pediatric x-rays as a non-ossified line across the bone. It's not that the bone is discontinuous, but rather the ECM is not yet ossified. This allows the bone to grow in length by simply depositing mineralized ECM along the epiphyseal line, displacing the growth plate. At puberty, hormonal changes cause phenotypic changes in the cells at the growth plate and the growth line ossifies, or closes.
In intramenbranous ossification, there is no 'trial phase' where the collagen is resorbed but instead the ossification occurs directly. this occurs in the flat bones of the skull, sternum, vertebrae, pelvis, and ribs. While these bones do grow during life, they are much more important as protective entities and therefore their ossification is prioritized.
In all bone growth, osteoclasts help break bone down so that osteoblasts can lay more, new bone down. Essentially, you have to destroy what is already there to grow bigger.
This is a very brief overview so if you have further questions feel free to reply or message me. Hope this helps. | [
"About the time of birth in mammals, a secondary ossification center appears in each end (epiphysis) of long bones. Periosteal buds carry mesenchyme and blood vessels in and the process is similar to that occurring in a primary ossification center. The cartilage between the primary and secondary ossification centers is called the epiphyseal plate, and it continues to form new cartilage, which is replaced by bone, a process that results in an increase in length of the bone. Growth continues until the individual is about 20 years old or until the cartilage in the plate is replaced by bone. The point of union of the primary and secondary ossification centers is called the epiphyseal line.\n",
"Old people will also have a lot of symptoms. For example, healthy bones are critical to senior health. As the body ages, it begins to absorb old bone tissue faster than new bone tissue can be created, thus bones tend to become thinner and weaker. This leads to a condition known as osteoporosis, a disease in which bones become very fragile and can easily break after a fall, or even during everyday movements. More than 1.5 million fractures occur every year due to osteoporosis.\n",
"Hyaline cartilage caps the long bones and the spinal vertebrae. Most childhood limb growth takes place at the ends of the long bones, not in the shaft. Normally, as a child grows, the most interior portion of the joint cartilage converts into bone, and new cartilage forms on the surface to maintain smooth joints. The old joint margins (edges) reabsorb, so that the overall shape of the joint is maintained as growth continues. Failure of this process throughout the body results in skeletal dysplasia. It also leads to very early onset of osteoarthritis, because the defective cartilage is extremely fragile and vulnerable to normal wear and tear.\n",
"The baby's skull has seven bones. Normally, these bones don't fuse until around age 2, giving the baby's brain time to grow. Joints called cranial sutures, made of strong, fibrous tissue, hold these bones together. In the front of the baby's skull, the sutures intersect in the large soft spot (fontanel) on the top of the baby's head. Normally, the sutures remain flexible until the bones fuse. The signs of craniosynostosis may not be noticeable at birth, but they become apparent during the first few months of the baby's life. The symptoms differs from types of synostosis. First of all there is Sagittal synostosis (scaphocephaly). Premature fusion of the suture at the top of the head (sagittal suture) forces the head to grow long and narrow, rather than wide. Scaphocephaly is the most common type of craniosynostosis. The other one is called Coronal synostosis (anterior plagiocephaly). Premature fusion of a coronal suture — one of the structures that run from each ear to the sagittal suture on top of the head — may force the baby's forehead to flatten on the affected side. It may also raise the eye socket and cause a deviated nose and slanted skull. The Bicoronal synostosis (brachycephaly). When both of the coronal sutures fuse prematurely, the baby may have a flat, elevated forehead and brow.\n",
"During embryogenesis the precursor to bone development is cartilage. Much of this substance is then replaced by bone during the second and third trimester, after the flesh such as muscle has formed around it; forming the skeleton. Cartilage is a stiff and inflexible connective tissue found in many areas in the bodies of humans and other animals, including the joints between bones, the rib cage, the ear, the nose, the elbow, the knee, the ankle, the bronchial tubes and the intervertebral discs. It is not as hard and rigid as bone but is stiffer and less flexible than muscle.\n",
"During childhood, the growth plate contains the connecting cartilage enabling the bone to grow; at adulthood (between the ages of 18 to 25 years), the components of the growth plate stop growing altogether and completely ossify into solid bone. In an adult, the metaphysis functions to transfer loads from weight-bearing joint surfaces to the diaphysis.\n",
"Early in fetal development, the greater part of the skeleton is cartilaginous. This \"temporary\" cartilage is gradually replaced by bone (Endochondral ossification), a process that ends at puberty. In contrast, the cartilage in the joints remains unossified during the whole of life and is, therefore, \"permanent\".\n"
] |
Why is physics so goddamn confusing? An acceleration question. | I don't understand what problem you're asking about. It's very possible for a mathematical function to go from zero to nonzero without its derivative jumping to infinity, so if you're modeling velocity as a mathematical function there's no problem here. In addition, there's nothing special about zero velocity; if you do claim that an object has to go through discontinuous acceleration to get from zero to nonzero velocity, then you're also claiming it has to go through discontinuous acceleration to get between *any* two velocities.
Now, if space and time do happen to be discrete, then it's true that velocity and acceleration functions won't actually be continuous. But except on very small scales, they will LOOK continuous, which is all you need for newtonian physics to make sense. | [
"Proper acceleration (the acceleration 'felt' by the object being accelerated) is the rate of change of rapidity with respect to proper time (time as measured by the object undergoing acceleration itself). Therefore, the rapidity of an object in a given frame can be viewed simply as the velocity of that object as would be calculated non-relativistically by an inertial guidance system on board the object itself if it accelerated from rest in that frame to its given speed.\n",
"Accelerations in special relativity (SR) follow, as in Newtonian Mechanics, by differentiation of velocity with respect to time. Because of the Lorentz transformation and time dilation, the concepts of time and distance become more complex, which also leads to more complex definitions of \"acceleration\". SR as the theory of flat Minkowski spacetime remains valid in the presence of accelerations, because general relativity (GR) is only required when there is curvature of spacetime caused by the energy-momentum tensor (which is mainly determined by mass). However, since the amount of spacetime curvature is not particularly high on Earth or its vicinity, SR remains valid for most practical purposes, such as experiments in particle accelerators.\n",
"The accelerator effect fits the behavior of an economy best when either the economy is moving away from full employment or when it is already below that level of production. This is because high levels of aggregate demand hit against the limits set by the existing labour force, the existing stock of capital goods, the availability of natural resources, and the technical ability of an economy to convert inputs into products.\n",
"Unopposed acceleration due to mechanical forces, and consequentially g-force, is experienced whenever anyone rides in a vehicle because it always causes a proper acceleration, and (in the absence of gravity) also always a coordinate acceleration (where velocity changes). Whenever the vehicle changes either direction or speed, the occupants feel lateral (side to side) or longitudinal (forward and backwards) forces produced by the mechanical push of their seats.\n",
"In these books, although the word \"dynamics\" is used when acceleration is ascribed to a force, the word \"kinetics\" is never mentioned. However, clear exceptions exist. Prominent examples include \"The Feynman Lectures on Physics\".\n",
"Physical science is concerned only with mechanics. Therefore, it can be said that, in a collision, action and reaction are always opposite and equal. Such actions and forces, though, are only mathematical hypotheses. We only really know that the striking body loses motion and the struck body gains motion. We do not know if the motion is communicated from one body to another or if the motion is destroyed in the striker and is created in the struck. In the true nature of things, all bodies are passive. The truly active cause of motion is metaphysical and not the concern of physical science.\n",
"In an accelerating rocket after launch, or even in a rocket standing at the gantry, the proper acceleration is the acceleration felt by the occupants, and which is described as g-force (which is \"not\" a force but rather an acceleration; see that article for more discussion of proper acceleration) delivered by the vehicle only. The \"acceleration of gravity\" (\"force of gravity\") never contributes to proper acceleration in any circumstances, and thus the proper acceleration felt by observers standing on the ground is due to the mechanical force \"from the ground\", not due to the \"force\" or \"acceleration\" of gravity. If the ground is removed and the observer allowed to free-fall, the observer will experience coordinate acceleration, but no proper acceleration, and thus no g-force. Generally, objects in such a fall or generally any such ballistic path (also called inertial motion), including objects in orbit, experience no proper acceleration (neglecting small tidal accelerations for inertial paths in gravitational fields). This state is also known as \"zero gravity\" (\"zero-g\") or \"free-fall,\" and it produces a sensation of weightlessness.\n"
] |
My mom inherited a photo album which once belonged to a WW2 German soldier. Can anyone recognize any of these faces? (imgur link) | Ok! I think I have something
Hitler receives a briefing on the tactical situation in Poland from General List (with glasses). Behind Hitler are General Keitel and General Yodl (with forage cap) both of the Supreme Armed Forces HQ. Sept 1939.
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List?
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Keitel (back) and List?
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Keitel 2nd from right?
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Edit:
Keitel?
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"The album contains 116 photographs, all in black and white, almost all of them featuring German officers. It is believed to have been the property of Höcker because he appears in far more of the images than any other individual. On the title page underneath a picture of Höcker and Baer written is \"With the Commandant SS Stubaf. Baer, Auschwitz 21.6.44\", identifying Höcker as the owner of the album. He is also the only person in the album to appear alone in any of the images.\n",
"As of 2010, a photo album that an American soldier took from the Berghof, Hitler's vacation home, which catalogued artwork Hitler desired for the museum, was to be returned to Germany. Of the photo albums created for Hitler, 39 of them were discovered by American armed forces at Neuschwanstein, where they had been deposited for safekeeping in April 1945. These were used as evidence in the Nuremberg trials, and are now at the United States National Archives, with two others donated by Robert Edsel in 2007 and c.2013. Edsel is the author of the book \"The Monuments Men\" about the activities of the Allied Monuments, Fine Arts, and Archives program (MFAA), on which the film of the same name was loosely based, and also the founder of the Monuments Men Foundation for the Preservation of Art. He got the two albums from the heirs of an American soldier. Nineteen other albums recovered from Berchtesgaden were in Germany on permanent loan from the German Federal Archives (\"Bundesarchiv\") to the German Historical Museum as of 2010, and 11 albums are considered to be lost.\n",
"Photo albums were prepared for higher SS commanders after anti-partisan actions. Thus, Erich von dem Bach-Zelewski readily admitted to have possessed thousands of color photographs of the fight against partisans, photos which were confiscated after the war. After \"Operation Hermann\" in the summer of 1943, Curt von Gottberg requested appropriate pictures for an album on partisan fighting, to be handed to Himmler. Some months later, he was sent an album featuring photos from Operation Heinrich, which Bach-Zelewski had dedicated to Himmler by naming it after him. The rank and file behaved in a similar manner. Many German participants had a camera in their backpack during the operations. The respective pictures mostly show rather uncompromising scenes, but often also the burning of villages.\n",
"Guy Walters asserted categorically that the soldier in the picture was not Greasley, stating that the picture is held by the US National Archives and the caption details show it was taken in Minsk (in Belarus) in mid-1941, that it was taken by a photographer for a propaganda film and identifies the soldier as Soviet from his cap, and that the officers in the picture are the same officers who appear in the film with Himmler.\n",
"In response to the allegations, Tomaszewski and Tadeusz Mazur (one of the editors of \"1939–1945 We have not forgotten\") published another image from the same source in the Polish magazine \"Świat\" on 25 February. The second image depicted five armed men, one in civilian clothes and the other four in uniform, standing and looking at the camera over a pile of corpses. It bore several similarities to the better-known photograph, but lacked the \"dramatic impact\", according to Struk. The flat, barren terrain was identical; one of the men bore a strong resemblance to a soldier in the previous photograph; and the words \"Ukraine 1942\" had been written on the back of the image in the same handwriting. In the article, Tomaszewski described the DSZ as a supporter of the Third Reich and accused the paper of \"revisionism\".\n",
"It was only around 1995 that the record was finally corrected, when Greyeyes's daughter-in-law, Melanie Fahlman Reid, learned that the photo hung in the Canadian War Museum with the incorrect caption. Reid, who had discussed the photo personally with Greyeyes, provided a more accurate explanation of the photograph from her mother-in-law's recollection.\n",
"There are unconfirmed reports of photographs of this cabinet. The rooms and the furniture were allegedly seen in 1940 by two Wehrmacht officers during the Nazi Invasion of The Soviet Union, but even if that were true, the rooms and furniture seem to have vanished since then. This account is \"dodgy\" , \"sketchy\" , and \"dubious\" at the very best. The account says the Wehrmacht officers filed a report, but no report has ever been found, nor are any other records from anyone from before, during, or after the Second World War; other than the aforementioned legend. Also, the account says the rooms and furniture were seen in 1940, during the Nazi Invasion of The Soviet Union, but the invasion of The Soviet Union by Nazi Germany did not start in 1940, but on June 22, 1941. For this reason, historical experts challenge the veracity of such claims. But being as all of these stories did not even originate until some years after Catherine the Great's death, it is most likely the cabinet never existed, and the whole story was simply fabricated as another bawdy tale.\n"
] |
How much social mobility was there in the Late Roman Republic? What could a city dwelling plebeian do to improve his station? | The "average" urban inhabitant was an impoverished day laborer who live on the edge of starvation and was semi-homeless. In all likelihood he would die in the same condition he lived, probably relatively early due to the disease rampant in the more crowded parts of the city. He had no education, although he might have some functional literacy. He had next to no connections. If he was lucky enough to know a trade he might be decently well-off, but only a minority of the urban poor were skilled laborers of any kind. He owned no property of his own and he and his family (which might be quite large, given mortality in the city) lived essentially a hand-to-mouth existence daily--in short, it kind of sucked.
The older view of the urban poor as a parasitic "idler population" living on state largess has been thoroughly torn to shreds by this point. The urban plebs had to work to survive, and work quite hard. Day-laborers in the city either found work or did not--a day without work might be a day without food. State-subsidized grain, initially with a reduced price following the Gracchi and then for free following Clodius, maintained limits on the amount that could be collected per family, and though it might have been barely enough to feed an individual it wasn't close to sufficient for a family. The more regulated grain prices of the Augustan Period helped the urban poor to purchase additional grain on the market, but in the late Republic the price of grain was notorious for fluctuation, both by natural famine and artificial manipulation and market speculation. Further, free grain was only available during a brief period between Clodius' tribunate and Pompey's assumption of the *cura annonae*--under Augustus a further requirement, a hereditary token, was added and the state-subsidized grain became the hereditary privilege of a relative few. Besides grain (most day laborers could probably afford little else to eat on a regular basis) and the need to buy clothes, rents in the city were notoriously high. They were often paid daily, which might have been somewhat accommodating given the need to migrate through the city looking for work, but their high cost probably meant that for many laborers a day without work might have been a day without food or shelter. To pay for all this were wages, paid daily according to the ability to find work, at staggeringly low values. Cicero's comment of a denarius a day for even an unskilled slave is almost certainly inflated, but even if we take it for the norm it's depressingly low given what we know about the cost of food and rent--for a family, which might have multiple members unable to work but consuming resources, it might be devastating.
If this new opinion of the urban poor is rehabilitating in comparison to the "idler population" of the past, it also has serious repercussions when speaking of the involvement of the urban poor in politics and their social mobility. There's something of a debate about how "democratic" the Republic was, and central to it is how much the urban population, the vast majority of which was horribly poor, actually was involved and kept up. There's a great deal of evidence that suggests that no matter how much the urban poor might have *wanted* to be involved (a question which itself is debatable) a good chunk of it simply could not. A day listening to a *contio* might be a day's work missed, and with it an empty stomach. Those who missed work, we can be sure, might have found themselves able to participate--there are lots of propositions regarding what the work-less did on their off days. But ideally this didn't happen, at least not often or by choice. Besides this the urban poor was a rather impermanent population. Disease swept through the slums of the city, and *insulae* caught fire or collapsed constantly due to shoddy building techniques, more concerned with saving construction money than good workmanship. Seasonal laborers entered the city during the slow part of the agricultural year to make a quick buck or two at the monumental building projects or down at the Tiber warehouses--with them they brought new diseases and caught some that they had never been exposed to before. Even the "real" urban population was semi-migratory, since their constant search for work and daily rents probably forced many of them to move around periodically. The case has been plausibly made that those most capable of regular political participation were the so-called *plebs media*, those members of the urban poor who had skilled trades and possibly owned a little shop or business of their own. They were hardly well-off, but they were not so wretchedly poor as to be unable to leave their shop for a day for fear of starvation. We hear of fabulously wealthy freedmen like Trimalchio, mostly people who inherited some wealth from their former masters. Most freedmen were part of this *plebs media*, however--in fact, they may have dominated it. Our epigraphical evidence is problematic, but something like 60% of goldsmiths, to take a common example of city workmen present in inscriptions, are freedmen--of the other 40% nearly all are slaves. There are problems with assuming this is strictly representative, but it is certainly telling--the number of skilled freeborn laborers in our inscriptions is incredibly small, even given the general trend for freedmen to be more prevalent in epigraphic material than poor freeborns.
"Social mobility," no matter how we're defining it, was probably out of reach for most of the urban poor, barring a colonization project or the like. Contrary to what you suggest, military enlistment was rare in the city, most soldiers were country boys. For an unskilled laborer the chances of getting out of abject poverty were slim--with a skilled trade this was more likely. It's probably not *that* surprising that freedmen appear more common in skilled trades, since many freed slaves would have been trained in a trade while slaves, and had close ties with patrons that they could take advantage of to help start businesses--for most freeborn day-laborers, many of whom were coming into the city for the first time, such connections did not exist. Skilled workers, and therefore freedmen, were more likely to rise to minor or local magistracies--a Hadrianic inscription set up by nearly 300 *magistri vici* (the minor elected magistrates who oversaw the *vici*, or neighborhoods--their duties and power in the late Republic are uncertain, but under Augustus they were more or less just there to maintain local cults and little else) lists only 13% of its members as clearly freeborn. In the Augustan Period membership in the *vigiles* or other minor associations might be a good way to start moving up, although this was probably a dead end. More promising might be work as one of the attendants of a magistrate, the *apparitores*. The most famous of these were the lictors--this office was often held by ex-centurions, but *apparitores* included scribes and messengers and so forth, which were frequently freedmen but could also be of course freeborn, usually members of the *plebs media*. A patron's influence was often crucial--one famous inscription set up for a deceased freedman notes that this freedman's son was able to secure a military tribunate thanks to the help of their patron and his former master. Patrons generally had much closer ties to their former slaves, however, than to just any poor shit, and of the poor shits that weren't their slaves familiar faces like the butcher and other skilled laborers were more likely to receive help--who the hell remembers the poor day-laborer, a face in a sea of faces, who might not even be alive a week from now? From there there might be ways forward, although it might take years or generations--your children were more likely to get somewhere than you were | [
"The majority of the population under the jurisdiction of ancient Rome lived in the countryside in settlements with less than 10 thousand inhabitants. Landlords generally resided in cities and their estates were left in the care of farm managers. The plight of rural slaves was generally worse than their counterparts working in urban aristocratic households. To stimulate a higher labor productivity most landlords freed a large number of slaves and many received wages; but in some rural areas, poverty and overcrowding were extreme. Rural poverty stimulated the migration of population to urban centers until the early 2nd century when the urban population stopped growing and started to decline.\n",
"By the end of this era, Rome had become full of unemployed Plebeians. They then began filling the ranks of the assemblies, and the fact that they were no longer away from Rome made it easier for them to vote. In the principle legislative assembly, the Plebeian Council, any individual voted in the Tribe that his ancestors had belonged to. Thus, most of these newly unemployed Plebeians belonged to one of the thirty-one rural Tribes, rather than one of the four urban Tribes, and the unemployed Plebeians soon acquired so much political power that the Plebeian Council became highly populist. These Plebeians were often angry with the aristocracy, which further exacerbated the class tensions. Their economic state usually led them to vote for the candidate who offered the most for them, or at least for the candidate whose games or whose bribes were the most magnificent. The fact that they were usually uninformed as to the issues before them didn't matter, because they usually sold their votes to the highest bidder anyway. Bribery became such a problem that major reforms were ultimately passed, in particular the requirement that all votes be by secret ballot. A new culture of dependency was emerging, which would look to any populist leader for relief.\n",
"The great majority of the people ruled by Rome were engaged in agriculture. From a beginning of small, largely self-sufficient landowners, rural society became dominated by latifundium, large estates owned by the wealthy and utilizing mostly slave labor. The growth in the urban population, especially of the city of Rome, required the development of commercial markets and long-distance trade in agricultural products, especially grain, to supply the people in the cities with food.\n",
"The majority of the people of the Roman Empire were living in poverty, with an insignificant part of the population engaged in commerce being much poorer than the elite. The industrial output was minimal, due to the fact that the poor majority could not pay for the products. Technological advance was severely hampered by this fact. Urbanization in the western part of the empire was also minimal due to the poverty of the region. Slaves accounting for most of the means of industrial output, rather than technology.\n",
"The prior era saw great military successes, and great economic failures, while the patriotism of the Plebeians had kept them from seeking any new reforms. Now, however, the military situation had stabilized, and fewer soldiers were needed. This, in conjunction with the new slaves that were being imported from abroad, inflamed the unemployment situation further. The flood of unemployed citizens to Rome had made the assemblies quite populist, and thus had created an increasingly aggressive democracy. This new era began with the Tribunate of Gaius Gracchus, and ended when Julius Caesar crossed the Rubicon river.\n",
"Often, individuals whose towns had been conquered remained in those towns. Their daily lives and system of government remained the same, and they simply lost their independence to Rome. Other such individuals, however, came to Rome. To acquire legal and economic standing, these newcomers adopted a condition of dependency toward either a Patrician family, or toward the king (who himself was a Patrician). Eventually, the individuals who were dependents of the king were released from their state of dependency, and became the first Plebeians. As Rome grew, it needed more soldiers to continue its conquests. The non-Patricians belonged to the same Curia as did their patron, while the army at the time was organized on the basis of the Curia, and as such, these dependent individuals were required to fight in the army. However, when they were released from their dependency, they were released from their Curia. When this occurred, while they were no longer required to serve in the army, they also lost their political and economic standing. To bring these new Plebeians back into the army, the Patricians were forced to make concessions. While it is not known exactly what concessions were made, one result of these concessions was that the Plebeians acquired the right to own land, and thus now had a stake in the success of the city. However, they were not granted any political power, which set the stage for what history knows as the Conflict of the Orders.\n",
"Immigration was also a motivation for travel, particularly to large urban centers, including Rome itself. There were few restrictions (except in wartime) on the ability of individuals and families to migrate and subsequently settle in cities, and despite stratification, there was still some level of upward mobility in Roman society.\n"
] |
how will the james webb space telescope look for alien life? where will astronomers look first and what type of life might it detect? | So there are 2 ways we can observe planets:
1) When a planet passes between us and a distant star, the light dims. It also changes the color of the star's light. The difference in color and the amount of dimness tell us about the size of the planet and the chemical composition of it's light reflecting atmosphere (if it has on) and its surface.
2) Put a light shield between the telescope and the star. The point is to block out the star's light so it doesn't saturate the camera, even if it's a very distant star, and a mere point of light. This will allow the camera to resolve the light reflecting off the planets in its orbit. We can see these planets this way without them being directly between us and the star, and we should be able to see more light from them.
There's also a way to detect planets without seeing them, and that's to measure the wobble in a star's orbit, but this only really works with planets large enough to make a detectable wobble, so, gas giants.
If I were an astrophysicist looking for life - I'd look for atmospheric chemicals that are signs of life. There are organic compounds built from amino acids, methane, that comes from organic processes, but these might not be totally reliable. We have one example of life, and that's here on Earth. Life here is aerobic, it relies on oxygen, and plants produce it as a byproduct (life began here before we had an oxygen atmosphere as well). But the dead ringer about an oxygen atmosphere is that oxygen is chemically very reactive, so it would not exist in abundance in an atmosphere on its own, and would inevitably all react with its environment to make other compounds. If we find an oxygen rich atmosphere, the only way we know how that could happen is from life.
And that's it, our search for life is searching for life as we understand it. There may be other forms of life, like on our early Earth, but not likely. Life here is made of hydrogen, oxygen, nitrogen, and carbon. These also happen to be the 4 most abundant elements in the universe, aside from helium, which is chemically inert. They're also the 4 most chemically reactive - you can make more molecules out of carbon alone than you can make out of all the other elements combined. If life is going to form, it's likely going to do so using the most abundant, reactive materials around. Exotic forms of life formed out of rarer and more exotic elements aren't necessarily impossible, but unlikely. So we're looking for what we know. And if we spot something really weird, and we can't explain it any other way, maybe we just might consider the possibility of exotic life. | [
"Interstellar spacecraft may be detectable from hundreds to thousands of light-years away through various forms of radiation, such as the photons emitted by an antimatter rocket or cyclotron radiation from the interaction of a magnetic sail with the interstellar medium. Such a signal would be easily distinguishable from a natural signal and could hence firmly establish the existence of extraterrestrial life were it to be detected. In addition, smaller Bracewell probes within the Solar System itself may also be detectable by means of optical or radio searches.\n",
"The goal of these missions is not only to detect Earth-sized planets, but also to directly detect light from the planet so that it may be studied spectroscopically. By examining planetary spectra, it would be possible to determine the basic composition of an extrasolar planet's atmosphere and/or surface. Given this knowledge, it may be possible to assess the likelihood of life being found on that planet. A NASA research group, the Virtual Planet Laboratory, is using computer modeling to generate a wide variety of virtual planets to see what they would look like if viewed by TPF or Darwin. It is hoped that once these missions come online, their spectra can be cross-checked with these virtual planetary spectra for features that might indicate the presence of life.\n",
"Announced in July 2015, the project is observing for thousands of hours every year on two major radio telescopes, the Green Bank Observatory in West Virginia and the Parkes Observatory in Australia. Previously, only about 24 to 36 hours of telescope per year was used in the search for alien life. Furthermore, the Automated Planet Finder at Lick Observatory is searching for optical signals coming from laser transmissions. The massive data rates from the radio telescopes (24 GB/s at Green Bank) necessitated the construction of dedicated hardware at the telescopes to perform the bulk of the analysis. Some of the data are also analyzed by volunteers in the SETI@home distributed computing network. Founder of modern SETI Frank Drake is one of the scientists on the project's advisory committee.\n",
"To detect extraterrestrial civilizations with radio telescopes, one must identify an artificial, coherent signal against a background of various natural phenomena that also produce radio waves. Telescopes capable of this include the Arecibo Observatory in Puerto Rico, the Allen Telescope Array in Hat Creek, California and the new Five hundred meter Aperture Spherical Telescope in China. Various programs to detect extraterrestrial intelligence have had government funding in the past. Project Cyclops was commissioned by NASA in the 1970s to investigate the most effective way to search for signals from intelligent extraterrestrial sources, but the report's recommendations were set aside in favor of the much more modest approach of Messaging to Extra-Terrestrial Intelligence (METI), the sending of messages that intelligent extraterrestrial beings might intercept. NASA then drastically reduced funding for SETI programs, which have since turned to private donations to continue their search.\n",
"ESO's observing facilities have made astronomical discoveries and produced several astronomical catalogues. Its findings include the discovery of the most distant gamma-ray burst and evidence for a black hole at the centre of the Milky Way. In 2004, the VLT allowed astronomers to obtain the first picture of an extrasolar planet (2M1207b) orbiting a brown dwarf 173 light-years away. The High Accuracy Radial Velocity Planet Searcher (HARPS) instrument installed on the older ESO 3.6 m telescope led to the discovery of extrasolar planets, including Gliese 581c—one of the smallest planets seen outside the solar system.\n",
"Seager developed a parallel version of the Drake equation to estimate the number of habitable planets in the galaxy. Instead of aliens with radio technology, Seager has revised the Drake equation to focus on simply the presence of any alien life detectable from Earth. The equation focuses on the search for planets with biosignature gases, gases produced by life that can accumulate in a planet atmosphere to levels that can be detected with remote space telescopes.\n",
"Designed to survey a portion of Earth's region of the Milky Way to discover Earth-size exoplanets in or near habitable zones and estimate how many of the billions of stars in the Milky Way have such planets, Kepler's sole scientific instrument is a photometer that continually monitored the brightness of approximately 150,000 main sequence stars in a fixed field of view. These data are transmitted to Earth, then analyzed to detect periodic dimming caused by exoplanets that cross in front of their host star. Only planets whose orbits are seen edge-on from Earth can be detected. During its over nine and a half years of service, Kepler observed 530,506 stars and detected 2,662 planets.\n"
] |
What attempts have there been throughout recent history (most likely during genocides) to specifically erase the culture of a group? | Raphael Lemkin, the man who coined the term "genocide", defined it this way:
> Generally speaking, genocide does not necessarily mean the immediate destruction of a nation, except when accomplished by mass killings of all members of a nation. It is intended rather to signify a coordinated plan of different actions aiming at the destruction of essential foundations of the life of national groups, with the aim of annihilating the groups themselves. The objectives of such a plan would be the disintegration of the political and social institutions, of culture, language, national feelings, religion, and the economic existence of national groups, and the destruction of the personal security, liberty, health, dignity, and even the lives of the individuals belonging to such groups.
From this perspective, mass killings are an *instrument* of genocide, not the definition of it.
In any case, a case can be made that the treatment of native american groups by the US government qualifies. For the last several hundred years, one of the prevailing attitudes held by officials towards natives was the "kill the indian, save the man" ethos. In other words, initiatives focused on assimilating natives into mainstream US society, usually by abandoning previous cultural traditions. The Dawes Act of 1887, for example, granted the President the authority to divide reservation land into individually owned plots, trying to make native americans private citizens of contemporary US society rather than members of tribal organizations. For some groups, this disrupted traditions of communal living that had wide-ranging impacts on their way of life. This was one of a number of attempts to compel large, semi-sedentary native groups to become sedentary farmers and property owners.
Besides this, the Bureau of Indian Affairs regularly adopted policies to encourage the use of English and conversion to Christianity at the expense of indigenous traditions. | [
"Some scholars, among them Lemkin, have argued that cultural genocide, sometimes called ethnocide, should also be recognized. A people may continue to exist, but if they are prevented from perpetuating their group identity by prohibitions against cultural and religious practices that are the basis of that identity, this may also be considered a form of genocide. Examples include the treatment of Tibetans by the Government of China and Native Americans by the Federal government of the United States.\n",
"In April 2000, US Congressman Bob Filner spoke of a \"cultural genocide\", stressing that \"a way of life known as Kurdish is disappearing at an alarming rate\". Mark Levene suggests that the genocidal practices were not limited to cultural genocide, and that the events of the late 19th century continued until 1990.\n",
"As early as 2015, the Allard K. Lowenstein International Human Rights Clinic at Yale Law School found \"strong evidence that genocide is being committed against Rohingya.\" After eight months of analyzing whether the persecution of the Rohingya in Rakhine State satisfy the criteria for genocide, the study found that Burmese government with the help of extremist Buddhist monks were responsible for ethnic cleansing and genocide against the Rohingya.\n",
"This type of genocide has continued into the twentieth century, with the ongoing genocide of indigenous tribes in the rain forests of South America primarily due to industrial progress and the development of resources within their territories; as these regions are exploited for economic gain the indigenous peoples are considered a \"hindrance\" and are forcibly relocated or killed.\n",
"US Congressman Bob Filner spoke of a \"cultural genocide\", stressing that \"a way of life known as Kurdish is disappearing at an alarming rate\". Mark Levene suggests that the assimilation practices were not limited to cultural assimilation, and that the events of the late 19th century continued until 1990.\n",
"In many of the genocides practiced throughout history, some of them were based on ethnic supremacy. Ethnic supremacy is assumed by one group within a culture, following some distinct action by an external group or from one of the ethnic groups. With European intervention in places like Rwanda, social institutions worked to socially construct an ethnic inferiority, distinguishing the Hutus and Tutsis from one another and causing what would be one of the most horrific demonstrations of genocide in modern history.\n",
"The report of the International Commission of Jurists (1960) claimed that there was only \"cultural\" genocide. ICJ Report (1960) page 346: \"The committee found that acts of genocide had been committed in Tibet in an attempt to destroy the Tibetans as a religious group, and that such acts are acts of genocide independently of any conventional obligation. The committee did not find that there was sufficient proof of the destruction of Tibetans as a race, nation or ethnic group as such by methods that can be regarded as genocide in international law.\"\n"
] |
if everybody has dynamic ip addresses now, how do websites ban people? | Many people don't have dynamic IP's, and there are other ways to determine someone's identity, especially the average child who gets banned and wants back. Having said that, as you can see from the endless parade of "young" accounts in places like T_D, Politics, and anything with "New" in it... there are limits. A dedicated, informed, and slightly careful person who doesn't actually care about any one identity is essentially impossible to ban.
Most people don't want to make an endless stream of new accounts though, all while pretending to be different people. If they don't do that, then over time they're busted again and banned. In short, it can be hard for the average user to get what they want out of a site *and* be banned... even if they dodge that ban.
The problem is that if your only goal is spread a message by whatever means, spam ads, or just troll... then you don't care about any of that, do you? If that's your game, then bans are just the cost of doing business, you switch your IP (with a paid service) and roll a new account. You see a *lot* of that in any sub where politics is at play.
The thing is... *most* people using Reddit aren't just trolls (even tif they think they are) or shills... they want to interact with people, they want to be known, they want to express themselves. You can't do that under a ban on Reddit, and on a smaller site it's *much* easier to spot that NewGuy0001 sounds exactly like OldGuy1000, has the same views, etc.
| [
"Although IP addresses of government and business entities are easily added to a list of IP addresses to be blocked, there is no means for PeerGuardian to block access by a government or business using an undocumented IP address to identify people engaged in copyright infringement or other possibly unlawful activity.\n",
"Internet Service Providers are required to restrict access to addresses listed in the proposed registry. The legislation ignores the fact that the same IP address may in fact be used by several thousand sites (earlier that year some ISPs have already blocked such an IP address included in the Federal List of Extremist Materials).\n",
"In cases of banning traffic based on IP addresses, the system might block the traffic of a spamming user by banning the user's IP address. If that user happens to be behind carrier-grade NAT, other users sharing the same public address with the spammer will be mistakenly blocked. This can create serious problems for forum and wiki administrators attempting to address disruptive actions from a single user sharing an IP address with legitimate users.\n",
"Alternate accounts set up by people evading bans from websites are referred to as sockpuppets. Typically, if someone is caught evading a ban with a sockpuppet, the sockpuppet account is banned. If the original ban was temporary, it may be extended or even made permanent. Sometimes, the user's IP address may be banned as well so the user cannot access the site or create new accounts. Some sites may remove all but a few traces of the ban-evader. TV Tropes and Wikipedia, for example, may mass-delete any pages created by a ban-evader.\n",
"IP address blocking can be used to restrict access to or from a particular geographic area—for example, the syndication of content to a specific region. To achieve this, IP addresses are mapped to the countries they have been assigned to. This has been used for example to target Nigerian IP addresses due to the perception that all business originating from the country is fraudulent, thus making it extremely difficult for legitimate businesses based in the country to interact with their counterparts in the rest of the world. To make purchases abroad, Nigerians must rely on proxy servers to disguise the true origin of an Internet request.\n",
"BULLET::::- Internet Protocol (IP) address blocking: Access to a certain IP address is denied. If the target Web site is hosted in a shared hosting server, all websites on the same server will be blocked. This affects IP-based protocols such as HTTP, FTP and POP. A typical circumvention method is to find proxies that have access to the target websites, but proxies may be jammed or blocked, and some Web sites, such as Wikipedia (when editing), also block proxies. Some large websites such as Google have allocated additional IP addresses to circumvent the block, but later the block was extended to cover the new addresses. Due to challenges with geolocation, geo-blocking is normally implemented via IP address blocking.\n",
"On a website, an IP address block can prevent a disruptive address from access, though a warning and/or account block may be used first. Dynamic allocation of IP addresses by ISPs can complicate incoming IP address blocking, rendering it difficult to block a specific user without blocking many IP addresses (blocks of IP address ranges), thereby creating collateral damage.\n"
] |
Why was there no invasion by sea of the north of Germany? | While more can be said, I've previously discussed British plans for amphibious assaults during WWI in the following threads:
* [
I was listening to the podcast on the Battle of Jutland, and "..Land a million Russians north of Berlin, and boom..The War's over in a few weeks" caught my ear.](_URL_2_)
* [Why didn't the triple entente stage a naval invasion behind the western front in WW1?](_URL_3_)
* [Had the North Sea theatre been secured by the British, could the Entente have landed in Northern Germany in WW1?](_URL_0_)
* [Was landing soldiers behind enemy trench lines ever considered by either side on the Western Front during WWI?](_URL_1_) | [
"In the event of invasion, the Royal Navy would have sailed to the landing places, possibly taking several days. It is now known that the Germans planned to land on the southern coast of England; one reason for this site was that the narrow seas of the English Channel could be blocked with mines, submarines and torpedo boats. While German naval forces and the Luftwaffe could have extracted a high price from the Royal Navy, they could not have hoped to prevent interference with attempts to land a second wave of troops and supplies that would have been essential to German success—even if, by then, the Germans had captured a port essential for bringing in significant heavy equipment. In this scenario, British land forces would have faced the Germans on more equal terms than otherwise and it was only necessary to delay the German advance, preventing a collapse until the German land forces were, at least temporarily, isolated by the Royal Navy and then mounting a counterattack.\n",
"As the Epilogue points out, such an invasion would necessarily involve a German strategic gamble - since, after an initial confusion, the British Royal Navy could be expected to rally and regain its control of the North Sea. With that, the German invading force would be cut off from further supplies and would be dependent on what they could bring with them in the initial stage, plus whatever British resources they could capture. German success would depend on a swift exploitation of the element of surprise, breaking out of the initial landing area to quickly capture their main objective - \"the industrial heart of the [British] kingdom, the great northern and midland towns, with their teeming populations of peaceful wage earners\". The projected landing site at the Wash would place the Germans conveniently close to that industrial heartland. The plan does not include any direct attack on London (which would have necessitated a different and far more risky landing place). German hopes for a quick and decisive victory would hinge upon the loss of the industrial towns being so demoralizing to the British and dislocating to their economy that Britain would agree to sign a peace on terms favourable to Germany. Should the British prove persistent, obdurate and willing to engage in a long war (as they actually would in 1940) the German invading force, cut off from fresh supplies, might eventually end up in a dire situation.\n",
"Two of the ports used by the German light forces were heavily bombed by the Allied air forces. The larger German ships based in France, three destroyers from Bordeaux were defeated in a destroyer action well to the west of the main assault area. Larger problems were caused by U-boats and especially mines, but the U-boats were hunted down and the mines swept effectively enough to make the invasion a success.\n",
"The first two years of war saw the Royal Navy's battleships and battlecruisers regularly \"sweep\" the North Sea making sure that no German ships could get in or out. Only a few German surface ships that were already at sea, such as the famous light cruiser , were able to raid commerce. Even some of those that did manage to get out were hunted down by battlecruisers, as in the Battle of the Falklands, December 7, 1914. The results of sweeping actions in the North Sea were battles including the Heligoland Bight and Dogger Bank and German raids on the English coast, all of which were attempts by the Germans to lure out portions of the Grand Fleet in an attempt to defeat the Royal Navy in detail. On May 31, 1916, a further attempt to draw British ships into battle on German terms resulted in a clash of the battlefleets in the Battle of Jutland. The German fleet withdrew to port after two short encounters with the British fleet. Less than two months later, the Germans once again attempted to draw portions of the Grand Fleet into battle. The resulting Action of 19 August 1916 proved inconclusive. This reinforced German determination not to engage in a fleet to fleet battle.\n",
"The Germans had rapidly overwhelmed France and the Low Countries, leaving Britain to face the threat of invasion by sea. The German high command knew the difficulties of a seaborne attack and its impracticality while the Royal Navy controlled the English Channel and the North Sea. On 16 July, Adolf Hitler ordered the preparation of Operation Sea Lion as a potential amphibious and airborne assault on Britain, to follow once the Luftwaffe had air superiority over the UK. In September, RAF Bomber Command night raids disrupted the German preparation of converted barges, and the Luftwaffe's failure to overwhelm the RAF forced Hitler to postpone and eventually cancel Operation Sea Lion. Germany proved unable to sustain daylight raids, but their continued night-bombing operations on Britain became known as the Blitz.\n",
"This theory was based on the assumption that Great Britain would have to send its fleet into the North Sea to blockade the German ports (blockading Germany was the only way the Royal Navy could seriously harm Germany), where the German Navy could force a battle. However, due to Germany's geographic location, Great Britain could blockade Germany by closing the entrance to the North Sea in the English Channel and the area between Bergen and the Shetland Islands. Faced with this option a German Admiral commented, \"If the British do that, the role of our navy will be a sad one,\" correctly predicting the role the surface fleet would have during the First World War.\n",
"The seas around the German coastline were subject to very heavy allied attack during the final two years of the war, as the Royal Air Force sought to restrict German movement around their coasts by sowing thousands of air-dropped naval mines, thus delaying the production and training of new boats, disrupting coastal shipping and destroying several boats before they could become involved in the Battle of the Atlantic.\n"
] |
what was the quiet revolution in quebec? | "The Quiet Revolution, which is a term applied to the changes that took place in Quebec from the late 1950's to the late 60's, was a time of great change in the province. The politics and social life of Quebec had been dictated by the Provincial Premier Maurice Duplessis since the 1930's and in a sense it was a throw back to the conservative movement in Quebec when Laurier was trying to break the church, business, nationalistic hold on the province in the 1890's.
Quebec had developed slowly under Duplessis and the Union Nationale and at the cost of personal freedom and real progress. A pent up demand for change was released when Duplessis died in 1959 and this was signified by the election of a Liberal government in 1960. Suddenly government action seemed to be the answer to everything. Taking control of the hydro-electric power in the province, nationalising industry and services, legislating rights for the French Canadians, many of who were beginning to describe themselves as Quebecois rather then any type of Canadian.
The sixties were a period of increased government involvement in social affairs in many western countries and Canada was no exception but in Quebec the restless energy of change incorporated a revived feeling of nationalism which Duplessis had suppressed for a generation. Young French Canadiens were looking at who ran their province and the English Canadian control over business and decision making. The general revolutionary tendencies in other countries and societies during that era took on a nationalistic twist in Quebec and a new feeling of independence and empowerment developed.
As the Liberals pushed through their dynamic changes provincially, the Federal Government plugged along under Diefenbaker and then Pearson with no real dynamic emphasis on change. Some who joined the Liberal revolution such as Rene Leveque pushed hard for the taking control of events by the government and hence, in his mind, the Quebecois, but as he came o recognize the limitations of the power of the provincial government, his believes evolved towards new frontiers and the choice between additional change through the powers of the Federal Government or re-establishing the rules and division of powers between the feds and the provinces. This was the first step towards sovereignty association or separatism.
Most Quebecers and Canadians felt that something was happening in Quebec, changes that were hard to identify, shifts in attitudes and objectives and an arising new option for French Canadians to consider. The young were ultimately influenced by the quickening pace of social change around the world and, for some, their sharp turn to the left also included the option of violence.
The term quiet really refers to change that occurred that was not announced, not broadcast, not displayed or described. It referred to the acceptance by many Quebecers that there might be another way, one that challenged the status quo, demanded equal rights for the French language, recognition of the Quebecois as a unique nationality with unique needs and aspirations and above all one in which the French Canadians were true masters in their own province.
The progression of this political change would ultimately lead to violence as objectives were not meet, aspirations unfulfilled and demands no caved into. This would lead to one of the most tumultuous and fierce confrontations in Canada over the place of the French Canadians in Canada and ironically the two leading protagonists would both be French Canadian with Pierre
Trudeau defending Canadian Federalism and Rene Levesque fighting for an independent Quebec."
Source: _URL_0_ | [
"The Quiet Revolution (or \"Révolution tranquille\") began in Quebec when Jean Lesage became premier in 1960. It was, essentially, a peaceful nationalist movement to transform Quebec into a modern secular state. It was characterised by rapid secularization, the creation of a welfare state, and the transformation of the national identity among Francophone Quebecers (from \"Canadien français\" to the term \"Québécois\").\n",
"In the 1960s, what became known as the Quiet Revolution took place in Quebec, overthrowing the old establishment which centred on the Roman Catholic Archdiocese of Quebec and led to modernizing of the economy and society. Québécois nationalists demanded independence, and tensions rose until violence erupted during the 1970 October Crisis. John Saywell says, \"The two kidnappings and the murder of Pierre Laporte were the biggest domestic news stories in Canada's history\" In 1976 the Parti Québécois was elected to power in Quebec, with a nationalist vision that included securing French linguistic rights in the province and the pursuit of some form of sovereignty for Quebec. This culminated in the 1980 referendum in Quebec on the question of sovereignty-association, which was turned down by 59% of the voters.\n",
"The Quiet Revolution, also known as La \"révolution tranquille,\" spanned roughly from 1960-1970 in Quebec, Canada. The Revolution when Jean Lesage, leader of the Liberal party, was elected on June 22, 1960 winning 51% of the popular vote. The Liberal Party of Quebec's manifesto called for a number of important changes to modernise Quebec society after Maurice Duplessis's, and prior reigns, including the creation of a modern welfare state (including garaunteed education, healthcare and income support), the intervention by the state in the economy, an Office of the French Language, as well as several proposals that would go on to form the cornerstone of Quebec-Canada relations (inter-provincial conferences, a Minister for Provincial-Federal Affairs). The beginning of the Quiet Revolution also saw the birth of Women's Liberation Movement, Black Power Movement in Quebec along with the ever-increasing influence and power of both the trade union movement and the modern Quebec nationalist movement, heavily influenced by leftist ideology. Operation McGill included or connected with all of these movements.\n",
"The Quiet Revolution was a period of unbridled economic and social development in Québec and Canada and paralleled similar developments in the West in general. It was a byproduct of Canada's 20-year post-war expansion and Québéc's position as the leading province for more than a century before and after Confederation. It witnessed particular changes to the built environment and social structures of Montreal, Québéc's leading city. The Quiet Revolution also extended beyond Québec's borders by virtue of its influence on contemporary Canadian politics. During the same era of renewed Quebecois nationalism, French Canadians made great inroads into both the structure and direction of the federal government and national policy. Moreover, certain facets of the welfare state, as they developed in Québec in the 1960s, became nationalized by virtue of Québec's acceptance and promotion. This would include rural electrification and healthcare initiatives undertaken by Tommy Douglas in Saskatchewan twenty years earlier.\n",
"The Quiet Revolution () was a period of intense socio-political and socio-cultural change in the Canadian province of Québec, characterized by the effective secularization of government, the creation of a state-run welfare state (\"état-providence\"), and realignment of politics into federalist and sovereigntist (or separatist) factions and the eventual election of a pro-sovereignty provincial government in the 1976 election. The Quiet Revolution typically refers to the efforts made by the Liberal government of Jean Lesage (elected in 1960), and sometimes Robert Bourassa (elected in 1970 after the Union Nationale's Daniel Johnson in 1966), though given the profound effect of the changes, most provincial governments since the early 1960s have maintained an orientation based on core concepts developed and implemented in that era.\n",
"In 1970, the October Crisis (5 October – 28 December 1970) occurred in Canada, a brief revolution in the province of Québec, where the actions of the separatist \"Front de libération du Québec\" (FLQ; Front for the Liberation of Québec) featured the kidnap of James Cross, the British Trade Commissioner in Canada, and the killing of Pierre Laporte, the Quebec government minister. The political manifesto of the FLQ condemned English-Canadian imperialism in French Québec, and called for a separate \"Québecois\" socialist state. The Canadian government's harsh response included the suspension of civil liberties in Quebec, which compelled the FLQ leaders' flight to Socialist Cuba.\n",
"BULLET::::- In the Quebec general election, the ruling Union Nationale, led by Antonio Barrette, was defeated by the Quebec Liberal Party, led by Jean Lesage, beginning the \"Quiet Revolution\" in the historically conservative Canadian province.\n"
] |
so, murdering is pretty illegal. in times of war, why is it not illegal to kill an enemy soldier and why aren't there ramifications for it? is there a special set of laws in place when nations are at war? | Yes, there are certain international 'laws' and treaties that we use to regulate a war. The two most famous ones are the Hague Conventions of 1889 and 1907. In these treaties the participating nations outlined what is wrong (a war crime) during a war, and what is considered to be acceptable. They also tried to distinguish between combatants and noncombatants, i.e. soldiers and civilians. According to those treaties it is legal for combatants of either side to kill the other sides combatants. It is generally prohibited to harm/attack/kill civilians/noncombatans, even though we know that in recent times those rules were not followed.
Feel free to ask anything more. | [
"BULLET::::- Killing of enemy combatants who have not surrendered by lawful combatants, in accordance with lawful orders in war, is also generally not considered murder; although illicit killings within a war may constitute murder or homicidal war crimes. (see the Laws of war article)\n",
"Proper authority is what differentiates war from murder: \"It is the rules of warfare that give the practice meaning, that distinguish war from murder and soldiers from criminals\". A soldier is treated as a prisoner of war (POW) and not a criminal because they are operating under the proper authority of the state and cannot be held individually responsible for actions committed under the orders of their military leadership.\n",
"A death ruled as homicide or unlawful killing is typically referred to police or prosecutor or equivalent official for investigation and criminal charges if warranted. Deaths caused by capital punishment, though homicides, are generally assumed to be lawful and are not prosecuted. Most deaths due to war are not prosecuted, unless there is evidence of a war crime, in which case troops on foreign territory might be prosecuted by the military justice system, domestic law enforcement, or the International Criminal Court.\n",
"War crimes (a serious violation of the laws and customs of war giving rise to individual criminal responsibility) have been committed by both sides including civilian massacres, bombings of civilian targets, terrorism, use of torture and the murder of prisoners of war. Additional common crimes include theft, arson, and the destruction of property not warranted by military necessity.\n",
"BULLET::::- \"Inter arma enim silent leges\" : \"For among arms, the laws fall silent.\" A concept that during war, many illegal activities occur. Also taken to mean that in times of war, laws are suppressed, ostensibly for the good of the country.\n",
"The intentional killing of noncombatants is prohibited by modern laws of war derived from the UN Charter, the Hague Conventions and the Geneva Conventions, and constitutes a war crime. The Marines and officers were subject to possible courts martial under American military law, the Uniform Code of Military Justice.\n",
"BULLET::::- Justifiable homicide or privilege: Due to the circumstances, although a homicide occurs, the act of killing is not unlawful. For example, a killing on the battlefield during war is normally lawful, or a police officer may shoot a dangerous suspect in order to protect the officer's own life or the lives and safety of others.\n"
] |
Why is veiling a practice done today and in history almost entirely by women? Why isn't veiling done among men? | I'm not sure the premise of the question here is accurate for two reasons.
1) Veiling suggests a covering of the *face*. There is - to my knowledge anyway - no religion that mandates a full face covering. Even the examples you cite are not veils covering the face, but various forms of hair coverings (so hijab, "Christian veils", habits, etc.). While the niqab and the burqa both cover the face in some Islamic traditions, they are not a majority by any means, even among Muslims. But I'm going to assume that this is just an issue with terminology, which brings me to my second point:
2) There are several religions in which men are instructed to cover their heads for religious purposes. Two of the most famous would be Judaism (*Yarmulke* a.k.a. *kippah*) and Sikhism (*Dastar* a.ka. Turban). In both cases the wearing of a head covering is mandated by the religion itself for various reasons, but mostly as a sign of devotion to God. In fact, the term *yarmulke* even means "reverence to God" in ~~Hebrew~~ Yiddish, and the requirement is not limited to Jews alone. If you've ever been inside a synagogue - especially a conservative or orthodox one - you were very likely given a paper or simple cloth *kippah* to cover your head while inside the grounds/building. As for Sikhs, I know less about that religion, but as I understand it, baptized Sikhs are forbidden from cutting their hair, again as a sign of devotion to God, and are required to wear the Dastar as a sign of piety and devotion. I should note, as well, that among Catholic and some Orthodox clergy (so among men), a form of skullcap called a *Zucchetto* is also quite common, although whether its mandated or not, I couldn't say.
edit: words
edit 2: thanks for the correction u/alice-in-canada-land | [
"A veil is an article of clothing or hanging cloth that is intended to cover some part of the head or face, or an object of some significance. Veiling has a long history in European, Asian, and African societies. The practice has been prominent in different forms in Judaism, Christianity, and Islam. The practice of veiling is especially associated with women and sacred objects, though in some cultures it is men rather than women who are expected to wear a veil. Besides its enduring religious significance, veiling continues to play a role in some modern secular contexts, such as wedding customs.\n",
"Veiling did not originate with the advent of Islam. Statuettes depicting veiled priestesses precede all major Abrahamic religions (Christianity, Judaism, and Islam), dating back as far as 2500 BCE. Elite women in ancient Mesopotamia and in the Byzantine, Greek, and Persian empires wore the veil as a sign of respectability and high status. In ancient Mesopotamia, Assyria had explicit sumptuary laws detailing which women must veil and which women must not, depending upon the woman's class, rank, and occupation in society. Female slaves and prostitutes were forbidden to veil and faced harsh penalties if they did so. Veiling was thus not only a marker of aristocratic rank, but also served to \"differentiate between 'respectable' women and those who were publicly available\".\n",
"Facial veiling is not sanctioned in Hinduism, Jainism, Buddhism, and Sikhism but some sections of the society from the 1st century B.C. advocated the use of the veil for married women, which came to be known as ghoonghat. It has been both romanticized and criticized in religious and folk literature.\n",
"Although women were required to wear veils in many churches through at least the 19th century, the resurgence of the wedding veil as a symbol of the bride, and its use even when not required by the bride's religion, coincided with societal emphasis on women being modest and well-behaved.\n",
"A veil is a piece of sheer fabric that covers all or part of the face. For centuries women covered their hair, neck, ears, chin, and parts of the face with fabric. Each culture created elaborate head wraps for women and men using a shawl, headscarf, kerchief or veil. Very elaborate veiling practices are common in Islam, Africa and Eastern Europe. Women who don't cover their head on a regular basis, often use a veil in traditional wedding and funeral ceremonies.\n",
"The practice of veiling was borrowed from the elites of the Byzantine and Persian empires, where it was a symbol of respectability and high social status, during the Arab conquests of those empires. Reza Aslan argues that \"The veil was neither compulsory nor widely adopted until generations after Muhammad's death, when a large body of male scriptural and legal scholars began using their religious and political authority to regain the dominance they had lost in society as a result of the Prophet's egalitarian reforms\".\n",
"In Indian subcontinent, from 1st century B.C. societies advocated the use of the veil for married Hindu women which came to be known as Ghoonghat. Buddhists attempted to counter this growing practice around 3rd century CE. Rational opposition against veiling and seclusion from spirited ladies resulted in system not becoming popular for several centuries. Under the Medieval Islamic Mughal Empire, various aspects of veiling and seclusion of women was adopted, such as the concept of Purdah and Zenana, partly as an additional protection for women. Purdah became common in the 15th and 16th century, as both \"Vidyāpati\" and \"Chaitanya\" mention it. Sikhism was highly critical of all forms of strict veiling, Guru Amar Das condemned it and rejected seclusion and veiling of women, which saw decline of veiling among some classes during late medieval period.\n"
] |
hi, i'm not smart but i know how to read, can someone tell me why rockets/spaceships don't go straight up into space but instead curve ? and are they controlling that or does it happen naturally? | An orbit requires a large sideways velocity in order to avoid falling back to Earth. But air gets in the way of going that fast so they first get high then turn to the side to accelerate. They certainly control every aspect of that curved launch path. | [
"\"And then, once you get beyond a certain scale, you just can't make the plane big enough. When you drop...the rocket, you have the slight problem that you're not going the right direction. If you look at what Orbital Sciences did with Pegasus, they have a delta wing to do the turn maneuver but then you've got this big wing that's added a bunch of mass and you've able to mostly, but not entirely, convert your horizontal velocity into vertical velocity, or mostly vertical velocity, and the net is really not great.\"\n",
"BULLET::::- Rocket has always believed that \"just because you can't walk, doesn't mean you can't go wherever you want to go.\" A mechanical genius, Rocket built his own super-powered wheelchair to get around. He's the fastest on the scene, and his wit's is as quick as his wheels.\n",
"BULLET::::- \"Rockets\" do not seek a target, so are very difficult to aim in \"Edge of Chaos\" with its Newtonian physics. However you can fit far more rockets into a launcher than you can missiles, and rockets possess similar power and range. They are best for attacking very slow or stationary targets from long range.\n",
"It is often easier, because the pilot only has to run forward, but the pilot cannot see his wing until it is above him, where he has to check it in a very short time for correct inflation and untangled lines before the launch.\n",
"Payload is the muscle of the Space Mini-Con Team, but people often forget that he's considerably smarter than most other robots out there. He doesn't really let this get to him, however. In fact, it seems one of the few things that can wear down Payload's temper is his teammate Sky Blast. He considers the youth a close friend, but one whose impulsive, act-before-thinking nature can really grind his gears.\n",
"Rockets are the only currently practical means of reaching space. Conventional airplane engines cannot reach space due to the lack of oxygen. Rocket engines expel propellant to provide forward thrust that generates enough delta-v (change in velocity) to reach orbit.\n",
"Rockets are the oldest type and are mainly used when extremely high speeds or extremely high altitudes are needed. Due to the extreme, typically hypersonic, exhaust velocity and the necessity of oxidiser being carried on board, they consume propellant extremely quickly. For this reason, they are not practical for routine transportation.\n"
] |
Has anyone in the CIA faced legal consequences for MKUltra, or for covering up MKUltra? | Project MK-ULTRA was first exposed in 1975 by the Church Committee and Gerald Ford's Rockefeller Commission. It got a lot of bad press, coming on the heels of Watergate at a time when outrage over the executive branch and distrust of gov't officials was already widespread ([you can see the WashPo article for it here.](_URL_1_))
A guy named John Marks read this in the Rockefeller Commission report: “The drug program was part of a much larger CIA program to study possible means for controlling human behavior. Other studies explored the effects of radiation, electric-shock, psychology, psychiatry, sociology, and harassment substances." Marks filed a FOIA request for all the information the CIA had on behavior control but it turned out that post-1963/Watergate, then-CIA director Richard Helms ordered all MK-ULTRA evidence to be burned. Marks' FOIA request turned up the only documents that were spared from the purge- some retired records of the Budget and Fiscal Section of the CIA. These documents were overlooked when the Church Committee and the Rockefeller Commission asked for the documents previously. [Source.](_URL_3_)
So following Marks' FOIA requests there's [a spate of Congressional hearings](_URL_0_). Senator Edward Kennedy spearheaded these and they weren't more than a slap on the wrist for the CIA. Plus, it had already been over a decade since MK-ULTRA had ended, and most of the employees directly involved in it had either retired or moved on to other jobs. No employees involved with MK-ULTRA ever faced repercussions for the project. Every CIA official testifying before Congress in 1977 emphasized how they were merely there to provide helpful information about the actions of the generation of agency officials before their time. Even the senators conducting the questioning stated "It should be clear we are focusing on events that happened over 12 or as long as 25 years ago." So even in these hearings, there was a distinct sense that the testing had been finished, the agents responsible all shuttled off to different projects or different jobs altogether, and the climate had entirely changed.
Some people who had been unwitting experimentation subjects did sue the U.S. government, including Wayne Ritchie, who had a breakdown after a Christmas party back in 1957. MK-ULTRA agent Ike Feldman, in a sworn deposition, called Ritchie "a nitwit" who "had been given a full head and deserved to suffer". But even then, the court found [insufficient evidence that Ritchie was an unwitting subject at all](_URL_2_) (this goes to the difficulty of litigating cases in which you were never supposed to have known you were being experimented on in the first place.) It's also important to note that MK-ULTRA researchers specifically targeted vulnerable populations like criminals with drug abuse backgrounds (including people in prison) or johns spending a night with prostitutes (the CIA set up [safe houses](_URL_4_) with two-way mirrors to watch prostitutes engaging with these men, with the full knowledge that the men would already be in too compromising a situation to press charges).
The only Supreme Court case related to this, CIA v. Sims, grew out of Marks' FOIA requests. The case was about whether or not the CIA should release the names of university/hospital researchers funded through MK-ULTRA outreach-type programs (there were university researchers doing work on sleep deprivation and interrogation methods and isolation's effect on self-image). The Supreme Court ruled in favor of the CIA, saying that it wouldn't be able to uphold national security if it couldn't guarantee confidentiality of intelligence sources. [Or as Chief Justice Burger wrote it](_URL_5_), "We seriously doubt whether a potential intelligence source will rest assured knowing that judges, who had little or no background in the delicate business of intelligence gathering, will order his identity revealed only after examining the facts of the case." So if anything the only major case to grow out of the entire debacle of a project only reinforced the CIA's discretionary powers.
TL;DR: Yes, it was illegal, but it was super hard to hold anyone accountable. Mostly due to a deliberate efforts by the CIA. They failed in the MK-ULTRA experiments to figure out a way to productively induce amnesia in people, but they did a great job erasing their own records and effectively employing institutional amnesia. | [
"Project MKULTRA was a CIA program which involved, among other projects, research on the use of drugs in behavior modification. One of the most controversial cases arising from the program was the death of Dr. Frank Olson, a scientist who worked in the Special Operations Division of the U.S. Army Biological Center in Camp Detrick, Maryland. According to the Church Committee, as part of the MK-ULTRA experiments, Olson was given a dose of LSD without his knowledge, and eventually suffered a severe psychiatric response. The CIA sent him to New York to see one of their psychiatrists, who recommended that Olson be placed into a mental institution for recovery. While spending the evening in a hotel room with another CIA employee, Olson threw himself out his hotel room window, plunging to his death. Olson's family members have contested this account.\n",
"In 1974, the journalist Seymour Hersh exposed the CIA's illegal spying on U.S. citizens and how the CIA had conducted non-consensual drug experiments. His report started the lengthy process of bringing long-suppressed details about MK-Ultra to light. Project MKULTRA came to light in the spring of 1977 during a wide-ranging survey of the CIA's technical services division. John K. Vance, a member of the CIA inspector general's staff, discovered that the agency was running a research project that included administering LSD and other drugs to unwilling human subjects.\n",
"Project MKUltra was first brought to public attention in 1975 by the Church Committee of the United States Congress and Gerald Ford's United States President's Commission on CIA activities within the United States. Investigative efforts were hampered by the fact that CIA Director Richard Helms ordered all MKUltra files to be destroyed in 1973; the Church Committee and Rockefeller Commission investigations relied on the sworn testimony of direct participants and on the relatively small number of documents that survived Helms's destruction order. In 1977, a Freedom of Information Act request uncovered a cache of 20,000 documents relating to project MKUltra which led to Senate hearings later that year. Some surviving information regarding MKUltra was declassified in July 2001. In December 2018, declassified documents included a letter to an unidentified doctor discussing work on six dogs made to run, turn and stop via remote control and brain implants.\n",
"MKULTRA activities continued until 1973 when CIA director Richard Helms, fearing that they would be exposed to the public, ordered the project terminated, and all of the files destroyed. But, a clerical error had sent many of the documents to the wrong office, so when CIA workers were destroying the files, some of them remained. They were later released under a Freedom of Information Act request by investigative journalist John Marks. Many people in the American public were outraged when they learned of the experiments, and several congressional investigations took place, including the Church Committee and the Rockefeller Commission.\n",
"This theory was heavily investigated and researched by Republican Representative Curt Weldon, vice chairman of the House Armed Services and House Homeland Security committees. However, Defense Intelligence Agency leadership had already ordered the hurried destruction of mined data, source databases, charts and resultant documents on entirely spurious legal grounds. DIA also prevented key personnel from testifying to both the Senate Judiciary and Senate Intelligence Committees, though after numerous denials did admit the program's existence.\n",
"In 1973, amid a government-wide panic caused by Watergate, CIA Director Richard Helms ordered all MKUltra files destroyed. Pursuant to this order, most CIA documents regarding the project were destroyed, making a full investigation of MKUltra impossible. A cache of some 20,000 documents survived Helms' purge, as they had been incorrectly stored in a financial records building and were discovered following a FOIA request in 1977. These documents were fully investigated during the Senate Hearings of 1977.\n",
"Most MKUltra records were destroyed in 1973 by order of CIA director Richard Helms, so it has been difficult for investigators to gain a complete understanding of the more than 150 funded research subprojects sponsored by MKUltra and related CIA programs.\n"
] |
why do automotive engines idle around the same rpm regardless of number of cylinder count? | So the alternator can charge the battery. And you will have enough torque to move effectively. | [
"Idle speed (or idle) is the rotational speed an engine runs at when the engine is idling, that is when the engine is uncoupled from the drivetrain and the throttle pedal is not depressed. In combustion engines, idle speed is generally measured in revolutions per minute (rpm) of the crankshaft. At idle speed, the engine generates enough power to run reasonably smoothly and operate its ancillaries (water pump, alternator, and, if equipped, other accessories such as power steering), but usually not enough to perform useful work, such as moving an automobile.\n",
"A multiple-cylinder engine is also capable of delivering higher revolutions per minute (RPM) than a single-cylinder engine of equal displacement. This is true for two reasons. First of all, the stroke of the pistons is reduced. This decreases the distance necessary for a piston to travel back and forth per each rotation of the crankshaft, and thus limiting the piston speed for a given RPM. Secondly, in an engine with multiple cylinders, the piston mass is reduced. This reduces stress on internal components at higher RPM's. Typically, the more cylinders an engine has, the higher the RPM's it can attain for a given displacement and technology level, at a cost of increased friction losses and complexity. Peak torque is also reduced, but the total horsepower is increased due to the higher RPM's attained.\n",
"Engines that always run at a relatively high speed, such as race car engines, will have considerable overlap in their valve timings for maximum volumetric efficiency. Road car engines are different because they are required to idle at less than 1000rpm, and excessive valve overlap would make smooth idling impossible because of the mixing of fresh and exhaust gases. Variable valve timing can give both maximum power at high rpm and smooth idling at low rpm by making small changes to the relative angular position of the camshafts and thereby varying the valve overlap.\n",
"Some engines have variable valve timing. In such an engine, the ECU controls the time in the engine cycle at which the valves open. The valves are usually opened sooner at higher speed than at lower speed. This can increase the flow of air into the cylinder, increasing power and fuel economy.\n",
"A five-cylinder engine gets a power stroke every 144 degrees (720° ÷ 5 = 144°). Since due to camshaft timing each power stroke lasts approximately 120 degrees [ending when the exhaust valve opens], this means that there is a very short period of about 24 degrees when the crankshaft receives no torque. Because of uneven levels of torque during the expansion strokes divided among the five cylinders, there are increased second-order vibrations. At higher engine speeds, there is an uneven third-order vibration from the crankshaft which occurs every 144 degrees. Because the power strokes have less downtime, a five-cylinder engine may run more smoothly than a four-cylinder engine, but only at limited mid-range speeds where second and third-order vibrations are lower.\n",
"Multiple cylinder engines have their valve train and crankshaft configured so that pistons are at different parts of their cycle. It is desirable to have the piston's cycles uniformly spaced (this is called \"even firing\") especially in forced induction engines; this reduces torque pulsations and makes inline engines with more than 3 cylinders statically balanced in its primary forces. However, some engine configurations require odd firing to achieve better balance than what is possible with even firing. For instance, a 4-stroke I2 engine has better balance when the angle between the crankpins is 180° because the pistons move in opposite directions and inertial forces partially cancel, but this gives an odd firing pattern where one cylinder fires 180° of crankshaft rotation after the other, then no cylinder fires for 540°. With an even firing pattern, the pistons would move in unison and the associated forces would add.\n",
"Engines with hydraulic tappets (such as the Buick/Rover V8) often have in effect a rev limiter by virtue of their design. The tappet clearances are maintained by the flow of the engine's lubricating oil. At high engine speeds, the oil pressure rises to such an extent that the tappets 'pump up', causing valve float. This sharply reduces engine power, causing speed to drop.\n"
] |
why are there no huge animals? | Oxygen percentage in the atmosphere. When it was about twice as much as it is now, we had dinosaurs and insects as large as dogs. Give it a little higher percentage and who knows what could have roamed the earth | [
"A small bodied animal has a greater capacity to be more abundant than a large bodied one. Purely as a function of geometry many more small things can be packed into a given space than can large things into the same area. However, these limits are generally never reached in ecological systems as other resources become limiting long before the packing limits are reached. Additionally, smaller species may have many more ecological niches available to them and thus facilitating the diversification of life (Hutchinson and MacArthur, 1959).\n",
"Big animals are not very numerous but there are hundreds of reptile species, amphibians, and birds; lizards and a lot of varieties of fish in the currents. Bats and myriads of birds abound in the trees.\n",
"Since all extinct lemurs were larger than the ones that currently survive, and the remaining large forests still support large populations of smaller lemurs, large size appears to have conveyed some distinct disadvantages. Large-bodied animals require larger habitats in order to maintain viable populations, and are most strongly impacted by habitat loss and fragmentation. Large folivores typically have slower reproductive rates, live in smaller groups, and have low dispersal rates (vagility), making them especially vulnerable to habitat loss, hunting pressure, and possibly disease. Large, slow-moving animals are often easier to hunt and provide a larger amount of food than smaller prey. Leaf-eating, large-bodied slow climbers, and semiterrestrial seed predators and omnivores disappeared completely, suggesting an extinction pattern based on habitat use.\n",
"The animal's small size is reflected in its food choices. Due to its smaller mouth, body anatomy, and masseter muscle, it tends to concentrate on food items up to 3 cm in diameter, while larger species eat items up to 6 cm in diameter.\n",
"The fauna includes many endemic mammal species, most of which are now highly endangered because of deforestation. The most famous is the pygmy hippopotamus (\"Hexaprotodon liberiensis\"), whilst the royal antelope (\"Neotragus pygmaeus\") is one of the smallest hoofed mammals in the world and is remarkable for its ability to leap up to ten times its body size.\n",
"Fiorillo stated that this lack of food might explain \"Nanuqsaurus\"'s unusually small size, as a large animal cannot survive on scarce resources. However, it was also found that the normal length of \"Troodon\" increased by 50% in Alaska, although it was speculated this was caused by a larger eye size, leading to better competition. \"Nanuqsaurus\" likely shrunk in size because of the decrease in year-round food supply, caused by the colder temperatures.\n",
"Large animals include Southern White Rhino, oryx, Damara Zebra, tapir, camel, llama and Sumatran tigers; there are also smaller wild animals such as red panda, meerkat, wallaby and four species of lemur (Red Ruffed, Red Fronted, Red Bellied and Ring Tailed), and a variety of birds, principally ostrich, emu, rhea and guinea fowl.\n"
] |
how to companies benefit from letting you file your taxes for free | E-filing your taxes costs them basically nothing. So while you're doing your 1040EZ for free they can advertise their other services to you.
It's a good way to get your eyeballs on their site for a guaranteed 20-30 minutes. | [
"Individuals have the option of both free and paid tax software. Recently a feature from the IRS called FreeFile allows users to file their individual tax returns for free. It is also possible to go through an authorized efile company that files Form 1040 with a service charge. FreeFile is free, it's an easy step by step system for those who make less than $64,000 annually and a more task-heavy form of filing for those who make above $64,000. For those who make more than $64,000 a year, the FreeFile is not step-by-step but an actual Form 1040 that can be filled out, box by box, electronically.\n",
"Many Americans find the process of filling out the tax forms more onerous than paying the taxes themselves. Many companies offer free and paid options for reducing the tedious labor involved in preparing one's tax return.\n",
"The tax under consideration, as we have construed the statute, may be described as an excise upon the particular privilege of doing business in a corporate capacity, i. e., with the advantages which arise from corporate or quasi corporate organization; or, when applied to insurance companies, for doing the business of such companies. As was said in the Thomas Case, 192 U. S. supra, the requirement to pay such taxes involves the exercise of privileges, and the element of absolute and unavoidable demand is lacking. If business is not done in the manner described in the statute, no tax is payable.\n",
"Companies are tax-exempt for their first four years after making a profit, and then only charged 50% of their normal taxes for the next nine years after their exemption. Overall taxes for the area are 10% for the first 15 years of the city, and 25% after that. Imported materials used for software production are import-tax free so long as they can not yet be used domestically. Exported software products are export-tax exempt. A Value Added Tax is also waived for exported software and domestically consumed software.\n",
"Some states have licensing requirements for anyone who prepares tax returns for a fee and some for fee-based preparation of state tax returns only. The Free File Alliance provides free tax preparation software for individuals with less than $58,000 of adjusted gross income for tax year 2010. People who make more than $58,000 can use Free File Fillable Forms, electronic versions of U.S. Internal Revenue Service (IRS) paper forms.\n",
"Corporations (or other enterprises) may often be allowed to defer taxes, for example, by using accelerated depreciation. Profit taxes (or other taxes) are reduced in the current period by either lowering declared revenue now, or by increasing expenses. In principle, taxes in future periods should be higher.\n",
"Under a pure flat tax without deductions, every tax period a company would make a single payment to the government covering the taxes on the employees and the taxes on the company profit. For example, suppose that in a given year, a company called ACME earns a profit of 3 million, spends 2 million in wages, and spends 1 million on other expenses that under the tax law is taxable income to recipients, such as the receipt of stock options, bonuses, and certain executive privileges. Given a flat rate of 15%, ACME would then owe the U.S. Internal Revenue Service (IRS) (3M + 2M + 1M) × 0.15 = 900,000. This payment would, in one fell swoop, settle the tax liabilities of ACME's employees as well as the corporate taxes owed by ACME. Most employees throughout the economy would never need to interact with the IRS, as all tax owed on wages, interest, dividends, royalties, etc. would be withheld at the source. The main exceptions would be employees with incomes from personal ventures. The \"Economist\" claims that such a system would reduce the number of entities required to file returns from about 130 million individuals, households, and businesses, as at present, to a mere 8 million businesses and self-employed.\n"
] |
why do farts sometines feel like bubbles popping when they come out? | The gases that were initially roaming free and occupying the wider breadths of your intestines now have to squeeze into the narrow constriction of your sphincter. This pressurizes them akin to packing into a bubble, and as the sphincter relaxes and contracts that gives you your pop. | [
"Bubbles are generated when two distinct paths start and end at the same nodes. Normally bubbles are caused by errors or biological variants. These errors are removed using the Tour Bus algorithm, which is similar to a Dijkstra's algorithm, a breadth-first search that detects the best path to follow and determines which ones should be erased. A simple example is shown in figure 4.\n",
"Bubble is awoken by a newspaper which features an advert for a funfair. Bubble is intrigued and seems eager; but Squeek would rather work. However, Squeek quickly changes his mind when he sees a shining three-tone horn for grand prize. They can't get knock the coconut down, which is how they will get the horn. Until, a fortune-teller gives them another ball to knock it down, but that does not work. Ashamed and empty-handed, Bubble tries to kill himself, but Squeek diverts the gun and ends up destroying the funfair and the coconut, which makes them win the grand prize.\n",
"Dottles are generally considered troublesome because they lessen the time one may spend smoking a bowl. Dottles can also give a sour taste to the smoke as it is approached by the hot ember. If dottle is not promptly removed after smoking using a pipe tool, the pipe may eventually give a foul taste to any tobacco smoked in it. When this happens, pipe sweetening is required.\n",
"The bubble-popping gameplay is in the tradition of \"Puzzle Bobble\" and \"Bubble Bobble\". Players aim and fire colored bubbles into a field at the top of the screen; matching three bubbles pops them. Every level-up gets Bubbles closer to finding the poachers against obstacles such as swarming bees and bubble spawners.\n",
"Because bubble wrap makes a satisfying popping sound when compressed and ruptured, it is often used as a source of amusement. Acknowledging this alternative use, some websites provide a virtual bubble wrap program which displays a sheet of bubble wrap that users may pop by clicking on the bubbles, while the Mugen Puchipuchi is a compact electronic toy simulating bubble wrap popping.\n",
"Spread of dry bubble disease is associated with insect vectors. Mites and springtails get stuck on the dry bubbles because their movement becomes impeded by globules of spores stuck to their legs. These insects fly from mushroom cap to cap and spread the conidial \"L. fungicola\" spores, which are stuck to their legs from landing on infected mushroom caps.\n",
"\"Bubble Butt\" received mixed reviews from most critics. Some complimented its engaging sound and high energy, while others criticized its lyrical content and repetitious nature. \"Bubble Butt\" found some commercial success. It was Major Lazer's first commercial single to enter the \"Billboard\" Hot 100, peaking at number 56 while reaching number eight on the Dance Club Songs chart. It has topped the charts in Lebanon and South Korea, and has been certified gold by the Recording Industry Association of America (RIAA).\n"
] |
since we're all moving at very high speed in space caused by the 1.rotation and 2.revolution of our a.planet, b.solar system, c.galaxy, etc.. how do we know that our measurements of distance are accurate? | That's the basis of one of Einsteins biggest theories. The gist of it goes that all observations around you are based off of the Frame of reference you are in.
For example. Two astronauts are next to each other and use a jetpack to move away in opposite directions. To one astronaut it would seem that he is standing still and the other guy is moving away. To the other it would be the same thing but he would be standing still. For a third guy looking at both astronauts, the two would be moving away from eachother. It's literally all relative.
With time it gets a little trickier. Because as you go faster time begins to slow down. But it's the same general idea. If your moving fast enough, time would seem to go normally to you. But if someone was staying still relative to you, they would see you slowing down more and more the faster you go.
So for every human being on earth going basically the same speed. It really doesn't matter because most measurements are going to be the same. We actually have to consider this with satellites in space. They are moving much faster compared to us. So we have to compensate for their clocks going a tiny bit slower than us. | [
"The tangential speed of Earth's rotation at a point on Earth can be approximated by multiplying the speed at the equator by the cosine of the latitude. For example, the Kennedy Space Center is located at latitude 28.59° N, which yields a speed of: cos 28.59° × 1674.4 km/h = 1470.2 km/h.\n",
"Thus, for example, if we wonder how rapidly our galaxy is rotating, we can make a model of the galaxy in which its rotation plays a part. The rate of rotation in this model that makes the observations of (for example) the flatness of the galaxy agree best with physical laws as we know them is the best estimate of the rate of rotation \n",
"The Earth's rotational velocity is not constant over time. Any motion of mass in or on the Earth causes a slowdown or speedup of the rotation speed, or a change of rotation axis. Small motions produce changes too small to be measured, but movements of very large mass, like sea currents or tides, can produce discernible changes in the rotation and can change very precise astronomical observations. Global simulations of atmosphere, ocean, and land dynamics are used to create effective angular momentum (EAM) functions that can be used to predict changes in EOP.\n",
"The surface velocity due to the Earth's rotation is a maximum at the Equator and is equal to the circumference (pi × the diameter of the Earth) per 24 hours (or 3.14159 × 12,756 ÷ 24 = 1670 km/h = 1 equatorial velocity unit, EVU). The time of an Earth's rotation is inversely related to the angular velocity and the surface velocity (T = 1 day for 2 pi radians, or at the equator, 1 circumferential unit per 1 EVU = 40,075 km ÷ 1670 km/h ÷ 24 h/day = 1 day).\n",
"Note that assuming all rotations are on the same direction and \"Ω\"\"omega;\", as time passes, the angular momentum of the planet decreases and hence that of the satellite orbit increases. Due to its relation with the planet-satellite distance, the latter increases, so the angular velocity of the satellite orbit decreases.\n",
"The angular speed of Earth's rotation in inertial space is ± . Multiplying by (180°/π radians) × (86,400 seconds/day) yields , indicating that Earth rotates more than 360° relative to the fixed stars in one solar day. Earth's movement along its nearly circular orbit while it is rotating once around its axis requires that Earth rotate slightly more than once relative to the fixed stars before the mean Sun can pass overhead again, even though it rotates only once (360°) relative to the mean Sun. Multiplying the value in rad/s by Earth's equatorial radius of (WGS84 ellipsoid) (factors of 2π radians needed by both cancel) yields an equatorial speed of . Some sources state that Earth's equatorial speed is slightly less, or . This is obtained by dividing Earth's equatorial circumference by . However, the use of only one circumference unwittingly implies only one rotation in inertial space, so the corresponding time unit must be a sidereal hour. This is confirmed by multiplying by the number of sidereal days in one mean solar day, , which yields the equatorial speed in mean solar hours given above of .\n",
"Because of a planet's rotation around its own axis, the gravitational acceleration is less at the equator than at the poles. In the 17th century, following the invention of the pendulum clock, French scientists found that clocks sent to French Guiana, on the northern coast of South America, ran slower than their exact counterparts in Paris. Measurements of the acceleration due to gravity at the equator must also take into account the planet's rotation. Any object that is stationary with respect to the surface of the Earth is actually following a circular trajectory, circumnavigating the Earth's axis. Pulling an object into such a circular trajectory requires a force. The acceleration that is required to circumnavigate the Earth's axis along the equator at one revolution per sidereal day is 0.0339 m/s². Providing this acceleration decreases the effective gravitational acceleration. At the equator, the effective gravitational acceleration is 9.7805 m/s. This means that the true gravitational acceleration at the equator must be 9.8144 m/s (9.7805 + 0.0339 = 9.8144).\n"
] |
What did Eva Perón actually do for Argentina? | To some extent, I agree with your assessment. The praise lavished on her, going so far as to call her a saint, goes beyond the scope of her accomplishments. She didn’t end poverty in Argentina. She didn’t destroy inequality. She didn’t create an worker-centered economy that withstood the shocks of modernity. And she didn’t somehow prevent the period of state terror that rocked Argentina in the coming decades (how could she after all?).
However, I think the accomplishments you mentioned are still worthy of significant praise. First, one cannot understand Eva without contextualizing her position within the Peronist system. The recent historiography on the Peróns demonstrates that their system offered tangible financial and workplace benefits for the average person. The working classes were not manipulated by eloquent demagogues saying whatever the people wanted to hear; their followers had a lot more agency in this movement than is often acknowledged. The working classes adored Juan and Eva because they offered viable change for people that had previously been excluded from Argentine political discourses. As a central figure of this movement, she gained a massive following who regarded her in many ways as “one of them.” Her speeches captivated audiences and rocketed her to fame because the message of the Peróns was one that people wanted to hear. She died at the peak of her popularity, which in some ways allowed Juan to use her image as a symbol that transcended her legitimate legacy.
But when we examine her accomplishments from a historical perspective, Eva contributed some important changes beyond worker involvement that resonated throughout twentieth century Argentine society. Though not the only woman involved, she played a significant role in the women’s suffrage movement, helping to break down a culture heavily influenced by machismo. She was also one of the first Argentine women to take center stage in the political arena for which she was initially ridiculed. She formed the Partido Peronista Femenino, which eventually helped more women serve in Argentina’s congress than at any other time in Argentina’s history. She championed anti-discrimination laws that guaranteed equality of the sexes before the law and within marriages. Though women’s rights struggled following Perón’s downfall, these changes were adopted by later Argentine governments. She also worked to protect the rights of the elderly, who had largely been ignored by previous governments; this included writing equality into the Argentine constitution.
In terms of welfare, her foundation constructed dozens of hospitals, retirement homes, shelters, and schools around Argentina, distributed millions of charitable items each year to needy families, and found jobs for hundreds of thousands of unemployed workers in the provinces. Her foundation also provided free medical check-ups for over 300,000 needy children. According to Tomás Eloy Martínez in *Santa Evita*, “in the first six months of 1951, Evita gave away twenty-five thousand houses and almost three million packages containing medicine, furniture, clothing, and toys.” All of this in less than a decade before she passed away. The effects of this state welfare resonated in Argentine political culture throughout the twentieth century as the government struggled to strike an appropriate balance between free market economics and the welfare culture that Eva helped establish. It would be wrong to say that Eva was the sole contributor to this phenomenon, but she certainly contributed to a period whose effects still reverberate both positively and negatively.
In this light, it is hard to ignore her influence, especially in the area of women’s rights and political culture. And perhaps this illuminates a little bit the place of women’s history in our imaginations. How much should we value personal and political accomplishments in the historical narrative? What is the place of individuals and their complicated legacies when they don’t fit as well in our traditional definitions success and failure? | [
"In 1951, Eva Perón announced her candidacy for the Peronist nomination for the office of Vice President of Argentina, receiving great support from the Peronist political base, low-income and working-class Argentines who were referred to as \"descamisados\" or \"shirtless ones\". Opposition from the nation's military and bourgeoisie, coupled with her declining health, ultimately forced her to withdraw her candidacy. In 1952, shortly before her death from cancer at 33, Eva Perón was given the title of \"Spiritual Leader of the Nation\" by the Argentine Congress. She was given a state funeral upon her death, a prerogative generally reserved for heads of state.\n",
"The Eva Perón Foundation was a charitable foundation begun by Eva Perón, a prominent Argentine political leader, when she was the First Lady and Spiritual Leader of the Nation of Argentina. It operated from 1948 to 1955.\n",
"Perón returned from exile and became president in 1973. He appointed Anchorena ambassador in England, and instructed him to negotiate the repatriation of Rosas's body. Great Britain authorized it, and the Argentine Congress passed a resolution for this purpose. The repatriation was imminent, but the country began a period of turmoil: Perón died in 1974, his wife Isabel Perón could not keep the Dirty War under control (a conflict between left-wing guerrillas and right-wing anti-communist groups), and a new military coup, the National Reorganization Process, deposed Isabel Perón. It is unknown if the repatriation was paused by the military or by the committee.\n",
"Eva Perón was instrumental as a symbol of hope to the common laborer during the first five-year plan. When she died in 1952, the year of the presidential elections, the people felt they had lost an ally. Coming from humble origins, she was loathed by the elite but adored by the poor for her work with the sick, elderly, and orphans. It was due to her behind-the-scenes work that women's suffrage was granted in 1947 and a feminist wing of the 3rd party in Argentina was formed. Simultaneous to Perón's five-year plans, Evita supported a women's movement that concentrated on the rights of women, the poor and the disabled.\n",
"Eva Perón has become a part of international popular culture, most famously as the subject of the musical \"Evita\" (1976). Cristina Álvarez Rodríguez claims that Evita has never left the collective consciousness of Argentines. Cristina Fernández de Kirchner, the first woman elected President of Argentina, claims that women of her generation owe a debt to Eva for \"her example of passion and combativeness\".\n",
"Upon moving in with Perón, Eva is introduced to high society only to be met with disdain from the upper classes and the Argentine Army (\"Perón's Latest Flame\"). In 1946, after launching his presidential bid, Perón discusses his chances of winning the election with Eva. After reassuring him of their chances of winning, Eva organises rallies for the \"descamisados\" and gives them hope for a better future while Perón and his allies plot to dispose of anyone who stands in their way (\"A New Argentina\").\n",
"Perón returned to Argentina from Spain in 1973 after his candidate Héctor Cámpora of the Justicialist Party was elected as president. Perón was widely understood to be the real power in the country, and the next year was elected as president after Campora stepped aside for him. His third wife, Isabel Perón, was elected as his vice-president. His death in 1974 raised uncertainty and political tensions. Isabel Peron succeeded him, becoming the first woman president in the Western Hemisphere. During the political unrest that year, Timerman received bomb threats by the Argentine Anti-Communist Alliance (also called the Triple A).\n"
] |
In the High Middle Ages, what sort of unarmed combat training did knights receive? | I actually do some of this!* It's a lot of grappling and what is best compared to judo. You train mostly out of armor, but most of it translates very well to armored combat too. The only differences between armored and unarmored are the places you can hit and your center gravity. Punching someone in plate isn't going to accomplish much, the most you can hope for is to put them off balance (which very important actually.) That, in armor you need almost squat, since you'll be wearing so much more weight up high.
It's 2am thanksgiving where I am, but I'll try and edit in some links later.
[Grappling]( _URL_0_ )
[Illustrations from Talhoffer's second treatise]( _URL_1_)
*not very well, but still. | [
"In peacetime, knights often demonstrated their martial skills in tournaments, which usually took place on the grounds of a castle. Knights can parade their armour and banner to the whole court as the tournament commenced. Medieval tournaments were made up of martial sports called \"hastiludes\", and were not only a major spectator sport but also played as a real combat simulation. It usually ended with many knights either injured or even killed. One contest was a free-for-all battle called a \"melee\", where large groups of knights numbering hundreds assembled and fought one another, and the last knight standing was the winner. The most popular and romanticized contest for knights was the \"joust\". In this competition, two knights charge each other with blunt wooden lances in an effort to break their lance on the opponent's head or body or unhorse them completely. The loser in these tournaments had to turn his armour and horse over to the victor. The last day was filled with feasting, dancing and minstrel singing.\n",
"Knights were expected, above all, to fight bravely and to display military professionalism and courtesy. When knights were taken as prisoners of war, they were customarily held for ransom in somewhat comfortable surroundings. This same standard of conduct did not apply to non-knights (archers, peasants, foot-soldiers, etc.) who were often slaughtered after capture, and who were viewed during battle as mere impediments to knights' getting to other knights to fight them.\n",
"The martial skills of the knight carried over to the practice of the hunt, and hunting expertise became an important aspect of courtly life in the later medieval period (see terms of venery). Related to chivalry was the practice of heraldry and its elaborate rules of displaying coats of arms as it emerged in the High Middle Ages.\n",
"The bulk of the fighting force was made up of knights and sergeants. Knights, who usually came from the nobility, were the most prestigious and wore the white mantle and red cross over their armour, carried knightly weapons, rode horses and had the services of a squire. Sergeants filled other roles such as blacksmith or mason as well as fighting in battle. There were also squires who performed the task of caring for the horses.\n",
"But knights remained the minority of total available combat forces; the expense of arms, armour, and horses was only affordable to a select few. While mounted men-at-arms focused on a narrow combat role of shock combat, medieval armies relied on a large variety of foot troops to fulfill all the rest (skirmishing, flank guards, scouting, holding ground, etc.). Medieval chroniclers tended to pay undue attention to the knights at the expense of the common soldiers, which led early students of military history to suppose that heavy cavalry was the only force that mattered on medieval European battlefields. But well-trained and disciplined infantry could defeat knights.\n",
"For most of the Middle Ages, warfare and society were dominated by the cavalry (horse-mounted soldiers), composed of individual knights. Knights were generally drawn from the aristocracy, while the infantry levies were raised from commoners. This situation slowed the advance of infantry tactics and weapon technologies; those that were developed by the end of the Middle Ages included the use of long spears or halberds to counter the long reach of knights' lances, and the increased use of ranged weaponry to counter the cavalry's advantages of momentum, speed, height, and reach. However, from 1350 onwards the knights themselves usually dismounted for battle, becoming super-heavy infantry themselves, as a countermeasure to development of massed archery tactics which would bring their horses down. This led to development of combined arms tactics of archery and dismounted knights.\n",
"The Knights' ritual worked three degrees, based on the history of the Crusades: the first degree accented the pilgrim and taught the candidate fidelity to God and man; the second degree used the medieval knight as its role model to teach the member to revere religion, fidelity, valor, charity, courtesy and hospitality; the third degree was based on the figure of the crusader and it \"equipped the member against the evil of his enemies.\" Members of the Ladies of the Golden Eagle took one degree, the Temple Degree, upon being initiated. Oaths are sworn on an open Bible.\n"
] |
what is the difference between casualty and property insurance? | Casualty is for people and property is for items? | [
"Casualty insurance insures against accidents, not necessarily tied to any specific property. It is a broad spectrum of insurance that a number of other types of insurance could be classified, such as auto, workers compensation, and some liability insurances.\n",
"Casualty insurance is mainly liability coverage of an individual or organization for negligent acts or omissions. However, the term has also been used for property insurance, aviation insurance, boiler and machinery insurance, and glass and crime insurance. It may include marine insurance for shipwrecks or losses at sea, fidelity and surety insurance, earthquake insurance, political risk insurance, terrorism insurance, fidelity and surety bonds.\n",
"One of the most common kinds of casualty insurance today is automobile insurance. In its most basic form, automobile insurance provides liability coverage in the event that a driver is found \"at fault\" in an accident. This can cover medical expenses of individuals involved in the accident as well as restitution or repair of damaged property, all of which would fall into the realm of casualty insurance coverage.\n",
"Property and casualty insurance agents sell insurance policies that protect individuals and businesses from financial loss resulting from automobile accidents, fire, theft, storms, and other events that can damage property. For businesses, property and casualty insurance can also cover injured Workers Compensation Insurance, product liability claims, or medical malpractice claims.\n",
"A casualty loss is a type of tax loss that is a sudden, unexpected, or unusual event. Damage or loss resulting from progressive deterioration of property through a steadily operating cause would not be a casualty loss. “Other casualty” are events similar to “fire, storm, or shipwreck.” It is generally held that wherever force is applied to property which the owner-taxpayer is either unaware of because of the hidden nature of such application or is powerless to act to prevent the same because of the suddenness thereof or some other disability and damage results.\n",
"Property and casualty insurance companies tend to specialize because of the complexity and diversity of risks. One division is to organize around personal and commercial lines of insurance. Personal lines of insurance are for individuals and include fire, auto, homeowners, theft and umbrella coverages. Commercial lines address the insurance needs of businesses and include property, business continuation, product liability, fleet/commercial vehicle, workers compensation, fidelity & surety, and D&O insurance. The insurance industry also provides coverage for exposures such as catastrophe, weather-related risks, earthquakes, patent infringement and other forms of corporate espionage, terrorism, and \"one-of-a-kind\" (e.g., satellite launch). Actuarial science provides data collection, measurement, estimating, forecasting, and valuation tools to provide financial and underwriting data for management to assess marketing opportunities and the nature of the risks. Actuarial science often helps to assess the overall risk from catastrophic events in relation to its underwriting capacity or surplus.\n",
"Property insurance provides protection against risks to property, such as fire, theft or weather damage. This may include specialized forms of insurance such as fire insurance, flood insurance, earthquake insurance, home insurance, inland marine insurance or boiler insurance.\n"
] |
can fighter aircraft detect when they’ve been “locked on” like in the movies, if they can, how do they know? | Yes, it's absolutely possible for a fighter craft to know it's been locked onto.
In order to home in on something, you have to know where it is, and one way to know where things are is to use *radar* -- that is, send out a beam of radio waves that bounces off of objects and comes back to the transmitter, painting a picture of what's around it. A radar system has to scan the entire sky, so the number of times the radar track hits a target aircraft in a minute is relatively low.
When a radar system sees something it wants, it turns on a different radar that scans much more quickly to provide more accurate tracking data to the missile. Aircraft can determine how quickly they're being painted by radar; if they're being painted very rapidly, that probably means a radar-tracking missile has acquired them.
There are other types of missile guidance that are harder to detect; heat-seeking missiles, for example, don't rely on signals bounced off the target, so an aircraft can't know one's on its tail. | [
"Just prior to World War II, Royal Air Force tests with the new Chain Home (CH) radars had demonstrated that relaying information to the fighter aircraft directly from the radar sites was not feasible. The radars determined the map coordinates of the enemy, but could generally not see the fighters at the same time. This meant the fighters had to be able to determine where to fly to perform an interception but were often unaware of their own exact location and unable to calculate an interception while also flying their aircraft.\n",
"The Board is unable to determine why each crew failed to see and avoid the other aircraft; however, the Board believes that the ability of both crews to detect the other aircraft in time to avoid a collision was reduced because of the position of the sun, the closure angle of the aircraft,\n",
"When they find one or more potential targets they will alert the pilot(s) and display the location of each target relative to the aircraft on a screen, much like a radar. Again similarly to the way a radar works, the operator can tell the IRST to track a particular target of interest, once it has been identified, or scan in a particular direction if a target is believed to be there (for example, because of an advisory from AWACS or another aircraft).\n",
"A high-flying aircraft can be detected by defense systems at long range, giving an air defense system time to react, alerting SAM and AAA missile systems and fighter aircraft. Using NOE flight, the approach may be undetected; the aircraft \"pops up\" to attack the target and then turns to escape before the enemy can respond. Doppler radar has the potential to detect NOE flight, but the incoming aircraft has to be within radar range in the first place, and low flight minimizes this possibility by using hills and mountains to break the line of sight (terrain masking), defeating terrestrial air defense radar and in rough enough terrain also airborne early warning.\n",
"A more serious problem is that the seeker cannot tell the difference between a signal reflecting off the aircraft and one reflecting off other objects. This is not a major problem in one-on-one combat at high altitudes, but if the missile is shot at a target below the launch aircraft, it will eventually approach a point where it can no longer distinguish between the reflections from the aircraft and the ground around it. Additionally, the target aircraft can release random pulses of signal that will have the same effect, confusing the seeker which sees both the reflected signal and the ones from the jammer with no way to distinguish them.\n",
"Most military combat aircraft have an angle of attack indicator among the pilot's instruments, which lets the pilot know precisely how close to the stall point the aircraft is. Modern airliner instrumentation may also measure angle of attack, although this information may not be directly displayed on the pilot's display, instead driving a stall warning indicator or giving performance information to the flight computer (for fly by wire systems).\n",
"When the radar is on, the target cue will light up in the HUD (looking out front) where the enemy aircraft is located on the screen for a brief moment, immediately after looking out left, right or rear angles. This gives a clue where the enemy is, and the player can use this advantage to track where the target is effectively no matter the enemy is on his left, right or from behind. This appears in the DOS version, but it is not known whether it also happens in any other version.\n"
] |
Did flightless birds like ostriches evolve from surviving Dromaesaurs or flying birds? | There was a great article in National Geographic from May of this year that explains this. [Here it is.](_URL_0_)
Here is the basic answer though: all flightless birds likely trace their ancestry back to a flying relative. They likely began in the southern section of Pangea and when that broke up they were dispersed and each land-locked group evolved in place. | [
"As only tentative inferences can be made about the habits of \"Eremopezus\", it is not clear why it became extinct. Still, nothing even remotely resembling a possible descendant is known or inferred, making it rather likely that its lineage did not progress very far. It is sometimes believed that flightless birds cannot compete with carnivorous mammals, but the Phorusrhacidae prove that even carnivorous flightless birds can very well thrive in the presence of mammalian competitors. However, the rather comprehensive ecological data indicates that habitat in the Faiyum region changed at the start of the Oligocene: for some time, savanna dominated by true grasses (Poaceae) and shrubland seem to have displaced the swamp forest to a considerable extent, creating a habitat similar to that found at the less humid regions along the lower Sénégal River. When the forest expanded again, different mammals—an abundance of monkeys but far fewer of the huge Pliohyracidae hyraxes—inhabited it. In general, the emerging picture is one of an economic upheaval that lasted for perhaps 10 million years, and during which the Paleogene ecosystem at Faiyum with its numerous now-extinct lineages gave way to a more modern one, inhabited by the ancestors of animals that live in tropical Africa today. If \"Eremopezus\" was indeed a swamp forest bird, it may well have succumbed to this change. In that respect, it is notable that the \"African\" fauna found in Europe was replaced by animals originating in Asia starting at about the same time.\n",
"Turner and colleagues interpreted the presence of feathers on \"Velociraptor\" as evidence against the idea that the larger, flightless maniraptorans lost their feathers secondarily due to larger body size. Furthermore, they noted that quill knobs are almost never found in flightless bird species today, and that their presence in \"Velociraptor\" (presumed to have been flightless due to its relatively large size and short forelimbs) is evidence that the ancestors of dromaeosaurids could fly, making \"Velociraptor\" and other large members of this family secondarily flightless, though it is possible the large wing feathers inferred in the ancestors of \"Velociraptor\" had a purpose other than flight. The feathers of the flightless \"Velociraptor\" may have been used for display, for covering their nests while brooding, or for added speed and thrust when running up inclined slopes.\n",
"The genus \"Sylviornis\", a huge prehistorically extinct species of New Caledonia, was flightless, but as opposed to most other flightless birds like ratites or island rails which become flightless due to arrested development of their flight apparatus and subsequently evolve to larger size, \"Sylviornis\" seems to have become flightless simply due to its bulk, with the wing reduction following a consequence, not the reason for its flightlessness.\n",
"Though some forms like \"Paracrax wetmorei\" might have been capable of flight, most taxa were flightless, constituting examples of flightless birds in mammal dominated environments. \"Paracrax gigantea\", \"Paracrax antiqua\" and the larger \"Bathornis\" species in particular might have occupied macropredatory niches akin to that of phorusrhacids, the former and later reaching heights of over \n",
"Large, flightless birds genetically-engineered as replacements for horses, which are now entirely extinct in the world of Nausicäa. They are commonly used as beasts-of-burden and as riding animals. They were the inspiration from Hironobu Sakaguchi for the making of chocobos.\"\n",
"Large flightless birds have been found in late Paleocene deposits, including the omnivorous \"Gastornis\" in Europe and carnivorous terror birds in South America, the latter of which survived until the Pleistocene.\n",
"The ostriches are flightless birds native to Africa, and are the largest living species of bird. They are distinctive in their appearance, with a long neck and legs and the ability to run at high speeds.\n"
] |
After decolonization in Africa why did so many nations keep the native language of their colonizers as their official language rather than returning to their historic, local languages? | The borders you see today are not necessarily drawn based off which group of people live where. But more remnants of colonial administrative districts. Two different peoples speaking two different languages will fall back on the common one, regardless of its origins. Therefore the use of ex-colonial languages.
_URL_1_
Notice the similarities? Ethiopia, Somalia, Cameroon, Angola, The Congo, Sudan and a number of coastal west african nations are basically the same as they were drawn by the colonists. Here specifically the 1914 partitions.
Here is a very detailed ethno-linguistic map with which you can zoom in on, compare it with the borders drawn in 1914, and those present on the map, or a modern one.
_URL_0_
Even the "uniform" Green section denoting Guinean languages is fractured as each colour represents a language group, rather than a language. There is no guarantee of decent intelligibility between two languages. People speak english, French, etc because it the administrative language before independence and it was the only one with which they could seriously communicate between ethnic groups that spoke different languages.
This is somewhat of a generalization however because recent changes in borders are changing the trend. For example, in this old map, the Sudan is a single country. The country split into two in 2011. As you can see, the southern part of Sudan which split was dominated by a different ethno-linguistic group than the North.
EDIT: Added a map, elaborated a little. | [
"After gaining independence, many African countries, in the search for national unity, selected one language, generally the former colonial language, to be used in government and education. However, in recent years, African countries have become increasingly supportive of maintaining linguistic diversity. Language policies that are being developed nowadays are mostly aimed at multilingualism.\n",
"Following the end of colonialism, nearly all African countries adopted official languages that originated outside the continent, although several countries also granted legal recognition to indigenous languages (such as Swahili, Yoruba, Igbo and Hausa). In numerous countries, English and French (\"see African French\") are used for communication in the public sphere such as government, commerce, education and the media. Arabic, Portuguese, Afrikaans and Spanish are examples of languages that trace their origin to outside of Africa, and that are used by millions of Africans today, both in the public and private spheres. Italian is spoken by some in former Italian colonies in Africa. German is spoken in Namibia, as it was a former German protectorate.\n",
"These languages often have colonial traces and \"were once imposed by a colonial power and after independence continued to be used in politics, administration, law, big business, technology and higher education\".\n",
"Little or nothing is being done to give native languages the status they deserve as vital tools for the preservation and dissemination of indigenous knowledge while, at the same time, continuing to use the languages of the former colonial powers - English, French and Portuguese - out of necessity. It is as if native languages are irrelevant to the wellbeing of Africans, reinforcing the attitude that nothing good comes out of Africa except minerals and other natural resources. And nothing good, not even indigenous knowledge and institutions, ever came from Africans except labour, especially manual labour.\n",
"Indigenous decolonization, however, is not merely psychological accommodation to occupation or colonialism. It may also incorporate a realization or consciousness that bondage still exists today. Although a nation-state's political independence from a European state may have played itself out on a limited \"battlefield,\" so-to-speak, true independence from foreign occupation has not yet occurred. Prime examples of this are the settler societies of the Americas, Australia, and New Zealand. Here direct control by British and Iberian nations respectively have ceased, yet the Anglo and Iberian descendants' political, social, moral, economic, and even racist taxonomy still exist and dominates over the true indigenous populations. Indigenous Decolonization in real-time physical terms would also mean either an expulsion or exodus of the continuing forces that occupy the indigenous territory or a complete and total elimination of the bondage that exists.\n",
"As for East Africa, extensive British settlements were established in what are now Kenya, Uganda, Tanzania, Malawi, Zambia and Zimbabwe, where English became a crucial language of the government, education and the law. From the early 1960s, the six countries achieved independence in succession; but English remained the official language and had large numbers of second language speakers in Uganda, Zambia, Zimbabwe and Malawi (along with Chewa).\n",
"During the imperial and colonial era, powerful nations extended their influence outside their homeland and this resulted in many colonized nations ceasing to be self-governing and have since been described as stateless nations. Some nations have been victims of \"carve out\" and their homeland was divided among several countries. Even today the colonial boundaries form modern national boundaries. These often differ from cultural boundaries. This results in situations where people of the same language or culture are divided by national borders, for example New Guinea splits as West Papua (former Dutch colony) and Papua New Guinea (former British colony). During decolonization, the colonial powers imposed a unified state structure irrespective of the ethnic differences and granted independence to their colonies as a multinational state. This led to successor states with many minority ethnic groups in them, which increased the potential for ethnic conflicts. Some of these minoritiy groups campaigned for self-determination. Stateless nations were not protected in all countries and become victims of atrocities such as discrimination, ethnic cleansing, genocide, forced assimilation, Exploitation of labour and natural resources.\n"
] |
how do cinemagraphs work? | They are .gifs someone takes a video or a segment of a video and they cut and play with it until it's seamless.
The start of the .gif has to match the end as best the editor can perceive. | [
"Cinemagraphs are made by taking a series of photographs or a video recording, and, using image editing software, compositing the photographs or the video frames into a seamless loop of sequential frames. This is done in such a way that motion in part of the subject between exposures (for example, a person's dangling leg) is perceived as a repeating or continued motion, in contrast with the stillness of the rest of the image.\n",
"Cinemagraphs are still photographs in which a minor and repeated movement occurs, forming a video clip. They are published as an animated GIF or in other video formats, and can give the illusion that the viewer is watching an animation. A variation is a \"video snapshot\" (clip composed like a still photo, but instead of a shutter release it is captured using the video recording function with its audio track and perhaps showing minor movement such as the subject's eye blinks). Another variation is an \"audio snapshot\" (still photo linked to an audio file created at the moment of photo capture by certain cameras that offer this proprietary function).\n",
"Film takes are often designated with the aid of a clapperboard. It is also referred to as the slate. The number of each take is written or attached to the clapperboard, which is filmed briefly prior to or at the beginning of the actual take. \n",
"To synchronize double-system footage, the clapper board which typically starts a take is used as a reference point for the editor to match the picture to the sound (provided the scene and take are also called out so that the editor knows which picture take goes with any given sound take). It also permits scene and take numbers and other essential information to be seen on the film itself. Aaton cameras have a system called AatonCode that can \"jam sync\" with a timecode-based audio recorder and prints a digital timecode directly on the edge of the film itself. However, the most commonly used system at the moment is unique identifier numbers exposed on the edge of the film by the film stock manufacturer (KeyKode is the name for Kodak's system). These are then logged (usually by a computer editing system, but sometimes by hand) and recorded along with audio timecode during editing. In the case of no better alternative, a handclap can work if done clearly and properly, but often a quick tap on the microphone (provided it is in frame for this gesture) is preferred.\n",
"BULLET::::- Camera. A camera is a device used to take pictures, either singly or in sequence. A camera that takes pictures singly is sometimes called a photo camera to distinguish it from a video camera.\n",
"Hand-held camera or hand-held shooting is a filmmaking and video production technique in which a camera is held in the camera operator's hands as opposed to being mounted on a tripod or other base. Hand-held cameras are used because they are conveniently sized for travel and because they allow greater freedom of motion during filming. Newsreel camera operators frequently gathered images using a hand-held camera. Virtually all modern video cameras are small enough for hand-held use, but many professional video cameras are designed specifically for hand-held use such as for electronic news-gathering (ENG), and electronic field production (EFP).\n",
"Originally, photographs were taken using color negative film. A selection would be made from contact sheets and prints made. The prints would be placed on a rostrum and recorded to videotape using a standard video camera. Any moves, pans or zooms would have to be made in camera. The captured scenes could then be edited.\n"
] |
in gay marriage ban challenges, why is there never a reference to the full faith and credit clause? | Because they are not arguing for their marriages in one state to be recognized in another state (most of the time), they are arguing for the right to be married in that state. Different point on the timeline. For the Full Faith and Credit clause to be in effect, the couple would have to be married already, which is largely not the case. | [
"The proposed legislation raises Constitutional questions in relation to the Full Faith and Credit Clause. Joanna Grossman, writing for FindLaw, emphasized \"the need for the federal courts to weigh in\", rather than for states to continue making a public-policy exception when deciding the status of same-sex relationships independently of the decisions of other states, as states have been permitted to do in the case of incestuous marriages. The Act was designed to protect DOMA by prohibiting federal courts from hearing cases like that of Nancy Wilson, who sued to have her relationship with Paula Schoenwether treated as marriage in Florida because it had been treated as marriage in Massachusetts. In that case, the federal court upheld DOMA.\n",
"The First Amendment to the United States Constitution, which is part of the United States Bill of Rights, expressly forbids laws being made \"respecting an establishment of religion\" and that prohibit the free exercise of religion. Thus, according to this argument, the state has no authority to define marriage as between one man and woman because there are various religions which hold that gay marriage is morally equivalent to heterosexual marriage.\n",
"In his article, Torcello claims that any state endorsement of marriage represents an inappropriate public endorsement of a comprehensive religious or otherwise metaphysical doctrine, which underlies any particular definition of marriage. Accordingly, taking public reason seriously leads to the idea that legalization of same-sex marriage may be just as neutrally unbalanced as its ban. In place of the public institute of marriage, Torcello, like Dershowitz, argues that civil unions providing the full extent of marital benefits under law ought to be instituted for both heterosexual and homosexual couples. According to the argument, such civil unions ought to replace the current legal institute of marriage. Once privatized, marriage is open for individuals to define and embrace or ignore as they see fit, within the scope of their private religious or philosophical belief systems:\n",
"In \"Baehr v. Miike\" (1993), the Supreme Court of Hawaii ruled that the state must show a compelling interest in prohibiting same-sex marriage. This finding prompted concern among opponents of same-sex marriage, who feared that same-sex marriage might become legal in Hawaii and that other states would recognize or be compelled to recognize those marriages under the Full Faith and Credit Clause of the United States Constitution. The House Judiciary Committee's 1996 Report called for DOMA as a response to \"Baehr\", because \"a redefinition of marriage in Hawaii to include homosexual couples could make such couples eligible for a whole range of federal rights and benefits\".\n",
"On June 6, 2014, Crabb concluded that the state's constitutional and legislative ban on same-sex marriage interferes with the fundamental right to marry, violating the due process clause of the Constitution of the United States, and discriminates on the basis of sexual orientation, violating the equal protection clause.\n",
"The article was adopted in 1997. The purpose of the article has been to ensure that legislators would not be able to legalize same-sex marriage without changing the Constitution. Jurists have generally interpreted it as a constitutional ban on same-sex marriage. A few lawyers have argued that the article does not define marriage, and while promoting opposite-sex marriages, does not in itself ban same-sex marriage.\n",
"In the case, King County Superior Court Judge William L. Downing ruled that the state law prohibiting same-sex marriages, or DOMA, was unconstitutional, finding for the plaintiffs on August 4, 2004. The judge ruled that restricting the institution of marriage to opposite sex couples \"is not rationally related to any legitimate or compelling state interest.\" The ruling was appealed to the state Supreme Court.\n"
] |