id
stringlengths 2
8
| url
stringlengths 31
133
| title
stringlengths 1
79
| text
stringlengths 10
201k
|
---|---|---|---|
18940 | https://en.wikipedia.org/wiki/Meat | Meat | Meat is animal flesh that is eaten as food. Humans have hunted and killed animals for meat since prehistoric times. Scientific evidence indicates that human ancestors began incorporating meat and marrow into their diets more than 2.6 million years ago. The Neolithic Revolution, also called the Agricultural Revolution, led to the domestication of animals such as chickens, sheep, rabbits, pigs, and cattle. This eventually led to their use in meat production on an industrial scale and the advent of slaughterhouses.
Meat is mainly composed of water, protein, and fat. It is edible raw, but is normally eaten after it has been cooked and seasoned or processed in a variety of ways. Unprocessed meat will spoil or rot within hours or days as a result of infection with, and decomposition by, bacteria and fungi.
Meat is important to economies and cultures around the world. Individuals who promote meat consumption do so for a number of reasons, such as health, cultural traditions, religious beliefs, and scientific arguments that support the practice.
In certain contexts and at specific scales, the production and consumption of meat can have a negative impact on human health, animal health, and the environment. Humans who choose to not eat meat are referred to as vegetarians and vegans. People who do not eat meat choose to do so for reasons such as taste preferences, the ethics of eating meat, the environmental effects of meat production, the health effects of meat consumption, or religious dietary rules.
Terminology
The word meat comes from the Old English word , which referred to food in general. The term is related to in Danish, in Swedish and Norwegian, and in Icelandic and Faroese, which also mean 'food'. The word also exists in Old Frisian (and to a lesser extent, modern West Frisian) to denote important food, differentiating it from (sweets) and (animal feed).
Most often, meat refers to skeletal muscle and associated fat and other tissues, but it may also describe other edible tissues such as offal. Meat is sometimes also used in a more restrictive sense to mean the flesh of mammalian species (pigs, cattle, lambs, etc.) raised and prepared for human consumption, to the exclusion of fish, other seafood, insects, poultry, or other animals.
In the context of food, meat can also refer to "the edible part of something as distinguished from its covering (such as a husk or shell)", for example, coconut meat.
In English, there are also specialized terms for the meat of particular animals. These terms originated with the Norman conquest of England in 1066: while the animals retained their English names, their meat as brought to the tables of the invaders was referred to them with the Norman French words for the respective animal. In time, these appellations came to be used by the entire population.
History
Hunting and farming
Paleontological evidence suggests that meat constituted a substantial proportion of the diet of the earliest humans. Early hunter-gatherers depended on the organized hunting of large animals such as bison and deer.
The domestication of animals, of which we have evidence dating back to the end of the last glacial period (c. 10,000 BCE), allowed the systematic production of meat and the breeding of animals with a view to improving meat production. Animals that are now principal sources of meat were domesticated in conjunction with the development of early civilizations:
Sheep, originating from western Asia, were domesticated with the help of dogs prior to the establishment of settled agriculture, likely as early as the 8th millennium BCE. Several breeds of sheep were established in ancient Mesopotamia and Egypt by 3500–3000 BCE. Today, more than 200 sheep-breeds exist.
Cattle were domesticated in Mesopotamia after settled agriculture was established about 5000 BCE, and several breeds were established by 2500 BCE. Modern domesticated cattle fall into the groups Bos taurus (European cattle) and Bos taurus indicus (zebu), both descended from the now-extinct aurochs. The breeding of beef cattle, cattle optimized for meat production as opposed to animals best suited for work or dairy purposes, began in the middle of the 18th century.
Domestic pigs, which are descended from wild boars, are known to have existed about 2500 BCE in modern-day Hungary and in Troy; earlier pottery from Tell es-Sultan (Jericho) and Egypt depicts wild pigs. Pork sausages and hams were of great commercial importance in Greco-Roman times. Pigs continue to be bred intensively as they are being optimized to produce meat best suited for specific meat products.
Other animals are or have been raised or hunted for their flesh. The type of meat consumed varies much between different cultures, changes over time, depending on factors such as tradition and the availability of the animals. The amount and kind of meat consumed also varies by income, both between countries and within a given country.
Deer are hunted for their meat (venison) in various regions.
Horses are commonly eaten in France, Italy, Germany and Japan, among other countries. Horses and other large mammals such as reindeer were hunted during the late Paleolithic in western Europe.
Dogs are consumed in China, South Korea and Vietnam. Dogs are also occasionally eaten in the Arctic regions. Historically, dog meat has been consumed in various parts of the world, such as Hawaii, Japan, Switzerland and Mexico.
Cats are consumed in Southern China, Peru and sometimes also in Northern Italy.
Guinea pigs are raised for their flesh in the Andes.
Whales and dolphins are hunted, partly for their flesh, in Japan, Alaska, Siberia, Canada, the Faroe Islands, Greenland, Iceland, Saint Vincent and the Grenadines and by two small communities in Indonesia.
Modern agriculture employs a number of techniques, such as progeny testing, to speed artificial selection by breeding animals to rapidly acquire the qualities desired by meat producers. For instance, in the wake of well-publicised health concerns associated with saturated fats in the 1980s, the fat content of United Kingdom beef, pork and lamb fell from 20–26 percent to 4–8 percent within a few decades, due to both selective breeding for leanness and changed methods of butchery. Methods of genetic engineering aimed at improving the meat production qualities of animals are now also becoming available.
Even though it is a very old industry, meat production continues to be shaped strongly by the evolving demands of customers. The trend towards selling meat in pre-packaged cuts has increased the demand for larger breeds of cattle, which are better suited to producing such cuts. Even more animals not previously exploited for their meat are now being farmed, especially the more agile and mobile species, whose muscles tend to be developed better than those of cattle, sheep or pigs. Examples are the various antelope species, the zebra, water buffalo and camel, as well as non-mammals, such as the crocodile, emu and ostrich. Another important trend in contemporary meat production is organic farming which, while providing no organoleptic benefit to meat so produced, meets an increasing demand for organic meat.
Culture
For most of human history, meat was a largely unquestioned part of the human diet. Only in the 20th century did it begin to become a topic of discourse and contention in society, politics and wider culture.
Consumption
Meat consumption varies worldwide, depending on cultural or religious preferences, as well as economic conditions. Vegetarians and vegans choose not to eat meat because of taste preferences, ethical, economic, environmental, religious, or health concerns that are associated with meat production and consumption.
According to the analysis of the FAO, the overall consumption for white meat between 1990 and 2009 has dramatically increased. Poultry meat has increased by 76.6% per kilo per capita and pig meat by 19.7%. Bovine meat has decreased from per capita in 1990 to per capita in 2009.
Overall, diets that include meat are the most common worldwide according to the results of a 2018 Ipsos MORI study of 16–64 years olds in 28 different countries. Ipsos states “An omnivorous diet is the most common diet globally, with non-meat diets (which can include fish) followed by over a tenth of the global population.” Approximately 87% of people include meat in their diet in some frequency. 73% of meat eaters included it in their diet regularly and 14% consumed meat only occasionally or infrequently. Estimates of the non-meat diets were also broken down. About 3% of people followed vegan diets, where consumption of meat, eggs, and dairy are abstained from. About 5% of people followed vegetarian diets, where consumption of meat is abstained from, but egg and/or dairy consumption is not strictly restricted. About 3% of people followed pescetarian diets, where consumption of the meat of land animals is abstained from, fish meat and other seafood is consumed, and egg and/or dairy consumption may or may not be strictly restricted.
History
In the nineteenth century meat consumption in Britain was the highest in Europe, exceeded only by that in British colonies. In the 1830s consumption per head in Britain was about 75 pounds a year, rising to 130 pounds in 1912. In 1904 laborers were found to consume 87 pounds a year while aristocrats ate 300 pounds. There were estimated to be 43,000 meat purveyor establishments in Britain in 1910, with "possibly more money invested in the meat industry than in any other British business" except the finance industry. The USA was a meat importing country by 1926.
Truncated lifespan as a result of intensive breeding allowed more meat to be produced from fewer animals. The world cattle population was about 600 million in 1929, with 700 million sheep and goats and 300 million pigs.
Animal growth and development
Agricultural science has identified several factors bearing on the growth and development of meat in animals.
Genetics
Several economically important traits in meat animals are heritable to some degree (see the adjacent table) and can thus be selected for by animal breeding. In cattle, certain growth features are controlled by recessive genes which have not so far been controlled, complicating breeding. One such trait is dwarfism; another is the doppelender or "double muscling" condition, which causes muscle hypertrophy and thereby increases the animal's commercial value. Genetic analysis continues to reveal the genetic mechanisms that control numerous aspects of the endocrine system and, through it, meat growth and quality.
Genetic engineering techniques can shorten breeding programs significantly because they allow for the identification and isolation of genes coding for desired traits, and for the reincorporation of these genes into the animal genome. To enable such manipulation, research is ongoing () to map the entire genome of sheep, cattle and pigs. Some research has already seen commercial application. For instance, a recombinant bacterium has been developed which improves the digestion of grass in the rumen of cattle, and some specific features of muscle fibres have been genetically altered.
Experimental reproductive cloning of commercially important meat animals such as sheep, pig or cattle has been successful. Multiple asexual reproduction of animals bearing desirable traits is anticipated, although this is not yet practical on a commercial scale.
Environment
Heat regulation in livestock is of great economic significance, because mammals attempt to maintain a constant optimal body temperature. Low temperatures tend to prolong animal development and high temperatures tend to retard it. Depending on their size, body shape and insulation through tissue and fur, some animals have a relatively narrow zone of temperature tolerance and others (e.g. cattle) a broad one. Static magnetic fields, for reasons still unknown, also retard animal development.
Nutrition
The quality and quantity of usable meat depends on the animal's plane of nutrition, i.e., whether it is over- or underfed. Scientists disagree about how exactly the plane of nutrition influences carcass composition.
The composition of the diet, especially the amount of protein provided, is also an important factor regulating animal growth. Ruminants, which may digest cellulose, are better adapted to poor-quality diets, but their ruminal microorganisms degrade high-quality protein if supplied in excess. Because producing high-quality protein animal feed is expensive (see also Environmental impact below), several techniques are employed or experimented with to ensure maximum utilization of protein. These include the treatment of feed with formalin to protect amino acids during their passage through the rumen, the recycling of manure by feeding it back to cattle mixed with feed concentrates, or the partial conversion of petroleum hydrocarbons to protein through microbial action.
In plant feed, environmental factors influence the availability of crucial nutrients or micronutrients, a lack or excess of which can cause a great many ailments. In Australia, for instance, where the soil contains limited phosphate, cattle are being fed additional phosphate to increase the efficiency of beef production. Also in Australia, cattle and sheep in certain areas were often found losing their appetite and dying in the midst of rich pasture; this was at length found to be a result of cobalt deficiency in the soil. Plant toxins are also a risk to grazing animals; for instance, sodium fluoroacetate, found in some African and Australian plants, kills by disrupting the cellular metabolism. Certain man-made pollutants such as methylmercury and some pesticide residues present a particular hazard due to their tendency to bioaccumulate in meat, potentially poisoning consumers.
Human intervention
Meat producers may seek to improve the fertility of female animals through the administration of gonadotrophic or ovulation-inducing hormones. In pig production, sow infertility is a common problem — possibly due to excessive fatness. No methods currently exist to augment the fertility of male animals. Artificial insemination is now routinely used to produce animals of the best possible genetic quality, and the efficiency of this method is improved through the administration of hormones that synchronize the ovulation cycles within groups of females.
Growth hormones, particularly anabolic agents such as steroids, are used in some countries to accelerate muscle growth in animals. This practice has given rise to the beef hormone controversy, an international trade dispute. It may also decrease the tenderness of meat, although research on this is inconclusive, and have other effects on the composition of the muscle flesh. Where castration is used to improve control over male animals, its side effects are also counteracted by the administration of hormones.
Sedatives may be administered to animals to counteract stress factors and increase weight gain. The feeding of antibiotics to certain animals has been shown to improve growth rates also. This practice is particularly prevalent in the USA, but has been banned in the EU, partly because it causes antimicrobial resistance in pathogenic microorganisms.
Biochemical composition
Numerous aspects of the biochemical composition of meat vary in complex ways depending on the species, breed, sex, age, plane of nutrition, training and exercise of the animal, as well as on the anatomical location of the musculature involved. Even between animals of the same litter and sex there are considerable differences in such parameters as the percentage of intramuscular fat.
Main constituents
Adult mammalian muscle flesh consists of roughly 75 percent water, 19 percent protein, 2.5 percent intramuscular fat, 1.2 percent carbohydrates and 2.3 percent other soluble non-protein substances. These include nitrogenous compounds, such as amino acids, and inorganic substances such as minerals.
Muscle proteins are either soluble in water (sarcoplasmic proteins, about 11.5 percent of total muscle mass) or in concentrated salt solutions (myofibrillar proteins, about 5.5 percent of mass). There are several hundred sarcoplasmic proteins. Most of them – the glycolytic enzymes – are involved in the glycolytic pathway, i.e., the conversion of stored energy into muscle power. The two most abundant myofibrillar proteins, myosin and actin, are responsible for the muscle's overall structure. The remaining protein mass consists of connective tissue (collagen and elastin) as well as organelle tissue.
Fat in meat can be either adipose tissue, used by the animal to store energy and consisting of "true fats" (esters of glycerol with fatty acids), or intramuscular fat, which contains considerable quantities of phospholipids and of unsaponifiable constituents such as cholesterol.
Red and white
Meat can be broadly classified as "red" or "white" depending on the concentration of myoglobin in muscle fibre. When myoglobin is exposed to oxygen, reddish oxymyoglobin develops, making myoglobin-rich meat appear red. The redness of meat depends on species, animal age, and fibre type: Red meat contains more narrow muscle fibres that tend to operate over long periods without rest, while white meat contains more broad fibres that tend to work in short fast bursts.
Generally, the meat of adult mammals such as cows, sheep, and horses is considered red, while chicken and turkey breast meat is considered white.
Nutritional information
All muscle tissue is very high in protein, containing all of the essential amino acids, and in most cases is a good source of zinc, vitamin B12, selenium, phosphorus, niacin, vitamin B6, choline, riboflavin and iron. Several forms of meat are also high in vitamin K. Muscle tissue is very low in carbohydrates and does not contain dietary fiber. While taste quality may vary between meats, the proteins, vitamins, and minerals available from meats are generally consistent.
The fat content of meat can vary widely depending on the species and breed of animal, the way in which the animal was raised, including what it was fed, the anatomical part of the body, and the methods of butchering and cooking. Wild animals such as deer are typically leaner than farm animals, leading those concerned about fat content to choose game such as venison. Decades of breeding meat animals for fatness is being reversed by consumer demand for meat with less fat. The fatty deposits that exist with the muscle fibers in meats soften meat when it is cooked and improve the flavor through chemical changes initiated through heat that allow the protein and fat molecules to interact. The fat, when cooked with meat, also makes the meat seem juicier. The nutritional contribution of the fat is mainly calories as opposed to protein. As fat content rises, the meat's contribution to nutrition declines. In addition, there is cholesterol associated with fat surrounding the meat. The cholesterol is a lipid associated with the kind of saturated fat found in meat. The increase in meat consumption after 1960 is associated with, though not definitively the cause of, significant imbalances of fat and cholesterol in the human diet.
The table in this section compares the nutritional content of several types of meat. While each kind of meat has about the same content of protein and carbohydrates, there is a very wide range of fat content.
Production
Meat is produced by killing an animal and cutting flesh out of it. These procedures are called slaughter and butchery, respectively. There is ongoing research into producing meat in vitro; that is, outside of animals.
Transport
Upon reaching a predetermined age or weight, livestock are usually transported en masse to the slaughterhouse. Depending on its length and circumstances, this may exert stress and injuries on the animals, and some may die en route. Unnecessary stress in transport may adversely affect the quality of the meat. In particular, the muscles of stressed animals are low in water and glycogen, and their pH fails to attain acidic values, all of which results in poor meat quality. Consequently, and also due to campaigning by animal welfare groups, laws and industry practices in several countries tend to become more restrictive with respect to the duration and other circumstances of livestock transports.
Slaughter
Animals are usually slaughtered by being first stunned and then exsanguinated (bled out). Death results from the one or the other procedure, depending on the methods employed. Stunning can be effected through asphyxiating the animals with carbon dioxide, shooting them with a gun or a captive bolt pistol, or shocking them with electric current. In most forms of ritual slaughter, stunning is not allowed.
Draining as much blood as possible from the carcass is necessary because blood causes the meat to have an unappealing appearance and is a breeding ground for microorganisms. The exsanguination is accomplished by severing the carotid artery and the jugular vein in cattle and sheep, and the anterior vena cava in pigs.
The act of slaughtering animals for meat, or of raising or transporting animals for slaughter, may engender both psychological stress and physical trauma in the people involved. Additionally, slaughterhouse workers are exposed to noise of between 76 and 100 dB from the screams of animals being killed. 80 dB is the threshold at which the wearing of ear protection is recommended.
Dressing and cutting
After exsanguination, the carcass is dressed; that is, the head, feet, hide (except hogs and some veal), excess fat, viscera and offal are removed, leaving only bones and edible muscle. Cattle and pig carcases, but not those
of sheep, are then split in half along the mid ventral axis, and the carcase is cut into wholesale pieces. The dressing and cutting sequence, long a province of manual labor, is progressively being fully automated.
Conditioning
Under hygienic conditions and without other treatment, meat can be stored at above its freezing point (–1.5 °C) for about six weeks without spoilage, during which time it undergoes an aging process that increases its tenderness and flavor.
During the first day after death, glycolysis continues until the accumulation of lactic acid causes the pH to reach about 5.5. The remaining glycogen, about 18 g per kg, is believed to increase the water-holding capacity and tenderness of the flesh when cooked. Rigor mortis sets in a few hours after death as ATP is used up, causing actin and myosin to combine into rigid actomyosin and lowering the meat's water-holding capacity, causing it to lose water ("weep"). In muscles that enter rigor in a contracted position, actin and myosin filaments overlap and cross-bond, resulting in meat that is tough on cooking – hence again the need to prevent pre-slaughter stress in the animal.
Over time, the muscle proteins denature in varying degree, with the exception of the collagen and elastin of connective tissue, and rigor mortis resolves. Because of these changes, the meat is tender and pliable when cooked just after death or after the resolution of rigor, but tough when cooked during rigor. As the muscle pigment myoglobin denatures, its iron oxidates, which may cause a brown discoloration near the surface of the meat. Ongoing proteolysis also contributes to conditioning. Hypoxanthine, a breakdown product of ATP, contributes to the meat's flavor and odor, as do other products of the decomposition of muscle fat and protein.
Additives
When meat is industrially processed in preparation of consumption, it may be enriched with additives to protect or modify its flavor or color, to improve its tenderness, juiciness or cohesiveness, or to aid with its preservation. Meat additives include the following:
Salt is the most frequently used additive in meat processing. It imparts flavor but also inhibits microbial growth, extends the product's shelf life and helps emulsifying finely processed products, such as sausages. Ready-to-eat meat products normally contain about 1.5 to 2.5 percent salt. Salt water or similar substances may also be injected into poultry meat to improve the taste and increase the weight, in a process called plumping.
Nitrite is used in curing meat to stabilize the meat's color and flavor, and inhibits the growth of spore-forming microorganisms such as C. botulinum. The use of nitrite's precursor nitrate is now limited to a few products such as dry sausage, prosciutto or parma ham.
Phosphates used in meat processing are normally alkaline polyphosphates such as sodium tripolyphosphate. They are used to increase the water-binding and emulsifying ability of meat proteins, but also limit lipid oxidation and flavor loss, and reduce microbial growth.
Erythorbate or its equivalent ascorbic acid (vitamin C) is used to stabilize the color of cured meat.
Sweeteners such as sugar or corn syrup impart a sweet flavor, bind water and assist surface browning during cooking in the Maillard reaction.
Seasonings impart or modify flavor. They include spices or oleoresins extracted from them, herbs, vegetables and essential oils.
Flavorings such as monosodium glutamate impart or strengthen a particular flavor.
Tenderizers break down collagens to make the meat more palatable for consumption. They include proteolytic enzymes, acids, salt and phosphate.
Dedicated antimicrobials include lactic, citric and acetic acid, sodium diacetate, acidified sodium chloride or calcium sulfate, cetylpyridinium chloride, activated lactoferrin, sodium or potassium lactate, or bacteriocins such as nisin.
Antioxidants include a wide range of chemicals that limit lipid oxidation, which creates an undesirable "off flavor", in precooked meat products.
Acidifiers, most often lactic or citric acid, can impart a tangy or tart flavor note, extend shelf-life, tenderize fresh meat or help with protein denaturation and moisture release in dried meat. They substitute for the process of natural fermentation that acidifies some meat products such as hard salami or prosciutto.
Misidentification
With the rise of complex supply chains, including cold chains, in developed economies, the distance between the farmer or fisherman and customer has grown, increasing the possibility for intentional and unintentional misidentification of meat at various points in the supply chain.
In 2013, reports emerged across Europe that products labelled as containing beef actually contained horse meat. In February 2013 a study was published showing that about one-third of raw fish are misidentified across the United States.
Imitation
Various forms of imitation meat have been created for people who wish not to eat meat but still want to taste its flavor and texture. Meat imitates are typically some form of processed soybean (tofu, tempeh), but they can also be based on wheat gluten, pea protein isolate, or even fungi (quorn).
Environmental impact
Various environmental effects are associated with meat production. Among these are greenhouse gas emissions, fossil energy use, water use, water quality changes, and effects on grazed ecosystems.
The livestock sector may be the largest source of water pollution (due to animal wastes, fertilizers, pesticides), and it contributes to emergence of antibiotic resistance. It accounts for over 8% of global human water use. It is a significant driver of biodiversity loss, as it causes deforestation, ocean dead zones, land degradation, pollution, and overfishing.
The occurrence, nature and significance of environmental effects varies among livestock production systems. Grazing of livestock can be beneficial for some wildlife species, but not for others. Targeted grazing of livestock is used as a food-producing alternative to herbicide use in some vegetation management.
Land use
Meat production is by far the biggest cause of land use, as it accounts for nearly 40% of the global land surface. Just in the contiguous United States, 34% of its land area () are used as pasture and rangeland, mostly feeding livestock, not counting of cropland (20%), some of which is used for producing feed for livestock. Roughly 75% of deforested land around the globe is used for livestock pasture.
Climate change
The rising global consumption of carbon-intensive meat products has "exploded the global carbon footprint of agriculture," according to some top scientists. Meat production is responsible for 14.5% and possibly up to 51% of the world's anthropogenic greenhouse gas emissions. Some nations show very different impacts to counterparts within the same group, with Brazil and Australia having emissions over 200% higher than the average of their respective income groups and driven by meat consumption.
According to the Assessing the Environmental Impacts of Consumption and Production report produced by United Nations Environment Programme's (UNEP) international panel for sustainable resource management, a worldwide transition in the direction of a meat and dairy free diet is indispensable if adverse global climate change were to be prevented. A 2019 report in The Lancet recommended that global meat (and sugar) consumption be reduced by 50 percent to mitigate climate change. Meat consumption in Western societies needs to be reduced by up to 90% according to a 2018 study published in Nature. The 2019 special report by the Intergovernmental Panel on Climate Change advocated for significantly reducing meat consumption, particularly in wealthy countries, in order to mitigate and adapt to climate change.
Biodiversity loss
Meat consumption is considered one of the primary contributors of the sixth mass extinction. A 2017 study by the World Wildlife Fund found that 60% of global biodiversity loss is attributable to meat-based diets, in particular from the vast scale of feed crop cultivation needed to rear tens of billions of farm animals for human consumption puts an enormous strain on natural resources resulting in a wide-scale loss of lands and species. Currently, livestock make up 60% of the biomass of all mammals on earth, followed by humans (36%) and wild mammals (4%). In November 2017, 15,364 world scientists signed a Warning to Humanity calling for, among other things, drastically diminishing our per capita consumption of meat and "dietary shifts towards mostly plant-based foods". The 2019 Global Assessment Report on Biodiversity and Ecosystem Services, released by IPBES, also recommended reductions in meat consumption in order to mitigate biodiversity loss. A 2021 Chatham House report asserted that a significant shift towards plant-based diets would free up the land to allow for the restoration of ecosystems and thriving biodiversity.
A July 2018 study in Science says that meat consumption is set to rise as the human population increases along with affluence, which will increase greenhouse gas emissions and further reduce biodiversity.
Reducing environmental impact
The environmental impact of meat production can be reduced by conversion of human-inedible residues of food crops. Manure from meat-producing livestock is used as fertilizer; it may be composted before application to food crops. Substitution of animal manures for synthetic fertilizers in crop production can be environmentally significant, as between 43 and 88 MJ of fossil fuel energy are used per kg of nitrogen in manufacture of synthetic nitrogenous fertilizers.
Spoilage and preservation
The spoilage of meat occurs, if untreated, in a matter of hours or days and results in the meat becoming unappetizing, poisonous or infectious. Spoilage is caused by the practically unavoidable infection and subsequent decomposition of meat by bacteria and fungi, which are borne by the animal itself, by the people handling the meat, and by their implements. Meat can be kept edible for a much longer time – though not indefinitely – if proper hygiene is observed during production and processing, and if appropriate food safety, food preservation and food storage procedures are applied. Without the application of preservatives and stabilizers, the fats in meat may also begin to rapidly decompose after cooking or processing, leading to an objectionable taste known as warmed over flavor.
Methods of preparation
Fresh meat can be cooked for immediate consumption, or be processed, that is, treated for longer-term preservation and later consumption, possibly after further preparation. Fresh meat cuts or processed cuts may produce iridescence, commonly thought to be due to spoilage but actually caused by structural coloration and diffraction of the light. A common additive to processed meats for both preservation and the prevention of discoloration is sodium nitrite. This substance is a source of health concerns because it may form carcinogenic nitrosamines when heated.
Meat is prepared in many ways, as steaks, in stews, fondue, or as dried meat like beef jerky. It may be ground then formed into patties (as hamburgers or croquettes), loaves, or sausages, or used in loose form (as in "sloppy joe" or Bolognese sauce).
Some meat is cured by smoking, which is the process of flavoring, cooking, or preserving food by exposing it to the smoke from burning or smoldering plant materials, most often wood. In Europe, alder is the traditional smoking wood, but oak is more often used now, and beech to a lesser extent. In North America, hickory, mesquite, oak, pecan, alder, maple, and fruit-tree woods are commonly used for smoking. Meat can also be cured by pickling, preserving in salt or brine (see salted meat and other curing methods). Other kinds of meat are marinated and barbecued, or simply boiled, roasted, or fried.
Meat is generally eaten cooked, but many recipes call for raw beef, veal or fish (tartare). Steak tartare is a meat dish made from finely chopped or minced raw beef or horse meat. Meat is often spiced or seasoned, particularly with meat products such as sausages. Meat dishes are usually described by their source (animal and part of body) and method of preparation (e.g., a beef rib).
Meat is a typical base for making sandwiches. Popular varieties of sandwich meat include ham, pork, salami and other sausages, and beef, such as steak, roast beef, corned beef, pepperoni, and pastrami. Meat can also be molded or pressed (common for products that include offal, such as haggis and scrapple) and canned.
Health
There is concern and debate regarding the potential association of meat, in particular red and processed meat, with a variety of health risks. A study of 400,000 subjects conducted by the European Prospective Investigation into Cancer and Nutrition and published in 2013 showed "a moderate positive association between processed meat consumption and mortality, in particular due to cardiovascular diseases, but also to cancer."
In 2015, the International Agency for Research on Cancer of the World Health Organization (WHO) classified processed meat as carcinogenic to humans (Group 1), based on "sufficient evidence in humans that the consumption of processed meat causes colorectal cancer." In the same year, the Agency classified red meat as probably (Group 2A) carcinogenic to humans.
A 1999 metastudy combined data from five studies from western countries. The metastudy reported mortality ratios, where lower numbers indicated fewer deaths, for fish eaters to be 0.82, vegetarians to be 0.84, occasional meat eaters to be 0.84. Regular meat eaters and vegans shared the highest mortality ratio of 1.00.
In response to changing prices as well as health concerns about saturated fat and cholesterol (see lipid hypothesis), consumers have altered their consumption of various meats. A USDA report points out that consumption of beef in the United States between 1970–1974 and 1990–1994 dropped by 21%, while consumption of chicken increased by 90%. During the same period of time, the price of chicken dropped by 14% relative to the price of beef. From 1995–1996, beef consumption increased due to higher supplies and lower prices.
The 2015–2020 Dietary Guidelines for Americans asked men and teenage boys to increase their consumption of vegetables or other underconsumed foods (fruits, whole grains, and dairy) while reducing intake of protein foods (meats, poultry, and eggs) that they currently overconsume.
The health effects of red meat are unclear as of 2019. In 2021, a study of data on half a million U.K. citizens shows associations between high levels of meat intake with risks of some of 25 common conditions including ischaemic heart disease and diabetes as well as a lower risk of iron deficiency anaemia. A cohort study with over 130,000 participants published a few days later, also found that a higher intake of processed meat was associated with "a higher risk of mortality and major CVD". However, while some of the results did control for body mass index various other factors that were not controlled for may confound the associations and research of underlying mechanisms may be required for fully robust conclusions.
Contamination
Various toxic compounds can contaminate meat, including heavy metals, mycotoxins, pesticide residues, dioxins, polychlorinated biphenyl (PCBs). Processed, smoked and cooked meat may contain carcinogens such as polycyclic aromatic hydrocarbons.
Toxins may be introduced to meat as part of animal feed, as veterinary drug residues, or during processing and cooking. Often, these compounds can be metabolized in the body to form harmful by-products. Negative effects depend on the individual genome, diet, and history of the consumer. Any chemical's toxicity is also dependent on the dose and timing of exposure.
Cancer
There are concerns about a relationship between the consumption of meat, in particular processed and red meat, and increased cancer risk. The International Agency for Research on Cancer (IARC), a specialized agency of the World Health Organization (WHO), classified processed meat (e.g., bacon, ham, hot dogs, sausages) as, "carcinogenic to humans (Group 1), based on sufficient evidence in humans that the consumption of processed meat causes colorectal cancer." IARC also classified red meat as "probably carcinogenic to humans (Group 2A), based on limited evidence that the consumption of red meat causes cancer in humans and strong mechanistic evidence supporting a carcinogenic effect."
Heart disease
The correlation of consumption to increased risk of heart disease is controversial. Some studies fail to find a link between red meat consumption and heart disease (although the same study found statistically significant correlation between the consumption of processed meat and coronary heart disease). A large cohort study of Seventh-Day Adventists in California found that the risk of heart disease is three times greater for 45-64-year-old men who eat meat daily, versus those who did not eat meat. This study compared adventists to the general population and not other Seventh Day Adventists who ate meat and did not specifically distinguish red and processed meat in its assessment.
A major Harvard University study in 2010 involving over one million people who ate meat found that only processed meat had an adverse risk in relation to coronary heart disease. The study suggests that eating 50 g (less than 2 ounces) of processed meat per day increases risk of coronary heart disease by 42%, and diabetes by 19%. Equivalent levels of fat, including saturated fats, in unprocessed meat (even when eating twice as much per day) did not show any deleterious effects, leading the researchers to suggest that "differences in salt and preservatives, rather than fats, might explain the higher risk of heart disease and diabetes seen with processed meats, but not with unprocessed red meats."
A 2017 meta-analyses of randomized controlled trials found that eating more than 0.5 servings of meat per-day does not increase lipids, blood pressure, lipoproteins, or other heart disease risk factors.
A scientific review concluded that, except for poultry, at 50 g/day unprocessed red and processed meat appear to be risk factors for ischemic heart disease, increasing the risk by about 9 and 18 % respectively.
Obesity
Prospective analysis suggests that meat consumption is positively associated with weight gain in men and women. The National Cattlemen's Beef Association countered by stating that meat consumption may not be associated with fat gain. In response, the authors of the original study controlled for just abdominal fat across a sample of 91,214 people and found that even when controlling for calories and lifestyle factors, meat consumption is linked with obesity. Additional studies and reviews have confirmed the finding that greater meat consumption is positively linked with greater weight gain even when controlling for calories, and lifestyle factors.
Bacterial contamination
Bacterial contamination has been seen with meat products. A 2011 study by the Translational Genomics Research Institute showed that nearly half (47%) of the meat and poultry in U.S. grocery stores were contaminated with S. aureus, with more than half (52%) of those bacteria resistant to antibiotics. A 2018 investigation by the Bureau of Investigative Journalism and The Guardian found that around 15 percent of the US population suffers from foodborne illnesses every year. The investigation also highlighted unsanitary conditions in US-based meat plants, which included meat products covered in excrement and abscesses "filled with pus".
Cooking
Meat can transmit certain diseases, but complete cooking and avoiding recontamination reduces this possibility.
Several studies published since 1990 indicate that cooking muscle meat creates heterocyclic amines (HCAs), which are thought to increase cancer risk in humans. Researchers at the National Cancer Institute published results of a study which found that human subjects who ate beef rare or medium-rare had less than one third the risk of stomach cancer than those who ate beef medium-well or well-done. While eating muscle meat raw may be the only way to avoid HCAs fully, the National Cancer Institute states that cooking meat below creates "negligible amounts" of HCAs. Also, microwaving meat before cooking may reduce HCAs by 90%.
Nitrosamines, present in processed and cooked foods, have been noted as being carcinogenic, being linked to colon cancer. Also, toxic compounds called PAHs, or polycyclic aromatic hydrocarbons, present in processed, smoked and cooked foods, are known to be carcinogenic.
Sociology
Meat is part of the human diet in most cultures, where it often has symbolic meaning and important social functions. Some people choose not to eat meat (vegetarianism) or any food made from animals (veganism). The reasons for not eating all or some meat may include ethical objections to killing animals for food, health concerns, environmental concerns or religious dietary laws.
Ethics
Ethical issues regarding the consumption of meat include objecting to the act of killing animals or to the agricultural practices used in meat production. Reasons for objecting to killing animals for consumption may include animal rights, environmental ethics, or an aversion to inflicting pain or harm on other sentient creatures. Some people, while not vegetarians, refuse to eat the flesh of certain animals (such as cows, pigs, cats, dogs, horses, or rabbits) due to cultural or religious traditions.
Some people eat only the flesh of animals that they believe have not been mistreated, and abstain from the flesh of animals raised in factory farms or else abstain from particular products, such as foie gras and veal.
Some techniques of intensive agriculture may be cruel to animals: foie gras is a food product made from the liver of ducks or geese that have been force fed corn to fatten the organ; veal is criticised because the veal calves may be highly restricted in movement, have unsuitable flooring, spend their entire lives indoors, experience prolonged deprivation (sensory, social, and exploratory), and be more susceptible to high amounts of stress and disease.
Religious traditions
The religion of Jainism has always opposed eating meat, and there are also schools of Buddhism and Hinduism that condemn the eating of meat.
Jewish dietary rules (Kashrut) allow certain (kosher) meat and forbid other (treif). The rules include prohibitions on the consumption of unclean animals (such as pork, shellfish including mollusca and crustacea, and most insects), and mixtures of meat and milk.
Similar rules apply in Islamic dietary laws: The Quran explicitly forbids meat from animals that die naturally, blood, the meat of swine (porcine animals, pigs), and animals dedicated to other than Allah (either undedicated or dedicated to idols) which are haram as opposed to halal.
Sikhism forbids meat of slowly slaughtered animals ("kutha") and prescribes killing animals with a single strike ("jhatka"), but some Sikh groups oppose eating any meat.
Psychology
Research in applied psychology has investigated practices of meat eating in relation to morality, emotions, cognition, and personality characteristics. Psychological research suggests meat eating is correlated with masculinity, support for social hierarchy, and reduced openness to experience. Research into the consumer psychology of meat is relevant both to meat industry marketing and to advocates of reduced meat consumption.
Gender
Unlike most other food, meat is not perceived as gender-neutral, and is particularly associated with men and masculinity. Sociological research, ranging from African tribal societies to contemporary barbecues, indicates that men are much more likely to participate in preparing meat than other food. This has been attributed to the influence of traditional male gender roles, in view of a "male familiarity with killing" (Goody) or roasting being more violent as opposed to boiling (Lévi-Strauss). By and large, at least in modern societies, men also tend to consume more meat than women, and men often prefer red meat whereas women tend to prefer chicken and fish.
Philosophy
The founders of Western philosophy disagreed about the ethics of eating meat. Plato's Republic has Socrates describe the ideal state as vegetarian. Pythagoras believed that humans and animals were equal and therefore disapproved of meat consumption, as did Plutarch, whereas Zeno and Epicurus were vegetarian but allowed meat-eating in their philosophy. Conversely, Aristotle's Politics assert that animals, as inferior beings, exist to serve humans, including as food. Augustine drew on Aristotle to argue that the universe's natural hierarchy allows humans to eat animals, and animals to eat plants. Enlightenment philosophers were likewise divided. Descartes wrote that animals are merely animated machines, and Kant considered them inferior beings for lack of discernment; means rather than ends. But Voltaire and Rousseau disagreed. The latter argued that meat-eating is a social rather than a natural act, because children are not interested in meat.
Later philosophers examined the changing practices of eating meat in the modern age as part of a process of detachment from animals as living beings. Norbert Elias, for instance, noted that in medieval times cooked animals were brought to the table whole, but that since the Renaissance only the edible parts are served, which are no longer recognizably part of an animal. Modern eaters, according to Noëlie Vialles, demand an "ellipsis" between meat and dead animals; for instance, calves' eyes are no longer considered a delicacy as in the Middle Ages, but provoke disgust. Even in the English language, distinctions emerged between animals and their meat, such as between cattle and beef, pigs and pork. Fernand Braudel wrote that since the European diet of the 15th and 16th century was particularly heavy in meat, European colonialism helped export meat-eating across the globe, as colonized peoples took up the culinary habits of their colonizers, which they associated with wealth and power.
See also
Alligator meat
Bushmeat
Carnism
Culinary name
Dog meat
Food industry
Food science
Gristle
List of domesticated meat animals
List of meat dishes
List of foods
Meat Atlas
Meat on the bone
Meat-free days
Mechanically separated meat
Mystery meat
Roadkill cuisine
Tendon
Cat meat
References
External links
American Meat Science Association website
Qualitionary – Legal Definitions – Meat
IARC Monographs Q&A
IARC Monographs Q&A on the carcinogenicity of the consumption of red meat and processed meat.
Types of food
Meat industry |
18942 | https://en.wikipedia.org/wiki/Monty%20Python | Monty Python | Monty Python (also collectively known as the Pythons) were a British surreal comedy troupe who created the sketch comedy television show Monty Python's Flying Circus, which first aired on the BBC in 1969. Forty-five episodes were made over four series. The Python phenomenon developed from the television series into something larger in scope and influence, including touring stage shows, films, albums, books and musicals. The Pythons' influence on comedy has been compared to the Beatles' influence on music. Regarded as an enduring icon of 1970s pop culture, their sketch show has been referred to as being "an important moment in the evolution of television comedy".
Broadcast by the BBC between 1969 and 1974, Monty Python's Flying Circus was conceived, written and performed by its members Graham Chapman, John Cleese, Terry Gilliam, Eric Idle, Terry Jones, and Michael Palin. Loosely structured as a sketch show, but with an innovative stream-of-consciousness approach aided by Gilliam's animation, it pushed the boundaries of what was acceptable in style and content. A self-contained comedy team responsible for both writing and performing their work, the Pythons had creative control which allowed them to experiment with form and content, discarding rules of television comedy. Following their television work, they began making films, including Monty Python and the Holy Grail (1975), Life of Brian (1979) and The Meaning of Life (1983). Their influence on British comedy has been apparent for years, while in North America, it has coloured the work of cult performers from the early editions of Saturday Night Live through to more recent absurdist trends in television comedy. "Pythonesque" has entered the English lexicon as a result.
At the 41st British Academy Film Awards in 1988, Monty Python received the BAFTA Award for Outstanding British Contribution To Cinema. In 1998, they were awarded the AFI Star Award by the American Film Institute. Many sketches from their TV show and films are well-known and widely quoted. Both Holy Grail and Life of Brian are frequently ranked in lists of greatest comedy films. In a 2005 poll of over 300 comics, comedy writers, producers and directors throughout the English-speaking world to find "The Comedian's Comedian", three of the six Pythons members were voted to be among the top 50 greatest comedians ever: Cleese at No. 2, Idle at No. 21, and Palin at No. 30.
Before Flying Circus
Jones and Palin met at Oxford University, where they performed together with the Oxford Revue. Chapman and Cleese met at Cambridge University. Idle was also at Cambridge, but started a year after Chapman and Cleese. Cleese met Gilliam in New York City while on tour with the Cambridge University Footlights revue Cambridge Circus (originally entitled A Clump of Plinths). Chapman, Cleese, and Idle were members of the Footlights, which at that time also included the future Goodies (Tim Brooke-Taylor, Bill Oddie, and Graeme Garden), and Jonathan Lynn (co-writer of Yes Minister and Yes, Prime Minister). During Idle's presidency of the club, feminist writer Germaine Greer and broadcaster Clive James were members. Recordings of Footlights' revues (called "Smokers") at Pembroke College include sketches and performances by Cleese and Idle, which, along with tapes of Idle's performances in some of the drama society's theatrical productions, are kept in the archives of the Pembroke Players.
The six Python members appeared in or wrote these shows before Flying Circus:
I'm Sorry, I'll Read That Again (radio) (1964–1973): Cleese (cast member and writer), Idle and Chapman (writers)
The Frost Report (1966–1967): Cleese (cast member and writer), Idle (writer of Frost's monologues), Chapman, Palin and Jones (writers)
At Last the 1948 Show (1967): Chapman and Cleese (writers and cast members), Idle (guest star and writer)
Twice a Fortnight (1967): Palin and Jones (cast members and writers)
Do Not Adjust Your Set (1967–1969): Idle, Jones, and Palin (cast members and writers), Gilliam (animation) + Bonzo Dog Band (musical interludes)
We Have Ways of Making You Laugh (1968): Idle (cast member and writer), Gilliam (animation)
How to Irritate People (1968): Cleese and Chapman (cast members and writers), Palin (cast member)
The Complete and Utter History of Britain (1969): Palin and Jones (cast members and writers)
Doctor in the House (1969), Cleese and Chapman (writers)
The BBC's satirical television show The Frost Report, broadcast from March 1966 to December 1967, is credited as first uniting the British Pythons and providing an environment in which they could develop their particular styles.
Following the success of Do Not Adjust Your Set, broadcast on ITV from December 1967 to May 1969, Thames Television offered Gilliam, Idle, Jones, and Palin their own late-night adult comedy series together. At the same time, Chapman and Cleese were offered a show by the BBC, which had been impressed by their work on The Frost Report and At Last the 1948 Show. Cleese was reluctant to do a two-man show for various reasons, including Chapman's supposedly difficult and erratic personality. Cleese had fond memories of working with Palin on How to Irritate People and invited him to join the team. With no studio available at Thames until summer 1970 for the late-night show, Palin agreed to join Cleese and Chapman, and suggested the involvement of his writing partner Jones and colleague Idle—who in turn wanted Gilliam to provide animations for the projected series. Much has been made of the fact that the Monty Python troupe is the result of Cleese's desire to work with Palin and the chance circumstances that brought the other four members into the fold.
By contrast, according to John Cleese's autobiography, the origins of Monty Python lay in the admiration that writing partners Cleese and Chapman had for the new type of comedy being done on Do Not Adjust Your Set; as a result, a meeting was initiated by Cleese between Chapman, Idle, Jones, Palin, and himself at which it was agreed to pool their writing and performing efforts and jointly seek production sponsorship. According to their official website, the group was born from a Kashmir tandoori restaurant in Hampstead on 11 May 1969, following a taping of Do Not Adjust Your Set which Cleese and Chapman attended. It was the first time all six got together, reportedly going back to Cleese's apartment on nearby Basil Street afterwards to continue discussions.
Monty Python's Flying Circus
Development of the series
The Pythons had a definite idea about what they wanted to do with the series. They were admirers of the work of Peter Cook, Alan Bennett, Jonathan Miller, and Dudley Moore on Beyond the Fringe—seminal to the British "satire boom"—and had worked on Frost, which was similar in style. They enjoyed Cook and Moore's sketch show Not Only... But Also. One problem the Pythons perceived with these programmes was that though the body of the sketch would be strong, the writers would often struggle to then find a punchline funny enough to end on, and this would detract from the overall sketch quality. They decided that they would simply not bother to "cap" their sketches in the traditional manner, and early episodes of the Flying Circus series make great play of this abandonment of the punchline (one scene has Cleese turn to Idle, as the sketch descends into chaos, and remark that "This is the silliest sketch I've ever been in"—they all resolve not to carry on and simply walk off the set). However, as they began assembling material for the show, the Pythons watched one of their collective heroes, Spike Milligan, whom they had admired on The Goon Show (a show the Pythons regard as their biggest influence, which also featured Peter Sellers, whom Cleese called "the greatest voice man of all time") recording his groundbreaking BBC series Q... (1969). Not only was Q... more irreverent and anarchic than any previous television comedy, but Milligan also would often "give up" on sketches halfway through and wander off set (often muttering "Did I write this?"). It was clear that their new series would now seem less original, and Jones in particular became determined the Pythons should innovate. Michael Palin recalls "Terry Jones and I adored the Q... shows...[Milligan] was the first writer to play with the conventions of television."
After much debate, Jones remembered an animation Gilliam had created for Do Not Adjust Your Set called "Beware of the Elephants", which had intrigued him with its stream-of-consciousness style. Jones felt it would be a good concept to apply to the series: allowing sketches to blend into one another. Palin had been equally fascinated by another of Gilliam's efforts, entitled "Christmas Cards", and agreed that it represented "a way of doing things differently". Since Cleese, Chapman, and Idle were less concerned with the overall flow of the programme, Jones, Palin, and Gilliam became largely responsible for the presentation style of the Flying Circus series, in which disparate sketches are linked to give each episode the appearance of a single stream-of-consciousness (often using a Gilliam animation to move from the closing image of one sketch to the opening scene of another). The BBC states, "Gilliam's unique animation style became crucial, segueing seamlessly between any two completely unrelated ideas and making the stream-of-consciousness work."
Writing started at 9 am and finished at 5 pm. Typically, Cleese and Chapman worked as one pair isolated from the others, as did Jones and Palin, while Idle wrote alone. After a few days, they would join with Gilliam, critique their scripts, and exchange ideas. Their approach to writing was democratic. If the majority found an idea humorous, it was included in the show. The casting of roles for the sketches was a similarly unselfish process, since each member viewed himself primarily as a "writer", rather than an actor eager for screen time. When the themes for sketches were chosen, Gilliam had a free hand in bridging them with animations, using a camera, scissors, and airbrush.
While the show was a collaborative process, different factions within Python were responsible for elements of the team's humour. In general, the work of the Oxford-educated members (Jones and Palin) was more visual, and more fanciful conceptually (e.g., the arrival of the Spanish Inquisition in a suburban front room), while the Cambridge graduates' sketches tended to be more verbal and more aggressive (for example, Cleese and Chapman's many "confrontation" sketches, where one character intimidates or hurls abuse, or Idle's characters with bizarre verbal quirks, such as "The Man Who Speaks In Anagrams"). Cleese confirmed that "most of the sketches with heavy abuse were Graham's and mine, anything that started with a slow pan across countryside and impressive music was Mike and Terry's, and anything that got utterly involved with words and disappeared up any personal orifice was Eric's". Gilliam's animations ranged from the whimsical to the savage (the cartoon format allowing him to create some astonishingly violent scenes without fear of censorship).
Several names for the show were considered before Monty Python's Flying Circus was settled upon. Some were Owl Stretching Time, The Toad Elevating Moment, A Horse, a Spoon and a Bucket, Vaseline Review, and Bun, Wackett, Buzzard, Stubble and Boot. Flying Circus stuck when the BBC explained it had printed that name in its schedules and was not prepared to amend it. Many variations on the name in front of this title then came and went (popular legend holds that the BBC considered Monty Python's Flying Circus to be a ridiculous name, at which point the group threatened to change their name every week until the BBC relented). Gwen Dibley's Flying Circus was named after a woman Palin had read about in the newspaper, thinking it would be amusing if she were to discover she had her own TV show. Baron Von Took's Flying Circus was considered as an affectionate tribute to Barry Took, the man who had brought them together. Arthur Megapode's Flying Circus was suggested, then discarded. The name Baron Von Took's Flying Circus had the form of Baron Manfred von Richthofen's Flying Circus of WWI fame, and the new group was forming in a time when the Royal Guardsmen's 1966 song "Snoopy vs. the Red Baron" had peaked. The term 'flying circus' was also another name for the popular entertainment of the 1920s known as barnstorming, where multiple performers collaborated with their stunts to perform a combined set of acts.
Differing, somewhat confusing accounts are given of the origins of the Python name, although the members agree that its only "significance" was that they thought it sounded funny. In the 1998 documentary Live at Aspen during the US Comedy Arts Festival, where the troupe was awarded the AFI Star Award by the American Film Institute, the group implied that "Monty" was selected (Eric Idle's idea) as a gently mocking tribute to Field Marshal Lord Montgomery, a British general of World War II; requiring a "slippery-sounding" surname, they settled on "Python". On other occasions, Idle has claimed that the name "Monty" was that of a popular and rotund fellow who drank in his local pub; people would often walk in and ask the barman, "Has Monty been in yet?", forcing the name to become stuck in his mind. The name Monty Python was later described by the BBC as being "envisaged by the team as the perfect name for a sleazy entertainment agent".
Style of the show
Flying Circus popularised innovative formal techniques, such as the cold open, in which an episode began without the traditional opening titles or announcements. An example of this is the "It's" man: Palin, outfitted in Robinson Crusoe garb, making a tortuous journey across various terrains, before finally approaching the camera to state, "It's ...", only to be then cut off by the title sequence and theme music. On several occasions, the cold open lasted until mid-show, after which the regular opening titles ran. Occasionally, the Pythons tricked viewers by rolling the closing credits halfway through the show, usually continuing the joke by fading to the familiar globe logo used for BBC continuity, over which Cleese would parody the clipped tones of a BBC announcer. On one occasion, the credits ran directly after the opening titles. On the subversive nature of the show (and their subsequent films), Cleese states "anti-authoritarianism was deeply ingrained in Python".
Because of their dislike of finishing with punchlines, they experimented with ending the sketches by cutting abruptly to another scene or animation, walking offstage, addressing the camera (breaking the fourth wall), or introducing a totally unrelated event or character. A classic example of this approach was the use of Chapman's "anti-silliness" character of "the Colonel", who walked into several sketches and ordered them to be stopped because things were becoming "far too silly".
Another favourite way of ending sketches was to drop a cartoonish "16-ton weight" prop on one of the characters when the sketch seemed to be losing momentum, or a knight in full armour (played by Terry Gilliam) would wander on-set and hit characters over the head with a rubber chicken, before cutting to the next scene. Yet another way of changing scenes was when John Cleese, usually outfitted in a dinner suit, would come in as a radio commentator and, in a rather pompous manner, make the formal and determined announcement "And now for something completely different.", which later became the title of the first Monty Python film.
The Python theme music is the Band of the Grenadier Guards' rendition of John Philip Sousa's "The Liberty Bell" which was first published in 1893. Under the Berne Convention's "country of origin" concept, the composition was subject to United States copyright law which states that any work first published prior to 1924 was in the public domain, owing to copyright expiration. This enabled Gilliam to co-opt the march for the series without having to make any royalty payments.
The use of Gilliam's surreal, collage stop motion animations was another innovative intertextual element of the Python style. Many of the images Gilliam used were lifted from famous works of art, and from Victorian illustrations and engravings. The giant foot which crushes the show's title at the end of the opening credits is in fact the foot of Cupid, cut from a reproduction of the Renaissance masterpiece Venus, Cupid, Folly and Time by Bronzino. This foot, and Gilliam's style in general, are visual trademarks of the programme.
The Pythons used the British tradition of cross-dressing comedy by donning frocks and makeup and playing female roles themselves while speaking in falsetto. Jones specialised in playing the working-class housewife, or "ratbag old women" as termed by the BBC. Palin and Idle generally played the role more posh, with Idle playing more feminine women. Cleese played female roles more sparsely, while Chapman was frequently paired with Jones as a ratbag woman or with Idle portraying middle-class women commenting upon TV. Generally speaking, female roles were played by women only when the scene specifically required that the character be sexually attractive (although sometimes they used Idle for this). The troupe later turned to Carol Cleveland, who co-starred in numerous episodes after 1970. In some episodes, and later in the stoning scene in Monty Python's Life of Brian, they took the idea one step further by playing women who impersonated men.
Many sketches are well-known and widely quoted. "Dead Parrot sketch", "The Lumberjack Song", "Spam" (which led to the coining of the term email spam), "Nudge Nudge", "The Spanish Inquisition", "Upper Class Twit of the Year", "Cheese Shop", "The Ministry of Silly Walks", "Argument Clinic", "The Funniest Joke in the World" (a sketch referenced in Google Translate), and Four Yorkshiremen sketch" are just a few examples. Most of the show’s sketches satirise areas of public life, such as: Dead Parrot (poor customer service), Silly Walks (bureaucratic inefficiency), Spam (ubiquity of Spam post World War II), and Four Yorkshiremen (nostalgic conversations). Featuring regularly in skits, Gumbys (characters of limited intelligence and vocabulary) were part of the Pythons' satirical view of television of the 1970s which condescendingly encouraged more involvement from the "man on the street".
Introduction to North America and the world
The Canadian Broadcasting Corporation (CBC) added Monty Python's Flying Circus to its national September 1970 fall line-up. They aired the 13 episodes of series 1, which had first run on the BBC the previous autumn (October 1969 to January 1970), as well as the first six episodes of series 2 only a few weeks after they first appeared on the BBC (September to November 1970). The CBC dropped the show when it returned to regular programming after the Christmas 1970 break, choosing to not place the remaining seven episodes of series 2 on the January 1971 CBC schedule. Within a week, the CBC received hundreds of calls complaining of the cancellation, and more than 100 people staged a demonstration at the CBC's Montreal studios. The show eventually returned, becoming a fixture on the network during the first half of the 1970s.
Sketches from Monty Python's Flying Circus were introduced to American audiences in August 1972, with the release of the Python film And Now for Something Completely Different, featuring sketches from series 1 and 2 of the television show. This 1972 release met with limited box office success.
The ability to show Monty Python's Flying Circus under the American NTSC standard had been made possible by the commercial actions of American television producer Greg Garrison. Garrison produced the NBC series The Dean Martin Comedy World, which ran during the summer of 1974. The concept was to show clips from comedy shows produced in other countries, including tape of the Python sketches "Bicycle Repairman" and "The Dull Life of a Stockbroker". Payment for use of these two sketches was enough to allow Time-Life Films to convert the entire Python library to NTSC standard, allowing for the sale to the PBS network stations which then brought the entire show to US audiences.
Through the efforts of Python's American manager Nancy Lewis, during the summer of 1974, Ron Devillier, the programming director for nonprofit PBS television station KERA in Dallas, Texas, started airing episodes of Monty Python's Flying Circus. Ratings shot through the roof, providing an encouraging sign to the other 100 PBS stations that had signed up to begin airing the show in October 1974—exactly five years after their BBC debut. There was also cross-promotion from FM radio stations across the US, whose airing of tracks from the Python LPs had already introduced American audiences to this bizarre brand of comedy. The popularity on PBS resulted in the 1974 re-release of the 1972 ...Completely Different film, with much greater box office success. The success of the show was captured by a March 1975 article headline in The New York Times, "Monty Python's Flying Circus Is Barnstorming Here". Asked what challenges were left, now that they had made TV shows, films, written books, and produced records, Chapman responded, "Well, actually world supremacy would be very nice", before Idle cautioned, "Yes, but that sort of thing has got to be done properly".
In 1975 ABC broadcast two 90-minute Monty Python specials, each with three shows, but cut out a total of 24 minutes from each, in part to make time for commercials, and in part to avoid upsetting their audience. As the judge observed in Gilliam v. American Broadcasting Companies, Inc., where Monty Python sued for damages caused by broadcast of the mutilated version, "According to the network, appellants should have anticipated that most of the excised material contained scatological references inappropriate for American television and that these scenes would be replaced with commercials, which presumably are more palatable to the American public." Monty Python won the case.
With the popularity of Python throughout the rest of the 1970s and through most of the 1980s, PBS stations looked at other British comedies, leading to UK shows such as Are You Being Served? gaining a US audience, and leading, over time, to many PBS stations having a "British Comedy Night" which airs many popular UK comedies.
In 1976, Monty Python became the top rated show in Japan. The literal translation of the Japanese title was The Gay Dragon Boys Show. The popularity of the show in the Netherlands saw the town of Spijkenisse near Rotterdam open a 'silly walks' road crossing in 2018. Believed to be a world first, the official sign asks pedestrians to cross the road in a comical manner.
Departure of Cleese
Having considered the possibility at the end of the second season, Cleese left the Flying Circus at the end of the third. He later explained that he felt he no longer had anything fresh to offer the show, and claimed that only two Cleese- and Chapman-penned sketches in the third series ("Dennis Moore" and the "Cheese Shop") were truly original, and that the others were bits and pieces from previous work cobbled together in slightly different contexts. He was also finding Chapman, who was at that point in the full throes of alcoholism, difficult to work with. According to an interview with Idle, "It was on an Air Canada flight on the way to Toronto, when John (Cleese) turned to all of us and said 'I want out.' Why? I don't know. He gets bored more easily than the rest of us. He's a difficult man, not easy to be friendly with. He's so funny because he never wanted to be liked. That gives him a certain fascinating, arrogant freedom." Jones noted his reticence in 2012, "He was good at it, when he did it he was professional, but he’d rather not have done it. The others all loved it, but he got more and more pissed off about having to come out and do filming, and the one that really swung it, in my view, was when we had to do the day on the Newhaven lifeboat."
The rest of the group carried on for one more "half" season before calling a halt to the programme in 1974. While the first three seasons contained 13 episodes each, the fourth ended after just six. The name Monty Python's Flying Circus appears in the opening animation for season four, but in the end credits, the show is listed as simply Monty Python. Although Cleese left the show, he was credited as a writer for three of the six episodes, largely concentrated in the "Michael Ellis" episode, which had begun life as one of the many drafts of the "Holy Grail" motion picture. When a new direction for "Grail" was decided upon, the subplot of Arthur and his knights wandering around a strange department store in modern times was lifted out and recycled as the aforementioned TV episode. Songwriter Neil Innes contributed to some sketches, including "Appeal on Behalf of Very Rich People".
Life beyond the Flying Circus
Filmography
And Now for Something Completely Different (1971)
The Pythons' first feature film was directed by Ian MacNaughton, reprising his role from the television series. It consisted of sketches from the first two seasons of the Flying Circus, reshot on a low budget (and often slightly edited) for cinema release. Material selected for the film includes: "Dead Parrot", "The Lumberjack Song", "Upper Class Twit of the Year", "Hell's Grannies", "Self-Defence Class", "How Not to Be Seen", and "Nudge Nudge". Financed by Playboys UK executive Victor Lownes, it was intended as a way of breaking Monty Python into America, and although it was ultimately unsuccessful in this, the film did good business in the UK, and later in the US on the "Midnight movie" circuit after their breakthrough television and film success, this being in the era before home video would make the original material much more accessible. The group did not consider the film a success.
Monty Python and the Holy Grail (1975)
In 1974, between production on the third and fourth seasons, the group decided to embark on their first "proper" feature film, containing entirely new material. Monty Python and the Holy Grail was based on Arthurian legend and was directed by Jones and Gilliam. Again, the latter also contributed linking animations (and put together the opening credits). Along with the rest of the Pythons, Jones and Gilliam performed several roles in the film, but Chapman took the lead as King Arthur. Cleese returned to the group for the film, feeling that they were once again breaking new ground. Holy Grail was filmed on location, in picturesque rural areas of Scotland, with a budget of only £229,000; the money was raised in part with investments from rock groups such as Pink Floyd, Jethro Tull, and Led Zeppelin, as well as UK music industry entrepreneur Tony Stratton-Smith (founder and owner of the Charisma Records label, for which the Pythons recorded their comedy albums).
The backers of the film wanted to cut the famous Black Knight scene (a Sam Peckinpah send-up in which the Black Knight loses his limbs in a duel), but it was eventually kept in the movie. "Tis but a scratch" and "It's just a flesh wound…" are often quoted. Holy Grail was selected as the second-best comedy of all time in the ABC special Best in Film: The Greatest Movies of Our Time. and viewers in a Channel 4 poll placed it sixth.
Monty Python's Life of Brian (1979)
Following the success of Holy Grail, reporters asked for the title of the next Python film, though the team had not even begun to consider a third one. Eventually, Idle flippantly replied "Jesus Christ – Lust for Glory", which became the group's stock answer to such questions. However, they soon began to seriously consider a film lampooning the New Testament era in the same way Holy Grail had lampooned Arthurian legend. Despite sharing a distrust of organised religion, they agreed not to mock Jesus or his teachings directly. They also mentioned that they could not think of anything legitimate to make fun of about him. Instead, they decided to write a satire on credulity and hypocrisy among the followers of someone [Brian] who had been mistaken for the "Messiah", but who had no desire to be followed as such. Terry Jones adds it was a satire on those who for the next 2,000 years "couldn't agree on what Jesus was saying about peace and love".
The focus therefore shifted to a separate individual, Brian Cohen, born at the same time, and in a neighbouring stable. When Jesus appears in the film (first, as a baby in the stable, and then later on the Mount, speaking the Beatitudes), he is played straight (by actor Kenneth Colley) and portrayed with respect. The comedy begins when members of the crowd mishear his statements of peace, love, and tolerance ("I think he said, 'Blessed are the cheesemakers).
Directing duties were handled solely by Jones, having amicably agreed with Gilliam that Jones' approach to film-making was better suited for Python's general performing style. Holy Grail's production had often been stilted by their differences behind the camera. Gilliam again contributed two animated sequences (one being the opening credits) and took charge of set design. The film was shot on location in Tunisia, the finances being provided this time by The Beatles' George Harrison, who together with Denis O'Brien formed the production company Hand-Made Films for the movie. Harrison had a cameo role as the "owner of the Mount".
Despite its subject matter attracting controversy, particularly upon its initial release, it has (together with its predecessor) been ranked among the greatest comedy films. In 2006 it was ranked first on a Channel 4 list of the 50 Greatest Comedy Films. In 2013, Richard Burridge, a theologian decorated by Pope Francis, called Life of Brian an "extraordinary tribute to the life and work and teaching of Jesus—that they couldn't actually blaspheme or make a joke out of it. They did a great satire on closed minds and people who follow blindly. Then you have them splitting into factions...it is a wonderful satire on the way that Jesus's own teaching has been used to persecute others. They were satirising fundamentalism and persecution of others and at the same time saying the one person who rises above all this was Jesus".
Monty Python Live at the Hollywood Bowl (1982)
Filmed at the Hollywood Bowl in Los Angeles during preparations for The Meaning of Life in September 1980, this was a concert film (directed by Terry Hughes) in which the Pythons performed sketches from the television series in front of an audience. The released film also incorporated footage from the German television specials (the inclusion of which gives Ian MacNaughton his first on-screen credit for Python since the end of Flying Circus) and live performances of several songs from the troupe's then-current Monty Python's Contractual Obligation Album.
Monty Python's The Meaning of Life (1983)
The Pythons' final film returned to something structurally closer to the style of Flying Circus. A series of sketches loosely follows the ages of man from birth to death. Directed again by Jones solo, The Meaning of Life is embellished with some of the group's most bizarre and disturbing moments, as well as various elaborate musical numbers, which include "Galaxy Song" (performed by Idle) and "Every Sperm Is Sacred" (performed by Palin and Jones). The film is by far their darkest work, containing a great deal of black humour, garnished by some spectacular violence (including an operation to remove a liver from a living patient without anaesthetic and the morbidly obese Mr. Creosote exploding over several restaurant patrons after finally giving in to the smooth maître d' telling him to eat a mint – "It's only a wafer-thin mint..."). At the time of its release, the Pythons confessed their aim was to offend "absolutely everyone", adding "It is guaranteed to offend".
The Liver Donor scene (which sees someone come to a man's door to take his liver, to which he says: "No, no, I'm not dead", before being told: "Oooh, it doesn't say that on the form"), is a satire on bureaucracy, a common Python trope. Besides the opening credits and the fish sequence, Gilliam, by now an established live-action director, no longer wanted to produce any linking cartoons, offering instead to direct one sketch, "The Crimson Permanent Assurance". Under his helm, though, the segment grew so ambitious and tangential that it was cut from the movie and used as a supporting feature in its own right. (Television screenings also use it as a prologue.) This was the last project on which all six Pythons collaborated, except for the 1989 compilation Parrot Sketch Not Included, where they are all seen sitting in a closet for four seconds. This was the last time Chapman appeared on screen with the Pythons.
Secret Policeman's Ball benefit shows
Members of Python contributed their services to charitable endeavours and causes—sometimes as an ensemble, at other times as individuals. The cause that has been the most frequent and consistent beneficiary has been the human rights work of Amnesty International. Between 1976 and 1981, the troupe or its members appeared in four major fund-raisers for Amnesty—known collectively as the Secret Policeman's Ball shows—which were turned into multiple films, TV shows, videos, record albums, and books. The brainchild of John Cleese, these benefit shows in London and their many spin-offs raised considerable sums of money for Amnesty, raised public and media awareness of the human rights cause, and influenced many other members of the entertainment community (especially rock musicians) to become involved in political and social issues. Among the many musicians who have publicly attributed their activism—and the organisation of their own benefit events—to the inspiration of the work in this field of Monty Python are Bob Geldof (organiser of Live Aid), U2, Pete Townshend, and Sting. Bono told Rolling Stone in 1986, "I saw The Secret Policeman’s Ball and it became a part of me. It sowed a seed..." Sting states, "before [the Ball] I did not know about Amnesty, I did not know about its work, I did not know about torture in the world." On the impact of the Ball on Geldof, Sting states, "he took the ‘Ball’ and ran with it."
Ball co-founder Cleese and Jones had an involvement (as performer, writer or director) in all four Amnesty benefit shows, Palin in three, Chapman in two, and Gilliam in one. Idle did not participate in the Amnesty shows. Notwithstanding Idle's lack of participation, the other five members (together with "Associate Pythons" Carol Cleveland and Neil Innes) all appeared together in the first Secret Policeman's Ball benefit—the 1976 A Poke in the Eye held at Her Majesty's Theatre in London's West End—where they performed several Python sketches. In this first show, they were collectively billed as Monty Python. Peter Cook deputised for the absent Idle in a courtroom sketch. In the next three shows, the participating Python members performed many Python sketches, but were billed under their individual names rather than under the collective Python banner. The second show featured newcomer Rowan Atkinson and Scottish comedian Billy Connolly. The Secret Policeman's Ball were the first stage shows in the UK to present comedic performers (such as Monty Python and Rowan Atkinson) in the same setting and shows as their contemporaries in rock music (which included Eric Clapton, Sting and Phil Collins). After a six-year break, Amnesty resumed producing Secret Policeman's Ball benefit shows which were held at the London Palladium in 1987 (sometimes with, and sometimes without, variants of the title) and by 2006 had presented a total of twelve shows. Since 1987 the Balls featured newer generations of British comedic performers, such as Stephen Fry, Hugh Laurie, and puppets from the satirical TV show Spitting Image, with many attributing their participation in the show to their desire to emulate the Python's pioneering work for Amnesty. Cleese and Palin made a brief cameo appearance in the 1989 Amnesty show; apart from that, the Pythons have not appeared in shows after the first four.
Going solo
Each member has pursued various film, television, and stage projects since the break-up of the group, but often continued to work with one another. Many of these collaborations were very successful, most notably A Fish Called Wanda (1988), written by Cleese, in which he starred along with Palin. The pair also appeared in Time Bandits (1981), a film directed by Gilliam, who wrote it together with Palin. Gilliam directed Jabberwocky (1977), and also directed and co-wrote Brazil (1985), which featured Palin, The Adventures of Baron Munchausen (1988), which featured Idle; he followed these with writing and directing an additional six (as of 2021) films.
Yellowbeard (1983) was co-written by Chapman and featured Chapman, Idle, and Cleese, as well as many other English comedians including Peter Cook, Spike Milligan, and Marty Feldman.
Palin and Jones wrote the comedic TV series Ripping Yarns (1976–79), starring Palin. Jones also appeared in the pilot episode and Cleese appeared in a nonspeaking part in the episode "Golden Gordon". Jones' film Erik the Viking also has Cleese playing a small part. In 1996 Terry Jones wrote and directed an adaptation of Kenneth Grahame's novel The Wind in the Willows. It featured four members of Monty Python: Jones as Mr. Toad, Idle as Ratty, Cleese as Mr. Toad's lawyer, and Palin as the Sun. Gilliam was considered for the voice of the river. The film included Steve Coogan who played Mole.
Cleese has the most prolific solo career, appearing in dozens of films, several TV shows or series (including Cheers, 3rd Rock from the Sun, Q's assistant in the James Bond movies, and Will & Grace), many direct-to-video productions, some video games and a number of commercials. His BBC sitcom Fawlty Towers (written by and starring Cleese together with his wife Connie Booth) is the only comedy series to rank higher than the Flying Circus on the BFI TV 100's list, topping the whole poll. Cleese's character, Basil Fawlty, was ranked second (to Homer Simpson) on Channel 4's 2001 list of the 100 Greatest TV Characters.
Idle enjoyed critical success with Rutland Weekend Television in the mid-1970s, out of which came the Beatles parody the Rutles (responsible for the cult mockumentary All You Need Is Cash), and as an actor in Nuns on the Run (1990) with Robbie Coltrane. In 1976 Idle directed music videos for George Harrison songs "This Song" and "Crackerbox Palace", the latter of which also featured cameo appearances from Neil Innes and John Cleese. Idle has had success with Python songs: "Always Look on the Bright Side of Life" went to no. 3 in the UK singles chart in 1991. The song had been revived by Simon Mayo on BBC Radio 1, and was consequently released as a single that year. The theatrical phenomenon of the Python musical Spamalot has made Idle the most financially successful of the troupe after Python. Written by Idle (and featuring a pre-recorded cameo of Cleese as the voice of God), it has proved to be an enormous hit on Broadway, London's West End and Las Vegas. This was followed by Not the Messiah, which revises The Life of Brian as an oratorio. For the work's 2007 premiere at the Luminato festival in Toronto (which commissioned the work), Idle himself sang the "baritone-ish" part.
After Python reunions
Since The Meaning of Life, their last project as a team, the Pythons have often been the subject of reunion rumours. In 1988 Monty Python won the BAFTA Award for Outstanding British Contribution To Cinema, with four of the six Pythons (Jones, Palin, Gilliam and Chapman) collecting the award. The final appearance of all six together occurred during the 1989 Parrot Sketch Not Included – 20 Years of Monty Python TV special. The death of Chapman in October 1989 put an end to the speculation of any further reunions. Several occasions since 1989 have occurred when the surviving five members have gathered together for appearances—albeit not formal reunions. In 1996 Jones, Idle, Cleese, and Palin were featured in a film adaptation of The Wind in the Willows, which was later renamed Mr. Toad's Wild Ride. In 1997 Palin and Cleese rolled out a new version of the "Dead Parrot sketch" for Saturday Night Live.
Monty Python were the inaugural recipients of the Empire Inspiration Award in 1997. Palin, Jones and Gilliam received the award on stage in London from Elton John while Cleese and Idle appeared via satellite from Los Angeles. In 1998 during the US Comedy Arts Festival, where the troupe were awarded the AFI Star Award by the American Film Institute, the five remaining members, along with what was purported to be Chapman's ashes, were reunited on stage for the first time in 18 years. The occasion was in the form of an interview called Monty Python Live at Aspen, (hosted by Robert Klein, with an appearance by Eddie Izzard) in which the team looked back at some of their work and performed a few new sketches. On 9 October 1999, to commemorate 30 years since the first Flying Circus television broadcast, BBC2 devoted an evening to Python programmes, including a documentary charting the history of the team, interspersed with new sketches by the Monty Python team filmed especially for the event.
The surviving Pythons had agreed in principle to perform a live tour of America in 1999. Several shows were to be linked with Q&A meetings in various cities. Although all had said yes, Palin later changed his mind, much to the annoyance of Idle, who had begun work organising the tour. This led to Idle refusing to take part in the new material shot for the BBC anniversary evening. In 2002, four of the surviving members, bar Cleese, performed "The Lumberjack Song" and "Sit on My Face" for George Harrison's memorial concert. The reunion also included regular supporting contributors Neil Innes and Carol Cleveland, with a special appearance from Tom Hanks.
In an interview to publicise the DVD release of The Meaning of Life, Cleese said a further reunion was unlikely. "It is absolutely impossible to get even a majority of us together in a room, and I'm not joking," Cleese said. He said that the problem was one of busyness rather than one of bad feelings. A sketch appears on the same DVD spoofing the impossibility of a full reunion, bringing the members "together" in a deliberately unconvincing fashion with modern bluescreen/greenscreen techniques.
Idle responded to queries about a Python reunion by adapting a line used by George Harrison in response to queries about a possible Beatles reunion. When asked in November 1989 about such a possibility, Harrison responded: "As far as I'm concerned, there won't be a Beatles reunion as long as John Lennon remains dead." Idle's version of this was that he expected to see a proper Python reunion, "just as soon as Graham Chapman comes back from the dead", but added, "we're talking to his agent about terms."
The Pythons Autobiography by The Pythons (2003), compiled from interviews with the surviving members, reveals that a series of disputes in 1998, over a possible sequel to Holy Grail that had been conceived by Idle, may have resulted in the group's split. Cleese's feeling was that The Meaning of Life had been personally difficult and ultimately mediocre, and did not wish to be involved in another Python project for a variety of reasons (not least amongst them was the absence of Chapman, whose straight man-like central roles in the Grail and Brian films had been considered to be an essential anchoring performance). The book also reveals that Cleese saw Chapman as his "greatest sounding board. If Graham thought something was funny, then it almost certainly was funny. You cannot believe how invaluable that is.' Ultimately it was Cleese who ended the possibility of another Python movie.
A full, if nonperforming, reunion of the surviving Python members appeared at the March 2005 premiere of Idle's musical Spamalot, based on Monty Python and the Holy Grail. It opened in Chicago and has since played in New York on Broadway, London, and numerous other major cities across the world. In 2004 it was nominated for 14 Tony Awards and won three: Best Musical, Best Direction of a Musical for Mike Nichols, and Best Performance by a Featured Actress in a Musical for Sara Ramirez, who played the Lady of the Lake, a character specially added for the musical. The original Broadway cast included Tim Curry as King Arthur, Michael McGrath as Patsy, David Hyde Pierce as Sir Robin, Hank Azaria as Sir Lancelot and other roles (e.g., the French Taunter, Knight of Ni, and Tim the Enchanter), Christopher Sieber as Sir Galahad and other roles (e.g., the Black Knight and Prince Herbert's Father). Cleese played the voice of God, a role played in the film by Chapman.
Owing in part to the success of Spamalot, PBS announced on 13 July 2005 that it would begin to re-air the entire run of Monty Python's Flying Circus and new one-hour specials focusing on each member of the group, called Monty Python's Personal Best. Each episode was written and produced by the individual being honoured, with the five remaining Pythons collaborating on Chapman's programme, the only one of the editions to take on a serious tone with its new material.
In 2009, to commemorate the 40th anniversary of the first episode of Monty Python's Flying Circus, a six-part documentary entitled Monty Python: Almost the Truth (Lawyers Cut) was released, featuring interviews with the surviving members of the team, as well as archive interviews with Graham Chapman and numerous excerpts from the television series and films. Each episode opens with a different re-recording of the theme song from Life of Brian, with Iron Maiden vocalist and Python fan Bruce Dickinson performing the sixth.
Also in commemoration of the 40th anniversary, Idle, Palin, Jones, and Gilliam appeared in a production of Not the Messiah at the Royal Albert Hall. The European premiere was held on 23 October 2009. An official 40th anniversary Monty Python reunion event took place in New York City on 15 October 2009, where the team received a Special Award from the British Academy of Film and Television Arts.
In June 2011, it was announced that A Liar's Autobiography: The Untrue Story of Monty Python's Graham Chapman, an animated 3D movie based on the memoir of Graham Chapman, was in the making. The memoir A Liar's Autobiography was published in 1980 and details Chapman's journey through medical school, alcoholism, acknowledgement of his gay identity, and the tolls of surreal comedy. Asked what was true in a deliberately fanciful account by Chapman of his life, Terry Jones joked: "Nothing ... it's all a downright, absolute, blackguardly lie." The film uses Chapman's own voice—from a reading of his autobiography shortly before he died of cancer—and entertainment channel Epix announced the film's release in early 2012 in both 2D and 3D formats. Produced and directed by London-based Bill Jones, Ben Timlett, and Jeff Simpson, the new film has 15 animation companies working on chapters that will range from three to 12 minutes in length, each in a different style. John Cleese recorded dialogue which was matched with Chapman's voice. Michael Palin voiced Chapman's father and Terry Jones voiced his mother. Terry Gilliam voiced Graham's psychiatrist. They all play various other roles. Among the original Python group, only Eric Idle was not involved.
On 26 January 2012, Terry Jones announced that the five surviving Pythons would reunite in a sci-fi comedy film called Absolutely Anything. The film would combine computer-generated imagery and live action. It would be directed by Jones based on a script by Jones and Gavin Scott, and in addition to the Python members it would also star Simon Pegg, Kate Beckinsale and Robin Williams (in his final film role). The plot revolves around a teacher who discovers aliens (voiced by the Pythons) have given him magical powers to do "absolutely anything". Eric Idle responded via Twitter that he would not, in fact, be participating, although he was later added to the cast.
Monty Python Live (Mostly): One Down, Five to Go
In 2013, the Pythons lost a legal case to Mark Forstater, the film producer of Monty Python and the Holy Grail, over royalties for the derivative work Spamalot. They owed a combined £800,000 in legal fees and back royalties to Forstater. They proposed a reunion show to pay their legal bill.
On 19 November 2013, a new reunion was reported, following months of "secret talks". The original plan was for a live, one-off stage show at the O2 Arena in London on 1 July 2014, with "some of Monty Python's greatest hits, with modern, topical, Pythonesque twists" according to a press release. The tickets for this show went on sale in November 2013 and sold out in just 43 seconds. Nine additional shows were added, all of them at the O2, the last on 20 July. They have said that their reunion was inspired by South Park creators Trey Parker and Matt Stone, who are massive Monty Python fans.
Mick Jagger featured in a promotional video for the shows: "Who wants to see that again, really? It's a bunch of wrinkly old men trying to relive their youth and make a load of money—the best one died years ago!" Michael Palin stated that the final reunion show on 20 July 2014 would be the last time that the troupe would perform together. It was screened to 2,000 cinemas around the world. Prior to the final night, Idle stated, "It is a world event and that’s really quite exciting. It means we’re actually going to say goodbye publicly on one show. Nobody ever has the chance to do that. The Beatles didn’t get a last good night." The last show was broadcast in the UK on Gold TV and internationally in cinemas by Fathom Events through a Dish Network satellite link.
Python members
Graham Chapman was originally a medical student, joining the Footlights at Cambridge. He completed his medical training and was legally entitled to practise as a doctor. Chapman is best remembered for the lead roles in Holy Grail, as King Arthur, and Life of Brian, as Brian Cohen. He died of metastatic throat cancer on 4 October 1989. At Chapman's memorial service, Cleese delivered an irreverent eulogy that included all the euphemisms for being dead from the "Dead Parrot" sketch, which they had written. Chapman's comedic fictional memoir, A Liar's Autobiography, was adapted into an animated 3D movie in 2012.
John Cleese is the oldest Python. He met his future Python writing partner, Chapman, in Cambridge. Outside of Python, he is best known for setting up the Video Arts group and for the sitcom Fawlty Towers (co-written with Connie Booth, whom Cleese met during work on Python and to whom he was married for a decade). Cleese has also co-authored several books on psychology and wrote the screenplay for the award-winning A Fish Called Wanda, in which he starred with Michael Palin.
Terry Gilliam, an American by birth, is the only member of the troupe of non-British origin. He started off as an animator and strip cartoonist for Harvey Kurtzman's Help! magazine, one issue of which featured Cleese. Moving from the US to England, he animated features for Do Not Adjust Your Set and was then asked by its makers to join them on their next project: Monty Python's Flying Circus. He co-directed Monty Python and the Holy Grail and directed short segments of other Python films (for instance "The Crimson Permanent Assurance", the short film that appears before The Meaning of Life).
When Monty Python was first formed, two writing partnerships were already in place: Cleese and Chapman, Jones and Palin. That left two in their own corners: Gilliam, operating solo due to the nature of his work, and Eric Idle. Regular themes in Idle's contributions were elaborate wordplay and musical numbers. After Flying Circus, he hosted Saturday Night Live four times in the first five seasons. Idle's initially successful solo career faltered in the 1990s with the failures of his 1993 film Splitting Heirs (written, produced by, and starring him) and 1998's An Alan Smithee Film: Burn Hollywood Burn (in which he starred). He revived his career by returning to the source of his worldwide fame, adapting Monty Python material for other media. Idle wrote the Tony Award-winning musical Spamalot, based on Holy Grail. Following the success of the musical he wrote Not the Messiah, an oratorio derived from the Life of Brian. Representing Monty Python, Idle featured in a one-hour symphony of British Music when he performed at the London 2012 Olympic Games closing ceremony.
Terry Jones has been described by other members of the team as the "heart" of the operation. Jones had a lead role in maintaining the group's unity and creative independence. Python biographer George Perry has commented that should "[you] speak to him on subjects as diverse as fossil fuels, or Rupert Bear, or mercenaries in the Middle Ages or Modern China ... in a moment you will find yourself hopelessly out of your depth, floored by his knowledge." Many others agree that Jones is characterised by his irrepressible, good-natured enthusiasm. However, Jones' passion often led to prolonged arguments with other group members—in particular Cleese—with Jones often unwilling to back down. Since his major contributions were largely behind the scenes (direction, writing), and he often deferred to the other members of the group as an actor, Jones' importance to Python was often under-rated. However, he does have the legacy of delivering possibly the most famous line in all of Python, as Brian's mother Mandy in Life of Brian, "He's not the Messiah, he's a very naughty boy!", a line voted the funniest in film history on two occasions. Jones died on 21 January 2020 from complications of dementia.
Sir Michael Palin attended Oxford, where he met his Python writing partner Jones. The two also wrote the series Ripping Yarns together. Palin and Jones originally wrote face-to-face, but soon found it was more productive to write apart and then come together to review what the other had written. Therefore, Jones and Palin's sketches tended to be more focused than that of the others, taking one bizarre situation, sticking to it, and building on it. After Flying Circus, Palin hosted Saturday Night Live four times in the first 10 seasons. His comedy output began to decrease in amount following the increasing success of his travel documentaries for the BBC. Palin released a book of diaries from the Python years entitled Michael Palin Diaries 1969–1979, published in 2007. Palin was awarded a knighthood in the 2019 New Year Honours, which was announced by Buckingham Palace in December 2018.
Associate Pythons
Several people have been accorded unofficial "associate Python" status over the years. Occasionally such people have been referred to as the 'seventh Python', in a style reminiscent of George Martin (or other associates of the Beatles) being dubbed "the Fifth Beatle". The two collaborators with the most meaningful and plentiful contributions have been Neil Innes and Carol Cleveland. Both were present and presented as Associate Pythons at the official Monty Python 25th-anniversary celebrations held in Los Angeles in July 1994.
Neil Innes is the only non-Python besides Douglas Adams to be credited with writing material for Flying Circus. He appeared in sketches and the Python films, as well as performing some of his songs in Monty Python Live at the Hollywood Bowl. He was also a regular stand-in for absent team members on the rare occasions when they recreated sketches. For example, he took the place of Cleese at the Concert for George. Gilliam once noted that if anyone qualified for the title of the seventh Python, it would be Innes. He was one of the creative talents in the off-beat Bonzo Dog Band. He would later portray Ron Nasty of the Rutles and write all of the Rutles' compositions for All You Need Is Cash (1978), a mockumentary film co-directed by Idle. By 2005, a falling out had occurred between Idle and Innes over additional Rutles projects, the results being Innes' critically acclaimed Rutles "reunion" album The Rutles: Archaeology and Idle's straight-to-DVD The Rutles 2: Can't Buy Me Lunch, each undertaken without the other's participation. According to an interview with Idle in the Chicago Tribune in May 2005, his attitude is that Innes and he go back "too far. And no further." Innes died of a heart attack on 29 December 2019 near Toulouse, where he had lived for several years.
Carol Cleveland was the most important female performer in the Monty Python ensemble, commonly referred to as "the female Python". She was originally hired by producer/director John Howard Davies for just the first five episodes of the Flying Circus. The Pythons then pushed to make Cleveland a permanent recurring performer after producer/director Ian MacNaughton brought in several other actresses who were not as good as she was. Cleveland went on to appear in about two-thirds of the episodes, as well as in all of the Python films, and in most of their stage shows, as well. According to Time, her most recognisable film roles are playing Zoot and Dingo, two maidens in the Castle Anthrax in Holy Grail.
Other contributors
Cleese's first wife, Connie Booth, appeared as various characters in all four series of Flying Circus. Her most significant role was the "best girl" of the eponymous Lumberjack in "The Lumberjack Song", though this role was sometimes played by Carol Cleveland. Booth appeared in a total of six sketches and also played one-off characters in Python feature films And Now for Something Completely Different and Monty Python and the Holy Grail.
Douglas Adams was "discovered" by Chapman when a version of Footlights Revue (a 1974 BBC2 television show featuring some of Adams' early work) was performed live in London's West End. In Cleese's absence from the final TV series, the two formed a brief writing partnership, with Adams earning a writing credit in one episode for a sketch called "Patient Abuse". In the sketch—a satire on mind-boggling bureaucracy—a man who had been stabbed by a nurse arrives at his doctor's office bleeding profusely from the stomach, when the doctor makes him fill in numerous senseless forms before he can administer treatment. He also had two cameo appearances in this season. Firstly, in the episode "The Light Entertainment War", Adams shows up in a surgeon's mask (as Dr. Emile Koning, according to the on-screen captions), pulling on gloves, while Palin narrates a sketch that introduces one person after another, and never actually gets started. Secondly, at the beginning of "Mr. Neutron", Adams is dressed in a "pepperpot" outfit and loads a missile onto a cart being driven by Terry Jones, who is calling out for scrap metal ("Any old iron ..."). Adams and Chapman also subsequently attempted a few non-Python projects, including Out of the Trees. He also contributed to a sketch on the soundtrack album for Monty Python and the Holy Grail.
Other than Carol Cleveland, the only other non-Python to make a significant number of appearances in the Flying Circus was Ian Davidson. He appeared in the first two series of the show, and played over 10 roles. While Davidson is primarily known as a scriptwriter, it is not known if he had any contribution toward the writing of the sketches, as he is only credited as a performer. In total, Davidson is credited as appearing in eight episodes of the show, which is more than any other male actor who was not a Python. Despite this, Davidson did not appear in any Python-related media subsequent to series 2, though footage of him was shown on the documentary Python Night – 30 Years of Monty Python.
Stand-up comedian Eddie Izzard, a devoted fan of the group, has occasionally stood in for absent members. When the BBC held a "Python Night" in 1999 to celebrate 30 years of the first broadcast of Flying Circus, the Pythons recorded some new material with Izzard standing in for Idle, who had declined to partake in person (she taped a solo contribution from the US). Izzard hosted The Life of Python (1999), a history of the group that was part of Python Night and appeared with them at a festival/tribute in Aspen, Colorado, in 1998 (released on DVD as Live at Aspen). Izzard has said that Monty Python was a significant influence on her style of comedy and Cleese has referred to her as "the lost Python".
Series director of Flying Circus, Ian MacNaughton, is also regularly associated with the group and made a few on-screen appearances in the show and in the film And Now for Something Completely Different. Apart from Neil Innes, others to contribute musically included Fred Tomlinson and the Fred Tomlinson Singers. They made appearances in songs such as "The Lumberjack Song" as a backup choir. Other contributors and performers for the Pythons included John Howard Davies, John Hughman, Lyn Ashley, Bob Raymond, John Young, Rita Davies, Stanley Mason, Maureen Flanagan, and David Ballantyne.
Cultural influence and legacy
By the time of Monty Python's 25th anniversary, in 1994, the point was already being made that "the five surviving members had with the passing years begun to occupy an institutional position in the edifice of British social culture that they had once had so much fun trying to demolish". A similar point is made in a 2006 book on the relationship between Python and philosophy: "It is remarkable, after all, not only that the utterly bizarre Monty Python's Flying Circus was sponsored by the BBC in the first place, but that Monty Python itself grew into an institution of enormous cultural influence."
A self-contained comedy unit responsible for both writing and performing their work, Monty Python's influence on comedy has been compared to the Beatles' influence on music. Author Neil Gaiman writes, "A strange combination of individuals gave us Python. And you needed those people, just in the same way that with the Beatles you had four talented people, but together you had the Beatles. And I think that's so incredibly true when it comes to Python."
Comedy stylists
Monty Python have been named as being influential to the comedy stylings of a great many people including: Sacha Baron Cohen, David Cross, Rowan Atkinson, Seth MacFarlane, Seth Meyers, Trey Parker, Matt Stone, Vic and Bob, Mike Myers, and "Weird Al" Yankovic. Matt Groening, creator of The Simpsons, was influenced by Python's "high velocity sense of the absurd and not stopping to explain yourself", and pays tribute through a couch gag used in seasons five and six. Appearing on Monty Python's Best Bits (Mostly), Jim Carrey—who refers to Monty Python as the "Super Justice League of comedy"—recalled the effect on him of Ernest Scribbler (played by Palin) laughing himself to death in "The Funniest Joke in the World" sketch. Monty Python's Flying Circus served as an inspiration for voice actor Rob Paulsen in voicing Pinky from the animated television series Animaniacs and Pinky and the Brain, giving the character "a goofy whack job" of a British accent.
Comedian John Oliver states, "Writing about the importance of Monty Python is basically pointless. Citing them as an influence is almost redundant. It's assumed. This strange group of wildly talented, appropriately disrespectful, hugely imaginative and massively inspirational idiots changed what comedy could be for their generation and for those that followed." On how Python's freeform style influenced sketch comedy, Tina Fey of the US television show Saturday Night Live states, "Sketch endings are overrated. Their key was to do something as long as it was funny and then just stop and do something else."
Places
In space
Seven asteroids are named after Monty Python or its members: 9617 Grahamchapman, 9618 Johncleese, 9619 Terrygilliam, 9620 Ericidle, 9621 Michaelpalin, 9622 Terryjones, and 13681 Monty Python.
In 2010, the commercial space company SpaceX launched a wheel of cheese into low earth orbit and returned it safely to Earth on COTS Demo Flight 1. Elon Musk, CEO and CTO of SpaceX, said this was done as a tribute to Monty Python.
Terrestrial
After John Cleese spoke negatively about the town of Palmerston North in New Zealand, recommending it as a good place to commit suicide, the town renamed a compost heap "Mt. Cleese".
"Pythonesque"
Among the more visible cultural influences of Monty Python is the inclusion of terms either directly from, or derived from, Monty Python, into the lexicon of the English language.
The most obvious of these is the term "Pythonesque", which has become a byword in surreal humour, and is included in standard dictionaries. Terry Jones commented on his disappointment at the existence of such a term, claiming the initial aim of Monty Python was to create something new and impossible to categorise, and "the fact that Pythonesque is now a word in the Oxford English Dictionary shows the extent to which we failed".
The term has been applied to animations similar to those constructed by Gilliam (e.g., the cut-out style of South Park, whose creators have often acknowledged a debt to Python, including contributing material to the aforementioned 30th-anniversary theme night).
Good Eats creator Alton Brown cited Python as one of the influences that shaped how he created the series, as well as how he authors the script for each episode. Later episodes included Gilliam-style animations to illustrate key points.
Film critic Robbie Collin writes, "You can find the Pythonesque everywhere in cinema. Most successful Hollywood comedies bear some kind of Python-print. The Austin Powers series chugs along on Pythonisms. Then there are Christopher Guest's mockumentaries, such as Waiting for Guffman and Best in Show, which revel in the quiet absurdity of the everyday—well-staked-out Python territory. And there's a tensile weirdness in the films of Will Ferrell that's also deeply Pythonesque."
TV
The Japanese anime series, Girls und Panzer, featured the special episode, "Survival War!", which referenced the 'Spam' sketch, but the word "spam" was censored to avoid legal issue with the Pythons.
Things named after Monty Python
Beyond a dictionary definition, Python terms have entered the lexicon in other ways.
The term "spam" in reference to bulk, unsolicited email is derived from the show's 1970 "Spam" sketch. As the waitress recites the Spam-filled menu, a chorus of Viking patrons drown out all conversations with a song, repeating "Spam, Spam, Spam, Spam… Spammity Spam! Wonderful Spam!".
The Python programming language by Guido van Rossum is named after the troupe, and Monty Python references are often found in sample code created for that language. The default integrated development environment of the programming language is named IDLE, an alternative one is named eric, both in honour of Eric Idle. Additionally, a 2001 April Fool's Day joke by van Rossum and Larry Wall involving the merger of Python with Perl was dubbed "Parrot" after the Dead Parrot sketch. The name "Parrot" was later used for a project to develop a virtual machine for running bytecode for interpreted languages such as Perl and Python. Its package index is also known as the "Cheese Shop" after the sketch of the same name. There is also a python refactoring tool called bicyclerepair named after Bicycle Repair Man sketch.
In 1985, a fossil of a previously unknown species of gigantic prehistoric snake from the Miocene was discovered in Riversleigh, Queensland, Australia. The Australian palaeontologist who discovered the fossil snake was a Monty Python fan, and he gave the snake the taxonomic name of Montypythonoides riversleighensis in honour of the Monty Python team.
In 2006, Ben & Jerry's, known for their "celebrity flavours", introduced to the line-up "Vermonty Python", a coffee liqueur ice cream with a chocolate cookie crumb swirl and fudge cows. The name "Minty Python" had been suggested before in 1996 in a contest to select the quintessential British ice cream flavour.
In 1999, in connection with the group's 30th anniversary, a beer named "Holy Grail Ale" was released by the Black Sheep Brewery in North Yorkshire.
The endangered Bemaraha woolly lemur (Avahi cleesei) is named after John Cleese.
Geneticists discovered a mutant gene which caused mutant flies to live twice as long as normal ones. They dubbed the gene "Indy," which is an acronym for the line of dialogue: "I'm not dead yet!", from the film Monty Python and the Holy Grail.
The band Toad the Wet Sprocket took its name from the Rock Notes sketch on the comedy album, Monty Python's Contractual Obligation Album.
World records
On St George's Day, 23 April 2007, the cast and creators of Spamalot gathered in Trafalgar Square under the tutelage of the two Terrys (Jones and Gilliam) to set a new record for the world's largest coconut orchestra. They led 5,567 people "clip-clopping" in time to the Python classic, "Always Look on the Bright Side of Life", for the Guinness World Records attempt.
On 5 October 2019, to mark the 50th anniversary of Monty Python's first show, the "first official Monty Python Guinness world record attempt" tried to break the record for "the largest gathering of people dressed as Gumbys." A recurring character on the show, a Gumby wears a handkerchief on their head, has spectacles, braces, a knitted tank top, and wellington boots. The shirt sleeves and trouser legs are always rolled up, exposing their socks and knees. Dimwitted, their most famous catchphrases are "My brain hurts!" and repeated shouts of "Hello!" and "Sorry!".
Timeline
Media
Television
Monty Python's Flying Circus (1969–74) The show that started the Python phenomenon, see also List of Monty Python's Flying Circus episodes.
Monty Python's Fliegender Zirkus (1972) Two 45-minute specials were made by WDR for West German television. The first was recorded in German, while the second was in English with German dubbing.
Monty Python's Personal Best (2006) Six one-hour specials, each episode presenting the best of one member's work.
Films
Five Monty Python productions were released as theatrical films:
And Now for Something Completely Different (1971) A collection of sketches from the first and second TV series of Monty Python's Flying Circus re-enacted and shot for film.
Monty Python and the Holy Grail (1975) King Arthur and his knights embark on a low-budget search for the Holy Grail, encountering humorous obstacles along the way. Some of these turned into stand-alone sketches.
Monty Python's Life of Brian (1979) Brian is born on the first Christmas, in the stable next to Jesus'. He spends his life being mistaken for a messiah.
Monty Python Live at the Hollywood Bowl (1982) A videotape recording directed by Terry Hughes of a live performance of sketches, it was originally intended for a TV/video special. It was transferred to 35 mm and given a limited theatrical release in the US.
Monty Python's The Meaning of Life (1983) An examination of the meaning of life in a series of sketches from conception to death and beyond.
Albums
Monty Python's Flying Circus (1970)
Another Monty Python Record (1971)
Monty Python's Previous Record (1972)
The Monty Python Matching Tie and Handkerchief (1973)
Monty Python Live at Drury Lane (1974)
The Album of the Soundtrack of the Trailer of the Film of Monty Python and the Holy Grail (1975)
Monty Python Live at City Center (1976)
The Monty Python Instant Record Collection (1977)
Monty Python's Life of Brian (1979)
Monty Python Examines The Life of Brian (promo) (1979)
Monty Python's Contractual Obligation Album (1980)
The Monty Python Instant Record Collection (US version) (1981)
Monty Python's The Meaning of Life (1983)
Monty Python's The Meaning of Life: Audio Press Kit (promo) (1983)
The Final Rip Off (1987)
Monty Python Sings (1989)
The Ultimate Monty Python Rip Off (1994)
Monty Python Sings Again (2014)
The Hastily Cobbled Together for a Fast Buck Album (unreleased)
Theatre
Monty Python's Flying Circus Between 1974 and 1980 (Live at the Hollywood Bowl was released in 1982, but was performed in 1980), the Pythons made three sketch-based stage shows, comprising mainly material from the original television series.
Monty Python's Spamalot Written by Idle and directed by Mike Nichols, with music and lyrics by John Du Prez and Idle, it starred Hank Azaria, Tim Curry, and David Hyde Pierce; Spamalot is a musical adaptation of the film Monty Python and the Holy Grail. It ran in Chicago from 21 December 2004 to 23 January 2005, and began performances on Broadway on 17 March 2005. It won three Tony Awards. It was one of eight UK musicals commemorated on Royal Mail stamps, issued in February 2011.
Not the Messiah the Toronto Symphony Orchestra commissioned Idle and John Du Prez to write the music and lyrics of an oratorio based on Monty Python's Life of Brian. Entitled Not the Messiah, it had its world premiere as part of Luminato, a "festival of arts and creativity" taking place 1–10 June 2007 in Toronto, Ontario, Canada. Not the Messiah was conducted by Peter Oundjian, music director of the Toronto Symphony Orchestra, who is Idle's cousin. It was performed by a narrator, the Toronto Symphony Orchestra, with guest soloists and choir. According to Idle, "I promise it will be funnier than Handel, though probably not as good".
Monty Python Live One Down, Five to Go : (1–5, 15–16, 18–20 July 2014). The Pythons have stated this is the last live reunion of the remaining members of Monty Python. Held at London's O2 Arena, tickets for the first night's show sold out in 43 seconds. The set list included a mix of live performances of their most popular sketches, clips from their shows, and elaborate dance numbers. Each night featured a different celebrity "victim" of the "Blackmail" sketch. The final show was screened to 2,000 cinemas around the world.
Books
Monty Python's Big Red Book (1971) .
The Brand New Monty Python Bok (1973) .
Monty Python and the Holy Grail (1977) .
Monty Python's The Life of Brian/MONTYPYTHONSCRAPBOOK (1979, plus script-only reprint) .
The Complete Works of Shakespeare and Monty Python. Volume One – Monty Python (1981) .
Monty Python: The Case Against (by Robert Hewison) (1981)
Monty Python's The Meaning of Life (1983) .
The Monty Python Gift Boks (1986)
Monty Python's Flying Circus – Just The Words Volume 1 (1989) .
Monty Python's Flying Circus – Just The Words Volume 2 (1989) .
The Fairly Incomplete & Rather Badly Illustrated Monty Python Song Book (1994)
Monty Python's Fliegender Zirkus (edited by Alfred Biolek) (1998)
Monty Python Speaks! (edited by David Morgan) (1999)
A Pocketful of Python Volume 1 (edited by Terry Jones) (1999)
A Pocketful of Python Volume 2 (edited by John Cleese) (1999)
A Pocketful of Python Volume 3 (edited by Terry Gilliam) (2000)
A Pocketful of Python Volume 4 (edited by Michael Palin) (2000)
A Pocketful of Python Volume 5 (edited by Eric Idle) (2002)
The Pythons Autobiography by The Pythons (edited by Bob McCabe) (2003, plus various reformatted editions)
Monty Python Live! (2009)
Monty Python at Work (by Michael Palin, compilation of republished diary entries) (2014)
So, Anyway ... (by John Cleese, Autobiography to age 30) (2014)
Always Look on the Bright Side of Life (by Eric Idle, Autobiography) (2018) .
Games
Monty Python's Flying Circus (1990) a computer game released by Virgin Games for 8-bit systems such as the Commodore 64, Amstrad CPC and the Sinclair ZX Spectrum, and for the 32-bit Amiga
Monty Python's Complete Waste of Time (1994) released by 7th Level for PC / Mac / DOS
Monty Python & the Quest for the Holy Grail (1996), official game released by 7th Level
Monty Python's The Meaning of Life (1997), also released by 7th Level.
Python-opoly (2007), a Monty Python-themed property game released by Toy Vault Inc.
Monty Python Fluxx (2008), a card game released by Looney Labs
Monty Python's Cow Tossing (2011), a smartphone game.
The Ministry of Silly Walks (2014), a smartphone game
See also
List of recurring characters in Monty Python's Flying Circus
Python (Monty) Pictures
The Firesign Theatre
References
Further reading
The Secret Policeman's Balls, 3-DVD set (2009)
Monty Python: 40 Years of Insanity
The Life of Python – 20 Greatest Monty Python Sketches (40th Anniversary)
External links
Monty Python – Official YouTube page
40 Years of Monty Python – photo essay by TIME magazine
2014 interview on return to live shows
Monty Python on youtube
British comedy troupes
British television comedy
British surrealist artists
British surrealist writers
Surreal comedy
Surrealist groups
Virgin Records artists
Arista Records artists
BAFTA Outstanding British Contribution to Cinema Award
European Film Awards winners (people)
Charisma Records artists
1969 establishments in England
1983 disestablishments in England
British comedy musicians
British novelty song performers
Black comedy
Religious comedy and humour |
18943 | https://en.wikipedia.org/wiki/Married...%20with%20Children | Married... with Children | Married... with Children is an American television sitcom created by Michael G. Moye and Ron Leavitt for Fox. Originally broadcast from April 5, 1987, to June 9, 1997, it is the longest-lasting live-action sitcom on Fox and one of the longest-running live-action sitcoms in television history alongside Cheers of NBC and M*A*S*H of CBS and the first to be broadcast in the network's primetime slot. In addition to the show's original run, one episode that was not screened on Fox when filmed on January 6, 1989, was aired on FX on June 18, 2002, five years after its conclusion.
The show follows the suburban Chicago lives of Al Bundy, a once-glorious high school football player turned hard-luck women's shoe salesman; his lazy wife, Peggy; their beautiful, dumb and popular daughter, Kelly; and their smart, horny and unpopular son, Bud. Their neighbors are the upwardly mobile Steve Rhoades and his wife Marcy, who later gets remarried to Jefferson D'Arcy, a white-collar criminal who becomes her "trophy husband" and Al's sidekick. Most storylines involve Al's schemes being foiled by his own cartoonish dim wit and bad luck.
The series comprises 259 episodes and 11 seasons. Its theme song is "Love and Marriage" by Sammy Cahn and Jimmy Van Heusen, performed by Frank Sinatra from the 1955 television production Our Town.
The first two seasons of the series were videotaped at ABC Television Center in Hollywood. Seasons three to eight were taped at Sunset Gower Studios in Hollywood; the final three seasons were taped at Sony Pictures Studios in Culver City. The series was produced by Embassy Communications during its first season and half of its second season and the remaining seasons by ELP Communications under the studio Columbia Pictures Television.
In 2008, the show placed number 94 on Entertainment Weekly "New TV Classics" list.
Cast and characters
Al Bundy (Ed O'Neill) – A misanthrope, afflicted by the "Bundy curse" that consigns him to an unrewarding career selling women's shoes and a life with a family that mocks and disrespects him, who still enjoys the simple things in life. He constantly attempts to relive his high-school football days, when he was an "All State Fullback". His most noted achievement was having scored four touchdowns in a single game for Polk High. His favorite things in life are the local nudie bar, his collection of BigUns magazine, his Dodge car with almost on the odometer, and a television show called Psycho Dad. Despite his family's seeming antipathy for him, and his for them, Al is always ready to defend Bundy honor (often with his fists), and he is highly protective of his daughter Kelly.
Peggy Bundy (née Wanker) (Katey Sagal) – Al's wife who is always pestering him about money and refuses to do any housework or get a job. Peggy is a lazy redhead who spends most of her time watching talk shows such as Oprah or stealing Al's limited funds to go shopping; she frequently mocks Al about his unglamourous job, his meager earnings, his hygiene, and his poor sexual abilities. Her careless spending on things like clothes and male strip clubs has run Al into debt on numerous occasions. A recurring joke in the series is Al's regret of having married Peggy in the first place; the union was forced on him at shotgun-point. Peggy's best friend is Marcy, with whom she occasionally conspires against Al. Her side of the family is a stereotypical backwoods clan of hillbillies whom she often forces the other Bundys to endure, especially her morbidly obese mother, whom Al finds intolerable.
Kelly Bundy (Christina Applegate) – the Bundys' firstborn; a stereotypical dumb blonde who is often derided as promiscuous and dates men who irritate Al to the point of him physically assaulting them. Her stupidity manifests in many ways, from forgetting ideas on the spot to mispronouncing or misspelling simple words. Like her mother, she likes to steal Al's money to purchase expensive clothing and other items. She also enjoys belittling Bud, her uncool brother, though she stands up for him against anyone outside the family aside from her circle of friends.
Budrick "Bud" Franklin Bundy (David Faustino) – the younger Bundy offspring, the most intelligent family member, and the first Bundy to attend college. His awkwardness and preoccupation with sex leads to inevitable failures with women. To improve his success with girls, Bud often uses his alternate persona, "Grandmaster B", a bad-boy rapper from New York City. When using the "Grandmaster B" persona, Bud usually wears dark sunglasses and a backward Los Angeles Raiders hat. His mistreatment at the hands of Kelly is returned in kind, making jokes at her expense regarding her promiscuity and stupidity, but when she is in a legitimate bind, Bud will stand up for her, much like Kelly does for him under similar circumstances.
Marcy Rhoades, later Marcy D'Arcy (Amanda Bearse) – the Bundys' next-door neighbor, Al's nemesis and Peggy's best friend; an educated banker, but also a feminist and environmentalist who often protests Al's schemes with his NO MA'AM (National Organization of Men Against Amazonian Masterhood) group. Marcy is the founder and leader of an anti-man support group called "FANG" (Feminists Against Neanderthal Guys). Despite her political correctness and structured life, Marcy harbors a dark, somewhat sexually deviant side, which comes up when she reminisces over events in her past. Al is repulsed by Marcy and frequently belittles her, likening her to a chicken, and mockingly confusing her for an adolescent male. At the outset of the show, Marcy is married to Steve Rhoades. After Steve is written off the show during the fourth season, he is replaced by Jefferson D'Arcy.
Steven "Steve" Bartholomew Rhoades (David Garrison) is Marcy's first husband, a nerdy banker who finds himself frequently entangled in Al's schemes. Steve's most prized possession is his Mercedes Benz, which he does not even let Marcy drive. Steve grows increasingly tired of Marcy's controlling behavior, and he eventually leaves her during the fourth season to become a forest ranger at Yosemite National Park. He comes back in "The Egg and I" to try and reclaim his old life with Marcy, but finds trouble with Jefferson. Steve later has another job as the dean of Bud's college, after blackmailing the previous one he worked under as a chauffeur.
Jefferson Milhouse D'Arcy (Ted McGinley), a pretty-boy scam artist to whom Marcy wakes up one morning and discovers she is married. Unlike Steve, Jefferson is an unemployed, lazy loafer, who takes advantage of Marcy for financial purposes. When he gets caught, he distracts her by working his charm and resorting to sexual bartering. Steve and Jefferson do not like each other for personal reasons. In several episodes, Jefferson is implied to have had a past life as a former spy/CIA operative and may still be involved in white-collar crime.
Pilot episode
In the show's pilot episode, Tina Caspary played the role of Kelly Bundy, while Hunter Carson played Bud. Before the series aired publicly the roles for the two Bundy children were re-cast. O'Neill felt a lack of chemistry with the original actors cast as the children. He requested a re-cast, which the producers approved. All of the scenes in the original pilot were re-shot with the replacement actors, Christina Applegate and David Faustino.
Recurring characters
Fox broadcast history
On April 22, 2012, Fox reaired the series premiere in commemoration of its 25th anniversary.
Episodes
During its 11-season run on the Fox network, Married... with Children aired 258 episodes. A 259th episode, "I'll See You in Court" from season 3, never aired on Fox (see below), but premiered on FX and has since been included on DVD and in syndication packages. The episode counts in the chart below. Three specials also aired following the series' cancellation, including a cast reunion.
Nielsen ratings
Despite the show's enduring popularity and fanbase, Married... with Children was never a huge ratings success. Part of the reason was the fact that Fox, being a new startup network, did not have the affiliate base of the Big Three television networks, thus preventing the series from reaching the entire country. In an interview for a special commemorating the series' 20-year anniversary in 2007, Katey Sagal stated that part of the problem the series faced was that many areas of the country were able to get Fox only through low-quality UHF channels well into the early 1990s, while some areas of the country did not receive the new network at all, a problem not largely rectified until the launch of Foxnet in June 1991 and later the network's acquisition of National Football League rights which led to several stations across the United States changing affiliations. For instance, Ed O'Neill's hometown of Youngstown, Ohio, didn't have its own Fox affiliate until CBS affiliate WKBN-TV signed on WFXI-CA/WYFX-LP in 1998 (the area was served by WPGH-TV in Pittsburgh and Cleveland's Fox affiliates—initially WOIO, then WJW—as default affiliates on cable), so many of O'Neill's friends and family mistakenly thought he was famous for beer commercials during this time.
Another problem lay in the fact that many of the newly developed series on Fox were unsuccessful, which kept the network from building a popular lineup to draw in a larger audience. In its original airing debut, Married... with Children was part of a Sunday lineup that competed with the popular Murder, She Wrote and Sunday-night movie on CBS. Fellow freshman series included Duet, cancelled in 1989, along with It's Garry Shandling's Show and The Tracey Ullman Show, both of which were canceled in 1990. The success of The Simpsons, which debuted on The Tracey Ullman Show in 1987, helped draw some viewers over to Fox, allowing Married... with Children to sneak into the top 50 of television shows for seasons 3 through 9 doing its best overall rating at number 8 for its third and tenth seasons. Although these ratings were somewhat small in comparison with the other three networks, they were good enough for Fox to keep renewing the show.
While the series didn't end on a cliffhanger, it was expected to be renewed for a 12th season (which would have been the final season) and thus didn't have a proper series finale when Fox decided to cancel it in 1997. With Fox announcing the cancellation publicly before informing the cast and crew, most if not all of them found out about the series cancellation from fans and low-level employees instead of from the network itself. Katey Sagal stated that she constantly felt that the series was neglected by Fox despite helping bring the fledgling network on the map and was even on before The Simpsons, which Ed O'Neill attributed to the constant turnover at the top of the Fox Network aside from owner Rupert Murdoch during the series run. In a 2013 interview, O'Neill stated that he felt TV stations who owned syndication rights to the series put pressure on Fox and Sony Pictures Television to end the series since the series had nearly three times the episodes needed for syndication and the production of more episodes would have resulted in higher rights fees.
Ratings data for some seasons courtesy of TVTango.com.
1986–1987 Season 1: #142
1987–1988 Season 2: #116 (4.70 rating)
1988–1989 Season 3: #48 (10.45 rating)
1989–1990 Season 4: #50 (10.12 rating)
1990–1991 Season 5: #50 (13.00 rating)
1991–1992 Season 6: #29 (13.36 rating)
1992–1993 Season 7: #37 (11.97 rating)
1993–1994 Season 8: #46 (10.77 rating)
1994–1995 Season 9: #49 (10.10 rating)
1995–1996 Season 10: #56 (9.20 rating)
1996–1997 Season 11: #63 (8.70 rating)
Controversy
In 1989, Terry Rakolta, from Bloomfield Hills, Michigan, led a boycott of the show after viewing the episode "Her Cups Runneth Over". Offended by the images of an old man wearing a woman's garter and stockings, the scene where Steve touches the pasties of a mannequin dressed in S&M gear, a homosexual man wearing a tiara on his head (and Al's line "...and they wonder why we call them 'queens'"), and a half-nude woman who takes off her bra in front of Al (and is shown with her arms covering her bare chest in the next shot), Rakolta began a letter-writing campaign to advertisers, demanding they boycott the show.
After advertisers began dropping their support for the show, and while Rakolta made several appearances on television talk shows demanding the show's cancellation, Fox executives refused to air the episode titled "I'll See You in Court." This episode became known as the "Lost Episode" and was aired on FX on June 18, 2002, with some parts cut. The episode was packaged with the rest of the third season in the January 2005 DVD release (and in the first volume of the Married ... With Children Most Outrageous Episodes DVD set) with the parts cut from syndication restored.
Ironically, viewers' curiosity over the boycott and over the show itself led to a drastic ratings boost in an example of the Streisand Effect, which Rakolta has since acknowledged. She has been alluded to twice on the show: "Rock and Roll Girl", when a newscaster mentioned the city Bloomfield Hills, and "No Pot to Pease In", when a television show was made about the Bundy family and then was cancelled because (according to Marcy) "some woman in Michigan didn't like it."
The conservative Parents Television Council named Married... with Children the worst show of both the 1995–96 and 1996–97 television seasons in its first two years in operation. In 1996, the organization called the show the "crudest comedy on prime time television...peppered with lewd punch lines about sex, masturbation, the gay lifestyle and the lead character's fondness for pornographic magazines and strip clubs." Amanda Bearse told News Corp Australia in 2018 that she did not believe the show would work in the present day given its content amid a more politically correct climate.
Despite the series’ controversial content and being clearly aimed at a male audience, it did receive recognition behind the scenes as being one of the few series on at the time that gave women prominent roles backstage and was often praised for its treatment of women. Producers rewrote the sixth season story of Peggy's pregnancy, which coincided with Sagal being an expectant mother, as a dream Al had after Sagal miscarried. This was done to prevent the actress from suffering further trauma by having to interact with an infant on the set. The positive treatment of women on the set also allowed Bearse to become one of the first mainstream actresses to publicly come out as lesbian, which she did during the series and received positive recognition for doing so.
Home media
Sony Pictures Home Entertainment has released all 11 seasons of Married... with Children on DVD in Regions 1, 2, & 4. On December 12, 2010, Sony released a complete series set on DVD in Region 1.
In December 2007, the Big Bundy Box—a special collection box with all seasons plus new interviews with Sagal and David Faustino—was released. This boxset was released in Australia (Region 4) on November 23, 2009.
The Sony DVD box sets from season 3 onward do not feature the original "Love and Marriage" theme song in the opening sequence. This was done because Sony was unable to obtain the licensing rights to the song for later sets. Despite this, the end credits on the DVDs for season 3 still include a credit for "Love and Marriage."
On August 27, 2013, it was announced that Mill Creek Entertainment had acquired the home media rights to various television series from the Sony Pictures library including Married... with Children with the original theme song "Love and Marriage" sung by Frank Sinatra. They have subsequently re-released the 11 seasons on DVD. The Mill Creek Entertainment version (along with the versions available for streaming and downloading) include scenes that are normally edited in syndication and most of the licensed music that's dubbed over or deleted due to copyright issues. A complete series DVD set was re-released on July 7, 2015, in Region 1. All seasons of Married... with Children are now available for online download and streaming through Amazon, Apple iTunes, Peacock, Hulu, and Vudu.
Merchandise
Books
Pig Out With Peg: Secrets from the Bundy Family Kitchen, Avon Books, November 1990,
Bundyisms: The Wit and Wisdom of America's Last Family, Boulevard Books, May 1997,
The Complete "Married... with Children" Book: TV's Dysfunctional Family Phenomenon, Bear Manor Media, August 2017,
Comic books
Married... with Children was adapted into a comic book series by NOW Comics in 1990.
Toys
Board game
Married With Children: Act Like...Think Like...Be Like a...Bundy was released in 1990 by Galoob.
Action figures
Two series (10 in all) of 8" action figures were produced by Classic TV Toys in 2005 and 2006.
In 2018, Funko produced figures of Al, Kelly, Bud and Peggy as a part of their Funko POP! line.
That same year, Funko also released a Married... with Children box set as a Comic Con Exclusive. It included retro-styled Al, Peggy, Kelly and Bud action figures. In 2018 and 2019, Mego released Target exclusives of Al, Peggy and Kelly in 1/9 scale.
International remakes
Armenia
An Armenian remake was made in 2016, called The Azizyans. The Azizyans is an Armenian sitcom television series developed by Robert Martirosyan and Van Grigoryan. The series premiered on Armenia TV on October 31, 2016. However, the series was not available to the public until Armenia TV started airing the sitcom from October 10, 2017. The series takes place in Yerevan, Armenia. The Azizyans sitcom is starred by Hayk Marutyan. He embodies the character of Garnik Azizyan – a clothes store seller, who is the only one working in the family. Mrs. Ruzan Azizyan is lazy enough to perform the duties of a housewife.
The problems of the father of the family don't bother his 3 children – his daughter, who is internet-addicted and is active in all social networks; his unemployed eldest son, who is a complete loser, and his youngest son, who is a schoolboy. The roles in this sitcom, created for family watching, are played by Ani Lupe, Satenik Hazaryan, Ishkhan Gharibyan, Suren Arustamyan and other popular Armenian actors. The project is directed by Arman Marutyan. In the second season of the sitcom, the Azizyan family continues to survive thanks to the meager salary of Garnik.
The wife of Garnik – Ruzan, remains in the status of a housewife, without even thinking about finding a job. The elder son of Garnik and Ruzan – Azat, continues to look for a new job, a young man appears in the life of Marie, who is trying to win the girl's heart. Their younger son Levon, continues to live his own life and does not understand what he has in common with this family. And their neighbors Irina and Alik continue to be friends with the family, which Azizyans do not quite approve. The only bright spot in the life of the family is their house, which Garnik inherited from his grandfather.
Argentina
An Argentine remake was made by Telefe in 2005, called Casados con Hijos. Two seasons were made (2005 and 2006), totaling 215 episodes and it became a mashing success during the replaying. More than fifteen years after the release, it is still aired on Saturdays at 7:30 pm. The series has been also shown by local channels in Uruguay, Paraguay, and Peru.
The character names are: José "Pepe" Argento (based on Al, played by Guillermo Francella), Mónica "Moni" Argento (based on Peggy, played by Florencia Peña), Paola Argento (based on Kelly, played by Luisana Lopilato), Alfio "Coqui" Argento (based on Bud, played by Darío Lopilato), Dardo and María Elena Fuseneco (based on Jefferson D'Arcy, Steve Rhoades and Marcy; played by Marcelo de Bellis and Érica Rivas).
Brazil
In Brazil Rede Bandeirantes made a remake in 1999 with the name A Guerra dos Pintos (The War of The Pintos). 52 episodes were recorded but only 22 aired before cancelation.
Bulgaria
In Bulgaria a remake is aired from March 26, 2012, with the name Женени с деца в България (Zheneni s detsa v Bulgaria) (Married with children in Bulgaria).
Croatia
In Croatia a remake called Bračne vode was broadcast from September 2008 until November 2009 on Nova TV channel. The characters based on the Bundys were called Zvonimir, Sunčica, Kristina and Boris Bandić while the ones based on Marcy and Steve were called Marica and Ivan Kumarica.
Germany
In Germany, the 1992 remake Hilfe, meine Familie spinnt, broadcast in the prime time, reached double the audience of the original (broadcast in the early fringe time). This, however, was not enough to maintain the series, so it was cancelled after one season. The remake used the exact translated scripts of the original series (which already substituted localised humour and in-jokes for incomprehensible references to American TV shows not shown in Germany, as well as some totally different jokes) and just renamed places and people according to the new setting.
was aired from March to December 1993 for 26 episodes.
Hungary
In 2006, Hungarian TV network TV2 purchased the license rights including scripts and hired the original producers from Sony Pictures for a remake of the show placed in a Hungarian environment. It was entitled (in English: Married with children in Budapest, loan translation: A gruesomely decent family in Budapest). The main story began with the new family called the Bándis inheriting an outskirt house from their American relatives the Bundys. They filmed a whole season of 26 episodes, all of them being remade versions of the plots of the original first seasons. It was the highest budget sitcom ever made in Hungary. First it was aired on Tuesday nights, but was beaten by a new season of ER, then placed to Wednesday nights. The remake lost its viewers, but stayed on the air due to the contract between Sony and TV2. Also the Hungarian critics have strongly condemned the copyright infringement of the original series. They also criticized the lack of quality and the dilettante forcing of the American cliches in Eastern European (Hungarian) environment.
Israel
The complete American series aired in Israel in the 1990s, with reruns of it ever since. There has also been an Israeli remake to the show titled Nesuim Plus (Married Plus) that aired its two seasons from 2012 to 2017.
Russia
The Original Married... With Children ran on TV-6 Russia in the late 1990s and early 2000s (before the closing of the channel) in prime-time basis, broadcasting the episodes from seasons 1–10. The show later aired on DTV and Domashniy TV. However, for unknown reasons, most episodes from season 11 were not shown. A Russian adaptation, titled Happy Together (Schastlivy Vmeste; Happy Together), was broadcast on TNT across the country.
The character names are: Gena Bukin (based on Al, played by Viktor Loginov), Dasha Bukina (based on Peggy, played by Natalya Bochkareva), Sveta Bukina (based on Kelly, played by Darya Sagalova), Roma Bukin (based on Bud, played by Alexander Yakin), Elena and Anatoliy Poleno (based on Marcy and Jefferson D'Arcy, played by Yulia Zaharova and Pavel Savinkov), Evgeniy Stepanov (based on Steve Rhoades, played by Aleksey Sekirin), Sema Bukin (based on Seven, played by Ilya Butkovskiy), and Baron Bukin (based on Buck and Lucky, played by Bayra).
Turkey
A remake was aired in Turkey in 2004 for one season under the name Evli ve Çocuklu (Married and with Children), featuring Ege Aydan and Yıldız Kaplan in the roles of Niyazi (based on Al) and Jale (based on Peg) Tonguç. The producer, Med Yapım, has published 10 episodes on YouTube in 2018.
UK
ITV had been screening the original Married... With Children since 1988. In 1996, the UK production company Central Television and Columbia Pictures Television (Columbia TriStar Central Productions) produced a UK version called Married for Life, which lasted for one series with seven episodes.
Spin-offs
Top of the Heap was a sitcom starring Matt LeBlanc. The show was about Vinnie Verducci (played by LeBlanc) and his father Charlie (played by Joseph Bologna) always trying get rich quick schemes. The Verduccis were introduced in an earlier episode where Vinnie dated Kelly Bundy, and Charlie was introduced as an old friend of Al Bundy's. The end of the pilot episode shows Al breaking into their apartment and stealing their TV to replace the one he lost betting on Vinnie in a boxing match. However, the show didn't last long and was ultimately cancelled. It had its own spin-off/sequel called Vinnie & Bobby a year later, which was also cancelled.
Also, an attempt was made to make a spin-off out of David Garrison's Steve Rhoades character which took place on Bud's Trumaine University called Radio Free Trumaine where Garrison played the Dean. Enemies was another spin-off, but played to be a spoof on the TV series Friends. Meanwhile, a proposed series focusing on the NO MA'AM group without Al Bundy was outright rejected by Fox over fears of misogyny.
On September 11, 2014, it was announced that a spin-off was in the works, centered on the character of Bud Bundy.
U.S. syndication and international airings
Distributed by Columbia Pictures Television Distribution, later Sony Pictures Television since 2002, Married... with Children debuted in off-network syndication in the fall of 1991. The series later began airing on cable on FX from September 1998 until 2007. In June 2002, FX became the first television network to air the controversial, previously banned episode "I'll See You in Court", albeit in an edited format. The fully uncensored version of "I'll See You in Court" can only be seen on the DVD release Married... with Children: The Most Outrageous Episodes Volume 1 and the Mill Creek Entertainment complete series collection. The version found on the Third Season DVD set under Sony is the edited-for-TV version. In 2008, the Spike network reportedly paid US$12 million for broadcast rights to every episode including the unedited version of the infamous episode, "I'll See You in Court".
Syndication rights to the series are currently held by Paramount Media Networks. It previously aired on Antenna TV, Ion Television, TBS, WGN America, and Sony's GetTV channel. WGN America gained rights to the show when TBS removed it from their early morning slots in September 2018. Following its acquisition by Nexstar Media Group and rebrand to NewsNation, the network indicated it would start rolling off its non-news programming as those contracts expire to expand news coverage. Meanwhile, eight Paramount channels have carried the show since 2008: Spike (since renamed Paramount Network), TV Land, Comedy Central, Nick at Nite, MTV2, VH1 Classic (now MTV Classic), CMT, and Logo TV. In November 2018, the entire 11-season run became available to watch through Hulu.
Married...with Children has also been a ratings success in other countries around the world.
Locations
The opening footage comprises views of Chicago, opening with a shot of Buckingham Fountain in Grant Park. The aerial downtown shot was taken from the Lake Shore Drive section north of the Loop. The expressway entrance shot was taken from the 1983 movie National Lampoon's Vacation featuring the Griswolds' green family truckster with a northeastward view of the Dan Ryan/Stevenson junction southwest of the Loop. The exterior shot used for the Bundys' house was taken in a subdivision in Deerfield, Illinois. Non-English versions might differ, e.g. the dubbed German version always includes the expressway shot.
See also
Modern Family, a show where Ed O'Neill also plays a family man.
Star-ving, a web series created by David Faustino, where the original cast was reunited.
Unhappily Ever After, another show created by Ron Leavitt, treating similar themes.
References
External links
Official website
1987 American television series debuts
1997 American television series endings
Fox Broadcasting Company original programming
1980s American sitcoms
1990s American sitcoms
1990s American black comedy television series
English-language television shows
Television shows set in Chicago
Television shows filmed in Los Angeles
Television series by Sony Pictures Television
Television series about dysfunctional families
Television series about marriage
Television shows adapted into comics
Television controversies in the United States
Obscenity controversies in television |
18947 | https://en.wikipedia.org/wiki/Metre | Metre | The metre (Commonwealth spelling) or meter (American spelling; see spelling differences) (from the French unit , from the Greek noun , "measure") is the base unit of length in the International System of Units (SI). The SI unit symbol is m.
The metre is currently defined as the length of the path travelled by light in a vacuum in of a second.
The metre was originally defined in 1793 as one ten-millionth of the distance from the equator to the North Pole along a great circle, so the Earth's circumference is approximately km. In 1799, the metre was redefined in terms of a prototype metre bar (the actual bar used was changed in 1889). In 1960, the metre was redefined in terms of a certain number of wavelengths of a certain emission line of krypton-86. The current definition was adopted in 1983 and modified slightly in 2002 to clarify that the metre is a measure of proper length.
Spelling
Metre is the standard spelling of the metric unit for length in nearly all English-speaking nations except the United States and the Philippines, which use meter. Other West Germanic languages, such as German and Dutch, and North Germanic languages, such as Danish, Norwegian, and Swedish, likewise spell the word Meter or meter.
Measuring devices (such as ammeter, speedometer) are spelled "-meter" in all variants of English. The suffix "-meter" has the same Greek origin as the unit of length.
Etymology
The etymological roots of metre can be traced to the Greek verb () (to measure, count or compare) and noun () (a measure), which were used for physical measurement, for poetic metre and by extension for moderation or avoiding extremism (as in "be measured in your response"). This range of uses is also found in Latin (), French (), English and other languages. The Greek word is derived from the Proto-Indo-European root *meh₁- 'to measure'. The motto () in the seal of the International Bureau of Weights and Measures (BIPM), which was a saying of the Greek statesman and philosopher Pittacus of Mytilene and may be translated as "Use measure!", thus calls for both measurement and moderation. The use of the word metre (for the French unit ) in English began at least as early as 1797.
History of definition
Pendulum or meridian
In 1671 Jean Picard measured the length of a "seconds pendulum" and proposed a unit of measurement twice that length to be called the universal toise (French: Toise universelle). In 1675, Tito Livio Burattini suggested the term metre for a unit of length based on a pendulum length, but then it was discovered that the length of a seconds pendulum varies from place to place.
Since Eratosthenes, geographers had used meridian arcs to assess the size of the Earth, which in 1669, Jean Picard determined to have a radius of toises, treated as a simple sphere. In the 18th century, geodesy grew in importance as a means of empirically demonstrating the theory of gravity and because the radius of the Earth was the unit to which all celestial distances were to be referred.
Meridional definition
As a result of the Lumières and during the French Revolution, the French Academy of Sciences charged a commission with determining a single scale for all measures. On 7 October 1790 that commission advised the adoption of a decimal system, and on 19 March 1791 advised the adoption of the term mètre ("measure"), a basic unit of length, which they defined as equal to one ten-millionth of the quarter meridian, the distance between the North Pole and the Equator along the meridian through Paris. On 26 March 1791, the French National Constituant Assembly adopted the proposal.
The French Academy of Sciences commissioned an expedition led by Jean Baptiste Joseph Delambre and Pierre Méchain, lasting from 1792 to 1799, which attempted to accurately measure the distance between a belfry in Dunkerque and Montjuïc castle in Barcelona at the longitude of the Paris Panthéon (see meridian arc of Delambre and Méchain). The expedition was fictionalised in Denis Guedj, Le Mètre du Monde. Ken Alder wrote factually about the expedition in The Measure of All Things: the seven year odyssey and hidden error that transformed the world. This portion of the Paris meridian was to serve as the basis for the length of the half meridian connecting the North Pole with the Equator. From 1801 to 1812 France adopted this definition of the metre as its official unit of length based on results from this expedition combined with those of the Geodesic Mission to Peru. The latter was related by Larrie D. Ferreiro in Measure of the Earth: The Enlightenment Expedition that Reshaped Our World.
In the 19th century, geodesy underwent a revolution through advances in mathematics as well as improvements in the instruments and methods of observation, for instance accounting for individual bias in terms of the personal equation. The application of the least squares method to meridian arc measurements demonstrated the importance of the scientific method in geodesy. On the other hand, the invention of the telegraph made it possible to measure parallel arcs, and the improvement of the reversible pendulum gave rise to the study of the Earth's gravitational field. A more accurate determination of the Figure of the Earth would soon result from the measurement of the Struve Geodetic Arc (1816–1855) and would have given another value for the definition of this standard of length. This did not invalidate the metre but highlighted that progress in science would allow better measurement of Earth's size and shape.
In 1832, Carl Friedrich Gauss studied the Earth's magnetic field and proposed adding the second to the basic units of the metre and the kilogram in the form of the CGS system (centimetre, gram, second). In 1836, he founded the Magnetischer Verein, the first international scientific association, in collaboration with Alexander von Humboldt and Wilhelm Edouard Weber. The coordination of the observation of geophysical phenomena such as the Earth's magnetic field, lightning and gravity in different points of the globe stimulated the creation of the first international scientific associations. The foundation of the Magnetischer Verein would be followed by that of the Central European Arc Measurement (German: Mitteleuropaïsche Gradmessung) on the initiative of Johann Jacob Baeyer in 1863, and by that of the International Meteorological Organisation whose second president, the Swiss meteorologist and physicist, Heinrich von Wild would represent Russia at the International Committee for Weights and Measures (CIPM).
International prototype metre bar
In 1816, Ferdinand Rudolph Hassler was appointed first Superintendent of the Survey of the Coast. Trained in geodesy in Switzerland, France and Germany, Hassler had brought a standard metre made in Paris to the United States in 1805. He designed a baseline apparatus which instead of bringing different bars in actual contact during measurements, used only one bar calibrated on the metre and optical contact. Thus the metre became the unit of length for geodesy in the United States.
Since 1830, Hassler was also head of the Bureau of Weights and Measures which became a part of the Coast Survey. He compared various units of length used in the United States at that time and measured coefficients of expansion to assess temperature effects on the measurements.
In 1841, Friedrich Wilhelm Bessel, taking into account errors which had been recognized by Louis Puissant in the French meridian arc comprising the arc measurement of Delambre and Méchain which had been extended southward by François Arago and Jean-Baptiste Biot, recalculated the flattening of the Earth ellipsoid making use of nine more arc measurements, namely Peruan, Prussian, first East-Indian, second East-Indian, English, Hannover, Danish, Russian and Swedish covering almost 50 degrees of latitude, and stated that the Earth quadrant used for determining the length of the metre was nothing more than a rather imprecise conversion factor between the toise and the metre.
Regarding the precision of the conversion from the toise to the metre, both units of measurement were then defined by primary standards, and unique artifacts made of different alloys with distinct coefficients of expansion were the legal basis of units of length. A wrought iron ruler, the Toise of Peru, also called Toise de l'Académie, was the French primary standard of the toise, and the metre was officially defined by the Mètre des Archives made of platinum. Besides the latter, another platinum and twelve iron standards of the metre were made in 1799. One of them became known as the Committee Meter in the United States and served as standard of length in the Coast Survey until 1890. According to geodesists, these standards were secondary standards deduced from the Toise of Peru. In Europe, surveyors continued to use measuring instruments calibrated on the Toise of Peru. Among these, the toise of Bessel and the apparatus of Borda were respectively the main references for geodesy in Prussia and in France. A French scientific instrument maker, Jean Nicolas Fortin, had made two direct copies of the Toise of Peru, the first for Friedrich Georg Wilhelm von Struve in 1821 and a second for Friedrich Bessel in 1823.
On the subject of the theoretical definition of the metre, it had been inaccessible and misleading at the time of Delambre and Mechain arc measurement, as the geoid is a ball, which on the whole can be assimilated to an oblate spheroid, but which in detail differs from it so as to prohibit any generalization and any extrapolation. As early as 1861, after Friedrich von Schubert showed that the different meridians were not of equal length, Elie Ritter, a mathematician from Geneva, deduced from a computation based on eleven meridian arcs covering 86 degrees that the meridian equation differed from that of the ellipse: the meridian was swelled about the 45th degree of latitude by a layer whose thickness was difficult to estimate because of the uncertainty of the latitude of some stations, in particular that of Montjuïc in the French meridian arc. By measuring the latitude of two stations in Barcelona, Méchain had found that the difference between these latitudes was greater than predicted by direct measurement of distance by triangulation. We know now that, in addition to other errors in the survey of Delambre and Méchain, an unfavourable vertical deflection gave an inaccurate determination of Barcelona's latitude, a metre "too short" compared to a more general definition taken from the average of a large number of arcs.
Nevertheless Ferdinand Rudolph Hassler's use of the metre in coastal survey contributed to the introduction of the Metric Act of 1866 allowing the use of the metre in the United States, and also played an important role in the choice of the metre as international scientific unit of length and the proposal by the European Arc Measurement (German: Europäische Gradmessung) to “establish a European international bureau for weights and measures”. However, in 1866, the most important concern was that the Toise of Peru, the standard of the toise constructed in 1735 for the French Geodesic Mission to the Equator, might be so much damaged that comparison with it would be worthless, while Bessel had questionned the accuracy of copies of this standard belonging to Altona and Koenigsberg Observatories, which he had compared to each other about 1840. Indeed when the primary Imperial yard standard was partially destroyed in 1834, a new standard of reference had been constructed using copies of the "Standard Yard, 1760" instead of the pendulum's length as provided for in the Weights and Measures Act of 1824.
In 1864, Urbain Le Verrier refused to join the first general conference of the Central European Arc Measurement because the French geodetic works had to be verified.
In 1866, at the meeting of the Permanent Commission of the association in Neuchâtel, Antoine Yvon Villarceau announced that he had checked eight points of the French arc. He confirmed that the metre was too short. It then became urgent to undertake a complete revision of the meridian arc. Moreover, while the extension of the French meridian arc to the Balearic Islands (1803–1807) had seemed to confirm the length of the metre, this survey had not been secured by any baseline in Spain. For that reason, Carlos Ibáñez e Ibáñez de Ibero's announcement, at this conference, of his 1858 measurement of a baseline in Madridejos was of particular importance. Indeed surveyors determined the size of triangulation networks by measuring baselines which concordance granted the accuracy of the whole survey.
In 1867 at the second general conference of the International Association of Geodesy held in Berlin, the question of an international standard unit of length was discussed in order to combine the measurements made in different countries to determine the size and shape of the Earth. The conference recommended the adoption of the metre in replacement of the toise and the creation of an international metre commission, according to the proposal of Johann Jacob Baeyer, Adolphe Hirsch and Carlos Ibáñez e Ibáñez de Ibero who had devised two geodetic standards calibrated on the metre for the map of Spain.
Ibáñez adopted the system which Ferdinand Rudolph Hassler used for the United States Survey of the Coast, consisting of a single standard with lines marked on the bar and microscopic measurements. Regarding the two methods by which the effect of temperature was taken into account, Ibáñez used both the bimetallic rulers, in platinum and brass, which he first employed for the central baseline of Spain, and the simple iron ruler with inlaid mercury thermometers which was utilized in Switzerland. These devices, the first of which is referred to as either Brunner apparatus or Spanish Standard, were constructed in France by Jean Brunner, then his sons. Measurement traceability between the toise and the metre was ensured by comparison of the Spanish Standard with the standard devised by Borda and Lavoisier for the survey of the meridian arc connecting Dunkirk with Barcelona.
Hassler's metrological and geodetic work also had a favourable response in Russia. In 1869, the Saint Petersburg Academy of Sciences sent to the French Academy of Sciences a report drafted by Otto Wilhelm von Struve, Heinrich von Wild and Moritz von Jacobi inviting his French counterpart to undertake joint action to ensure the universal use of the metric system in all scientific work.
In the 1870s and in light of modern precision, a series of international conferences was held to devise new metric standards. When a conflict broke out regarding the presence of impurities in the metre-alloy of 1874, a member of the Preparatory Committee since 1870 and Spanish representative at the Paris Conference in 1875, Carlos Ibáñez e Ibáñez de Ibero intervened with the French Academy of Sciences to rally France to the project to create an International Bureau of Weights and Measures equipped with the scientific means necessary to redefine the units of the metric system according to the progress of sciences.
The Metre Convention (Convention du Mètre) of 1875 mandated the establishment of a permanent International Bureau of Weights and Measures (BIPM: ) to be located in Sèvres, France. This new organisation was to construct and preserve a prototype metre bar, distribute national metric prototypes, and maintain comparisons between them and non-metric measurement standards. The organisation distributed such bars in 1889 at the first General Conference on Weights and Measures (CGPM: ), establishing the International Prototype Metre as the distance between two lines on a standard bar composed of an alloy of 90% platinum and 10% iridium, measured at the melting point of ice.
The comparison of the new prototypes of the metre with each other and with the Committee metre (French: Mètre des Archives) involved the development of special measuring equipment and the definition of a reproducible temperature scale. The BIPM's thermometry work led to the discovery of special alloys of iron-nickel, in particular invar, for which its director, the Swiss physicist Charles-Edouard Guillaume, was granted the Nobel Prize for physics in 1920.
As Carlos Ibáñez e Ibáñez de Ibero stated, the progress of metrology combined with those of gravimetry through improvement of Kater's pendulum led to a new era of geodesy. If precision metrology had needed the help of geodesy, the latter could not continue to prosper without the help of metrology. It was then necessary to define a single unit to express all the measurements of terrestrial arcs and all determinations of the force of gravity by the mean of pendulum. Metrology had to create a common unit, adopted and respected by all civilized nations.
Moreover, at that time, statisticians knew that scientific observations are marred by two distinct types of errors, constant errors on the one hand, and fortuitous errors, on the other hand. The effects of the latters can be mitigated by the least-squares method. Constant or regular errors on the contrary must be carefully avoided, because they arise from one or more causes that constantly act in the same way and have the effect of always altering the result of the experiment in the same direction. They therefore deprive of any value the observations that they impinge. However, the distinction between systematic and random errors is far from being as sharp as one might think at first assessment. In reality, there are no or very few random errors. As science progresses, the causes of certain errors are sought out, studied, their laws discovered. These errors pass from the class of random errors into that of systematic errors. The ability of the observer consists in discovering the greatest possible number of systematic errors in order to be able, once he has become acquainted with their laws, to free his results from them using a method or appropriate corrections.
For metrology the matter of expansibility was fundamental; as a matter of fact the temperature measuring error related to the length measurement in proportion to the expansibility of the standard and the constantly renewed efforts of metrologists to protect their measuring instruments against the interfering influence of temperature revealed clearly the importance they attached to the expansion-induced errors. It was thus crucial to compare at controlled temperatures with great precision and to the same unit all the standards for measuring geodetic baselines and all the pendulum rods. Only when this series of metrological comparisons would be finished with a probable error of a thousandth of a millimetre would geodesy be able to link the works of the different nations with one another, and then proclaim the result of the measurement of the Globe.
As the figure of the Earth could be inferred from variations of the seconds pendulum length with latitude, the United States Coast Survey instructed Charles Sanders Peirce in the spring of 1875 to proceed to Europe for the purpose of making pendulum experiments to chief initial stations for operations of this sort, in order to bring the determinations of the forces of gravity in America into communication with those of other parts of the world; and also for the purpose of making a careful study of the methods of pursuing these researches in the different countries of Europe. In 1886 the association of geodesy changed name for the International Geodetic Association, which Carlos Ibáñez e Ibáñez de Ibero presided up to his death in 1891. During this period the International Geodetic Association (German: Internationale Erdmessung) gained worldwide importance with the joining of United States, Mexico, Chile, Argentina and Japan.
Efforts to supplement the various national surveying systems, which began in the 19th century with the foundation of the Mitteleuropäische Gradmessung, resulted in a series of global ellipsoids of the Earth (e.g., Helmert 1906, Hayford 1910 and 1924) which would later lead to develop the World Geodetic System. Nowadays the practical realisation of the metre is possible everywhere thanks to the atomic clocks embedded in GPS satellites.
Wavelength definition
In 1873, James Clerk Maxwell suggested that light emitted by an element be used as the standard both for the metre and for the second. These two quantities could then be used to define the unit of mass.
In 1893, the standard metre was first measured with an interferometer by Albert A. Michelson, the inventor of the device and an advocate of using some particular wavelength of light as a standard of length. By 1925, interferometry was in regular use at the BIPM. However, the International Prototype Metre remained the standard until 1960, when the eleventh CGPM defined the metre in the new International System of Units (SI) as equal to wavelengths of the orange-red emission line in the electromagnetic spectrum of the krypton-86 atom in a vacuum.
Speed of light definition
To further reduce uncertainty, the 17th CGPM in 1983 replaced the definition of the metre with its current definition, thus fixing the length of the metre in terms of the second and the speed of light:
The metre is the length of the path travelled by light in vacuum during a time interval of of a second.
This definition fixed the speed of light in vacuum at exactly metres per second (≈). An intended by-product of the 17th CGPM's definition was that it enabled scientists to compare lasers accurately using frequency, resulting in wavelengths with one-fifth the uncertainty involved in the direct comparison of wavelengths, because interferometer errors were eliminated. To further facilitate reproducibility from lab to lab, the 17th CGPM also made the iodine-stabilised helium–neon laser "a recommended radiation" for realising the metre. For the purpose of delineating the metre, the BIPM currently considers the HeNe laser wavelength, , to be with an estimated relative standard uncertainty (U) of . This uncertainty is currently one limiting factor in laboratory realisations of the metre, and it is several orders of magnitude poorer than that of the second, based upon the caesium fountain atomic clock (). Consequently, a realisation of the metre is usually delineated (not defined) today in labs as wavelengths of helium-neon laser light in a vacuum, the error stated being only that of frequency determination. This bracket notation expressing the error is explained in the article on measurement uncertainty.
Practical realisation of the metre is subject to uncertainties in characterising the medium, to various uncertainties of interferometry, and to uncertainties in measuring the frequency of the source. A commonly used medium is air, and the National Institute of Standards and Technology (NIST) has set up an online calculator to convert wavelengths in vacuum to wavelengths in air. As described by NIST, in air, the uncertainties in characterising the medium are dominated by errors in measuring temperature and pressure. Errors in the theoretical formulas used are secondary. By implementing a refractive index correction such as this, an approximate realisation of the metre can be implemented in air, for example, using the formulation of the metre as wavelengths of helium–neon laser light in a vacuum, and converting the wavelengths in a vacuum to wavelengths in air. Air is only one possible medium to use in a realisation of the metre, and any partial vacuum can be used, or some inert atmosphere like helium gas, provided the appropriate corrections for refractive index are implemented.
The metre is defined as the path length travelled by light in a given time, and practical laboratory length measurements in metres are determined by counting the number of wavelengths of laser light of one of the standard types that fit into the length, and converting the selected unit of wavelength to metres. Three major factors limit the accuracy attainable with laser interferometers for a length measurement:
uncertainty in vacuum wavelength of the source,
uncertainty in the refractive index of the medium,
least count resolution of the interferometer.
Of these, the last is peculiar to the interferometer itself. The conversion of a length in wavelengths to a length in metres is based upon the relation
which converts the unit of wavelength λ to metres using c, the speed of light in vacuum in m/s. Here n is the refractive index of the medium in which the measurement is made, and f is the measured frequency of the source. Although conversion from wavelengths to metres introduces an additional error in the overall length due to measurement error in determining the refractive index and the frequency, the measurement of frequency is one of the most accurate measurements available.
The CIPM issued a clarification in 2002:
Timeline
Early adoptions of the metre internationally
In France, the metre was adopted as an exclusive measure in 1801 under the Consulate. This continued under the First French Empire until 1812, when Napoleon decreed the introduction of the non-decimal mesures usuelles, which remained in use in France up to 1840 in the reign of Louis Philippe. Meanwhile, the metre was adopted by the Republic of Geneva. After the joining of the canton of Geneva to Switzerland in 1815, Guillaume Henri Dufour published the first official Swiss map, for which the metre was adopted as the unit of length. Louis Napoléon Bonaparte, a Swiss–French binational officer, was present when a baseline was measured near Zürich for the Dufour map, which would win the gold medal for a national map at the Exposition Universelle of 1855. Among the scientific instruments calibrated on the metre that were displayed at the Exposition Universelle, was Brunner's apparatus, a geodetic instrument devised for measuring the central baseline of Spain, whose designer, Carlos Ibáñez e Ibáñez de Ibero would represent Spain at the International Statistical Institute. In 1885, in addition to the Exposition Universelle and the second Statistical Congress held in Paris, an International Association for Obtaining a Uniform Decimal System of Measures, Weights, and Coins was created there. Copies of the Spanish standard were made for Egypt, France and Germany. These standards were compared to each other and with the Borda apparatus, which was the main reference for measuring all geodetic bases in France. In 1869, Napoleon III convened the International Metre Commission, which was to meet in Paris in 1870. The Franco-Prussian War broke out, the Second French Empire collapsed, but the metre survived.
Metre adoption dates by country
France: 1801 - 1812, then 1840,
Republic of Geneva, Switzerland: 1813,
Kingdom of the Netherlands: 1820,
Kingdom of Belgium: 1830,
Chile: 1848,
Kingdom of Sardinia, Italy: 1850,
Spain: 1852,
Portugal: 1852,
Colombia: 1853,
Ecuador: 1856,
Mexico: 1857,
Brazil: 1862,
Argentina: 1863,
Italy: 1863,
German Empire, Germany: 1872,
Austria, 1875,
Switzerland: 1877.
SI prefixed forms of metre
SI prefixes can be used to denote decimal multiples and submultiples of the metre, as shown in the table below. Long distances are usually expressed in km, astronomical units (149.6 Gm), light-years (10 Pm), or parsecs (31 Pm), rather than in Mm, Gm, Tm, Pm, Em, Zm or Ym; "30 cm", "30 m", and "300 m" are more common than "3 dm", "3 dam", and "3 hm", respectively.
The terms micron and millimicron can be used instead of micrometre (μm) and nanometre (nm), but this practice may be discouraged.
Equivalents in other units
Within this table, "inch" and "yard" mean "international inch" and "international yard" respectively, though approximate conversions in the left column hold for both international and survey units.
"≈" means "is approximately equal to";
"≡" means "equal by definition" or "is exactly equal to".
One metre is exactly equivalent to inches and to yards.
A simple mnemonic aid exists to assist with conversion, as three "3"s:
1 metre is nearly equivalent to 3feet inches. This gives an overestimate of 0.125mm; however, the practice of memorising such conversion formulas has been discouraged in favour of practice and visualisation of metric units.
The ancient Egyptian cubit was about 0.5m (surviving rods are 523–529mm). Scottish and English definitions of the ell (two cubits) were 941mm (0.941m) and 1143mm (1.143m) respectively. The ancient Parisian toise (fathom) was slightly shorter than 2m and was standardised at exactly 2m in the mesures usuelles system, such that 1m was exactly toise. The Russian verst was 1.0668km. The Swedish mil was 10.688km, but was changed to 10km when Sweden converted to metric units.
See also
Conversion of units for comparisons with other units
International System of Units
Introduction to the metric system
ISO 1standard reference temperature for length measurements
Length measurement
Metre Convention
Metric system
Metric prefix
Metrication
Orders of magnitude (length)
SI prefix
Speed of light
Vertical metre
Notes
References
Astin, A. V. & Karo, H. Arnold, (1959), Refinement of values for the yard and the pound, Washington DC: National Bureau of Standards, republished on National Geodetic Survey web site and the Federal Register (Doc. 59-5442, Filed, 30 June 1959)
Historical context of the SI: Meter. Retrieved 26 May 2010.
National Institute of Standards and Technology. (27 June 2011). NIST-F1 Cesium Fountain Atomic Clock. Author.
National Physical Laboratory. (25 March 2010). Iodine-Stabilised Lasers. Author.
Republic of the Philippines. (2 December 1978). Batas Pambansa Blg. 8: An Act Defining the Metric System and its Units, Providing for its Implementation and for Other Purposes. Author.
Republic of the Philippines. (10 October 1991). Republic Act No. 7160: The Local Government Code of the Philippines. Author.
Supreme Court of the Philippines (Second Division). (20 January 2010). G.R. No. 185240. Author.
Taylor, B.N. and Thompson, A. (Eds.). (2008a). The International System of Units (SI). United States version of the English text of the eighth edition (2006) of the International Bureau of Weights and Measures publication Le Système International d’ Unités (SI) (Special Publication 330). Gaithersburg, MD: National Institute of Standards and Technology. Retrieved 18 August 2008.
Taylor, B.N. and Thompson, A. (2008b). Guide for the Use of the International System of Units (Special Publication 811). Gaithersburg, MD: National Institute of Standards and Technology. Retrieved 23 August 2008.
Turner, J. (Deputy Director of the National Institute of Standards and Technology). (16 May 2008)."Interpretation of the International System of Units (the Metric System of Measurement) for the United States". Federal Register Vol. 73, No. 96, p.28432-3.
Zagar, B.G. (1999). Laser interferometer displacement sensors in J.G. Webster (ed.). The Measurement, Instrumentation, and Sensors Handbook. CRC Press. .
SI base units
UCUM base units |
18948 | https://en.wikipedia.org/wiki/Mole | Mole | Mole (or Molé) may refer to:
Animals
Mole (animal) or "true mole", mammals in the family Talpidae, found in Eurasia and North America
Golden moles, southern African mammals in the family Chrysochloridae, similar to but unrelated to Talpidae moles
Marsupial moles, Australian mammals in the family Notoryctidae, similar to but unrelated to Talpidae moles
Other common meanings
Mole, colloquial name for a nevus, a growth on human skin
Melanocytic nevus, another term for mole
Mole (architecture), a pier, jetty, breakwater, or junction between places separated by water
Mole (espionage), a spy
Mole (sauce), Mexican sauce made from chili peppers, often including fruits, other spices, or chocolate
Arts and entertainment
Adrian Mole, the central character in a series of novels by Sue Townsend
Mole, a main character in the children's novel The Wind in the Willows by Kenneth Grahame
Mole (Zdeněk Miler character), a Czech animated character
Monty Mole, a video game character
Morocco Mole, Secret Squirrel's sidekick
The Mole, a character in Happy Tree Friends
The Mole, a criminal in Dick Tracy comic strips
El Topo (The Mole), a 1970 film
De Mol (TV series), a reality television show
"The Mole," a single by Harry James
Science and technology
Mole (unit), the SI unit for the amount of substance
Tunnel boring machine, sometimes called a mole
"the mole", nickname of a burrowing probe in the Heat Flow and Physical Properties Package which was sent to Mars
People
Mole (surname)
Molé, a French surname
Places
Australia
Mole River (New South Wales)
Mole Creek (Tasmania)
England
River Mole, Surrey
River Mole, Devon
France
La Môle, a commune of the Var Département
Le Môle, a mountain peak in the French Alps
Ghana
Mole River, a tributary of the White Volta
Mole National Park, named after the Mole River
India
Mole, a village in Andhra Pradesh state
Mole, Karnataka, a village in Karnataka state
Other uses
"Mole", NATO reporting name for the Beriev Be-8, a Soviet amphibious aircraft
"mole", informal name of Cultivator No. 6, a trench-digging machine of World War II
Mole-Richardson or Mole, a stage and motion picture lighting manufacturing company
Moll (slang), sometimes spelled mole in Australian English
See also
Mole wrench, trade name of a type of locking pliers from M. K. Mole and Son
Mol (disambiguation)
Moles (disambiguation)
Moll (disambiguation)
Animal common name disambiguation pages |
18955 | https://en.wikipedia.org/wiki/Mentha | Mentha | Mentha (also known as mint, from Greek , Linear B mi-ta) is a genus of plants in the family Lamiaceae (mint family). The exact distinction between species is unclear; it is estimated that 13 to 24 species exist. Hybridization occurs naturally where some species' ranges overlap. Many hybrids and cultivars are known.
The genus has a subcosmopolitan distribution across Europe, Africa, Asia, Australia, and North America.
The species that make up the genus Mentha are widely distributed and can be found in many environments. Most grow best in wet environments and moist soils. Mints will grow 10–120 cm (4–48 inches) tall and can spread over an indeterminate area. Due to their tendency to spread unchecked, some mints are considered invasive.
Description
Mints are aromatic, almost exclusively perennial herbs. They have wide-spreading underground and overground stolons and erect, square, branched stems. The leaves are arranged in opposite pairs, from oblong to lanceolate, often downy, and with a serrated margin. Leaf colors range from dark green and gray-green to purple, blue, and sometimes pale yellow. The flowers are white to purple and produced in false whorls called verticillasters. The corolla is two-lipped with four subequal lobes, the upper lobe usually the largest. The fruit is a nutlet, containing one to four seeds.
Taxonomy
Mentha is a member of the tribe Mentheae in the subfamily Nepetoideae. The tribe contains about 65 genera, and relationships within it remain obscure. Authors have disagreed on the circumscription of Mentha. For example, M. cervina has been placed in Pulegium and Preslia, and M. cunninghamii has been placed in Micromeria. In 2004, a molecular phylogenetic study indicated that both M. cervina and M. cunninghamii should be included in Mentha. However, M. cunninghamii was excluded in a 2007 treatment of the genus.
More than 3,000 names have been published in the genus Mentha, at ranks from species to forms, the majority of which are regarded as synonyms or illegitimate names. The taxonomy of the genus is made difficult because many species hybridize readily, or are themselves derived from possibly ancient hybridization events. Seeds from hybrids give rise to variable offspring, which may spread through vegetative propagation. The variability has led to what has been described as "paroxysms of species and subspecific taxa"; for example, one taxonomist published 434 new mint taxa for central Europe alone between 1911 and 1916. Recent sources recognize between 18 and 24 species.
Species
, Plants of the World Online recognized the following species:
Mentha alaica Boriss.
Mentha aquatica L. – water mint, marsh mint
Mentha arvensis L. – corn mint, wild mint, Japanese peppermint, field mint, banana mint
Mentha atrolilacina B.J.Conn & D.J.Duval – slender mint
Mentha australis R.Br. – Australian mint
Mentha canadensis L. – Canada mint, American wild mint
Mentha cervina L. – Hart's pennyroyal
Mentha cunninghamii (Benth.) Benth. – New Zealand mint
Mentha dahurica Fisch. ex Benth. – Dahurian thyme
Mentha darvasica Boriss.
Mentha diemenica Spreng. – slender mint
Mentha gattefossei Maire
Mentha grandiflora Benth.
Mentha japonica (Miq.) Makino
Mentha laxiflora Benth. – forest mint
Mentha longifolia (L.) L. – horse mint
Mentha micrantha (Fisch. ex Benth.) Heinr.Braun
Mentha pamiroalaica Boriss.
Mentha pulegium L. – pennyroyal
Mentha requienii Benth. – Corsican mint
Mentha royleana Wall. ex Benth.
Mentha satureioides R.Br. – native pennyroyal
Mentha spicata L. – spearmint, garden mint (a cultivar of spearmint)
Mentha suaveolens Ehrh. – apple mint, pineapple mint (a variegated cultivar of apple mint)
Hybrids
The mint genus has a large grouping of recognized hybrids. Those accepted by Plants of the World Online are listed below. Parent species are taken from Tucker & Naczi (2007). Synonyms, along with cultivars and varieties where available, are included within the specific nothospecies.
Mentha × carinthiaca Host (M. arvensis × M. suaveolens)
Mentha × dalmatica Tausch (M. arvensis × M. longifolia)
Mentha × dumetorum Schult. (M. aquatica × M. longifolia)
Mentha × gayeri Trautm.
Mentha × gracilis Sole (syn. Mentha × gentilis L.; M. arvensis × M. spicata) – ginger mint, Scotch spearmint
Mentha × kuemmerlei Trautm.
Mentha × locyana Borbás
Mentha × piperita L. (M. aquatica × M. spicata) – peppermint, chocolate mint
Mentha × pyramidalis Ten.
Mentha × rotundifolia (L.) Huds. (M. longifolia × M. suaveolens) – false apple mint
Mentha × suavis Guss. (syn. Mentha × maximilianea; M. aquatica × M. suaveolens)
Mentha × verticillata L. (M. aquatica × M. arvensis)
Mentha × villosa Huds. (M. spicata × M. suaveolens, also called M. nemorosa) – large apple mint, foxtail mint, hairy mint, woolly mint, Cuban mint, mojito mint, and yerba buena in Cuba
Mentha × villosa-nervata Opiz (M. longifolia × M. spicata) – sharp-toothed mint
Mentha × wirtgeniana F.W.Schultz (syn. Mentha × smithiana; M. aquatica × M. arvensis × M. spicata) – red raripila mint
Cultivation
All mints thrive near pools of water, lakes, rivers, and cool moist spots in partial shade. In general, mints tolerate a wide range of conditions, and can also be grown in full sun. Mint grows all year round.
They are fast-growing, extending their reach along surfaces through a network of runners. Due to their speedy growth, one plant of each desired mint, along with a little care, will provide more than enough mint for home use. Some mint species are more invasive than others. Even with the less invasive mints, care should be taken when mixing any mint with any other plants, lest the mint take over. To control mints in an open environment, they should be planted in deep, bottomless containers sunk in the ground, or planted above ground in tubs and barrels.
Some mints can be propagated by seed, but growth from seed can be an unreliable method for raising mint for two reasons: mint seeds are highly variable — one might not end up with what one supposed was planted — and some mint varieties are sterile. It is more effective to take and plant cuttings from the runners of healthy mints.
The most common and popular mints for commercial cultivation are peppermint (Mentha × piperita), native spearmint (Mentha spicata), Scotch spearmint (Mentha x gracilis), and cornmint (Mentha arvensis); also (more recently) apple mint (Mentha suaveolens).
Mints are supposed to make good companion plants, repelling pesty insects and attracting beneficial ones. They are susceptible to whitefly and aphids.
Harvesting of mint leaves can be done at any time. Fresh leaves should be used immediately or stored up to a few days in plastic bags in a refrigerator. Optionally, leaves can be frozen in ice cube trays. Dried mint leaves should be stored in an airtight container placed in a cool, dark, dry area.
Uses
Culinary
The leaf, fresh or dried, is the culinary source of mint. Fresh mint is usually preferred over dried mint when storage of the mint is not a problem. The leaves have a warm, fresh, aromatic, sweet flavor with a cool aftertaste, and are used in teas, beverages, jellies, syrups, candies, and ice creams. In Middle Eastern cuisine, mint is used in lamb dishes, while in British cuisine and American cuisine, mint sauce and mint jelly are used, respectively. Mint (pudina) is a staple in Indian cuisine, used for flavouring curries and other dishes.
Mint is a necessary ingredient in Touareg tea, a popular tea in northern African and Arab countries. Tea in Arab countries is popularly drunk this way. Alcoholic drinks sometimes feature mint for flavor or garnish, such as the mint julep and the mojito. Crème de menthe is a mint-flavored liqueur used in drinks such as the grasshopper.
Mint essential oil and menthol are extensively used as flavorings in breath fresheners, drinks, antiseptic mouth rinses, toothpaste, chewing gum, desserts, and candies, such as mint (candy) and mint chocolate. The substances that give the mints their characteristic aromas and flavors are menthol (the main aroma of peppermint and Japanese peppermint) and pulegone (in pennyroyal and Corsican mint). The compound primarily responsible for the aroma and flavor of spearmint is L-carvone.
Mints are used as food plants by the larvae of some Lepidoptera species, including buff ermine moths. It is also eaten by beetles such as Chrysolina coerulans (blue mint beetle) and Mint leaf beetle.
Traditional medicine and cosmetics
The ancient Greeks rubbed mint on their arms, believing it would make them stronger. Mint was originally used as a medicinal herb to treat stomach ache and chest pains. There are several uses in traditional medicine and preliminary research for possible use in treating irritable bowel syndrome.
Menthol from mint essential oil (40–90%) is an ingredient of many cosmetics and some perfumes. Menthol and mint essential oil are also used in aromatherapy which may have clinical use to alleviate post-surgery nausea.
Allergic reaction
Although it is used in many consumer products, mint may cause allergic reactions in some people, inducing symptoms such as abdominal cramps, diarrhea, headaches, heartburn, tingling or numbing around the mouth, anaphylaxis or contact dermatitis.
Insecticides
Mint oil is also used as an environmentally friendly insecticide for its ability to kill some common pests such as wasps, hornets, ants, and cockroaches.
Room scent and aromatherapy
Known in Greek mythology as the herb of hospitality, one of mint's first known uses in Europe was as a room deodorizer. The herb was strewn across floors to cover the smell of the hard-packed soil. Stepping on the mint helped to spread its scent through the room. Today, it is more commonly used for aromatherapy through the use of essential oils.
Diseases
Etymology of "mint"
The word "mint" descends from the Latin word mentha, which is rooted in the Greek word minthe, personified in Greek mythology as Minthe, a nymph who was transformed into a mint plant. This, in turn, ultimately derived from a proto-Indo-European root that is also the origin of the Sanskrit -mantha, mathana (premna serratifolia).
References to "mint leaves", without a qualifier like "peppermint" or "apple mint", generally refer to spearmint leaves.
In Spain and Central and South America, mint is known as menta. In Lusophone countries, especially in Portugal, mint species are popularly known as hortelã. In many Indo-Aryan languages, it is called pudīna: Hindi: पुदीना , , .
The taxonomic family Lamiaceae is known as the mint family. It includes many other aromatic herbs, including most of the more common cooking herbs, such as basil, rosemary, sage, oregano, and catnip.
As an English colloquial term, any small mint-flavored confectionery item can be called a mint.
In common usage, other plants with fragrant leaves may be called "mint", although they are not in the mint family:
Vietnamese mint, commonly used in Southeast Asian cuisine is Persicaria odorata in the family Polygonaceae, collectively known as smartweeds or pinkweeds.
Mexican mint marigold is Tagetes lucida in the sunflower family (Asteraceae).
Fossil record
†Mentha pliocenica fossil seeds have been excavated in Pliocene deposits of Dvorets on the right bank of the Dnieper river between the cities of Rechitsa and Loyew, in south-eastern Belarus. The fossil seeds are similar to the seeds of Mentha aquatica and Mentha arvensis.
References
External links
Flora Europaea: Mentha
Botanical.com entry on Mint
Preview of Mint: The Genus Mentha
Herbs
Indian spices
Lamiaceae genera
Medicinal plants
Stoloniferous plants
Taxa named by Carl Linnaeus |
18956 | https://en.wikipedia.org/wiki/Marjoram | Marjoram | Marjoram (; Origanum majorana) is a cold-sensitive perennial herb or undershrub with sweet pine and citrus flavours. In some Middle Eastern countries, marjoram is synonymous with oregano, and there the names sweet marjoram and knotted marjoram are used to distinguish it from other plants of the genus Origanum. It is also called pot marjoram, although this name is also used for other cultivated species of Origanum.
History
Marjoram is indigenous to Cyprus, Turkey, the Mediterranean, Western Asia, the Arabian Peninsula, and the Levant, and was known to the ancient Greeks and Romans as a symbol of happiness. It may have spread to the British Isles during the Middle Ages. Marjoram was not widely used in the United States until after World War II.
The name marjoram (Old French: majorane; ) does not directly derive from the Latin word (major).
Description
Leaves are smooth, simple, petiolated, ovate to oblong-ovate, long, wide, with obtuse apex, entire margin, symmetrical but tapering base, and reticulate venation. The texture of the leaf is extremely smooth due to the presence of numerous hairs.
Cultivation
Considered a tender perennial (USDA Zones 7–9), marjoram can sometimes prove hardy even in zone 5.
Marjoram is cultivated for its aromatic leaves, either green or dry, for culinary purposes; the tops are cut as the plants begin to flower and are dried slowly in the shade. It is often used in herb combinations such as herbes de Provence and za'atar. The flowering leaves and tops of marjoram are steam-distilled to produce an essential oil that is yellowish in color (darkening to brown as it ages). It has many chemical components, some of which are borneol, camphor, and pinene.
Related species
Oregano (Origanum vulgare), sometimes listed with marjoram as O. majorana, is also called wild marjoram. It is a perennial common in southern Europe and north to Sweden in dry copses and on hedge-banks, with many stout stems high, bearing short-stalked, somewhat ovate leaves and clusters of purple flowers. It has a stronger flavor than marjoram.
Pot marjoram or Cretan oregano (O. onites) has similar uses to marjoram.
Hardy marjoram or French/Italian/Sicilian marjoram (O. × majoricum), a cross of marjoram with oregano, is much more resistant to cold, but is slightly less sweet.
O. × pulchellum is known as showy marjoram or showy oregano.
Uses
Marjoram is used for seasoning soups, stews, salad dressings, sauces, and herbal teas.
See also
Origanum vulgare
References
External links
Origanum majorana List of Chemicals (Dr. Duke's Databases)
Origanum majorana (Plants For A Future database)
Herbs
Origanum
Medicinal plants
Plants described in 1753
Environment of the Mediterranean
Mediterranean cuisine |
18957 | https://en.wikipedia.org/wiki/Medicine | Medicine | Medicine is the science and practice of caring for a patient, managing the diagnosis, prognosis, prevention, treatment, palliation of their injury or disease, and promoting their health. Medicine encompasses a variety of health care practices evolved to maintain and restore health by the prevention and treatment of illness. Contemporary medicine applies biomedical sciences, biomedical research, genetics, and medical technology to diagnose, treat, and prevent injury and disease, typically through pharmaceuticals or surgery, but also through therapies as diverse as psychotherapy, external splints and traction, medical devices, biologics, and ionizing radiation, amongst others.
Medicine has been practiced since prehistoric times, during most of which it was an art (an area of skill and knowledge) frequently having connections to the religious and philosophical beliefs of local culture. For example, a medicine man would apply herbs and say prayers for healing, or an ancient philosopher and physician would apply bloodletting according to the theories of humorism. In recent centuries, since the advent of modern science, most medicine has become a combination of art and science (both basic and applied, under the umbrella of medical science). While stitching technique for sutures is an art learned through practice, the knowledge of what happens at the cellular and molecular level in the tissues being stitched arises through science.
Prescientific forms of medicine are now known as traditional medicine or folk medicine, which remains commonly used in the absence of scientific medicine, and are thus called alternative medicine. Alternative treatments outside of scientific medicine having safety and efficacy concerns are termed quackery.
Etymology
Medicine (, ) is the science and practice of the diagnosis, prognosis, treatment, and prevention of disease. The word "medicine" is derived from Latin medicus, meaning "a physician".
Clinical practice
Medical availability and clinical practice varies across the world due to regional differences in culture and technology. Modern scientific medicine is highly developed in the Western world, while in developing countries such as parts of Africa or Asia, the population may rely more heavily on traditional medicine with limited evidence and efficacy and no required formal training for practitioners.
In the developed world, evidence-based medicine is not universally used in clinical practice; for example, a 2007 survey of literature reviews found that about 49% of the interventions lacked sufficient evidence to support either benefit or harm.
In modern clinical practice, physicians and physician assistants personally assess patients in order to diagnose, prognose, treat, and prevent disease using clinical judgment. The doctor-patient relationship typically begins an interaction with an examination of the patient's medical history and medical record, followed by a medical interview and a physical examination. Basic diagnostic medical devices (e.g. stethoscope, tongue depressor) are typically used. After examination for signs and interviewing for symptoms, the doctor may order medical tests (e.g. blood tests), take a biopsy, or prescribe pharmaceutical drugs or other therapies. Differential diagnosis methods help to rule out conditions based on the information provided. During the encounter, properly informing the patient of all relevant facts is an important part of the relationship and the development of trust. The medical encounter is then documented in the medical record, which is a legal document in many jurisdictions. Follow-ups may be shorter but follow the same general procedure, and specialists follow a similar process. The diagnosis and treatment may take only a few minutes or a few weeks depending upon the complexity of the issue.
The components of the medical interview and encounter are:
Chief complaint (CC): the reason for the current medical visit. These are the 'symptoms.' They are in the patient's own words and are recorded along with the duration of each one. Also called 'chief concern' or 'presenting complaint'.
History of present illness (HPI): the chronological order of events of symptoms and further clarification of each symptom. Distinguishable from history of previous illness, often called past medical history (PMH). Medical history comprises HPI and PMH.
Current activity: occupation, hobbies, what the patient actually does.
Medications (Rx): what drugs the patient takes including prescribed, over-the-counter, and home remedies, as well as alternative and herbal medicines or remedies. Allergies are also recorded.
Past medical history (PMH/PMHx): concurrent medical problems, past hospitalizations and operations, injuries, past infectious diseases or vaccinations, history of known allergies.
Social history (SH): birthplace, residences, marital history, social and economic status, habits (including diet, medications, tobacco, alcohol).
Family history (FH): listing of diseases in the family that may impact the patient. A family tree is sometimes used.
Review of systems (ROS) or systems inquiry: a set of additional questions to ask, which may be missed on HPI: a general enquiry (have you noticed any weight loss, change in sleep quality, fevers, lumps and bumps? etc.), followed by questions on the body's main organ systems (heart, lungs, digestive tract, urinary tract, etc.).
The physical examination is the examination of the patient for medical signs of disease, which are objective and observable, in contrast to symptoms that are volunteered by the patient and not necessarily objectively observable. The healthcare provider uses sight, hearing, touch, and sometimes smell (e.g., in infection, uremia, diabetic ketoacidosis). Four actions are the basis of physical examination: inspection, palpation (feel), percussion (tap to determine resonance characteristics), and auscultation (listen), generally in that order although auscultation occurs prior to percussion and palpation for abdominal assessments.
The clinical examination involves the study of:
Vital signs including height, weight, body temperature, blood pressure, pulse, respiration rate, and hemoglobin oxygen saturation
General appearance of the patient and specific indicators of disease (nutritional status, presence of jaundice, pallor or clubbing)
Skin
Head, eye, ear, nose, and throat (HEENT)
Cardiovascular (heart and blood vessels)
Respiratory (large airways and lungs)
Abdomen and rectum
Genitalia (and pregnancy if the patient is or could be pregnant)
Musculoskeletal (including spine and extremities)
Neurological (consciousness, awareness, brain, vision, cranial nerves, spinal cord and peripheral nerves)
Psychiatric (orientation, mental state, mood, evidence of abnormal perception or thought).
It is to likely focus on areas of interest highlighted in the medical history and may not include everything listed above.
The treatment plan may include ordering additional medical laboratory tests and medical imaging studies, starting therapy, referral to a specialist, or watchful observation. Follow-up may be advised. Depending upon the health insurance plan and the managed care system, various forms of "utilization review", such as prior authorization of tests, may place barriers on accessing expensive services.
The medical decision-making (MDM) process involves analysis and synthesis of all the above data to come up with a list of possible diagnoses (the differential diagnoses), along with an idea of what needs to be done to obtain a definitive diagnosis that would explain the patient's problem.
On subsequent visits, the process may be repeated in an abbreviated manner to obtain any new history, symptoms, physical findings, and lab or imaging results or specialist consultations.
Institutions
Contemporary medicine is in general conducted within health care systems. Legal, credentialing and financing frameworks are established by individual governments, augmented on occasion by international organizations, such as churches. The characteristics of any given health care system have significant impact on the way medical care is provided.
From ancient times, Christian emphasis on practical charity gave rise to the development of systematic nursing and hospitals and the Catholic Church today remains the largest non-government provider of medical services in the world. Advanced industrial countries (with the exception of the United States) and many developing countries provide medical services through a system of universal health care that aims to guarantee care for all through a single-payer health care system, or compulsory private or co-operative health insurance. This is intended to ensure that the entire population has access to medical care on the basis of need rather than ability to pay. Delivery may be via private medical practices or by state-owned hospitals and clinics, or by charities, most commonly by a combination of all three.
Most tribal societies provide no guarantee of healthcare for the population as a whole. In such societies, healthcare is available to those that can afford to pay for it or have self-insured it (either directly or as part of an employment contract) or who may be covered by care financed by the government or tribe directly.
Transparency of information is another factor defining a delivery system. Access to information on conditions, treatments, quality, and pricing greatly affects the choice by patients/consumers and, therefore, the incentives of medical professionals. While the US healthcare system has come under fire for lack of openness, new legislation may encourage greater openness. There is a perceived tension between the need for transparency on the one hand and such issues as patient confidentiality and the possible exploitation of information for commercial gain on the other.
The health professionals who provide care in medicine comprise multiple professions such as medics, nurses, physio therapists, and psychologists. These professions will have their own ethical standards, professional education, and bodies. The medical profession have been conceptualized from a sociological perspective.
Delivery
Provision of medical care is classified into primary, secondary, and tertiary care categories.
Primary care medical services are provided by physicians, physician assistants, nurse practitioners, or other health professionals who have first contact with a patient seeking medical treatment or care. These occur in physician offices, clinics, nursing homes, schools, home visits, and other places close to patients. About 90% of medical visits can be treated by the primary care provider. These include treatment of acute and chronic illnesses, preventive care and health education for all ages and both sexes.
Secondary care medical services are provided by medical specialists in their offices or clinics or at local community hospitals for a patient referred by a primary care provider who first diagnosed or treated the patient. Referrals are made for those patients who required the expertise or procedures performed by specialists. These include both ambulatory care and inpatient services, Emergency departments, intensive care medicine, surgery services, physical therapy, labor and delivery, endoscopy units, diagnostic laboratory and medical imaging services, hospice centers, etc. Some primary care providers may also take care of hospitalized patients and deliver babies in a secondary care setting.
Tertiary care medical services are provided by specialist hospitals or regional centers equipped with diagnostic and treatment facilities not generally available at local hospitals. These include trauma centers, burn treatment centers, advanced neonatology unit services, organ transplants, high-risk pregnancy, radiation oncology, etc.
Modern medical care also depends on information – still delivered in many health care settings on paper records, but increasingly nowadays by electronic means.
In low-income countries, modern healthcare is often too expensive for the average person. International healthcare policy researchers have advocated that "user fees" be removed in these areas to ensure access, although even after removal, significant costs and barriers remain.
Separation of prescribing and dispensing is a practice in medicine and pharmacy in which the physician who provides a medical prescription is independent from the pharmacist who provides the prescription drug. In the Western world there are centuries of tradition for separating pharmacists from physicians. In Asian countries, it is traditional for physicians to also provide drugs.
Branches
Working together as an interdisciplinary team, many highly trained health professionals besides medical practitioners are involved in the delivery of modern health care. Examples include: nurses, emergency medical technicians and paramedics, laboratory scientists, pharmacists, podiatrists, physiotherapists, respiratory therapists, speech therapists, occupational therapists, radiographers, dietitians, and bioengineers, medical physics, surgeons, surgeon's assistant, surgical technologist.
The scope and sciences underpinning human medicine overlap many other fields. Dentistry, while considered by some a separate discipline from medicine, is a medical field.
A patient admitted to the hospital is usually under the care of a specific team based on their main presenting problem, e.g., the cardiology team, who then may interact with other specialties, e.g., surgical, radiology, to help diagnose or treat the main problem or any subsequent complications/developments.
Physicians have many specializations and subspecializations into certain branches of medicine, which are listed below. There are variations from country to country regarding which specialties certain subspecialties are in.
The main branches of medicine are:
Basic sciences of medicine; this is what every physician is educated in, and some return to in biomedical research
Medical specialties
Interdisciplinary fields, where different medical specialties are mixed to function in certain occasions.
Basic sciences
Anatomy is the study of the physical structure of organisms. In contrast to macroscopic or gross anatomy, cytology and histology are concerned with microscopic structures.
Biochemistry is the study of the chemistry taking place in living organisms, especially the structure and function of their chemical components.
Biomechanics is the study of the structure and function of biological systems by means of the methods of Mechanics.
Biostatistics is the application of statistics to biological fields in the broadest sense. A knowledge of biostatistics is essential in the planning, evaluation, and interpretation of medical research. It is also fundamental to epidemiology and evidence-based medicine.
Biophysics is an interdisciplinary science that uses the methods of physics and physical chemistry to study biological systems.
Cytology is the microscopic study of individual cells.
Embryology is the study of the early development of organisms.
Endocrinology is the study of hormones and their effect throughout the body of animals.
Epidemiology is the study of the demographics of disease processes, and includes, but is not limited to, the study of epidemics.
Genetics is the study of genes, and their role in biological inheritance.
Histology is the study of the structures of biological tissues by light microscopy, electron microscopy and immunohistochemistry.
Immunology is the study of the immune system, which includes the innate and adaptive immune system in humans, for example.
Lifestyle medicine is the study of the chronic conditions, and how to prevent, treat and reverse them.
Medical physics is the study of the applications of physics principles in medicine.
Microbiology is the study of microorganisms, including protozoa, bacteria, fungi, and viruses.
Molecular biology is the study of molecular underpinnings of the process of replication, transcription and translation of the genetic material.
Neuroscience includes those disciplines of science that are related to the study of the nervous system. A main focus of neuroscience is the biology and physiology of the human brain and spinal cord. Some related clinical specialties include neurology, neurosurgery and psychiatry.
Nutrition science (theoretical focus) and dietetics (practical focus) is the study of the relationship of food and drink to health and disease, especially in determining an optimal diet. Medical nutrition therapy is done by dietitians and is prescribed for diabetes, cardiovascular diseases, weight and eating disorders, allergies, malnutrition, and neoplastic diseases.
Pathology as a science is the study of disease—the causes, course, progression and resolution thereof.
Pharmacology is the study of drugs and their actions.
Gynecology is the study of female reproductive system.
Photobiology is the study of the interactions between non-ionizing radiation and living organisms.
Physiology is the study of the normal functioning of the body and the underlying regulatory mechanisms.
Radiobiology is the study of the interactions between ionizing radiation and living organisms.
Toxicology is the study of hazardous effects of drugs and poisons.
Specialties
In the broadest meaning of "medicine", there are many different specialties. In the UK, most specialities have their own body or college, which has its own entrance examination. These are collectively known as the Royal Colleges, although not all currently use the term "Royal". The development of a speciality is often driven by new technology (such as the development of effective anaesthetics) or ways of working (such as emergency departments); the new specialty leads to the formation of a unifying body of doctors and the prestige of administering their own examination.
Within medical circles, specialities usually fit into one of two broad categories: "Medicine" and "Surgery". "Medicine" refers to the practice of non-operative medicine, and most of its subspecialties require preliminary training in Internal Medicine. In the UK, this was traditionally evidenced by passing the examination for the Membership of the Royal College of Physicians (MRCP) or the equivalent college in Scotland or Ireland. "Surgery" refers to the practice of operative medicine, and most subspecialties in this area require preliminary training in General Surgery, which in the UK leads to membership of the Royal College of Surgeons of England (MRCS). At present, some specialties of medicine do not fit easily into either of these categories, such as radiology, pathology, or anesthesia. Most of these have branched from one or other of the two camps above; for example anaesthesia developed first as a faculty of the Royal College of Surgeons (for which MRCS/FRCS would have been required) before becoming the Royal College of Anaesthetists and membership of the college is attained by sitting for the examination of the Fellowship of the Royal College of Anesthetists (FRCA).
Surgical specialty
Surgery is an ancient medical specialty that uses operative manual and instrumental techniques on a patient to investigate or treat a pathological condition such as disease or injury, to help improve bodily function or appearance or to repair unwanted ruptured areas (for example, a perforated ear drum). Surgeons must also manage pre-operative, post-operative, and potential surgical candidates on the hospital wards. Surgery has many sub-specialties, including general surgery, ophthalmic surgery, cardiovascular surgery, colorectal surgery, neurosurgery, oral and maxillofacial surgery, oncologic surgery, orthopedic surgery, otolaryngology, plastic surgery, podiatric surgery, transplant surgery, trauma surgery, urology, vascular surgery, and pediatric surgery. In some centers, anesthesiology is part of the division of surgery (for historical and logistical reasons), although it is not a surgical discipline. Other medical specialties may employ surgical procedures, such as ophthalmology and dermatology, but are not considered surgical sub-specialties per se.
Surgical training in the U.S. requires a minimum of five years of residency after medical school. Sub-specialties of surgery often require seven or more years. In addition, fellowships can last an additional one to three years. Because post-residency fellowships can be competitive, many trainees devote two additional years to research. Thus in some cases surgical training will not finish until more than a decade after medical school. Furthermore, surgical training can be very difficult and time-consuming.
Internal medicine specialty
Internal medicine is the medical specialty dealing with the prevention, diagnosis, and treatment of adult diseases. According to some sources, an emphasis on internal structures is implied. In North America, specialists in internal medicine are commonly called "internists". Elsewhere, especially in Commonwealth nations, such specialists are often called physicians. These terms, internist or physician (in the narrow sense, common outside North America), generally exclude practitioners of gynecology and obstetrics, pathology, psychiatry, and especially surgery and its subspecialities.
Because their patients are often seriously ill or require complex investigations, internists do much of their work in hospitals. Formerly, many internists were not subspecialized; such general physicians would see any complex nonsurgical problem; this style of practice has become much less common. In modern urban practice, most internists are subspecialists: that is, they generally limit their medical practice to problems of one organ system or to one particular area of medical knowledge. For example, gastroenterologists and nephrologists specialize respectively in diseases of the gut and the kidneys.
In the Commonwealth of Nations and some other countries, specialist pediatricians and geriatricians are also described as specialist physicians (or internists) who have subspecialized by age of patient rather than by organ system. Elsewhere, especially in North America, general pediatrics is often a form of primary care.
There are many subspecialities (or subdisciplines) of internal medicine:
Angiology/Vascular Medicine
Bariatrics
Cardiology
Critical care medicine
Endocrinology
Gastroenterology
Geriatrics
Hematology
Hepatology
Infectious disease
Nephrology
Neurology
Oncology
Pediatrics
Pulmonology/Pneumology/Respirology/chest medicine
Rheumatology
Sports Medicine
Training in internal medicine (as opposed to surgical training), varies considerably across the world: see the articles on medical education and physician for more details. In North America, it requires at least three years of residency training after medical school, which can then be followed by a one- to three-year fellowship in the subspecialties listed above. In general, resident work hours in medicine are less than those in surgery, averaging about 60 hours per week in the US. This difference does not apply in the UK where all doctors are now required by law to work less than 48 hours per week on average.
Diagnostic specialties
Clinical laboratory sciences are the clinical diagnostic services that apply laboratory techniques to diagnosis and management of patients. In the United States, these services are supervised by a pathologist. The personnel that work in these medical laboratory departments are technically trained staff who do not hold medical degrees, but who usually hold an undergraduate medical technology degree, who actually perform the tests, assays, and procedures needed for providing the specific services. Subspecialties include transfusion medicine, cellular pathology, clinical chemistry, hematology, clinical microbiology and clinical immunology.
Pathology as a medical specialty is the branch of medicine that deals with the study of diseases and the morphologic, physiologic changes produced by them. As a diagnostic specialty, pathology can be considered the basis of modern scientific medical knowledge and plays a large role in evidence-based medicine. Many modern molecular tests such as flow cytometry, polymerase chain reaction (PCR), immunohistochemistry, cytogenetics, gene rearrangements studies and fluorescent in situ hybridization (FISH) fall within the territory of pathology.
Diagnostic radiology is concerned with imaging of the body, e.g. by x-rays, x-ray computed tomography, ultrasonography, and nuclear magnetic resonance tomography. Interventional radiologists can access areas in the body under imaging for an intervention or diagnostic sampling.
Nuclear medicine is concerned with studying human organ systems by administering radiolabelled substances (radiopharmaceuticals) to the body, which can then be imaged outside the body by a gamma camera or a PET scanner. Each radiopharmaceutical consists of two parts: a tracer that is specific for the function under study (e.g., neurotransmitter pathway, metabolic pathway, blood flow, or other), and a radionuclide (usually either a gamma-emitter or a positron emitter). There is a degree of overlap between nuclear medicine and radiology, as evidenced by the emergence of combined devices such as the PET/CT scanner.
Clinical neurophysiology is concerned with testing the physiology or function of the central and peripheral aspects of the nervous system. These kinds of tests can be divided into recordings of: (1) spontaneous or continuously running electrical activity, or (2) stimulus evoked responses. Subspecialties include electroencephalography, electromyography, evoked potential, nerve conduction study and polysomnography. Sometimes these tests are performed by techs without a medical degree, but the interpretation of these tests is done by a medical professional.
Other major specialties
The following are some major medical specialties that do not directly fit into any of the above-mentioned groups:
Anesthesiology (also known as anaesthetics): concerned with the perioperative management of the surgical patient. The anesthesiologist's role during surgery is to prevent derangement in the vital organs' (i.e. brain, heart, kidneys) functions and postoperative pain. Outside of the operating room, the anesthesiology physician also serves the same function in the labor and delivery ward, and some are specialized in critical medicine.
Dermatology is concerned with the skin and its diseases. In the UK, dermatology is a subspecialty of general medicine.
Emergency medicine is concerned with the diagnosis and treatment of acute or life-threatening conditions, including trauma, surgical, medical, pediatric, and psychiatric emergencies.
Family medicine, family practice, general practice or primary care is, in many countries, the first port-of-call for patients with non-emergency medical problems. Family physicians often provide services across a broad range of settings including office based practices, emergency department coverage, inpatient care, and nursing home care.
Obstetrics and gynecology (often abbreviated as OB/GYN (American English) or Obs & Gynae (British English)) are concerned respectively with childbirth and the female reproductive and associated organs. Reproductive medicine and fertility medicine are generally practiced by gynecological specialists.
Medical genetics is concerned with the diagnosis and management of hereditary disorders.
Neurology is concerned with diseases of the nervous system. In the UK, neurology is a subspecialty of general medicine.
Ophthalmology is exclusively concerned with the eye and ocular adnexa, combining conservative and surgical therapy.
Pediatrics (AE) or paediatrics (BE) is devoted to the care of infants, children, and adolescents. Like internal medicine, there are many pediatric subspecialties for specific age ranges, organ systems, disease classes, and sites of care delivery.
Pharmaceutical medicine is the medical scientific discipline concerned with the discovery, development, evaluation, registration, monitoring and medical aspects of marketing of medicines for the benefit of patients and public health.
Physical medicine and rehabilitation (or physiatry) is concerned with functional improvement after injury, illness, or congenital disorders.
Podiatric medicine is the study of, diagnosis, and medical & surgical treatment of disorders of the foot, ankle, lower limb, hip and lower back.
Psychiatry is the branch of medicine concerned with the bio-psycho-social study of the etiology, diagnosis, treatment and prevention of cognitive, perceptual, emotional and behavioral disorders. Related fields include psychotherapy and clinical psychology.
Preventive medicine is the branch of medicine concerned with preventing disease.
Community health or public health is an aspect of health services concerned with threats to the overall health of a community based on population health analysis.
Interdisciplinary fields
Some interdisciplinary sub-specialties of medicine include:
Aerospace medicine deals with medical problems related to flying and space travel.
Addiction medicine deals with the treatment of addiction.
Medical ethics deals with ethical and moral principles that apply values and judgments to the practice of medicine.
Biomedical Engineering is a field dealing with the application of engineering principles to medical practice.
Clinical pharmacology is concerned with how systems of therapeutics interact with patients.
Conservation medicine studies the relationship between human and animal health, and environmental conditions. Also known as ecological medicine, environmental medicine, or medical geology.
Disaster medicine deals with medical aspects of emergency preparedness, disaster mitigation and management.
Diving medicine (or hyperbaric medicine) is the prevention and treatment of diving-related problems.
Evolutionary medicine is a perspective on medicine derived through applying evolutionary theory.
Forensic medicine deals with medical questions in legal context, such as determination of the time and cause of death, type of weapon used to inflict trauma, reconstruction of the facial features using remains of deceased (skull) thus aiding identification.
Gender-based medicine studies the biological and physiological differences between the human sexes and how that affects differences in disease.
Hospice and Palliative Medicine is a relatively modern branch of clinical medicine that deals with pain and symptom relief and emotional support in patients with terminal illnesses including cancer and heart failure.
Hospital medicine is the general medical care of hospitalized patients. Physicians whose primary professional focus is hospital medicine are called hospitalists in the United States and Canada. The term Most Responsible Physician (MRP) or attending physician is also used interchangeably to describe this role.
Laser medicine involves the use of lasers in the diagnostics or treatment of various conditions.
Medical humanities includes the humanities (literature, philosophy, ethics, history and religion), social science (anthropology, cultural studies, psychology, sociology), and the arts (literature, theater, film, and visual arts) and their application to medical education and practice.
Health informatics is a relatively recent field that deal with the application of computers and information technology to medicine.
Nosology is the classification of diseases for various purposes.
Nosokinetics is the science/subject of measuring and modelling the process of care in health and social care systems.
Occupational medicine is the provision of health advice to organizations and individuals to ensure that the highest standards of health and safety at work can be achieved and maintained.
Pain management (also called pain medicine, or algiatry) is the medical discipline concerned with the relief of pain.
Pharmacogenomics is a form of individualized medicine.
Podiatric medicine is the study of, diagnosis, and medical treatment of disorders of the foot, ankle, lower limb, hip and lower back.
Sexual medicine is concerned with diagnosing, assessing and treating all disorders related to sexuality.
Sports medicine deals with the treatment and prevention and rehabilitation of sports/exercise injuries such as muscle spasms, muscle tears, injuries to ligaments (ligament tears or ruptures) and their repair in athletes, amateur and professional.
Therapeutics is the field, more commonly referenced in earlier periods of history, of the various remedies that can be used to treat disease and promote health.
Travel medicine or emporiatrics deals with health problems of international travelers or travelers across highly different environments.
Tropical medicine deals with the prevention and treatment of tropical diseases. It is studied separately in temperate climates where those diseases are quite unfamiliar to medical practitioners and their local clinical needs.
Urgent care focuses on delivery of unscheduled, walk-in care outside of the hospital emergency department for injuries and illnesses that are not severe enough to require care in an emergency department. In some jurisdictions this function is combined with the emergency department.
Veterinary medicine; veterinarians apply similar techniques as physicians to the care of animals.
Wilderness medicine entails the practice of medicine in the wild, where conventional medical facilities may not be available.
Many other health science fields, e.g. dietetics
Education and legal controls
Medical education and training varies around the world. It typically involves entry level education at a university medical school, followed by a period of supervised practice or internship, or residency. This can be followed by postgraduate vocational training. A variety of teaching methods have been employed in medical education, still itself a focus of active research. In Canada and the United States of America, a Doctor of Medicine degree, often abbreviated M.D., or a Doctor of Osteopathic Medicine degree, often abbreviated as D.O. and unique to the United States, must be completed in and delivered from a recognized university.
Since knowledge, techniques, and medical technology continue to evolve at a rapid rate, many regulatory authorities require continuing medical education. Medical practitioners upgrade their knowledge in various ways, including medical journals, seminars, conferences, and online programs. A database of objectives covering medical knowledge, as suggested by national societies across the United States, can be searched at http://data.medobjectives.marian.edu/.
In most countries, it is a legal requirement for a medical doctor to be licensed or registered. In general, this entails a medical degree from a university and accreditation by a medical board or an equivalent national organization, which may ask the applicant to pass exams. This restricts the considerable legal authority of the medical profession to physicians that are trained and qualified by national standards. It is also intended as an assurance to patients and as a safeguard against charlatans that practice inadequate medicine for personal gain. While the laws generally require medical doctors to be trained in "evidence based", Western, or Hippocratic Medicine, they are not intended to discourage different paradigms of health.
In the European Union, the profession of doctor of medicine is regulated. A profession is said to be regulated when access and exercise is subject to the possession of a specific professional qualification.
The regulated professions database contains a list of regulated professions for doctor of medicine in the EU member states, EEA countries and Switzerland. This list is covered by the Directive 2005/36/EC.
Doctors who are negligent or intentionally harmful in their care of patients can face charges of medical malpractice and be subject to civil, criminal, or professional sanctions.
Medical ethics
Medical ethics is a system of moral principles that apply values and judgments to the practice of medicine. As a scholarly discipline, medical ethics encompasses its practical application in clinical settings as well as work on its history, philosophy, theology, and sociology. Six of the values that commonly apply to medical ethics discussions are:
autonomy – the patient has the right to refuse or choose their treatment. (Voluntas aegroti suprema lex.)
beneficence – a practitioner should act in the best interest of the patient. (Salus aegroti suprema lex.)
justice – concerns the distribution of scarce health resources, and the decision of who gets what treatment (fairness and equality).
non-maleficence – "first, do no harm" (primum non-nocere).
respect for persons – the patient (and the person treating the patient) have the right to be treated with dignity.
truthfulness and honesty – the concept of informed consent has increased in importance since the historical events of the Doctors' Trial of the Nuremberg trials, Tuskegee syphilis experiment, and others.
Values such as these do not give answers as to how to handle a particular situation, but provide a useful framework for understanding conflicts. When moral values are in conflict, the result may be an ethical dilemma or crisis. Sometimes, no good solution to a dilemma in medical ethics exists, and occasionally, the values of the medical community (i.e., the hospital and its staff) conflict with the values of the individual patient, family, or larger non-medical community. Conflicts can also arise between health care providers, or among family members. For example, some argue that the principles of autonomy and beneficence clash when patients refuse blood transfusions, considering them life-saving; and truth-telling was not emphasized to a large extent before the HIV era.
History
Ancient world
Prehistoric medicine incorporated plants (herbalism), animal parts, and minerals. In many cases these materials were used ritually as magical substances by priests, shamans, or medicine men. Well-known spiritual systems include animism (the notion of inanimate objects having spirits), spiritualism (an appeal to gods or communion with ancestor spirits); shamanism (the vesting of an individual with mystic powers); and divination (magically obtaining the truth). The field of medical anthropology examines the ways in which culture and society are organized around or impacted by issues of health, health care and related issues.
Early records on medicine have been discovered from ancient Egyptian medicine, Babylonian Medicine, Ayurvedic medicine (in the Indian subcontinent), classical Chinese medicine (predecessor to the modern traditional Chinese medicine), and ancient Greek medicine and Roman medicine.
In Egypt, Imhotep (3rd millennium BCE) is the first physician in history known by name. The oldest Egyptian medical text is the Kahun Gynaecological Papyrus from around 2000 BCE, which describes gynaecological diseases. The Edwin Smith Papyrus dating back to 1600 BCE is an early work on surgery, while the Ebers Papyrus dating back to 1500 BCE is akin to a textbook on medicine.
In China, archaeological evidence of medicine in Chinese dates back to the Bronze Age Shang Dynasty, based on seeds for herbalism and tools presumed to have been used for surgery. The Huangdi Neijing, the progenitor of Chinese medicine, is a medical text written beginning in the 2nd century BCE and compiled in the 3rd century.
In India, the surgeon Sushruta described numerous surgical operations, including the earliest forms of plastic surgery. Earliest records of dedicated hospitals come from Mihintale in Sri Lanka where evidence of dedicated medicinal treatment facilities for patients are found.
In Greece, the Greek physician Hippocrates, the "father of modern medicine", laid the foundation for a rational approach to medicine. Hippocrates introduced the Hippocratic Oath for physicians, which is still relevant and in use today, and was the first to categorize illnesses as acute, chronic, endemic and epidemic, and use terms such as, "exacerbation, relapse, resolution, crisis, paroxysm, peak, and convalescence". The Greek physician Galen was also one of the greatest surgeons of the ancient world and performed many audacious operations, including brain and eye surgeries. After the fall of the Western Roman Empire and the onset of the Early Middle Ages, the Greek tradition of medicine went into decline in Western Europe, although it continued uninterrupted in the Eastern Roman (Byzantine) Empire.
Most of our knowledge of ancient Hebrew medicine during the 1st millennium BC comes from the Torah, i.e. the Five Books of Moses, which contain various health related laws and rituals. The Hebrew contribution to the development of modern medicine started in the Byzantine Era, with the physician Asaph the Jew.
Middle Ages
The concept of hospital as institution to offer medical care and possibility of a cure for the patients due to the ideals of Christian charity, rather than just merely a place to die, appeared in the Byzantine Empire.
Although the concept of uroscopy was known to Galen, he did not see the importance of using it to localize the disease. It was under the Byzantines with physicians such of Theophilus Protospatharius that they realized the potential in uroscopy to determine disease in a time when no microscope or stethoscope existed. That practice eventually spread to the rest of Europe.
After 750 CE, the Muslim world had the works of Hippocrates, Galen and Sushruta translated into Arabic, and Islamic physicians engaged in some significant medical research. Notable Islamic medical pioneers include the Persian polymath, Avicenna, who, along with Imhotep and Hippocrates, has also been called the "father of medicine". He wrote The Canon of Medicine which became a standard medical text at many medieval European universities, considered one of the most famous books in the history of medicine. Others include Abulcasis, Avenzoar, Ibn al-Nafis, and Averroes. Persian physician Rhazes was one of the first to question the Greek theory of humorism, which nevertheless remained influential in both medieval Western and medieval Islamic medicine. Some volumes of Rhazes's work Al-Mansuri, namely "On Surgery" and "A General Book on Therapy", became part of the medical curriculum in European universities. Additionally, he has been described as a doctor's doctor, the father of pediatrics, and a pioneer of ophthalmology. For example, he was the first to recognize the reaction of the eye's pupil to light. The Persian Bimaristan hospitals were an early example of public hospitals.
In Europe, Charlemagne decreed that a hospital should be attached to each cathedral and monastery and the historian Geoffrey Blainey likened the activities of the Catholic Church in health care during the Middle Ages to an early version of a welfare state: "It conducted hospitals for the old and orphanages for the young; hospices for the sick of all ages; places for the lepers; and hostels or inns where pilgrims could buy a cheap bed and meal". It supplied food to the population during famine and distributed food to the poor. This welfare system the church funded through collecting taxes on a large scale and possessing large farmlands and estates. The Benedictine order was noted for setting up hospitals and infirmaries in their monasteries, growing medical herbs and becoming the chief medical care givers of their districts, as at the great Abbey of Cluny. The Church also established a network of cathedral schools and universities where medicine was studied. The Schola Medica Salernitana in Salerno, looking to the learning of Greek and Arab physicians, grew to be the finest medical school in Medieval Europe.
However, the fourteenth and fifteenth century Black Death devastated both the Middle East and Europe, and it has even been argued that Western Europe was generally more effective in recovering from the pandemic than the Middle East. In the early modern period, important early figures in medicine and anatomy emerged in Europe, including Gabriele Falloppio and William Harvey.
The major shift in medical thinking was the gradual rejection, especially during the Black Death in the 14th and 15th centuries, of what may be called the 'traditional authority' approach to science and medicine. This was the notion that because some prominent person in the past said something must be so, then that was the way it was, and anything one observed to the contrary was an anomaly (which was paralleled by a similar shift in European society in general – see Copernicus's rejection of Ptolemy's theories on astronomy). Physicians like Vesalius improved upon or disproved some of the theories from the past. The main tomes used both by medicine students and expert physicians were Materia Medica and Pharmacopoeia.
Andreas Vesalius was the author of De humani corporis fabrica, an important book on human anatomy. Bacteria and microorganisms were first observed with a microscope by Antonie van Leeuwenhoek in 1676, initiating the scientific field microbiology. Independently from Ibn al-Nafis, Michael Servetus rediscovered the pulmonary circulation, but this discovery did not reach the public because it was written down for the first time in the "Manuscript of Paris" in 1546, and later published in the theological work for which he paid with his life in 1553. Later this was described by Renaldus Columbus and Andrea Cesalpino. Herman Boerhaave is sometimes referred to as a "father of physiology" due to his exemplary teaching in Leiden and textbook 'Institutiones medicae' (1708). Pierre Fauchard has been called "the father of modern dentistry".
Modern
Veterinary medicine was, for the first time, truly separated from human medicine in 1761, when the French veterinarian Claude Bourgelat founded the world's first veterinary school in Lyon, France. Before this, medical doctors treated both humans and other animals.
Modern scientific biomedical research (where results are testable and reproducible) began to replace early Western traditions based on herbalism, the Greek "four humours" and other such pre-modern notions. The modern era really began with Edward Jenner's discovery of the smallpox vaccine at the end of the 18th century (inspired by the method of inoculation earlier practiced in Asia), Robert Koch's discoveries around 1880 of the transmission of disease by bacteria, and then the discovery of antibiotics around 1900.
The post-18th century modernity period brought more groundbreaking researchers from Europe. From Germany and Austria, doctors Rudolf Virchow, Wilhelm Conrad Röntgen, Karl Landsteiner and Otto Loewi made notable contributions. In the United Kingdom, Alexander Fleming, Joseph Lister, Francis Crick and Florence Nightingale are considered important. Spanish doctor Santiago Ramón y Cajal is considered the father of modern neuroscience.
From New Zealand and Australia came Maurice Wilkins, Howard Florey, and Frank Macfarlane Burnet.
Others that did significant work include William Williams Keen, William Coley, James D. Watson (United States); Salvador Luria (Italy); Alexandre Yersin (Switzerland); Kitasato Shibasaburō (Japan); Jean-Martin Charcot, Claude Bernard, Paul Broca (France); Adolfo Lutz (Brazil); Nikolai Korotkov (Russia); Sir William Osler (Canada); and Harvey Cushing (United States).
As science and technology developed, medicine became more reliant upon medications. Throughout history and in Europe right until the late 18th century, not only animal and plant products were used as medicine, but also human body parts and fluids. Pharmacology developed in part from herbalism and some drugs are still derived from plants (atropine, ephedrine, warfarin, aspirin, digoxin, vinca alkaloids, taxol, hyoscine, etc.). Vaccines were discovered by Edward Jenner and Louis Pasteur.
The first antibiotic was arsphenamine (Salvarsan) discovered by Paul Ehrlich in 1908 after he observed that bacteria took up toxic dyes that human cells did not. The first major class of antibiotics was the sulfa drugs, derived by German chemists originally from azo dyes.
Pharmacology has become increasingly sophisticated; modern biotechnology allows drugs targeted towards specific physiological processes to be developed, sometimes designed for compatibility with the body to reduce side-effects. Genomics and knowledge of human genetics and human evolution is having increasingly significant influence on medicine, as the causative genes of most monogenic genetic disorders have now been identified, and the development of techniques in molecular biology, evolution, and genetics are influencing medical technology, practice and decision-making.
Evidence-based medicine is a contemporary movement to establish the most effective algorithms of practice (ways of doing things) through the use of systematic reviews and meta-analysis. The movement is facilitated by modern global information science, which allows as much of the available evidence as possible to be collected and analyzed according to standard protocols that are then disseminated to healthcare providers. The Cochrane Collaboration leads this movement. A 2001 review of 160 Cochrane systematic reviews revealed that, according to two readers, 21.3% of the reviews concluded insufficient evidence, 20% concluded evidence of no effect, and 22.5% concluded positive effect.
Quality, efficiency, and access
Evidence-based medicine, prevention of medical error (and other "iatrogenesis"), and avoidance of unnecessary health care are a priority in modern medical systems. These topics generate significant political and public policy attention, particularly in the United States where healthcare is regarded as excessively costly but population health metrics lag similar nations.
Globally, many developing countries lack access to care and access to medicines. As of 2015, most wealthy developed countries provide health care to all citizens, with a few exceptions such as the United States where lack of health insurance coverage may limit access.
See also
References
new:चिकित्सा |
18959 | https://en.wikipedia.org/wiki/2001%20Mars%20Odyssey | 2001 Mars Odyssey | 2001 Mars Odyssey is a robotic spacecraft orbiting the planet Mars. The project was developed by NASA, and contracted out to Lockheed Martin, with an expected cost for the entire mission of US$297 million. Its mission is to use spectrometers and a thermal imager to detect evidence of past or present water and ice, as well as study the planet's geology and radiation environment. It is hoped that the data Odyssey obtains will help answer the question of whether life existed on Mars and create a risk-assessment of the radiation that future astronauts on Mars might experience. It also acts as a relay for communications between the Curiosity rover, and previously the Mars Exploration Rovers and Phoenix lander, to Earth. The mission was named as a tribute to Arthur C. Clarke, evoking the name of his and Stanley Kubrick's 1968 film 2001: A Space Odyssey.
Odyssey was launched April 7, 2001, on a Delta II rocket from Cape Canaveral Air Force Station, and reached Mars orbit on October 24, 2001, at 02:30 UTC (October 23, 19:30 PDT, 22:30 EDT).
On May 28, 2002 (sol ), NASA reported that Odysseys GRS instrument had detected large amounts of hydrogen, a sign that there must be ice lying within a meter of the planet's surface, and proceeded to map the distribution of water below the shallow surface. The orbiter also discovered vast deposits of bulk water ice near the surface of equatorial regions.
By December 15, 2010, it broke the record for longest serving spacecraft at Mars, with 3,340 days of operation. Odyssey has also served as the primary means of communications for NASA's Mars surface explorers in the past decade, up to the Curiosity rover. It currently holds the record for the longest-surviving continually active spacecraft in orbit around a planet other than Earth, ahead of the Pioneer Venus Orbiter (served 14 years) and the Mars Express (serving over 17 years), at . As of 2019 October it is in a polar orbit around Mars with a semi-major axis of about 3,800 km or 2,400 miles. It has enough propellant to function until 2025.
Naming
In August 2000, NASA solicited candidate names for the mission. Out of 200 names submitted, the committee chose Astrobiological Reconnaissance and Elemental Surveyor, abbreviated ARES (a tribute to Ares, the Greek god of war). Faced with criticism that this name was not very compelling, and too aggressive, the naming committee reconvened. The candidate name "2001 Mars Odyssey" had earlier been rejected because of copyright and trademark concerns. However, NASA e-mailed Arthur C. Clarke in Sri Lanka, who responded that he would be delighted to have the mission named after his books, and he had no objections. On September 20, NASA associate administrator Ed Weiler wrote to the associate administrator for public affairs recommending a name change from ARES to 2001 Mars Odyssey. Peggy Wilhide then approved the name change.
Mission objectives
Mapping the levels of elements across the entire Martian surface
Determine how much hydrogen exists within the “shallow subsurface”
Develop a library of high-resolution images and spectroscopy for the mineral composition of the Martian surface
Provide information on the morphology of the Martian surface
Identify the “radiation-induced risk to human explorers” through a characterization of the “near-space radiation environment” on the Martian surface
Scientific instruments
The three primary instruments Odyssey uses are the:
Thermal Emission Imaging System (THEMIS). An onboard camera that provides visible and infrared imaging to characterize how minerals are distributed on the surface of Mars.
Gamma Ray Spectrometer (GRS), including the High Energy Neutron Detector (HEND), provided by Russia. GRS is a collaboration between University of Arizona's Lunar and Planetary Lab., the Los Alamos National Laboratory, and Russia's Space Research Institute. A spectrometer which focuses on the gamma-ray portion of the spectrum to search for various elements in the Martian atmosphere, including carbon, silicon, iron and magnesium.
Mars Radiation Environment Experiment (MARIE). While using an “energetic particle spectrometer”, this experiment would measure the radiation levels on Mars.
Mission
Mars Odyssey launched from Cape Canaveral on April 7, 2001, and arrived at Mars about 200 days later on October 24. Upon arrival, the spacecraft's main engine fired in order to decelerate, which allowed it to be captured into orbit around Mars. Odyssey then spent about 76 days aerobraking, using aerodynamic drag from the upper reaches of the Martian atmosphere to gradually slow down and reduce and circularize its orbit. By planning to use the atmosphere of Mars to slow the spacecraft in its orbit rather than firing its engine or thrusters, Odyssey did not need an additional 200 kilograms (440 lb) of propellant onboard. This reduction in spacecraft weight allowed the mission to be launched on a Delta II 7925 launch vehicle, rather than a larger, more expensive launcher.
Aerobraking ended in January 2002, and Odyssey began its science mapping mission on February 19, 2002. Odysseys original, nominal mission lasted until August 2004, but repeated mission extensions have kept the mission active.
The payload's MARIE radiation experiment stopped taking measurements after a large solar event bombarded the Odyssey spacecraft on October 28, 2003. Engineers believe the most likely cause is that a computer chip was damaged by a solar particle smashing into the MARIE computer board.
About 85% of images and other data from NASA's twin Mars Exploration Rovers, Spirit and Opportunity, have reached Earth via communications relay by Odyssey. The orbiter helped analyze potential landing sites for the rovers and performed the same task for NASA's Phoenix mission, which landed on Mars in May 2008. Odyssey aided NASA's Mars Reconnaissance Orbiter, which reached Mars in March 2006, by monitoring atmospheric conditions during months when the newly arrived orbiter used aerobraking to alter its orbit into the desired shape.
Odyssey is in a Sun-synchronous orbit, which provides consistent lighting for its photographs. On September 30, 2008 (sol ) the spacecraft altered its orbit to gain better sensitivity for its infrared mapping of Martian minerals. The new orbit eliminated the use of the gamma ray detector, due to the potential for overheating the instrument at the new orbit.
The orbiter's orientation is controlled by a set of three reaction wheels and a spare. When one failed in June 2012, the fourth was spun up and successfully brought into service. Since July 2012, Odyssey has been back in full, nominal operation mode following three weeks of 'safe' mode on remote maintenance.
Mars Odysseys THEMIS instrument was used to help select a landing site for the Mars Science Laboratory (MSL). Several days before MSL's landing in August 2012, Odysseys orbit was altered to ensure that it would be able to capture signals from the rover during its first few minutes on the Martian surface. Odyssey also acted as a relay for UHF radio signals from the (MSL) rover Curiosity. Because Odyssey is in a Sun-synchronous orbit, it consistently passes over Curiositys location at the same two times every day, which allowed for convenient scheduling of contact with Earth.
On February 11, 2014, mission control accelerated Odysseys drift toward a morning-daylight orbit to "enable observation of changing ground temperatures after sunrise and after sunset in thousands of places on Mars". The orbital change occurred gradually until November 2015. Those observations could yield insight about the composition of the ground and about temperature-driven processes, such as warm seasonal flows observed on some slopes, and geysers fed by spring thawing of carbon dioxide (CO2) ice near Mars' poles.
On October 19, 2014, NASA reported that the Mars Odyssey Orbiter, as well as the Mars Reconnaissance Orbiter and MAVEN, were healthy after the Comet Siding Spring flyby.
In 2010, a spokesman for NASA's Jet Propulsion Laboratory stated that Odyssey could continue operating until at least 2016. This estimate has since been extended until 2025.
Major discoveries
By 2008, Mars Odyssey had mapped the basic distribution of water below the shallow surface. The ground truth for its measurements came on July 31, 2008, when NASA announced that the Phoenix lander confirmed the presence of water on Mars, as predicted in 2002 based on data from the Odyssey orbiter. The science team is trying to determine whether the water ice ever thaws enough to be available for microscopic life, and if carbon-containing chemicals and other raw materials for life are present.
The orbiter also discovered vast deposits of bulk water ice near the surface of equatorial regions. Evidence for equatorial hydration is both morphological and compositional and is seen at both the Medusae Fossae formation and the Tharsis Montes.
See also
References
External links
The Mars Odyssey site
2001 Mars Odyssey Mission Profile by NASA's Solar System Exploration
Sky & Telescope: "Mars Odyssey Pays Early Dividends"
BBC News story on Mars Odyssey observations of apparent ice deposits
Mars Trek - Shows present overhead position of Mars Odyssey
Mars Exploration Program
Odyssey
Odyssey
Mars Odyssey
Mars Odyssey
Mars Odyssey
Geography of Mars |
18964 | https://en.wikipedia.org/wiki/Madagascar | Madagascar | Madagascar (; ), officially the Republic of Madagascar (, ; ), and previously known as the Malagasy Republic, is an island country in the Indian Ocean, approximately off the coast of East Africa across the Mozambique Channel. At Madagascar is the world's second-largest island country, after Indonesia. The nation consists of the island of Madagascar (the fourth-largest island in the world) and numerous smaller peripheral islands. Following the prehistoric breakup of the supercontinent Gondwana, Madagascar split from the Indian subcontinent around 88 million years ago, allowing native plants and animals to evolve in relative isolation. Consequently, Madagascar is a biodiversity hotspot; over 90% of its wildlife is endemic.
Human settlement of Madagascar occurred during or before the mid first millennium AD by Austronesian peoples, arriving on outrigger canoes from present-day Indonesia. These were joined around the 9th century AD by Bantu migrants crossing the Mozambique Channel from East Africa. Other groups continued to settle on Madagascar over time, each one making lasting contributions to Malagasy cultural life. The Malagasy ethnic group is often divided into 18 or more subgroups, of which the largest are the Merina of the central highlands.
Until the late 18th century, the island of Madagascar was ruled by a fragmented assortment of shifting sociopolitical alliances. Beginning in the early 19th century, most of the island was united and ruled as the Kingdom of Madagascar by a series of Merina nobles. The monarchy ended in 1897 when the island was absorbed into the French colonial empire, from which the island gained independence in 1960. The autonomous state of Madagascar has since undergone four major constitutional periods, termed republics. Since 1992, the nation has officially been governed as a constitutional democracy from its capital at Antananarivo. However, in a 2009 political crisis, president Marc Ravalomanana was made to resign and presidential power was transferred in March 2009 to Andry Rajoelina. Constitutional governance was restored in January 2014, when Hery Rajaonarimampianina was named president following a 2013 election deemed fair and transparent by the international community. Madagascar is a member of the United Nations, the African Union (AU), the Southern African Development Community (SADC), and the Organisation Internationale de la Francophonie.
Madagascar belongs to the group of least developed countries, according to the United Nations. Malagasy and French are both official languages of the state. The majority of the population adheres to Christianity, traditional beliefs, or an amalgamation of both. Ecotourism and agriculture, paired with greater investments in education, health, and private enterprise, are key elements of Madagascar's development strategy. Under Ravalomanana, these investments produced substantial economic growth, but the benefits were not evenly spread throughout the population, producing tensions over the increasing cost of living and declining living standards among the poor and some segments of the middle class. , the economy has been weakened by the 2009–2013 political crisis, and quality of life remains low for the majority of the Malagasy population.
Etymology
In the Malagasy language, the island of Madagascar is called Madagasikara () and its people are referred to as Malagasy. The island's appellation "Madagascar" is not of local origin but rather was popularized in the Middle Ages by Europeans. The name Madageiscar was first recorded in the memoirs of 13th-century Venetian explorer Marco Polo as a corrupted transliteration of the name Mogadishu, the Somali port with which Marco Polo had confused the island.
On St. Laurence's Day in 1500, Portuguese explorer Diogo Dias landed on the island and named it São Lourenço. Marco Polo's name was preferred and popularized on Renaissance maps. No single Malagasy-language name predating Madagasikara appears to have been used by the local population to refer to the island, although some communities had their own name for part or all of the land they inhabited.
Geography
At , Madagascar is the world's 47th largest country, the 2nd largest island country and the fourth-largest island. The country lies mostly between latitudes 12°S and 26°S, and longitudes 43°E and 51°E. Neighboring islands include the French territory of Réunion and the country of Mauritius to the east, as well as the state of Comoros and the French territory of Mayotte to the north west. The nearest mainland state is Mozambique, located to the west.
The prehistoric breakup of the supercontinent Gondwana resulted in the separation of East Gondwana (comprising Madagascar, Antarctica, Australia and the Indian subcontinent) and West Gondwana (Africa–South America) during the Jurassic period. around 185 million years ago. The Indo-Madagascar landmass separated from Antarctica and Australia around 125 million years ago and Madagascar separated from the Indian landmass about 88 million years ago during the Late Cretaceous. This long history of separation from other continents has allowed plants and animals on the island to evolve in relative isolation.Along the length of the eastern coast runs a narrow and steep escarpment containing much of the island's remaining tropical lowland forest. To the west of this ridge lies a plateau in the center of the island ranging in altitude from above sea level. These central highlands, traditionally the homeland of the Merina people and the location of their historic capital at Antananarivo, are the most densely populated part of the island and are characterized by terraced, rice-growing valleys lying between grassy hills and patches of the subhumid forests that formerly covered the highland region. To the west of the highlands, the increasingly arid terrain gradually slopes down to the Mozambique Channel and mangrove swamps along the coast.
Madagascar's highest peaks rise from three prominent highland massifs: Maromokotro in the Tsaratanana Massif is the island's highest point, followed by Boby Peak in the Andringitra Massif, and Tsiafajavona in the Ankaratra Massif. To the east, the Canal des Pangalanes is a chain of human-made and natural lakes connected by canals built by the French just inland from the east coast and running parallel to it for some .
The western and southern sides, which lie in the rain shadow of the central highlands, are home to dry deciduous forests, spiny forests, and deserts and xeric shrublands. Due to their lower population densities, Madagascar's dry deciduous forests have been better preserved than the eastern rain forests or the original woodlands of the central plateau. The western coast features many protected harbors, but silting is a major problem caused by sediment from the high levels of inland erosion carried by rivers crossing the broad western plains.
Climate
The combination of southeastern trade winds and northwestern monsoons produces a hot rainy season (November–April) with frequently destructive cyclones, and a relatively cooler dry season (May–October). Rain clouds originating over the Indian Ocean discharge much of their moisture over the island's eastern coast; the heavy precipitation supports the area's rainforest ecosystem. The central highlands are both drier and cooler while the west is drier still, and a semi-arid climate prevails in the southwest and southern interior of the island.
Tropical cyclones cause damage to infrastructure and local economies as well as loss of life. In 2004, Cyclone Gafilo became the strongest cyclone ever recorded to hit Madagascar. The storm killed 172 people, left 214,260 homeless and caused more than US$250 million in damage. In February 2022, Cyclone Batsirai killed at least 10 people weeks after Cyclone Ana killed 55 and displaced 130,000 people on the island.
Ecology
As the result of the island's long isolation from neighboring continents, Madagascar is home to various plants and animals found nowhere else on Earth. Approximately 90% of all plant and animal species found in Madagascar are endemic. This distinctive ecology has led some ecologists to refer to Madagascar as the "eighth continent", and the island has been classified by Conservation International as a biodiversity hotspot. Madagascar is classed as one of 17 megadiverse countries. The country is home to seven terrestrial ecoregions: Madagascar lowland forests, Madagascar subhumid forests, Madagascar dry deciduous forests, Madagascar ericoid thickets, Madagascar spiny thickets, Madagascar succulent woodlands, and Madagascar mangroves.
More than 80 percent of Madagascar's 14,883 plant species are found nowhere else in the world, including five plant families. The family Didiereaceae, composed of four genera and 11 species, is limited to the spiny forests of southwestern Madagascar. Four-fifths of the world's Pachypodium species are endemic to the island. Three-fourths of Madagascar's 860 orchid species are found here alone, as are six of the world's nine baobab species. The island is home to around 170 palm species, three times as many as on all of mainland Africa; 165 of them are endemic. Many native plant species are used as herbal remedies for a variety of afflictions. The drugs vinblastine and vincristine are vinca alkaloids, used to treat Hodgkin's disease, leukemia, and other cancers, were derived from the Madagascar periwinkle. The traveler's palm, known locally as ravinala and endemic to the eastern rain forests, is highly iconic of Madagascar and is featured in the national emblem as well as the Air Madagascar logo.
Like its flora, Madagascar's fauna is diverse and exhibits a high rate of endemism. Lemurs have been characterized as "Madagascar's flagship mammal species" by Conservation International. In the absence of monkeys and other competitors, these primates have adapted to a wide range of habitats and diversified into numerous species. , there were officially 103 species and subspecies of lemur, 39 of which were described by zoologists between 2000 and 2008. They are almost all classified as rare, vulnerable, or endangered. At least 17 species of lemur have become extinct since humans arrived on Madagascar, all of which were larger than the surviving lemur species.
A number of other mammals, including the catlike fossa, are endemic to Madagascar. Over 300 species of birds have been recorded on the island, of which over 60 percent (including four families and 42 genera) are endemic. The few families and genera of reptile that have reached Madagascar have diversified into more than 260 species, with over 90 percent of these being endemic (including one endemic family). The island is home to two-thirds of the world's chameleon species, including the smallest known, and researchers have proposed that Madagascar may be the origin of all chameleons.
Endemic fish of Madagascar include two families, 15 genera and over 100 species, primarily inhabiting the island's freshwater lakes and rivers. Although invertebrates remain poorly studied in Madagascar, researchers have found high rates of endemism among the known species. All 651 species of terrestrial snail are endemic, as are a majority of the island's butterflies, scarab beetles, lacewings, spiders, and dragonflies.
Environmental issues
Madagascar's varied fauna and flora are endangered by human activity. Since the arrival of humans around 2,350 years ago, Madagascar has lost more than 90 percent of its original forest. This forest loss is largely fueled by tavy ("fat"), a traditional slash-and-burn agricultural practice imported to Madagascar by the earliest settlers. Malagasy farmers embrace and perpetuate the practice not only for its practical benefits as an agricultural technique, but for its cultural associations with prosperity, health and venerated ancestral custom (fomba malagasy). As human population density rose on the island, deforestation accelerated beginning around 1,400 years ago. By the 16th century, the central highlands had been largely cleared of their original forests. More recent contributors to the loss of forest cover include the growth in cattle herd size since their introduction around 1,000 years ago, a continued reliance on charcoal as a fuel for cooking, and the increased prominence of coffee as a cash crop over the past century. Madagascar had a 2019 Forest Landscape Integrity Index mean score of 4.63/10, ranking it 119th globally out of 172 countries.
According to a conservative estimate, about 40 percent of the island's original forest cover was lost from the 1950s to 2000, with a thinning of remaining forest areas by 80 percent. In addition to traditional agricultural practice, wildlife conservation is challenged by the illicit harvesting of protected forests, as well as the state-sanctioned harvesting of precious woods within national parks. Although banned by then-President Marc Ravalomanana from 2000 to 2009, the collection of small quantities of precious timber from national parks was re-authorized in January 2009 and dramatically intensified under the administration of Andry Rajoelina as a key source of state revenues to offset cuts in donor support following Ravalomanana's ousting.
Invasive species have likewise been introduced by human populations. Following the 2014 discovery in Madagascar of the Asian common toad, a relative of a toad species that has severely harmed wildlife in Australia since the 1930s, researchers warned the toad could "wreak havoc on the country's unique fauna." Habitat destruction and hunting have threatened many of Madagascar's endemic species or driven them to extinction. The island's elephant birds, a family of endemic giant ratites, became extinct in the 17th century or earlier, most probably because of human hunting of adult birds and poaching of their large eggs for food. Numerous giant lemur species vanished with the arrival of human settlers to the island, while others became extinct over the course of the centuries as a growing human population put greater pressures on lemur habitats and, among some populations, increased the rate of lemur hunting for food. A July 2012 assessment found that the exploitation of natural resources since 2009 has had dire consequences for the island's wildlife: 90 percent of lemur species were found to be threatened with extinction, the highest proportion of any mammalian group. Of these, 23 species were classified as critically endangered. By contrast, a previous study in 2008 had found only 38 percent of lemur species were at risk of extinction.
In 2003, Ravalomanana announced the Durban Vision, an initiative to more than triple the island's protected natural areas to over or 10 percent of Madagascar's land surface. , areas protected by the state included five Strict Nature Reserves (Réserves Naturelles Intégrales), 21 Wildlife Reserves (Réserves Spéciales) and 21 National Parks (Parcs Nationaux). In 2007 six of the national parks were declared a joint World Heritage Site under the name Rainforests of the Atsinanana. These parks are Marojejy, Masoala, Ranomafana, Zahamena, Andohahela and Andringitra. Local timber merchants are harvesting scarce species of rosewood trees from protected rainforests within Marojejy National Park and exporting the wood to China for the production of luxury furniture and musical instruments. To raise public awareness of Madagascar's environmental challenges, the Wildlife Conservation Society opened an exhibit entitled "Madagascar!" in June 2008 at the Bronx Zoo in New York.
Mid-2021 marked the beginning of the 2021 Madagascar food crisis which, due to a severe drought, caused hundreds of thousands of people to face food insecurity and over one million people were on the verge of a famine.
History
Early period
Traditionally, archaeologists have estimated that the earliest settlers arrived in successive waves in outrigger canoes from Borneo, possibly throughout the period between 350 BC and 550 AD, while others are cautious about dates earlier than 250 AD. In either case, these dates make Madagascar one of the latest major landmasses on Earth to be settled by humans, predating the settlement of Iceland and New Zealand. It is proposed that Ma'anyan people were brought as laborers and slaves by Malay and Javanese people in their trading fleets to Madagascar. Dates earlier than the mid-first millennium AD are not strongly supported.
Upon arrival, early settlers practiced slash-and-burn agriculture to clear the coastal rainforests for cultivation. The first settlers encountered Madagascar's abundance of megafauna, including giant lemurs, elephant birds, giant fossa and the Malagasy hippopotamus, which have since become extinct because of hunting and habitat destruction. By 600 AD, groups of these early settlers had begun clearing the forests of the central highlands. Arab traders first reached the island between the 7th and 9th centuries. A wave of Bantu-speaking migrants from southeastern Africa arrived around 1000 AD. South Indian Tamil merchants arrived around 11th century. They introduced the zebu, a type of long-horned humped cattle, which they kept in large herds. Irrigated paddy fields were developed in the central highland Betsileo Kingdom and were extended with terraced paddies throughout the neighboring Kingdom of Imerina a century later. The rising intensity of land cultivation and the ever-increasing demand for zebu pasturage had largely transformed the central highlands from a forest ecosystem to grassland by the 17th century. The oral histories of the Merina people, who may have arrived in the central highlands between 600 and 1,000 years ago, describe encountering an established population they called the Vazimba. Probably the descendants of an earlier and less technologically advanced Austronesian settlement wave, the Vazimba were assimilated or expelled from the highlands by the Merina kings Andriamanelo, Ralambo and Andrianjaka in the 16th and early 17th centuries. Today, the spirits of the Vazimba are revered as tompontany (ancestral masters of the land) by many traditional Malagasy communities.
Arab and Portuguese contacts
Madagascar was an important transoceanic trading hub connecting ports of the Indian Ocean in the early centuries following human settlement.
The written history of Madagascar began with the Arabs, who established trading posts along the northwest coast by at least the 10th century and introduced Islam, the Arabic script (used to transcribe the Malagasy language in a form of writing known as sorabe), Arab astrology, and other cultural elements.
Portuguese
European contact began in 1500, when the Portuguese sea captain Diogo Dias sighted the island, while participating in the 2nd Armada of the Portuguese India Armadas.
Matatana was the first Portuguese settlement on the south coast, 10 km west of Fort Dauphin. In 1508, settlers there built a tower, a small village, and a stone column. This settlement was established in 1513 at the behest of the viceroy of Portuguese India, Jeronimo de Azevedo.
Contacts continued from the 1550s. Several colonization and conversion missions were ordered by King João III and by the Viceroy of India, including one in 1553 by Baltazar Lobo de Sousa. In that mission, according to detailed descriptions by chroniclers Diogo do Couto and João de Barros, emissaries reached the inland via rivers and bays, exchanging goods and even converting one of the local kings.
French
The French established trading posts along the east coast in the late 17th century. From about 1774 to 1824, Madagascar gained prominence among pirates and European traders, particularly those involved in the trans-Atlantic slave trade. The small island of Nosy Boroha off the northeastern coast of Madagascar has been proposed by some historians as the site of the legendary pirate utopia of Libertalia. Many European sailors were shipwrecked on the coasts of the island, among them Robert Drury, whose journal is one of the few written depictions of life in southern Madagascar during the 18th century.
The wealth generated by maritime trade spurred the rise of organized kingdoms on the island, some of which had grown quite powerful by the 17th century. Among these were the Betsimisaraka alliance of the eastern coast and the Sakalava chiefdoms of Menabe and Boina on the west coast. The Kingdom of Imerina, located in the central highlands with its capital at the royal palace of Antananarivo, emerged at around the same time under the leadership of King Andriamanelo.
Kingdom of Madagascar
Upon its emergence in the early 17th century, the highland kingdom of Imerina was initially a minor power relative to the larger coastal kingdoms and grew even weaker in the early 18th century when King Andriamasinavalona divided it among his four sons. Following almost a century of warring and famine, Imerina was reunited in 1793 by King Andrianampoinimerina (1787-1810). From his initial capital Ambohimanga, and later from the Rova of Antananarivo, this Merina king rapidly expanded his rule over neighboring principalities. His ambition to bring the entire island under his control was largely achieved by his son and successor, King Radama I (1810–28), who was recognized by the British government as King of Madagascar. Radama concluded a treaty in 1817 with the British governor of Mauritius to abolish the lucrative slave trade in return for British military and financial assistance. Artisan missionary envoys from the London Missionary Society began arriving in 1818 and included such key figures as James Cameron, David Jones and David Griffiths, who established schools, transcribed the Malagasy language using the Roman alphabet, translated the Bible, and introduced a variety of new technologies to the island.
Radama's successor, Queen Ranavalona I (1828–61), responded to increasing political and cultural encroachment on the part of Britain and France by issuing a royal edict prohibiting the practice of Christianity in Madagascar and pressuring most foreigners to leave the territory. William Ellis (missionary) described his visits made during her reign in his book Three Visits to Madagascar during the years 1853, 1854, and 1856. The Queen made heavy use of the traditional practice of fanompoana (forced labor as tax payment) to complete public works projects and develop a standing army of between 20,000 and 30,000 Merina soldiers, whom she deployed to pacify outlying regions of the island and further expand the Kingdom of Merina to encompass most of Madagascar. Residents of Madagascar could accuse one another of various crimes, including theft, Christianity and especially witchcraft, for which the ordeal of tangena was routinely obligatory. Between 1828 and 1861, the tangena ordeal caused about 3,000 deaths annually. In 1838, it was estimated that as many as 100,000 people in Imerina died as a result of the tangena ordeal, constituting roughly 20 percent of the population. The combination of regular warfare, disease, difficult forced labor, and harsh measures of justice resulted in a high mortality rate among soldiers and civilians alike during her 33-year reign, the population of Madagascar is estimated to have declined from around 5 million to 2.5 million between 1833 and 1839.
Among those who continued to reside in Imerina were Jean Laborde, an entrepreneur who developed munitions and other industries on behalf of the monarchy, and Joseph-François Lambert, a French adventurer and slave trader, with whom then-Prince Radama II signed a controversial trade agreement termed the Lambert Charter. Succeeding his mother, Radama II (1861–63) attempted to relax the queen's stringent policies, but was overthrown two years later by Prime Minister Rainivoninahitriniony (1852-1865) and an alliance of Andriana (noble) and Hova (commoner) courtiers, who sought to end the absolute power of the monarch.
Following the coup, the courtiers offered Radama's queen, Rasoherina (1863–68), the opportunity to rule, if she would accept a power sharing arrangement with the Prime Minister: a new social contract that would be sealed by a political marriage between them. Queen Rasoherina accepted, first marrying Rainivoninahitriniony, then later deposing him and marrying his brother, Prime Minister Rainilaiarivony (1864–95), who would go on to marry Queen Ranavalona II (1868–83) and Queen Ranavalona III (1883–97) in succession. Over the course of Rainilaiarivony's 31-year tenure as prime minister, numerous policies were adopted to modernize and consolidate the power of the central government. Schools were constructed throughout the island and attendance was made mandatory. Army organization was improved and British consultants were employed to train and professionalize soldiers. Polygamy was outlawed and Christianity, declared the official religion of the court in 1869, was adopted alongside traditional beliefs among a growing portion of the populace. Legal codes were reformed on the basis of British common law and three European-style courts were established in the capital city. In his joint role as Commander-in-Chief, Rainilaiarivony also successfully ensured the defense of Madagascar against several French colonial incursions.
French colonization
Primarily on the basis that the Lambert Charter had not been respected, France invaded Madagascar in 1883 in what became known as the first Franco-Hova War. At the end of the war, Madagascar ceded the northern port town of Antsiranana (Diego Suarez) to France and paid 560,000 francs to Lambert's heirs. In 1890, the British accepted the full formal imposition of a French protectorate on the island, but French authority was not acknowledged by the government of Madagascar. To force capitulation, the French bombarded and occupied the harbor of Toamasina on the east coast, and Mahajanga on the west coast, in December 1894 and January 1895 respectively.
A French military flying column then marched toward Antananarivo, losing many men to malaria and other diseases. Reinforcements came from Algeria and Sub-Saharan Africa. Upon reaching the city in September 1895, the column bombarded the royal palace with heavy artillery, causing heavy casualties and leading Queen Ranavalona III to surrender. France annexed Madagascar in 1896 and declared the island a colony the following year, dissolving the Merina monarchy and sending the royal family into exile on Réunion Island and to Algeria. A two-year resistance movement organized in response to the French capture of the royal palace was effectively put down at the end of 1897.
The conquest was followed by ten years of civil war, due to the Menalamba insurrection. The "pacification" carried out by the French administration lasted more than fifteen years, in response to the rural guerrillas scattered throughout the country. In total, the repression of this resistance to colonial conquest caused several tens of thousands of Malagasy victims.
Under colonial rule, plantations were established for the production of a variety of export crops. Slavery was abolished in 1896 and approximately 500,000 slaves were freed; many remained in their former masters' homes as servants or as sharecroppers; in many parts of the island strong discriminatory views against slave descendants are still held today. Wide paved boulevards and gathering places were constructed in the capital city of Antananarivo and the Rova palace compound was turned into a museum. Additional schools were built, particularly in rural and coastal areas where the schools of the Merina had not reached. Education became mandatory between the ages of 6 to 13 and focused primarily on French language and practical skills.
Huge mining and forestry concessions were granted to large companies. Native chiefs loyal to the French administration were also granted part of the land. Forced labor was introduced in favor of the French companies and peasants were encouraged, through taxation, to work for wages (especially in the colonial concessions) to the detriment of small individual farms. However, the colonial period was accompanied by movements fighting for independence: the Menalamba, the Vy Vato Sakelika, the Democratic Movement for Malagasy Renovation (MDRM). In 1927, major demonstrations were organized in Antananarivo, notably on the initiative of the communist activist François Vittori, who was imprisoned as a result.55 The 1930s saw the anti-colonial movement in Madagascar. The 1930s saw the Malagasy anti-colonial movement gain further momentum. Malagasy trade unionism began to appear underground and the Communist Party of the Madagascar region was formed. But in 1939, all the organizations were dissolved by the administration of the colony, which opted for the Vichy regime. The MDRM was accused by the colonial regime of being at the origin of the 1947 insurrection and was pursued by violent repression.
The Merina royal tradition of taxes paid in the form of labor was continued under the French and used to construct a railway and roads linking key coastal cities to Antananarivo. Malagasy troops fought for France in World War I. In the 1930s, Nazi political thinkers developed the Madagascar Plan that had identified the island as a potential site for the deportation of Europe's Jews. During the Second World War, the island was the site of the Battle of Madagascar between the Vichy French and an Allied expeditionary force.
The occupation of France during the Second World War tarnished the prestige of the colonial administration in Madagascar and galvanized the growing independence movement, leading to the Malagasy Uprising of 1947. This movement led the French to establish reformed institutions in 1956 under the Loi Cadre (Overseas Reform Act), and Madagascar moved peacefully towards independence. The Malagasy Republic was proclaimed on 14 October 1958, as an autonomous state within the French Community. A period of provisional government ended with the adoption of a constitution in 1959 and full independence on 26 June 1960.
Independent state
Since regaining independence, Madagascar has transitioned through four republics with corresponding revisions to its constitution. The First Republic (1960–72), under the leadership of French-appointed President Philibert Tsiranana, was characterized by a continuation of strong economic and political ties to France. Many high-level technical positions were filled by French expatriates, and French teachers, textbooks and curricula continued to be used in schools around the country. Popular resentment over Tsiranana's tolerance for this "neo-colonial" arrangement inspired a series of farmer and student protests that overturned his administration in 1972.
Gabriel Ramanantsoa, a major general in the army, was appointed interim president and prime minister that same year, but low public approval forced him to step down in 1975. Colonel Richard Ratsimandrava, appointed to succeed him, was assassinated six days into his tenure. General Gilles Andriamahazo ruled after Ratsimandrava for four months before being replaced by another military appointee: Vice Admiral Didier Ratsiraka, who ushered in the Socialist-Marxist Second Republic that ran under his tenure from 1975 to 1993.
This period saw a political alignment with the Eastern Bloc countries and a shift toward economic insularity. These policies, coupled with economic pressures stemming from the 1973 oil crisis, resulted in the rapid collapse of Madagascar's economy and a sharp decline in living standards, and the country had become completely bankrupt by 1979. The Ratsiraka administration accepted the conditions of transparency, anti-corruption measures and free market policies imposed by the International Monetary Fund, World Bank and various bilateral donors in exchange for their bailout of the nation's broken economy.
Ratsiraka's dwindling popularity in the late 1980s reached a critical point in 1991 when presidential guards opened fire on unarmed protesters during a rally. Within two months, a transitional government had been established under the leadership of Albert Zafy (1993–96), who went on to win the 1992 presidential elections and inaugurate the Third Republic (1992-2010). The new Madagascar constitution established a multi-party democracy and a separation of powers that placed significant control in the hands of the National Assembly. The new constitution also emphasized human rights, social and political freedoms, and free trade. Zafy's term, however, was marred by economic decline, allegations of corruption, and his introduction of legislation to give himself greater powers. He was consequently impeached in 1996, and an interim president, Norbert Ratsirahonana, was appointed for the three months prior to the next presidential election. Ratsiraka was then voted back into power on a platform of decentralization and economic reforms for a second term which lasted from 1996 to 2001.
The contested 2001 presidential elections in which then-mayor of Antananarivo, Marc Ravalomanana, eventually emerged victorious, caused a seven-month standoff in 2002 between supporters of Ravalomanana and Ratsiraka. The negative economic impact of the political crisis was gradually overcome by Ravalomanana's progressive economic and political policies, which encouraged investments in education and ecotourism, facilitated foreign direct investment, and cultivated trading partnerships both regionally and internationally. National GDP grew at an average rate of 7 percent per year under his administration. In the later half of his second term, Ravalomanana was criticised by domestic and international observers who accused him of increasing authoritarianism and corruption.
Opposition leader and then-mayor of Antananarivo, Andry Rajoelina, led a movement in early 2009 in which Ravalomanana was pushed from power in an unconstitutional process widely condemned as a coup d'état. In March 2009, Rajoelina was declared by the Supreme Court as the President of the High Transitional Authority, an interim governing body responsible for moving the country toward presidential elections. In 2010, a new constitution was adopted by referendum, establishing a Fourth Republic, which sustained the democratic, multi-party structure established in the previous constitution. Hery Rajaonarimampianina was declared the winner of the 2013 presidential election, which the international community deemed fair and transparent.
In 2018 the first round of the presidential election was held on 7 November and the second round was held on 10 December. Three former presidents and the most recent president were the main candidates of the elections. Former president Andry Rajoelina won the second round of the elections. He was previously president from 2009 to 2014. Former president Marc Ravalomana lost the second round and he did not accept the results because of allegations of fraud. Ravalomana was president from 2002 to 2009. The most recent president Hery Rajaonarimampianina received very modest support in the first round. In January 2019 the High Constitutional Court declared Rajoelina as the winner of the elections and the new president.
In June 2019 parliamentary elections the party of president Andry Rajoelina won absolute majority of the seats of the National Assembly. It received 84 seats and the supporters of former president Ravalomana got only 16 seats of 151 seats of the National Assembly. 51 seats of deputies were independent or represented small parties. President Rajoelina could rule as a strongman.
In 2020, on the 60th anniversary of Madagascar's independence, a national drive was marked with an inaugural gathering of volunteers to set out plantlings in the ground in an ambition to plant 60 million trees.
Government
Structure
Madagascar is a semi-presidential representative democratic multi-party republic, wherein the popularly elected president is the head of state and selects a prime minister, who recommends candidates to the president to form his cabinet of ministers. According to the constitution, executive power is exercised by the government while legislative power is vested in the ministerial cabinet, the Senate and the National Assembly, although in reality these two latter bodies have very little power or legislative role. The constitution establishes independent executive, legislative and judicial branches and mandates a popularly elected president limited to three five-year terms.
The public directly elects the president and the 127 members of the National Assembly to five-year terms. All 33 members of the Senate serve six-year terms, with 22 senators elected by local officials and 11 appointed by the president. The last National Assembly election was held on 20 December 2013 and the last Senate election was held on 30 December 2015.
At the local level, the island's 22 provinces are administered by a governor and provincial council. Provinces are further subdivided into regions and communes. The judiciary is modeled on the French system, with a High Constitutional Court, High Court of Justice, Supreme Court, Court of Appeals, criminal tribunals, and tribunals of first instance. The courts, which adhere to civil law, lack the capacity to quickly and transparently try the cases in the judicial system, often forcing defendants to pass lengthy pretrial detentions in unsanitary and overcrowded prisons.
Antananarivo is the administrative capital and largest city of Madagascar. It is located in the highlands region, near the geographic center of the island. King Andrianjaka founded Antananarivo as the capital of his Imerina Kingdom around 1610 or 1625 upon the site of a captured Vazimba capital on the hilltop of Analamanga. As Merina dominance expanded over neighboring Malagasy peoples in the early 19th century to establish the Kingdom of Madagascar, Antananarivo became the center of administration for virtually the entire island. In 1896 the French colonizers of Madagascar adopted the Merina capital as their center of colonial administration. The city remained the capital of Madagascar after regaining independence in 1960. In 2017, the capital's population was estimated at 1,391,433 inhabitants. The next largest cities are Antsirabe (500,000), Toamasina (450,000) and Mahajanga (400,000).
Politics
Since Madagascar gained independence from France in 1960, the island's political transitions have been marked by numerous popular protests, several disputed elections, an impeachment, two military coups and one assassination. The island's recurrent political crises are often prolonged, with detrimental effects on the local economy, international relations and Malagasy living standards. The eight-month standoff between incumbent Ratsiraka and challenger Marc Ravalomanana following the 2001 presidential elections cost Madagascar millions of dollars in lost tourism and trade revenue as well as damage to infrastructure, such as bombed bridges and buildings damaged by arson. A series of protests led by Andry Rajoelina against Ravalomanana in early 2009 became violent, with more than 170 people killed. Modern politics in Madagascar are colored by the history of Merina subjugation of coastal communities under their rule in the 19th century. The consequent tension between the highland and coastal populations has periodically flared up into isolated events of violence.
Madagascar has historically been perceived as being on the margin of mainstream African affairs despite being a founding member of the Organisation of African Unity, which was established in 1963 and dissolved in 2002 to be replaced by the African Union. Madagascar was not permitted to attend the first African Union summit because of a dispute over the results of the 2001 presidential election, but rejoined the African Union in July 2003 after a 14-month hiatus. Madagascar was again suspended by the African Union in March 2009 following the unconstitutional transfer of executive power to Rajoelina. Madagascar is a member of the International Criminal Court with a Bilateral Immunity Agreement of protection for the United States military. Eleven countries have established embassies in Madagascar, including France, the United Kingdom, the United States, China and India, while Madagascar has embassies in sixteen other countries.
Human rights in Madagascar are protected under the constitution and the state is a signatory to numerous international agreements including the Universal Declaration of Human Rights and the Convention on the Rights of the Child. Religious, ethnic and sexual minorities are protected under the law. Freedom of association and assembly are also guaranteed under the law, although in practice the denial of permits for public assembly has occasionally been used to impede political demonstrations. Torture by security forces is rare and state repression is low relative to other countries with comparably few legal safeguards, although arbitrary arrests and the corruption of military and police officers remain problems. Ravalomanana's 2004 creation of BIANCO, an anti-corruption bureau, resulted in reduced corruption among Antananarivo's lower-level bureaucrats in particular, although high-level officials have not been prosecuted by the bureau. Accusations of media censorship have risen due to the alleged restrictions on the coverage of government opposition. Some journalists have been arrested for allegedly spreading fake news.
Military and law enforcement
The rise of centralized kingdoms among the Sakalava, Merina and other ethnic groups produced the island's first standing armies by the 16th century, initially equipped with spears but later with muskets, cannons and other firearms. By the early 19th century, the Merina sovereigns of the Kingdom of Madagascar had brought much of the island under their control by mobilizing an army of trained and armed soldiers numbering as high as 30,000. French attacks on coastal towns in the later part of the century prompted then-Prime Minister Rainilaiarivony to solicit British assistance to provide training to the Merina monarchy's army. Despite the training and leadership provided by British military advisers, the Malagasy army was unable to withstand French weaponry and was forced to surrender following an attack on the royal palace at Antananarivo. Madagascar was declared a colony of France in 1897.
The political independence and sovereignty of the Malagasy armed forces, which comprises an army, navy and air force, was restored with independence from France in 1960. Since this time the Malagasy military has never engaged in armed conflict with another state or within its own borders, but has occasionally intervened to restore order during periods of political unrest. Under the socialist Second Republic, Admiral Didier Ratsiraka instated mandatory national armed or civil service for all young citizens regardless of sex, a policy that remained in effect from 1976 to 1991. The armed forces are under the direction of the Minister of Defense and have remained largely neutral during times of political crisis, as during the protracted standoff between incumbent Ratsiraka and challenger Marc Ravalomanana in the disputed 2001 presidential elections, when the military refused to intervene in favor of either candidate. This tradition was broken in 2009, when a segment of the army defected to the side of Andry Rajoelina, then-mayor of Antananarivo, in support of his attempt to force President Ravalomanana from power.
The Minister of Interior is responsible for the national police force, paramilitary force (gendarmerie) and the secret police. The police and gendarmerie are stationed and administered at the local level. However, in 2009 fewer than a third of all communes had access to the services of these security forces, with most lacking local-level headquarters for either corps. Traditional community tribunals, called dina, are presided over by elders and other respected figures and remain a key means by which justice is served in rural areas where state presence is weak. Historically, security has been relatively high across the island. Violent crime rates are low, and criminal activities are predominantly crimes of opportunity such as pickpocketing and petty theft, although child prostitution, human trafficking and the production and sale of marijuana and other illegal drugs are increasing. Budget cuts since 2009 have severely impacted the national police force, producing a steep increase in criminal activity in recent years.
Administrative divisions
Madagascar is subdivided into 22 regions (faritra). The regions are further subdivided into 119 districts, 1,579 communes, and 17,485 fokontany.
Largest cities and towns
Agriculture has long influenced settlement on the island. Only 15% of the nation's 24,894,551 population live in the 10 largest cities.
United Nations involvement
Madagascar became a member state of the United Nations on 20 September 1960, shortly after gaining its independence on 26 June 1960. As of January 2017, 34 police officers from Madagascar are deployed in Haiti as part of the United Nations Stabilisation Mission in Haiti. Starting in 2015, under the direction of and with assistance from the UN, the World Food Programme started the Madagascar Country Programme with the two main goals of long-term development and reconstruction efforts, and addressing the food insecurity issues in the southern regions of Madagascar. These goals plan to be accomplished by providing meals for specific schools in rural and urban priority areas and by developing national school feeding policies to increase consistency of nourishment throughout the country. Small and local farmers have also been assisted in increasing both the quantity and quality of their production, as well as improving their crop yield in unfavorable weather conditions. In 2017, Madagascar signed the UN treaty on the Prohibition of Nuclear Weapons.
Economy
During the era of Madagascar's First Republic, France heavily influenced Madagascar's economic planning and policy and served as its key trading partner. Key products were cultivated and distributed nationally through producers' and consumers' cooperatives. Government initiatives such as a rural development program and state farms were established to boost production of commodities such as rice, coffee, cattle, silk and palm oil. Popular dissatisfaction over these policies was a key factor in launching the socialist-Marxist Second Republic, in which the formerly private bank and insurance industries were nationalized; state monopolies were established for such industries as textiles, cotton and power; and import–export trade and shipping were brought under state control. Madagascar's economy quickly deteriorated as exports fell, industrial production dropped by 75 percent, inflation spiked and government debt increased; the rural population was soon reduced to living at subsistence levels. Over 50 percent of the nation's export revenue was spent on debt servicing.
The IMF forced Madagascar's government to accept structural adjustment policies and liberalization of the economy when the state became bankrupt in 1982 and state-controlled industries were gradually privatized over the course of the 1980s. The political crisis of 1991 led to the suspension of IMF and World Bank assistance. Conditions for the resumption of aid were not met under Zafy, who tried unsuccessfully to attract other forms of revenue for the State before aid was once again resumed under the interim government established upon Zafy's impeachment. The IMF agreed to write off half Madagascar's debt in 2004 under the Ravalomanana administration. Having met a set of stringent economic, governance and human rights criteria, Madagascar became the first country to benefit from the Millennium Challenge Account in 2005.
Madagascar's GDP in 2015 was estimated at US$9.98 billion, with a per capita GDP of $411.82. Approximately 69 percent of the population lives below the national poverty line threshold of one dollar per day. During 2011–15, the average growth rate was 2.6% but was expected to have reached 4.1% in 2016, due to public works programs and a growth of the service sector. The agriculture sector constituted 29 percent of Malagasy GDP in 2011, while manufacturing formed 15 percent of GDP. Madagascar's other sources of growth are tourism, agriculture and the extractive industries. Tourism focuses on the niche eco-tourism market, capitalizing on Madagascar's unique biodiversity, unspoiled natural habitats, national parks and lemur species. An estimated 365,000 tourists visited Madagascar in 2008, but the sector declined during the political crisis with 180,000 tourists visiting in 2010. However, the sector has been growing steadily for a few years; In 2016, 293,000 tourists landed in the African island with an increase of 20% compared to 2015; For 2017 the country has the goal of reaching 366,000 visitors, while for 2018 government estimates are expected to reach 500,000 annual tourists.
The island is still a very poor country in 2018; structural brakes remain in the development of the economy: corruption and the shackles of the public administration, lack of legal certainty, and backwardness of land legislation. The economy, however, has been growing since 2011, with GDP growth exceeding 4% per year; almost all economic indicators are growing, the GDP per capita was around $1600 (PPP) for 2017, one of the lowest in the world, although growing since 2012; unemployment was also cut, which in 2016 was equal to 2.1% with a work force of 13.4 million as of 2017. The main economic resources of Madagascar are tourism, textiles, agriculture, and mining.
Poverty affects 92% of the population in 2017. The country ranks fourth in the world in terms of chronic malnutrition. Nearly one in two children under the age of five is stunted. In addition, Madagascar is among the five countries where access to water is the most difficult for the population. Twelve million people do not have access to clean water, according to the NGO WaterAid.
Natural resources and trade
Madagascar's natural resources include a variety of agricultural and mineral products. Agriculture (including the growing of raffia), mining, fishing and forestry are mainstays of the economy. In 2017 the top exports were vanilla (US$894M), nickel metal (US$414M), cloves (US$288M), knitted sweaters (US$184M) and cobalt (US$143M).
Madagascar is the world's principal supplier of vanilla, cloves and ylang-ylang. The island supplies 80% of the world's natural vanilla. Other key agricultural resources include coffee, lychees and shrimp. Key mineral resources include various types of precious and semi-precious stones, and it currently provides half of the world's supply of sapphires, which were discovered near Ilakaka in the late 1990s.
Madagascar has one of the world's largest reserves of ilmenite (titanium ore), as well as important reserves of chromite, coal, iron, cobalt, copper and nickel. Several major projects are underway in the mining, oil and gas sectors that are anticipated to give a significant boost to the Malagasy economy. These include such projects as ilmenite and zircon mining from heavy mineral sands near Tôlanaro by Rio Tinto, extraction of nickel by the Ambatovy mine near Moramanga and its processing near Toamasina by Sherritt International, and the development of the giant onshore heavy oil deposits at Tsimiroro and Bemolanga by Madagascar Oil.
Exports formed 28 percent of GDP in 2009. Most of the country's export revenue is derived from the textiles industry, fish and shellfish, vanilla, cloves and other foodstuffs. France is the nation's main trading partner, although the United States, Japan and Germany also have strong economic ties. The Madagascar-U.S. Business Council was formed in May 2003, as a collaboration between USAID and Malagasy artisan producers to support the export of local handicrafts to foreign markets. Imports of such items as foodstuffs, fuel, capital goods, vehicles, consumer goods and electronics consume an estimated 52 percent of GDP. The main sources of Madagascar's imports include China, France, Iran, Mauritius and Hong Kong.
Infrastructure and media
In 2010, Madagascar had approximately of paved roads, of railways and of navigable waterways. The majority of roads in Madagascar are unpaved, with many becoming impassable in the rainy season. Largely paved national routes connect the six largest regional towns to Antananarivo, with minor paved and unpaved routes providing access to other population centers in each district.
There are several rail lines. Antananarivo is connected to Toamasina, Ambatondrazaka and Antsirabe by rail, and another rail line connects Fianarantsoa to Manakara. The most important seaport in Madagascar is located on the east coast at Toamasina. Ports at Mahajanga and Antsiranana are significantly less used because of their remoteness. The island's newest port at Ehoala, constructed in 2008 and privately managed by Rio Tinto, will come under state control upon completion of the company's mining project near Tôlanaro around 2038. Air Madagascar services the island's many small regional airports, which offer the only practical means of access to many of the more remote regions during rainy season road washouts.
Running water and electricity are supplied at the national level by a government service provider, Jirama, which is unable to service the entire population. , only 6.8 percent of Madagascar's fokontany had access to water provided by Jirama, while 9.5 percent had access to its electricity services. Fifty-six percent of Madagascar's power is provided by hydroelectric power plants, with the remaining 44% provided by diesel engine generators. Mobile telephone and internet access are widespread in urban areas but remain limited in rural parts of the island. Approximately 30% of the districts are able to access the nations' several private telecommunications networks via mobile telephones or land lines.
Radio broadcasts remain the principal means by which the Malagasy population access international, national, and local news. Only state radio broadcasts are transmitted across the entire island. Hundreds of public and private stations with local or regional range provide alternatives to state broadcasting. In addition to the state television channel, a variety of privately owned television stations broadcast local and international programming throughout Madagascar. Several media outlets are owned by political partisans or politicians themselves, including the media groups MBS (owned by Ravalomanana) and Viva (owned by Rajoelina), contributing to political polarization in reporting.
The media have historically come under varying degrees of pressure to censor their criticism of the government. Reporters are occasionally threatened or harassed, and media outlets are periodically forced to close. Accusations of media censorship have increased since 2009 because of the alleged intensification of restrictions on political criticism. Access to the internet has grown dramatically over the past decade, with an estimated 352,000 residents of Madagascar accessing the internet from home or in one of the nation's many internet cafés in December 2011.
Health
Medical centers, dispensaries, and hospitals are found throughout the island, although they are concentrated in urban areas and particularly in Antananarivo. Access to medical care remains beyond the reach of many Malagasy, especially in the rural areas, and many recourse to traditional healers. In addition to the high expense of medical care relative to the average Malagasy income, the prevalence of trained medical professionals remains extremely low. In 2010, Madagascar had an average of three hospital beds per 10,000 people and a total of 3,150 doctors, 5,661 nurses, 385 community health workers, 175 pharmacists, and 57 dentists for a population of 22 million. Fifteen percent of government spending in 2008 was directed toward the health sector. Approximately 70 percent of spending on health was contributed by the government, while 30 percent originated with international donors and other private sources. The government provides at least one basic health center per commune. Private health centers are concentrated within urban areas and particularly those of the central highlands.
Despite these barriers to access, health services have shown a trend toward improvement over the past twenty years. Child immunizations against such diseases as hepatitis B, diphtheria, and measles increased an average of 60 percent in this period, indicating low but increasing availability of basic medical services and treatments. The Malagasy fertility rate in 2009 was 4.6 children per woman, declining from 6.3 in 1990. Teen pregnancy rates of 14.8 percent in 2011, much higher than the African average, are a contributing factor to rapid population growth. In 2010, the maternal mortality rate was 440 per 100,000 births, compared to 373.1 in 2008 and 484.4 in 1990, indicating a decline in perinatal care following the 2009 coup. The infant mortality rate in 2011 was 41 per 1,000 births, with an under-five mortality rate at 61 per 1,000 births. Schistosomiasis, malaria, and sexually transmitted diseases are common in Madagascar, although infection rates of AIDS remain low relative to many countries in mainland Africa, at 0.2 percent of the adult population. The malaria mortality rate is also among the lowest in Africa at 8.5 deaths per 100,000 people, in part because of the highest frequency use of insecticide treated nets in Africa. Adult life expectancy in 2009 was 63 years for men and 67 years for women.
Madagascar had outbreaks of the bubonic plague and pneumonic plague in 2017 (2575 cases, 221 deaths) and 2014 (263 confirmed cases, 71 deaths). In 2019, Madagascar had a measles outbreak, resulting in 118,000 cases and 1,688 deaths. In 2020, Madagascar was also affected by the COVID-19 pandemic. Undernourishment and hunger rates were at 42% in 2018. According to the United Nations, more than one million people in southern Madagascar are struggling to get enough to eat, due to what could become the first famine caused by climate change.
Education
Prior to the 19th century, all education in Madagascar was informal and typically served to teach practical skills as well as social and cultural values, including respect for ancestors and elders. The first formal European-style school was established in 1818 at Toamasina by members of the London Missionary Society (LMS). The LMS was invited by King Radama I to expand its schools throughout Imerina to teach basic literacy and numeracy to aristocratic children. The schools were closed by Ranavalona I in 1835, but reopened and expanded in the decades after her death.
By the end of the 19th century, Madagascar had the most developed and modern school system in pre-colonial Sub-Saharan Africa. Access to schooling was expanded in coastal areas during the colonial period, with French language and basic work skills becoming the focus of the curriculum. During the post-colonial First Republic, a continued reliance on French nationals as teachers, and French as the language of instruction, displeased those desiring a complete separation from the former colonial power. Consequently, under the socialist Second Republic, French instructors and other nationals were expelled, Malagasy was declared the language of instruction, and a large cadre of young Malagasy were rapidly trained to teach at remote rural schools under the mandatory two-year national service policy.
This policy, known as malgachization, coincided with a severe economic downturn and a dramatic decline in the quality of education. Those schooled during this period generally failed to master the French language or many other subjects and struggled to find employment, forcing many to take low-paying jobs in the informal or black market that mired them in deepening poverty. Excepting the brief presidency of Albert Zafy, from 1992 to 1996, Ratsiraka remained in power from 1975 to 2001 and failed to achieve significant improvements in education throughout his tenure.
Education was prioritized under the Ravalomanana administration (2002–09), and is currently free and compulsory from ages 6 to 13. The primary schooling cycle is five years, followed by four years at the lower secondary level and three years at the upper secondary level. During Ravalomanana's first term, thousands of new primary schools and additional classrooms were constructed, older buildings were renovated, and tens of thousands of new primary teachers were recruited and trained. Primary school fees were eliminated, and kits containing basic school supplies were distributed to primary students.
Government school construction initiatives have ensured at least one primary school per fokontany and one lower secondary school within each commune. At least one upper secondary school is located in each of the larger urban centers. The three branches of the national public university are located at Antananarivo, Mahajanga, and Fianarantsoa. These are complemented by public teacher-training colleges and several private universities and technical colleges.
As a result of increased educational access, enrollment rates more than doubled between 1996 and 2006. However, education quality is weak, producing high rates of grade repetition and dropout. Education policy in Ravalomanana's second term focused on quality issues, including an increase in minimum education standards for the recruitment of primary teachers from a middle school leaving certificate (BEPC) to a high school leaving certificate (BAC), and a reformed teacher training program to support the transition from traditional didactic instruction to student-centered teaching methods to boost student learning and participation in the classroom. Public expenditure on education was 2.8 percent of GDP in 2014. The literacy rate is estimated at 64.7%.
Demographics
In , the population of Madagascar was estimated at million, up from 2.2 million in 1900. The annual population growth rate in Madagascar was approximately 2.9 percent in 2009.
Approximately 42.5 percent of the population is younger than 15 years of age, while 54.5 percent are between the ages of 15 and 64. Those aged 65 and older form 3 percent of the total population. Only two general censuses, in 1975 and 1993, have been carried out after independence. The most densely populated regions of the island are the eastern highlands and the eastern coast, contrasting most dramatically with the sparsely populated western plains.
Ethnic groups
The Malagasy ethnic group forms over 90 percent of Madagascar's population and is typically divided into 18 ethnic subgroups. Recent DNA research revealed that the genetic makeup of the average Malagasy person constitutes an approximately equal blend of Southeast Asian and East African genes, although the genetics of some communities show a predominance of Southeast Asian or East African origins or some Arab, Indian, or European ancestry.
Southeast Asian features – specifically from the southern part of Borneo – are most predominant among the Merina of the central highlands, who form the largest Malagasy ethnic subgroup at approximately 26 percent of the population, while certain communities among the coastal peoples (collectively called côtiers) have relatively stronger East African features. The largest coastal ethnic subgroups are the Betsimisaraka (14.9 percent) and the Tsimihety and Sakalava (6 percent each).
Chinese, Indian and Comoran minorities are present in Madagascar, as well as a small European (primarily French) populace. Emigration in the late 20th century has reduced these minority populations, occasionally in abrupt waves, such as the exodus of Comorans in 1976, following anti-Comoran riots in Mahajanga. By comparison, there has been no significant emigration of Malagasy peoples. The number of Europeans has declined since independence, reduced from 68,430 in 1958 to 17,000 three decades later. There were an estimated 25,000 Comorans, 18,000 Indians, and 9,000 Chinese living in Madagascar in the mid-1980s.
Languages
The Malagasy language is of Malayo-Polynesian origin and is generally spoken throughout the island. The numerous dialects of Malagasy, which are generally mutually intelligible, can be clustered under one of two subgroups: eastern Malagasy, spoken along the eastern forests and highlands including the Merina dialect of Antananarivo, and western Malagasy, spoken across the western coastal plains. The Malagasy language derives from the Southeast Barito languages, with the Ma'anyan language being its closest relative, incorporating numerous Malay and Javanese loanwords. French became the official language during the colonial period, when Madagascar came under the authority of France. In the first national Constitution of 1958, Malagasy and French were named the official languages of the Malagasy Republic. Madagascar is a francophone country, and French is mostly spoken as a second language among the educated population and used for international communication.
No official languages were mentioned in the Constitution of 1992, although Malagasy was identified as the national language. Nonetheless, many sources still claimed that Malagasy and French were official languages, eventually leading a citizen to initiate a legal case against the state in April 2000, on the grounds that the publication of official documents only in the French language was unconstitutional. The High Constitutional Court observed in its decision that, in the absence of a language law, French still had the character of an official language.
In the Constitution of 2007, Malagasy remained the national language while official languages were reintroduced: Malagasy, French, and English. English was removed as an official language from the constitution approved by voters in the November 2010 referendum. The outcome of the referendum, and its consequences for official and national language policy, are not recognized by the political opposition, who cite lack of transparency and inclusiveness in the way the election was organized by the High Transitional Authority.
Religion
According to the U.S. Department of State in 2011, 41% of Malagasys practiced Christianity, and 52% adhered to traditional religions, which tends to emphasize links between the living and the razana (ancestors); these numbers were drawn from the 1993 census. However, according to the Pew Research Center in 2010, 85% of the population now practiced Christianity, while just 4.5% of Malagasys practiced folk religions; among Christians, practitioners of Protestantism outnumbered adherents of Roman Catholicism.
The veneration of ancestors has led to the widespread tradition of tomb building, as well as the highlands practice of the famadihana, whereby a deceased family member's remains are exhumed and re-wrapped in fresh silk shrouds, before being replaced in the tomb. The famadihana is an occasion to celebrate the beloved ancestor's memory, reunite with family and community, and enjoy a festive atmosphere. Residents of surrounding villages are often invited to attend the party, where food and rum are typically served, and a hiragasy troupe or other musical entertainment is commonly present. Consideration for ancestors is also demonstrated through adherence to fady, taboos that are respected during and after the lifetime of the person who establishes them. It is widely believed that by showing respect for ancestors in these ways, they may intervene on behalf of the living. Conversely, misfortunes are often attributed to ancestors whose memory or wishes have been neglected. The sacrifice of zebu is a traditional method used to appease or honor the ancestors. In addition, the Malagasy traditionally believe in a creator god, called Zanahary or Andriamanitra.
Today, many Christians integrate their religious beliefs with traditional ones related to honoring the ancestors. For instance, they may bless their dead at church before proceeding with traditional burial rites or invite a Christian minister to consecrate a famadihana reburial. The Malagasy Council of Churches comprises the four oldest and most prominent Christian denominations of Madagascar (Roman Catholic, Church of Jesus Christ in Madagascar, Lutheran, and Anglican) and has been an influential force in Malagasy politics.
Islam is also practiced on the island. Islam was first brought to Madagascar in the Middle Ages by Arab and Somali Muslim traders, who established several Islamic schools along the eastern coast. While the use of Arabic script and loan words and the adoption of Islamic astrology would spread across the island, the Islamic religion took hold in only a handful of southeastern coastal communities. Today, Muslims constitute 3–7 percent of the population of Madagascar and are largely concentrated in the northwestern provinces of Mahajanga and Antsiranana. The vast majority of Muslims are Sunni. Muslims are divided between those of Malagasy ethnicity, Indians, Pakistanis and Comorans.
More recently, Hinduism was introduced to Madagascar through Gujarati people immigrating from the Saurashtra region of India in the late 19th century. Most Hindus in Madagascar speak Gujarati or Hindi at home.
Culture
Each of the many ethnic subgroups in Madagascar adhere to their own set of beliefs, practices and ways of life that have historically contributed to their unique identities. However, there are a number of core cultural features that are common throughout the island, creating a strongly unified Malagasy cultural identity. In addition to a common language and shared traditional religious beliefs around a creator god and veneration of the ancestors, the traditional Malagasy worldview is shaped by values that emphasize fihavanana (solidarity), vintana (destiny), tody (karma), and hasina, a sacred life force that traditional communities believe imbues and thereby legitimates authority figures within the community or family. Other cultural elements commonly found throughout the island include the practice of male circumcision; strong kinship ties; a widespread belief in the power of magic, diviners, astrology and witch doctors; and a traditional division of social classes into nobles, commoners, and slaves.
Although social castes are no longer legally recognized, ancestral caste affiliation often continues to affect social status, economic opportunity, and roles within the community. Malagasy people traditionally consult Mpanandro ("Makers of the Days") to identify the most auspicious days for important events such as weddings or famadihana, according to a traditional astrological system introduced by Arabs. Similarly, the nobles of many Malagasy communities in the pre-colonial period would commonly employ advisers known as the ombiasy (from olona-be-hasina, "man of much virtue") of the southeastern Antemoro ethnic group, who trace their ancestry back to early Somali settlers.
The diverse origins of Malagasy culture are evident in its tangible expressions. The most emblematic instrument of Madagascar, the valiha, is a bamboo tube zither carried to Madagascar by early settlers from southern Borneo, and is very similar in form to those found in Indonesia and the Philippines today. Traditional houses in Madagascar are likewise similar to those of southern Borneo in terms of symbolism and construction, featuring a rectangular layout with a peaked roof and central support pillar. Reflecting a widespread veneration of the ancestors, tombs are culturally significant in many regions and tend to be built of more durable material, typically stone, and display more elaborate decoration than the houses of the living. The production and weaving of silk can be traced back to the island's earliest settlers, and Madagascar's national dress, the woven lamba, has evolved into a varied and refined art.
The Southeast Asian cultural influence is also evident in Malagasy cuisine, in which rice is consumed at every meal, typically accompanied by one of a variety of flavorful vegetable or meat dishes. African influence is reflected in the sacred importance of zebu cattle and their embodiment of their owner's wealth, traditions originating on the African mainland. Cattle rustling, originally a rite of passage for young men in the plains areas of Madagascar where the largest herds of cattle are kept, has become a dangerous and sometimes deadly criminal enterprise as herdsmen in the southwest attempt to defend their cattle with traditional spears against increasingly armed professional rustlers.
Arts
A wide variety of oral and written literature has developed in Madagascar. One of the island's foremost artistic traditions is its oratory, as expressed in the forms of hainteny (poetry), kabary (public discourse) and ohabolana (proverbs). An epic poem exemplifying these traditions, the Ibonia, has been handed down over the centuries in several different forms across the island, and offers insight into the diverse mythologies and beliefs of traditional Malagasy communities. This tradition was continued in the 20th century by such artists as Jean-Joseph Rabearivelo, who is considered Africa's first modern poet, and Elie Rajaonarison, an exemplar of the new wave of Malagasy poetry. Madagascar has also developed a rich musical heritage, embodied in dozens of regional musical genres such as the coastal salegy or highland hiragasy that enliven village gatherings, local dance floors and national airwaves. Madagascar also has a growing culture of classical music fostered through youth academies, organizations and orchestras that promote youth involvement in classical music.
The plastic arts are also widespread throughout the island. In addition to the tradition of silk weaving and lamba production, the weaving of raffia and other local plant materials has been used to create a wide array of practical items such as floor mats, baskets, purses and hats. Wood carving is a highly developed art form, with distinct regional styles evident in the decoration of balcony railings and other architectural elements. Sculptors create a variety of furniture and household goods, aloalo funerary posts, and wooden sculptures, many of which are produced for the tourist market. The decorative and functional woodworking traditions of the Zafimaniry people of the central highlands was inscribed on UNESCO's list of Intangible Cultural Heritage in 2008.
Among the Antaimoro people, the production of paper embedded with flowers and other decorative natural materials is a long-established tradition that the community has begun to market to eco-tourists. Embroidery and drawn thread work are done by hand to produce clothing, as well as tablecloths and other home textiles for sale in local crafts markets. A small but growing number of fine art galleries in Antananarivo, and several other urban areas, offer paintings by local artists, and annual art events, such as the Hosotra open-air exhibition in the capital, contribute to the continuing development of fine arts in Madagascar.
Sport
A number of traditional pastimes have emerged in Madagascar. Moraingy, a type of hand-to-hand combat, is a popular spectator sport in coastal regions. It is traditionally practiced by men, but women have recently begun to participate. The wrestling of zebu cattle, which is named savika or tolon-omby, is also practiced in many regions. In addition to sports, a wide variety of games are played. Among the most emblematic is fanorona, a board game widespread throughout the Highland regions. According to folk legend, the succession of King Andrianjaka after his father Ralambo was partially the result of the obsession that Andrianjaka's older brother may have had with playing fanorona to the detriment of his other responsibilities.
Western recreational activities were introduced to Madagascar over the past two centuries. Rugby union is considered the national sport of Madagascar. Soccer is also popular. Madagascar has produced a world champion in pétanque, a French game similar to lawn bowling, which is widely played in urban areas and throughout the Highlands. School athletics programs typically include soccer, track and field, judo, boxing, women's basketball and women's tennis. Madagascar sent its first competitors to the Olympic Games in 1964, and has also competed in the African Games. Scouting is represented in Madagascar by its own local federation of three scouting clubs. Membership in 2011 was estimated at 14,905.
Because of its advanced sports facilities, Antananarivo gained the hosting rights for several of Africa's top international basketball events, including the 2011 FIBA Africa Championship, the 2009 FIBA Africa Championship for Women, the 2014 FIBA Africa Under-18 Championship, the 2013 FIBA Africa Under-16 Championship, and the 2015 FIBA Africa Under-16 Championship for Women. Madagascar's national 3x3 basketball team won the gold medal at the 2019 African Games.
Cuisine
Malagasy cuisine reflects the diverse influences of Southeast Asian, African, Oceania, Indian, Chinese, and European culinary traditions. The complexity of Malagasy meals can range from the simple, traditional preparations introduced by the earliest settlers, to the refined festival dishes prepared for the island's 19th-century monarchs. Throughout almost the entire island, the contemporary cuisine of Madagascar typically consists of a base of rice (vary) served with an accompaniment (laoka). The many varieties of laoka may be vegetarian or include animal proteins, and typically feature a sauce flavored with such ingredients as ginger, onion, garlic, tomato, vanilla, coconut milk, salt, curry powder, green peppercorns or, less commonly, other spices or herbs. In parts of the arid south and west, pastoral families may replace rice with maize, cassava, or curds made from fermented zebu milk. A wide variety of sweet and savory fritters as well as other street foods are available across the island, as are diverse tropical and temperate-climate fruits. Locally produced beverages include fruit juices, coffee, herbal teas and teas, and alcoholic drinks such as rum, wine, and beer. Three Horses Beer is the most popular beer on the island and is considered emblematic of Madagascar.
See also
Index of Madagascar-related articles
Outline of Madagascar
Notes
References
External links
Country Profile from BBC News
Madagascar. The World Factbook. Central Intelligence Agency.
Madagascar from UCB Libraries GovPubs
Key Development Forecasts for Madagascar from International Futures
Map of Madagascar, 1666, (in French). Eran Laor Cartographic Collection, The National Library of Israel
Island countries of the Indian Ocean
Islands of Madagascar
East African countries
Southeast African countries
Former French colonies
French-speaking countries and territories
Least developed countries
Member states of the Organisation internationale de la Francophonie
Member states of the African Union
Current member states of the United Nations
States and territories established in 1960
1960 establishments in Madagascar
1960 establishments in Africa
Physiographic provinces
Republics
Countries in Africa |
18967 | https://en.wikipedia.org/wiki/Flowering%20plant | Flowering plant | Flowering plants are plants that bear flowers and fruits, and form the clade Angiospermae (), commonly called angiosperms. The term "angiosperm" is derived from the Greek words ('container, vessel') and ('seed'), and refers to those plants that produce their seeds enclosed within a fruit. They are the most diverse group of land plants with 64 orders, 416 families, approximately 13,000 known genera and 300,000 known species. Angiosperms were formerly called Magnoliophyta ().
Like gymnosperms, angiosperms are seed-producing plants. They are distinguished from gymnosperms by characteristics including flowers, endosperm within their seeds, and the production of fruits that contain the seeds.
The ancestors of flowering plants diverged from the common ancestor of all living gymnosperms during the Carboniferous, over 300 million years ago, with the earliest record of angiosperm pollen appearing around 134 million years ago. The first remains of flowering plants are known from 125 million years ago. They diversified extensively during the Early Cretaceous, became widespread by 120 million years ago, and replaced conifers as the dominant trees from 60 to 100 million years ago.
Description
Angiosperm derived characteristics
Angiosperms differ from other seed plants in several ways, described in the table below. These distinguishing characteristics taken together have made the angiosperms the most diverse and numerous land plants and the most commercially important group to humans.
Vascular anatomy
Angiosperm stems are made up of seven layers as shown on the right. The amount and complexity of tissue-formation in flowering plants exceeds that of gymnosperms.
In the dicotyledons, the vascular bundles of the stem are arranged such that the xylem and phloem form concentric rings. The bundles in the very young stem are arranged in an open ring, separating a central pith from an outer cortex. In each bundle, separating the xylem and phloem, is a layer of meristem or active formative tissue known as cambium. By the formation of a layer of cambium between the bundles (interfascicular cambium), a complete ring is formed, and a regular periodical increase in thickness results from the development of xylem on the inside and phloem on the outside. The soft phloem becomes crushed, but the hard wood persists and forms the bulk of the stem and branches of the woody perennial. Owing to differences in the character of the elements produced at the beginning and end of the season, the wood is marked out in transverse section into concentric rings, one for each season of growth, called annual rings.
Among the monocotyledons, the bundles are more numerous in the young stem and are scattered through the ground tissue. They contain no cambium and once formed the stem increases in diameter only in exceptional cases.
Reproductive anatomy
The characteristic feature of angiosperms is the flower. Flowers show remarkable variation in form and elaboration, and provide the most trustworthy external characteristics for establishing relationships among angiosperm species. The function of the flower is to ensure fertilization of the ovule and development of fruit containing seeds. The floral apparatus may arise terminally on a shoot or from the axil of a leaf (where the petiole attaches to the stem). Occasionally, as in violets, a flower arises singly in the axil of an ordinary foliage-leaf. More typically, the flower-bearing portion of the plant is sharply distinguished from the foliage-bearing or vegetative portion, and forms a more or less elaborate branch-system called an inflorescence.
There are two kinds of reproductive cells produced by flowers. Microspores, which will divide to become pollen grains, are the "male" cells and are borne in the stamens (or microsporophylls). The "female" cells called megaspores, which will divide to become the egg cell (megagametogenesis), are contained in the ovule and enclosed in the carpel (or megasporophyll).
The flower may consist only of these parts, as in willow, where each flower comprises only a few stamens or two carpels. Usually, other structures are present and serve to protect the sporophylls and to form an envelope attractive to pollinators. The individual members of these surrounding structures are known as sepals and petals (or tepals in flowers such as Magnolia where sepals and petals are not distinguishable from each other). The outer series (calyx of sepals) is usually green and leaf-like, and functions to protect the rest of the flower, especially the bud. The inner series (corolla of petals) is, in general, white or brightly colored, and is more delicate in structure. It functions to attract insect or bird pollinators. Attraction is effected by color, scent, and nectar, which may be secreted in some part of the flower. The characteristics that attract pollinators account for the popularity of flowers and flowering plants among humans.
While the majority of flowers are perfect or hermaphrodite (having both pollen and ovule producing parts in the same flower structure), flowering plants have developed numerous morphological and physiological mechanisms to reduce or prevent self-fertilization. Heteromorphic flowers have short carpels and long stamens, or vice versa, so animal pollinators cannot easily transfer pollen to the pistil (receptive part of the carpel). Homomorphic flowers may employ a biochemical (physiological) mechanism called self-incompatibility to discriminate between self and non-self pollen grains. Alternatively, in dioecious species, the male and female parts are morphologically separated, developing on different individual flowers.
Taxonomy
History of classification
The botanical term "angiosperm", from Greek words ( 'bottle, vessel') and ( 'seed'), was coined in the form "Angiospermae" by Paul Hermann in 1690, as the name of one of his primary divisions of the plant kingdom. This included flowering plants possessing seeds enclosed in capsules, distinguished from his Gymnospermae, or flowering plants with achenial or schizo-carpic fruits, the whole fruit or each of its pieces being here regarded as a seed and naked. Both the term and its antonym were maintained by Carl Linnaeus with the same sense, but with restricted application, in the names of the orders of his class Didynamia. Its use with any approach to its modern scope became possible only after 1827, when Robert Brown established the existence of truly naked ovules in the Cycadeae and Coniferae, and applied to them the name Gymnosperms. From that time onward, as long as these Gymnosperms were, as was usual, reckoned as dicotyledonous flowering plants, the term Angiosperm was used antithetically by botanical writers, with varying scope, as a group-name for other dicotyledonous plants.
In 1851, Hofmeister discovered the changes occurring in the embryo-sac of flowering plants, and determined the correct relationships of these to the Cryptogamia. This fixed the position of Gymnosperms as a class distinct from Dicotyledons, and the term Angiosperm then gradually came to be accepted as the suitable designation for the whole of the flowering plants other than Gymnosperms, including the classes of Dicotyledons and Monocotyledons. This is the sense in which the term is used today.
In most taxonomies, the flowering plants are treated as a coherent group. The most popular descriptive name has been Angiospermae, with Anthophyta (lit. 'flower-plants') a second choice (both unranked). The Wettstein system and Engler system treated them as a subdivision (Angiospermae). The Reveal system also treated them as a subdivision (Magnoliophytina), but later split it to Magnoliopsida, Liliopsida, and Rosopsida. The Takhtajan system and Cronquist system treat them as a division (Magnoliophyta). The Dahlgren system and Thorne system (1992) treat them as a class (Magnoliopsida). The APG system of 1998, and the later 2003 and 2009 revisions, treat the flowering plants as an unranked clade without a formal Latin name (angiosperms). A formal classification was published alongside the 2009 revision in which the flowering plants rank as a subclass (Magnoliidae).
The internal classification of this group has undergone considerable revision. The Cronquist system, proposed by Arthur Cronquist in 1968 and published in its full form in 1981, is still widely used but is no longer believed to accurately reflect phylogeny. A consensus about how the flowering plants should be arranged has recently begun to emerge through the work of the Angiosperm Phylogeny Group (APG), which published an influential reclassification of the angiosperms in 1998. Updates incorporating more recent research were published as the APG II system in 2003, the APG III system in 2009, and the APG IV system in 2016.
Traditionally, the flowering plants are divided into two groups,
Dicotyledoneae or Magnoliopsida
Monocotyledoneae or Liliopsida
to which the Cronquist system ascribes the classes Magnoliopsida (from "Magnoliaceae" and Liliopsida (from "Liliaceae"). Other descriptive names allowed by Article 16 of the ICBN include Dicotyledones or Dicotyledoneae, and Monocotyledones or Monocotyledoneae, which have a long history of use. In plain English, their members may be called "dicotyledons" ("dicots") and "monocotyledons" ("monocots"). The Latin behind these names refers the observation that the dicots most often have two cotyledons, or embryonic leaves, within each seed. The monocots usually have only one, but the rule is not absolute either way. From a broad diagnostic point of view, the number of cotyledons is neither a particularly handy, nor a reliable character.
Recent studies, as by the APG, show that the monocots form a monophyletic group (a clade) but that the dicots are paraphyletic. Nevertheless, the majority of dicot species fall into a clade, the eudicots or tricolpates, and most of the remaining fall into another major clade, the magnoliids, containing about 9,000 species. The rest include a paraphyletic grouping of early branching taxa known collectively as the basal angiosperms, plus the families Ceratophyllaceae and Chloranthaceae.
Modern classification
There are eight groups of living angiosperms:
Basal angiosperms (ANA: Amborella, Nymphaeales, Austrobaileyales)
Amborella, a single species of shrub from New Caledonia;
Nymphaeales, about 80 species, water lilies and Hydatellaceae;
Austrobaileyales, about 100 species of woody plants from various parts of the world
Core angiosperms (Mesangiospermae)
Chloranthales, 77 known species of aromatic plants with toothed leaves;
Magnoliids, about 9,000 species, characterised by trimerous flowers, pollen with one pore, and usually branching-veined leaves—for example magnolias, bay laurel, and black pepper;
Monocots, about 70,000 species, characterised by trimerous flowers, a single cotyledon, pollen with one pore, and usually parallel-veined leaves—for example grasses, orchids, and palms;
Ceratophyllum, about 6 species of aquatic plants, perhaps most familiar as aquarium plants;
Eudicots, about 175,000 species, characterised by 4- or 5-merous flowers, pollen with three pores, and usually branching-veined leaves—for example sunflowers, petunia, buttercup, apples, and oaks.
The exact relationships among these eight groups is not yet clear, although there is agreement that the first three groups to diverge from the ancestral angiosperm were Amborellales, Nymphaeales, and Austrobaileyales (basal angiosperms) Of the remaining five groups (core angiosperms), the relationships among the three broadest groups remains unclear (magnoliids, monocots, and eudicots). Zeng and colleagues (Fig. 1) describe four competing schemes.The eudicots and monocots are the largest and most diversified, with ~ 75% and 20% of angiosperm species, respectively. Some analyses make the magnoliids the first to diverge, others the monocots. Ceratophyllum seems to group with the eudicots rather than with the monocots. The APG IV retained the overall higher order relationship described in APG III.
Evolutionary history
Paleozoic
Fossilised spores suggest that land plants (embryophytes) have existed for at least 475 million years. Early land plants reproduced sexually with flagellated, swimming sperm, like the green algae from which they evolved. An adaptation to terrestrialization was the development of upright meiosporangia for dispersal by spores to new habitats. This feature is lacking in the descendants of their nearest algal relatives, the Charophycean green algae. A later terrestrial adaptation took place with retention of the delicate, avascular sexual stage, the gametophyte, within the tissues of the vascular sporophyte. This occurred by spore germination within sporangia rather than spore release, as in non-seed plants. A current example of how this might have happened can be seen in the precocious spore germination in Selaginella, the spike-moss. The result for the ancestors of angiosperms was enclosing them in a case, the seed.
The apparently sudden appearance in the fossil record of nearly modern flowers, and in great diversity, initially posed such a problem for the theory of gradual evolution that Charles Darwin called it an "abominable mystery". However, the fossil record has considerably grown since the time of Darwin, and recently discovered angiosperm fossils such as Archaefructus, along with further discoveries of fossil gymnosperms, suggest how angiosperm characteristics may have been acquired in a series of steps. Several groups of extinct gymnosperms, in particular seed ferns, have been proposed as the ancestors of flowering plants, but there is no continuous fossil evidence showing how flowers evolved, and botanists still regard it as a mystery. Some older fossils, such as the upper Triassic Sanmiguelia lewisi, have been suggested.
The first seed bearing plants, like the ginkgo, and conifers (such as pines and firs), did not produce flowers. The pollen grains (male gametophytes) of Ginkgo and cycads produce a pair of flagellated, mobile sperm cells that "swim" down the developing pollen tube to the female and her eggs.
Oleanane, a secondary metabolite produced by many flowering plants, has been found in Permian deposits of that age together with fossils of gigantopterids. Gigantopterids are a group of extinct seed plants that share many morphological traits with flowering plants, although they are not known to have been flowering plants themselves.
Molecular evidence indicates that the ancestors of angiosperms diverged from the gymnosperms during the late Devonian, about 365 million years ago, despite only appearing in the fossil record during the Mesozoic, almost two hundred million years later.
Triassic and Jurassic
Based on fossil evidence, some have proposed that the ancestors of the angiosperms diverged from an unknown group of gymnosperms in the Triassic period (245–202 million years ago). Fossil angiosperm-like pollen from the Middle Triassic (247.2–242.0 Ma) suggests an older date for their origin, which is further supported by genetic evidence of the ancestors of angiosperms diverging during the Devonian. A close relationship between angiosperms and gnetophytes, proposed on the basis of morphological evidence, has more recently been disputed on the basis of molecular evidence that suggest gnetophytes are instead more closely related to other gymnosperms.
The fossil plant species Nanjinganthus dendrostyla from Early Jurassic China seems to share many exclusively angiosperm features, such as a thickened receptacle with ovules, and thus might represent a crown-group or a stem-group angiosperm. However, these have been disputed by other researchers, who contend that the structures are misinterpreted decomposed conifer cones.
The evolution of seed plants and later angiosperms appears to be the result of two distinct rounds of whole genome duplication events. These occurred at and . Another possible whole genome duplication event at perhaps created the ancestral line that led to all modern flowering plants. That event was studied by sequencing the genome of an ancient flowering plant, Amborella trichopoda, and directly addresses Darwin's "abominable mystery".
One study has suggested that the early-middle Jurassic plant Schmeissneria, traditionally considered a type of ginkgo, may be the earliest known angiosperm, or at least a close relative.
Cretaceous
Whereas the earth had previously been dominated by ferns and conifers, angiosperms appeared and quickly spread during the Cretaceous. They now comprise about 90% of all plant species including most food crops. It has been proposed that the swift rise of angiosperms to dominance was facilitated by a reduction in their genome size. During the early Cretaceous period, only angiosperms underwent rapid genome downsizing, while genome sizes of ferns and gymnosperms remained unchanged. Smaller genomes—and smaller nuclei—allow for faster rates of cell division and smaller cells. Thus, species with smaller genomes can pack more, smaller cells—in particular veins and stomata—into a given leaf volume. Genome downsizing therefore facilitated higher rates of leaf gas exchange (transpiration and photosynthesis) and faster rates of growth. This would have countered some of the negative physiological effects of genome duplications, facilitated increased uptake of carbon dioxide despite concurrent declines in atmospheric CO2 concentrations, and allowed the flowering plants to outcompete other land plants.
The oldest known fossils definitively attributable to angiosperms are reticulated monosulcate pollen from the late Valanginian (Early or Lower Cretaceous - 140 to 133 million years ago) of Italy and Israel, likely representative of the basal angiosperm grade.
The earliest known macrofossil confidently identified as an angiosperm, Archaefructus liaoningensis, is dated to about 125 million years BP (the Cretaceous period), whereas pollen considered to be of angiosperm origin takes the fossil record back to about 130 million years BP, with Montsechia representing the earliest flower at that time.
In 2013 flowers encased in amber were found and dated 100 million years before present. The amber had frozen the act of sexual reproduction in the process of taking place. Microscopic images showed tubes growing out of pollen and penetrating the flower's stigma. The pollen was sticky, suggesting it was carried by insects. In August 2017, scientists presented a detailed description and 3D model image of what the first flower possibly looked like, and presented the hypothesis that it may have lived about 140 million years ago. A Bayesian analysis of 52 angiosperm taxa suggested that the crown group of angiosperms evolved between and .
Recent DNA analysis based on molecular systematics showed that Amborella trichopoda, found on the Pacific island of New Caledonia, belongs to a sister group of the other flowering plants, and morphological studies suggest that it has features that may have been characteristic of the earliest flowering plants. The orders Amborellales, Nymphaeales, and Austrobaileyales diverged as separate lineages from the remaining angiosperm clade at a very early stage in flowering plant evolution.
The great angiosperm radiation, when a great diversity of angiosperms appears in the fossil record, occurred in the mid-Cretaceous (approximately 100 million years ago). However, a study in 2007 estimated that the division of the five most recent of the eight main groups occurred around 140 million years ago. (the genus Ceratophyllum, the family Chloranthaceae, the eudicots, the magnoliids, and the monocots) .
It is generally assumed that the function of flowers, from the start, was to involve mobile animals in their reproduction processes. That is, pollen can be scattered even if the flower is not brightly colored or oddly shaped in a way that attracts animals; however, by expending the energy required to create such traits, angiosperms can enlist the aid of animals and, thus, reproduce more efficiently.
Island genetics provides one proposed explanation for the sudden, fully developed appearance of flowering plants. Island genetics is believed to be a common source of speciation in general, especially when it comes to radical adaptations that seem to have required inferior transitional forms. Flowering plants may have evolved in an isolated setting like an island or island chain, where the plants bearing them were able to develop a highly specialised relationship with some specific animal (a wasp, for example). Such a relationship, with a hypothetical wasp carrying pollen from one plant to another much the way fig wasps do today, could result in the development of a high degree of specialisation in both the plant(s) and their partners. Note that the wasp example is not incidental; bees, which, it is postulated, evolved specifically due to mutualistic plant relationships, are descended from wasps.
Animals are also involved in the distribution of seeds. Fruit, which is formed by the enlargement of flower parts, is frequently a seed-dispersal tool that attracts animals to eat or otherwise disturb it, incidentally scattering the seeds it contains (see frugivory). Although many such mutualistic relationships remain too fragile to survive competition and to spread widely, flowering proved to be an unusually effective means of reproduction, spreading (whatever its origin) to become the dominant form of land plant life.
Flower ontogeny uses a combination of genes normally responsible for forming new shoots. The most primitive flowers probably had a variable number of flower parts, often separate from (but in contact with) each other. The flowers tended to grow in a spiral pattern, to be bisexual (in plants, this means both male and female parts on the same flower), and to be dominated by the ovary (female part). As flowers evolved, some variations developed parts fused together, with a much more specific number and design, and with either specific sexes per flower or plant or at least "ovary-inferior". Flower evolution continues to the present day; modern flowers have been so profoundly influenced by humans that some of them cannot be pollinated in nature. Many modern domesticated flower species were formerly simple weeds, which sprouted only when the ground was disturbed. Some of them tended to grow with human crops, perhaps already having symbiotic companion plant relationships with them, and the prettiest did not get plucked because of their beauty, developing a dependence upon and special adaptation to human affection.
A few paleontologists have also proposed that flowering plants, or angiosperms, might have evolved due to interactions with dinosaurs. One of the idea's strongest proponents is Robert T. Bakker. He proposes that herbivorous dinosaurs, with their eating habits, provided a selective pressure on plants, for which adaptations either succeeded in deterring or coping with predation by herbivores.
By the late Cretaceous, angiosperms appear to have dominated environments formerly occupied by ferns and cycadophytes, but large canopy-forming trees replaced conifers as the dominant trees only close to the end of the Cretaceous 66 million years ago or even later, at the beginning of the Paleogene. The radiation of herbaceous angiosperms occurred much later. Yet, many fossil plants recognisable as belonging to modern families (including beech, oak, maple, and magnolia) had already appeared by the late Cretaceous. Flowering plants appeared in Australia about 126 million years ago. This also pushed the age of ancient Australian vertebrates, in what was then a south polar continent, to 126-110 million years old.
Gallery of photos
Diversity
The number of species of flowering plants is estimated to be in the range of 250,000 to 400,000. This compares to around 12,000 species of moss and 11,000 species of pteridophytes, showing that flowering plants are much more diverse. The number of families in APG (1998) was 462. In APG II (2003) it is not settled; at maximum it is 457, but within this number there are 55 optional segregates, so that the minimum number of families in this system is 402. In APG III (2009) there are 415 families. Compared to the APG III system, the APG IV system recognizes five new orders (Boraginales, Dilleniales, Icacinales, Metteniusales and Vahliales), along with some new families, making a total of 64 angiosperm orders and 416 families.
The diversity of flowering plants is not evenly distributed. Nearly all species belong to the eudicot (75%), monocot (23%), and magnoliid (2%) clades. The remaining five clades contain a little over 250 species in total; i.e. less than 0.1% of flowering plant diversity, divided among nine families. The 43 most diverse of 443 families of flowering plants by species, in their APG circumscriptions, are
Asteraceae or Compositae (daisy family): 22,750 species;
Orchidaceae (orchid family): 21,950;
Fabaceae or Leguminosae (bean family): 19,400;
Rubiaceae (madder family): 13,150;
Poaceae or Gramineae (grass family): 10,035;
Lamiaceae or Labiatae (mint family): 7,175;
Euphorbiaceae (spurge family): 5,735;
Melastomataceae or Melastomaceae (melastome family): 5,005;
Myrtaceae (myrtle family): 4,625;
Apocynaceae (dogbane family): 4,555;
Cyperaceae (sedge family): 4,350;
Malvaceae (mallow family): 4,225;
Araceae (arum family): 4,025;
Ericaceae (heath family): 3,995;
Gesneriaceae (gesneriad family): 3,870;
Apiaceae or Umbelliferae (parsley family): 3,780;
Brassicaceae or Cruciferae (cabbage family): 3,710:
Piperaceae (pepper family): 3,600;
Bromeliaceae (bromeliad family): 3,540;
Acanthaceae (acanthus family): 3,500;
Rosaceae (rose family): 2,830;
Boraginaceae (borage family): 2,740;
Urticaceae (nettle family): 2,625;
Ranunculaceae (buttercup family): 2,525;
Lauraceae (laurel family): 2,500;
Solanaceae (nightshade family): 2,460;
Campanulaceae (bellflower family): 2,380;
Arecaceae (palm family): 2,361;
Annonaceae (custard apple family): 2,220;
Caryophyllaceae (pink family): 2,200;
Orobanchaceae (broomrape family): 2,060;
Amaranthaceae (amaranth family): 2,050;
Iridaceae (iris family): 2,025;
Aizoaceae or Ficoidaceae (ice plant family): 2,020;
Rutaceae (rue family): 1,815;
Phyllanthaceae (phyllanthus family): 1,745;
Scrophulariaceae (figwort family): 1,700;
Gentianaceae (gentian family): 1,650;
Convolvulaceae (bindweed family): 1,600;
Proteaceae (protea family): 1,600;
Sapindaceae (soapberry family): 1,580;
Cactaceae (cactus family): 1,500;
Araliaceae (Aralia or ivy family): 1,450.
Of these, the Orchidaceae, Poaceae, Cyperaceae, Araceae, Bromeliaceae, Arecaceae, and Iridaceae are monocot families; Piperaceae, Lauraceae, and Annonaceae are magnoliid dicots; the rest of the families are eudicots.
Reproduction
Fertilisation and embryogenesis
Double fertilization refers to a process in which two sperm cells fertilise cells in the ovule. This process begins when a pollen grain adheres to the stigma of the pistil (female reproductive structure), germinates, and grows a long pollen tube. While this pollen tube is growing, a haploid generative cell travels down the tube behind the tube nucleus. The generative cell divides by mitosis to produce two haploid (n) sperm cells. As the pollen tube grows, it makes its way from the stigma, down the style and into the ovary. Here the pollen tube reaches the micropyle of the ovule and digests its way into one of the synergids, releasing its contents (which include the sperm cells). The synergid that the cells were released into degenerates and one sperm makes its way to fertilise the egg cell, producing a diploid (2n) zygote. The second sperm cell fuses with both central cell nuclei, producing a triploid (3n) cell. As the zygote develops into an embryo, the triploid cell develops into the endosperm, which serves as the embryo's food supply. The ovary will now develop into a fruit and the ovule will develop into a seed.
Fruit and seed
As the development of the embryo and endosperm proceeds within the embryo sac, the sac wall enlarges and combines with the nucellus (which is likewise enlarging) and the integument to form the seed coat. The ovary wall develops to form the fruit or pericarp, whose form is closely associated with type of seed dispersal system.
Frequently, the influence of fertilisation is felt beyond the ovary, and other parts of the flower take part in the formation of the fruit, e.g., the floral receptacle in the apple, strawberry, and others.
The character of the seed coat bears a definite relation to that of the fruit. They protect the embryo and aid in dissemination; they may also directly promote germination. Among plants with indehiscent fruits, in general, the fruit provides protection for the embryo and secures dissemination. In this case, the seed coat is only slightly developed. If the fruit is dehiscent and the seed is exposed, in general, the seed-coat is well developed and must discharge the functions otherwise executed by the fruit.
In some cases, like in the Asteraceae family, species have evolved to exhibit heterocarpy, or the production of different fruit morphs. These fruit morphs, produced from one plant, are different in size and shape, which influence dispersal range and germination rate. These fruit morphs are adapted to different environments, increasing chances for survival.
Meiosis
Like all diploid multicellular organisms that use sexual reproduction, flowering plants generate gametes using a specialised type of cell division called meiosis. Meiosis takes place in the ovule—a structure within the ovary that is located within the pistil at the centre of the flower (see diagram labeled "Angiosperm lifecycle"). A diploid cell (megaspore mother cell) in the ovule undergoes meiosis (involving two successive cell divisions) to produce four cells (megaspores) with haploid nuclei. It is thought that the basal chromosome number in angiosperms is n = 7. One of these four cells (megaspore) then undergoes three successive mitotic divisions to produce an immature embryo sac (megagametophyte) with eight haploid nuclei. Next, these nuclei are segregated into separate cells by cytokinesis to produce three antipodal cells, two synergid cells and an egg cell. Two polar nuclei are left in the central cell of the embryo sac.
Pollen is also produced by meiosis in the male anther (microsporangium). During meiosis, a diploid microspore mother cell undergoes two successive meiotic divisions to produce four haploid cells (microspores or male gametes). Each of these microspores, after further mitoses, becomes a pollen grain (microgametophyte) containing two haploid generative (sperm) cells and a tube nucleus. When a pollen grain makes contact with the female stigma, the pollen grain forms a pollen tube that grows down the style into the ovary. In the act of fertilisation, a male sperm nucleus fuses with the female egg nucleus to form a diploid zygote that can then develop into an embryo within the newly forming seed. Upon germination of the seed, a new plant can grow and mature.
The adaptive function of meiosis is currently a matter of debate. A key event during meiosis in a diploid cell is the pairing of homologous chromosomes and homologous recombination (the exchange of genetic information) between homologous chromosomes. This process promotes the production of increased genetic diversity among progeny and the recombinational repair of damages in the DNA to be passed on to progeny. To explain the adaptive function of meiosis in flowering plants, some authors emphasise diversity and others emphasise DNA repair.
Apomixis
Apomixis (reproduction via asexually formed seeds) is found naturally in about 2.2% of angiosperm genera. One type of apomixis, gametophytic apomixis found in a dandelion species involves formation of an unreduced embryo sac due to incomplete meiosis (apomeiosis) and development of an embryo from the unreduced egg inside the embryo sac, without fertilisation (parthenogenesis).
Some angiosperms, including many citrus varieties, are able to produce fruits through a type of apomixis called nucellar embryony.
Uses
Agriculture is almost entirely dependent on angiosperms, which provide virtually all plant-based food, and also provide a significant amount of livestock feed. Of all the families of plants, the Poaceae, or grass family (providing grains), is by far the most important, providing the bulk of all feedstocks (rice, maize, wheat, barley, rye, oats, pearl millet, sugar cane, sorghum). The Fabaceae, or legume family, comes in second place. Also of high importance are the Solanaceae, or nightshade family (potatoes, tomatoes, and peppers, among others); the Cucurbitaceae, or gourd family (including pumpkins and melons); the Brassicaceae, or mustard plant family (including rapeseed and the innumerable varieties of the cabbage species Brassica oleracea); and the Apiaceae, or parsley family. Many of our fruits come from the Rutaceae, or rue family (including oranges, lemons, grapefruits, etc.), and the Rosaceae, or rose family (including apples, pears, cherries, apricots, plums, etc.).
In some parts of the world, certain single species assume paramount importance because of their variety of uses, for example the coconut (Cocos nucifera) on Pacific atolls, and the olive (Olea europaea) in the Mediterranean region.
Flowering plants also provide economic resources in the form of wood, paper, fiber (cotton, flax, and hemp, among others), medicines (digitalis, camphor), decorative and landscaping plants, and many other uses. Coffee and cocoa are the common beverages obtained from the flowering plants. The main area in which they are surpassed by other plants—namely, coniferous trees (Pinales), which are non-flowering (gymnosperms)—is timber and paper production.
See also
List of garden plants
List of plant orders
List of plants by common name
List of systems of plant taxonomy
Notes
References
Bibliography
Articles, books and chapters
1st edition published by Oxford University Press in 1991
Cromie, William J. (December 16, 1999). "Oldest Known Flowering Plants Identified By Genes". Harvard University Gazette.
Websites
External links
Plant sexuality
Plants
Pollination |
18968 | https://en.wikipedia.org/wiki/Malvales | Malvales | The Malvales are an order of flowering plants. As circumscribed by APG II-system, the order includes about 6000 species within 9 families. The order is placed in the eurosids II, which are part of the eudicots.
The plants are mostly shrubs and trees; most of its families have a cosmopolitan distribution in the tropics and subtropics, with limited expansion into temperate regions. An interesting distribution occurs in Madagascar, where three endemic families of Malvales (Sphaerosepalaceae, Sarcolaenaceae and Diegodendraceae) occur.
Many species of Malvaceae sensu lato are known for their wood, with that of Ochroma (balsa) being known for its lightness, and that of Tilia (lime, linden, or basswood) as a popular wood for carving. Fruit of the cacao tree (Theobroma cacao) are used as an ingredient for chocolate. Kola nuts (genus Cola) are notable for their high content of caffeine and, in past, were commonly used for preparing of various cola drinks. Other well-known members of Malvales in the APG II sense are daphnes, hibiscus, hollyhocks, okra, jute, baobab trees, cotton, kapok, and durian.
Description
The morphology of Malvales is diverse, with few common characteristics. Among those most commonly encountered are palmate leaves, connate sepals, and a specific structure and chemical composition of the seeds. The cortex is often fibrous, built of soft phloem layers.
Taxonomy
Early classifications such as that of Dahlgren placed the Malvales in the superorder Malviflorae (also called Malvanae). Family boundaries and circumscriptions of the "core" Malvales families, Malvaceae, Bombacaceae, Tiliaceae, and Sterculiaceae, have long been problematic. A close relationship among these families, and particularly Malvaceae and Bombacaceae, has generally been recognized, although until recently most classification systems have maintained them as separate families. With numerous molecular phylogenies showing Sterculiaceae, Bombacaceae, and Tiliaceae as traditionally defined are either paraphyletic or polyphyletic, a consensus has been emerging for a trend to expand Malvaceae to include these three families. This expanded circumscription of Malvaceae has been recognized in the most recent version of the Thorne system, by the Angiosperm Phylogeny Group, and in the most recent comprehensive treatment of vascular plant families and genera, the Kubitzki system.
The dominant family in the APG II-system is the extended Malvaceae (Malvaceae sensu lato) with over 4000 species, followed by Thymelaeaceae with 750 species. This expanded circumscription of Malvaceae is taken to include the families Bombacaceae, Sterculiaceae and Tiliaceae. Under the older Cronquist system the order contained these four "core Malvales" families plus the Elaeocarpaceae and was placed among the Dilleniidae. Some of the currently included families were placed by Cronquist in the Violales.
References
Bibliography
Alverson, W. S., K. G. Karol, D. A. Baum, M. W. Chase, S. M. Swensen, R. McCourt, and K. J. Sytsma (1998). Circumscription of the Malvales and relationships to other Rosidae: Evidence from rbcL sequence data. American Journal of Botany 85, 876–887. (Available online: Abstract)
Edlin, H. L. 1935. A critical revision of certain taxonomic groups of the Malvales. New Phytologist 34: 1-20, 122–143.
Judd, W.S., C. S. Campbell, E. A. Kellogg, P. F. Stevens, M. J. Donoghue (2002). Plant Systematics: A Phylogenetic Approach, 2nd edition. pp. 405–410 (Malvales). Sinauer Associates, Sunderland, Massachusetts. .
Kubitzki, K. and M. W. Chase. 2003. Introduction to Malvales, pp. 12– 16. In K. Kubitzki (ed.), The Families and Genera of Vascular Plants, vol. 5, Malvales, Capparales and non-betalain Caryophyllales.
du Mortier, B. C. J. (1829). Analyse des Familles de Plantes, avec l'indication des principaux genres qui s'y rattachent, p. 43. Imprimerie de J. Casterman, Tournay.
Watson, L., and Dallwitz, M. J. (1992 onwards). The families of flowering plants: descriptions, illustrations, identification, and information retrieval. http://delta-intkey.com
Whitlock, B. A. (October 2001). Malvales (Mallow). In: Nature Encyclopedia of Life Sciences. Nature Publishing Group, London. (Available online: DOI | ELS site)
External links
Tree of Life Malvales
Johansson, J.T. 2013 (and onwards). The Phylogeny of Angiosperms. Published online. http://angio.bergianska.se Malvales
Angiosperm orders |
18969 | https://en.wikipedia.org/wiki/Myrtales | Myrtales | The Myrtales are an order of flowering plants placed as a sister to the eurosids II clade as of the publishing of the Eucalyptus grandis genome in June 2014.
The APG III system of classification for angiosperms still places it within the eurosids. This finding is corroborated by the placement of the Myrtales in the Malvid clade by the One Thousand Plant Transcriptomes Initiative. The following families are included as of APGIII:
Alzateaceae S. A. Graham
Combretaceae R. Br. (leadwood family)
Crypteroniaceae A. DC.
Lythraceae J. St.-Hil. (loosestrife and pomegranate family)
Melastomataceae Juss. (including Memecylaceae DC.)
Myrtaceae Juss. (myrtle family; including Heteropyxidaceae Engl. & Gilg, Psiloxylaceae Croizat)
Onagraceae Juss. (evening primrose and Fuchsia family)
Penaeaceae Sweet ex Guill. (including Oliniaceae Arn., Rhynchocalycaceae L. A. S. Johnson & B. G. Briggs)
Vochysiaceae A. St.-Hil.
The Cronquist system gives essentially the same composition, except the Vochysiaceae are removed to the order Polygalales, and the Thymelaeaceae are included. The families Sonneratiaceae, Trapaceae, and Punicaceae are removed from the Lythraceae. In the classification system of Dahlgren the Myrtales were in the superorder Myrtiflorae (also called Myrtanae). The APGIII system agrees with the older Cronquist circumscriptions of treating Psiloxylaceae and Heteropyxidaceae within Myrtaceae, and Memecyclaceae within Melastomataceae.
Ellagitannins are reported in dicotyledoneous angiospermes, and notably in species in the order Myrtales.
Origins
Myrtales is dated to have begun 89–99 million years ago (mya) in Australasia. There is some contention as to that date however, which was obtained using nuclear DNA. When looking at chloroplast DNA, the myrtales ancestor is instead considered to have evolved in the mid-Cretaceous period (100mya) in Southeast Africa, rather than in Australasia. Although the APG system classifies myrtales as within the eurosids, the recently published genome of Eucalyptus grandis places the order myrtales as a sister to the eurosids rather than inside them. The discrepancy is thought to have arisen due to the difference between using numerous taxa versus using various genes for constructing a phylogeny.
References
Further reading
External links
Angiosperm orders
Flora of Australasia |
18970 | https://en.wikipedia.org/wiki/Malpighiales | Malpighiales | The Malpighiales comprise one of the largest orders of flowering plants, containing about 36 families and more than species, about 7.8% of the eudicots. The order is very diverse, containing plants as different as the willow, violet, poinsettia, manchineel, rafflesia and coca plant, and are hard to recognize except with molecular phylogenetic evidence. It is not part of any of the classification systems based only on plant morphology. Molecular clock calculations estimate the origin of stem group Malpighiales at around 100 million years ago (Mya) and the origin of crown group Malpighiales at about 90 Mya.
The Malpighiales are divided into 32 to 42 families, depending upon which clades in the order are given the taxonomic rank of family. In the APG III system, 35 families were recognized. Medusagynaceae, Quiinaceae, Peraceae, Malesherbiaceae, Turneraceae, Samydaceae, and Scyphostegiaceae were consolidated into other families. The largest family, by far, is the Euphorbiaceae, with about 6300 species in about 245 genera.
In a 2009 study of DNA sequences of 13 genes, 42 families were placed into 16 groups, ranging in size from one to 10 families. The relationships among these 16 groups remain poorly resolved. Malpighiales and Lamiales are the two large orders whose phylogeny remains mostly unresolved.
Some examples of notable species include cassava, a tuber that is a major staple food crop in much of the world; the stinking corpse lily, which produces that largest known flower of any plant; the willows; flaxseed, an important food and fiber crop; Saint John's wort, a herb with a long history of medicinal uses; castor bean, the source of the infamous poison ricin; passionfruit, which produces an edible fruit and psychoactive flowers with a history of traditional medicinal uses; poinsettia, a common ornamental plant; the mangosteen; manchineel tree, one of the most toxic trees in the world; poplars, aspens, and cottonwoods which are commonly used for timber—and many more.
Affinities
Malpighiales is a member of a supraordinal group called the COM clade, which consists of the orders Celastrales, Oxalidales, and Malpighiales. Some describe it as containing a fourth order, Huales, separating the family Huaceae into its own order, separate from Oxalidales.
Some recent studies have placed Malpighiales as sister to Oxalidales sensu lato (including Huaceae), while others have found a different topology for the COM clade.
The COM clade is part of an unranked group known as malvids (rosid II), though formally placed in Fabidae (rosid I). These in turn are part of a group that has long been recognized, namely, the rosids.
History
The French botanist Charles Plumier named the genus Malpighia in honor of Marcello Malpighi's work on plants; Malpighia is the type genus for the Malpighiaceae, a family of tropical and subtropical flowering plants.
The family Malpighiaceae was the type family for one of the orders created by Jussieu in his 1789 work Genera Plantarum. Friedrich von Berchtold and Jan Presl described such an order in 1820. Unlike modern taxonomists, these authors did not use the suffix "ales" in naming their orders. The name "Malpighiales" is attributed by some to Carl von Martius. In the 20th century, it was usually associated with John Hutchinson, who used it in all three editions of his book, The Families of Flowering Plants. The name was not used by those who wrote later, in the 1970s, '80s, and '90s.
The taxon was largely presaged by Hans Hallier in 1912 in an article in the Archiv. Néerl. Sci. Exact. Nat. titled "L'Origine et le système phylétique des angiospermes", in which his Passionales and Polygalinae were derived from Linaceae (in Guttales), with Passionales containing seven (of eight) families that also appear in the current Malpighiales, namely Passifloraceae, Salicaceae, Euphorbiaceae, Achariaceae, Flacourtiaceae, Malesherbiaceae, and Turneraceae, and Polygalinae containing four (of 10) families that also appear in the current Malpighiales, namely Malpighiaceae, Violaceae, Dichapetalaceae, and Trigoniaceae.
The molecular phylogenetic revolution led to a major restructuring of the order. The first semblance of Malpighiales as now known came from a phylogeny of seed plants published in 1993 and based upon DNA sequences of the gene rbcL. This study recovered a group of rosids unlike any group found in any previous system of plant classification. To make a clear break with classification systems being used at that time, the Angiosperm Phylogeny Group resurrected Hutchinson's name, though his concept of Malpighiales included much of what is now in Celastrales and Oxalidales.
Circumscription
Malpighiales is monophyletic and in molecular phylogenetic studies, it receives strong statistical support. Since the APG II system was published in 2003, minor changes to the circumscription of the order have been made. The family Peridiscaceae has been expanded from two genera to three, and then to four, and transferred to Saxifragales.
The genera Cyrillopsis (Ixonanthaceae), Centroplacus (Centroplacaceae), Bhesa (Centroplacaceae), Aneulophus (Erythroxylaceae), Ploiarium (Bonnetiaceae), Trichostephanus (Samydaceae), Sapria (Rafflesiaceae), Rhizanthes (Rafflesiaceae), and Rafflesia (Rafflesiaceae) had been either added or confirmed as members of Malpighiales by the end of 2009.
Some family delimitations have changed, as well, most notably, the segregation of Calophyllaceae from Clusiaceae sensu lato when it was shown that the latter is paraphyletic. Some differences of opinion on family delimitation exist, as well. For example, Samydaceae and Scyphostegiaceae may be recognized as families or included in a large version of Salicaceae.
The group is difficult to characterize phenotypically, due to sheer morphological diversity, ranging from tropical holoparasites with giant flowers and temperate trees and herbs with tiny, simple flowers. Members often have dentate leaves, with the teeth having a single vein running into a congested and often deciduous apex (i.e., violoid, salicoid, or theoid). Also, zeylanol has recently been discovered in Balanops and Dichapetalum which are in the balanops clade (so-called Chrysobalanaceae s. l.). The so-called parietal suborder (the clusioid clade and Ochnaceae s. l. were also part of Parietales) corresponds with the traditional Violales as 8 (Achariaceae, Violaceae, Flacourtiaceae, Lacistemataceae, Scyphostegiaceae, Turneraceae, Malesherbiaceae, and Passifloraceae) of the order's 10 families along with Salicaceae, which have usually been assigned as a related order or suborder, are in this most derived malpighian suborder, so that eight of the 10 families of this suborder are Violales. The family Flacourtiaceae has proven to be polyphyletic as the cyanogenic members have been placed in Achariaceae and the ones with salicoid teeth were transferred to Salicaceae. Scyphostegiaceae, consisting of the single genus Scyphostegia has been merged into Salicaceae.
Phylogeny
2009
The phylogeny of Malpighiales is, at its deepest level, an unresolved polytomy of 16 clades. It has been estimated that complete resolution of the phylogeny will require at least 25000 base pairs of DNA sequence data per taxon. A similar situation exists with Lamiales and it has been analyzed in some detail. The phylogenetic tree shown below is from Wurdack and Davis (2009). The statistical support for each branch is 100% bootstrap percentage and 100% posterior probability, except where labeled, with bootstrap percentage followed by posterior probability.
2012
In 2012, Xi et al. managed to obtain a more resolved phylogenetic tree than previous studies through the use of data from a large number of genes. They included analyses of 82 plastid genes from 58 species (they ignored the problematic Rafflesiaceae), using partitions identified a posteriori by applying a Bayesian mixture model. Xi et al. identified 12 additional clades and three major, basal clades.
Changes made in the Angiosperm Phylogeny Group (APG) classification of 2016 (APG IV) were the inclusion of Irvingiaceae, Peraceae, Euphorbiaceae and Ixonanthaceae, together with the transfer of the COM clade from the fabids (rosid I) to the malvids (rosid II).
References
Bibliography
(see also Angiosperm Phylogeny Website)
External links
Angiosperm orders
Extant Aptian first appearances |
18972 | https://en.wikipedia.org/wiki/Miranda%20warning | Miranda warning | In the United States, the Miranda warning is a type of notification customarily given by police to criminal suspects in police custody (or in a custodial interrogation) advising them of their right to silence; that is, their right to refuse to answer questions or provide information to law enforcement or other officials. These rights are often referred to as Miranda rights. The purpose of such notification is to preserve the admissibility of their statements made during custodial interrogation in later criminal proceedings.
The language used in a Miranda warning is derived from the 1966 U.S. Supreme Court case Miranda v. Arizona. The specific language used in the warning varies between jurisdictions, but the warning is deemed adequate as long as the defendant's rights are properly disclosed such that any waiver of those rights by the defendant is knowing, voluntary, and intelligent. For example, the warning may be phrased as follows:
The Miranda warning is part of a preventive criminal procedure rule that law enforcement are required to administer to protect an individual who is in custody and subject to direct questioning or its functional equivalent from a violation of their Fifth Amendment right against compelled self-incrimination. In Miranda v. Arizona, the Supreme Court held that the admission of an elicited incriminating statement by a suspect not informed of these rights violates the Fifth Amendment and the Sixth Amendment right to counsel, through the incorporation of these rights into state law. Thus, if law enforcement officials decline to offer a Miranda warning to an individual in their custody, they may interrogate that person and act upon the knowledge gained, but may not use that person's statements as evidence against them in a criminal trial.
Origin and development of Miranda rights
The concept of "Miranda rights" was enshrined in U.S. law following the 1966 Miranda v. Arizona Supreme Court decision, which found that the Fifth and Sixth Amendment rights of Ernesto Arturo Miranda had been violated during his arrest and trial for armed robbery, kidnapping, and rape of a young woman.
Miranda was subsequently retried and convicted, based primarily on his estranged ex-partner, who had been tracked down by the original arresting officer via Miranda's own parents, suddenly claiming that Miranda had confessed to her when she had visited him in jail. Miranda's lawyer later confessed that he 'goofed' the case by focusing too much on the constitutional issues (and losing sight of the jury and guilt or innocence).
The circumstances triggering the Miranda safeguards, i.e. Miranda rights, are "custody" and "interrogation". Custody means formal arrest or the deprivation of freedom to an extent associated with formal arrest. Interrogation means explicit questioning or actions that are reasonably likely to elicit an incriminating response. The Supreme Court did not specify the exact wording to use when informing a suspect of their rights. However, the Court did create a set of guidelines that must be followed. The ruling states:
In Berkemer v. McCarty (1984), the Supreme Court decided that a person subjected to custodial interrogation is entitled to the benefit of the procedural safeguards enunciated in Miranda, regardless of the nature or severity of the offense of which they are suspected or for which they were arrested.
As a result, American English developed the verb Mirandize, meaning "read the Miranda rights to" a suspect (when the suspect is arrested).
Notably, the Miranda rights need not be read in any particular order, and they need not precisely match the language of the Miranda case as long as they are adequately and fully conveyed (California v. Prysock, ).
In Berghuis v. Thompkins (2010), the Supreme Court held that unless a suspect expressly states that they are invoking this right, subsequent voluntary statements made to an officer can be used against them in court, and police can continue to interact with (or question) the alleged criminal.
The warnings
Every U.S. jurisdiction has its own regulations regarding what, precisely, must be said to a person arrested or placed in a custodial situation. The typical warning states:
You have the right to remain silent and refuse to answer questions.
Anything you say may be used against you in a court of law.
You have the right to consult an attorney before speaking to the police and to have an attorney present during questioning now or in the future.
If you cannot afford an attorney, one will be appointed for you before any questioning if you wish.
If you decide to answer questions now without an attorney present, you will still have the right to stop answering at any time until you talk to an attorney.
Knowing and understanding your rights as I have explained them to you, are you willing to answer my questions without an attorney present?
The courts have since ruled that the warning must be "meaningful", so it is usually required that the suspect be asked if they understand their rights. Sometimes, firm answers of "yes" are required. Some departments and jurisdictions require that an officer ask "do you understand?" after every sentence in the warning. An arrestee's silence is not a waiver, but on June 1, 2010, the Supreme Court ruled 5–4 that police are allowed to interrogate suspects who have invoked or waived their rights ambiguously, and any statement given during questioning prior to invocation or waiving is admissible as evidence. Evidence has in some cases been ruled inadmissible because of an arrestee's poor knowledge of English and the failure of arresting officers to provide the warning in the arrestee's language.
While the exact language above is not required by Miranda, the police must advise the suspect that:
they have the right to remain silent;
anything the suspect does say can and may be used against them in a court of law;
they have the right to have an attorney present before and during the questioning; and
they have the right, if they cannot afford the services of an attorney, to have one appointed, at public expense and without cost to them, to represent them before and during the questioning.
There is no precise language that must be used in advising a suspect of their Miranda rights. The point is that whatever language is used the substance of the rights outlined above must be communicated to the suspect. The suspect may be advised of their rights orally or in writing. Also, officers must make sure the suspect understands what the officer is saying, taking into account potential education levels. It may be necessary to "translate" to the suspect's level of understanding. Courts have ruled this admissible as long as the original waiver is said and the "translation" is recorded either on paper or on tape.
The Supreme Court has resisted efforts to require officers to more fully advise suspects of their rights. For example, the police are not required to advise the suspect that they can stop the interrogation at any time, that the decision to exercise the right cannot be used against the suspect, or that they have a right to talk to a lawyer before being asked any questions. Nor have the courts required to explain the rights. For example, the standard Miranda right to counsel states You have a right to have an attorney present during the questioning. Police are not required to explain that this right is not merely a right to have a lawyer present while the suspect is being questioned. The right to counsel includes:
the right to talk to a lawyer before deciding whether to talk to police,
if the defendant decides to talk to the police, the right to consult with a lawyer before being interrogated,
the right to answer police only through an attorney.
Circumstances triggering the Miranda requisites
The circumstances triggering the Miranda safeguards, i.e. Miranda warnings, are "custody" and "interrogation". Custody means formal arrest or the deprivation of freedom to an extent associated with formal arrest. Interrogation means explicit questioning or actions that are reasonably likely to elicit an incriminating response. Suspects in "custody" who are about to be interrogated must be properly advised of their Miranda rights—namely, the Fifth Amendment right against compelled self incrimination (and, in furtherance of this right, the right to counsel while in custody). The Sixth Amendment right to counsel means that the suspect has the right to consult with an attorney before questioning begins and have an attorney present during the interrogation. The Fifth Amendment right against compelled self incrimination is the right to remain silent—the right to refuse to answer questions or to otherwise communicate information.
The duty to warn only arises when police officers conduct custodial interrogations. The Constitution does not require that a defendant be advised of the Miranda rights as part of the arrest procedure, or once an officer has probable cause to arrest, or if the defendant has become a suspect of the focus of an investigation. Custody and interrogation are the events that trigger the duty to warn.
Use in various U.S. state jurisdictions
Some jurisdictions provide the right of a juvenile to remain silent if their parent or guardian is not present. Some departments in New Jersey, Nevada, Oklahoma, and Alaska modify the "providing an attorney" clause as follows:
Even though this sentence may be somewhat ambiguous to some laypersons, who can, and who have actually interpreted it as meaning that they will not get a lawyer until they confess and are arraigned in court, the U.S. Supreme Court has approved of it as an accurate description of the procedure in those states.
In Texas, New Mexico, Arizona, and California—the four states that border Mexico—suspects who are not United States citizens are given an additional warning:
Some states including Virginia require the following sentence, ensuring that the suspect knows that waiving Miranda rights is not a one-time absolute occurrence:
California, Texas, New York, Florida, Illinois, North Carolina, South Carolina, Virginia, Washington and Pennsylvania also add the following questions, presumably to comply with the Vienna Convention on Consular Relations:
An affirmative answer to both of the above questions waives the rights. If the suspect responds "no" to the first question, the officer is required to re-read the Miranda warning, while saying "no" to the second question invokes the right at that moment; in either case the interviewing officer or officers cannot question the suspect until the rights are waived.
Generally, when defendants invoke their Fifth Amendment right against self-incrimination and refuse to testify or submit to cross-examination at trial, the prosecutor cannot indirectly punish them for the exercise of a constitutional right by commenting on their silence and insinuating that it is an implicit admission of guilt. Since Miranda rights are simply a judicial gloss upon the Fifth Amendment which protects against coercive interrogations, the same rule also prevents prosecutors from commenting about the post-arrest silence of suspects who invoke their Miranda rights immediately after arrest. However, neither the Fifth Amendment nor Miranda extend to pre-arrest silence, which means that if a defendant takes the witness stand at trial (meaning he just waived his Fifth Amendment right to remain silent), the prosecutor can attack his credibility with his pre-arrest silence (based on his failure to immediately turn himself in and confess to the things he voluntarily testified about at trial).
Under the Uniform Code of Military Justice, Article 31 provides for the right against compelled self-incrimination. Interrogation subjects under Army jurisdiction must first be given Department of the Army Form 3881, which informs them of the charges and their rights, and the subjects must sign the form. The United States Navy and United States Marine Corps require that all arrested personnel be read the "rights of the accused" and must sign a form waiving those rights if they so desire; a verbal waiver is not sufficient.
It has been discussed whether a Miranda warning—if spoken or in writing—could be appropriately given to disabled persons. For example, "the right to remain silent" means little to a deaf individual and the word "constitutional" may not be understood by people with only an elementary education. In one case, a deaf murder suspect was kept at a therapy station until he was able to understand the meaning of the Miranda warning and other judicial proceedings.
The six rules
The Miranda rule applies to the use of testimonial evidence in criminal proceedings that is the product of custodial police interrogation. The Miranda right to counsel and right to remain silent are derived from the self-incrimination clause of the Fifth Amendment. Therefore, for the Miranda to apply, six requirements must be fulfilled:
1. Evidence must have been gathered.
If the suspect did not make a statement during the interrogation the fact that he was not advised of his Miranda rights is of no importance. Nor can the state offer evidence that the defendant asserted his rights—that he refused to talk.
2. The evidence must be testimonial.
Miranda applies only to "testimonial" evidence as that term is defined under the Fifth Amendment. For purposes of the Fifth Amendment, testimonial statements mean communications that explicitly or implicitly relate a factual assertion [an assertion of fact or belief] or disclose information. The Miranda rule does not prohibit compelling a person to engage in non-assertive conduct that is incriminating or may produce incriminating evidence. Thus, requiring a suspect to participate in identification procedures such as giving handwriting or voice exemplars, fingerprints, DNA samples, hair samples, and dental impressions is not within the Miranda rule. Such physical or real evidence is non-testimonial and not protected by the Fifth Amendment self-incrimination clause. On the other hand, certain non-verbal conduct may be testimonial. For example, if the suspect nodded their head up and down in response to the question "did you kill the victim", the conduct is testimonial; it is the same as saying "yes I did", and Miranda would apply.
3. The evidence must have been obtained while the suspect was in custody.
The evidence must have been obtained while the suspect was in custody. This limitation follows from the fact that Miranda's purpose is to protect suspects from the compulsion inherent in the police-dominated atmosphere attendant to arrest. Custody means either that the suspect was under arrest or that his freedom of movement was restrained to an extent "associated with a formal arrest". A formal arrest occurs when an officer, with the intent to make an arrest, takes a person into custody by the use of physical force or the person submits to the control of an officer who has indicated his intention to arrest the person. Telling a person he is "under arrest" is sufficient to satisfy this requirement even though the person may not be otherwise physically restrained. Absent a formal arrest, the issue is whether a reasonable person in the suspect's position would have believed that he was under "full custodial" arrest. Applying this objective test, the Court has held Miranda does not apply to roadside questioning of a stopped motorist or to questioning of a person briefly detained on the street—a Terry stop. Even though neither the motorist nor the pedestrian is free to leave, this interference with the freedom of action is not considered actual arrest or its functional equivalent for purposes of the Fifth Amendment. The court has similarly held that a person who voluntarily comes to the police station for purposes of questioning is not in custody and thus not entitled to Miranda warnings particularly when the police advise the suspect that he is not under arrest and free to leave.
4. The evidence must have been the product of interrogation.
The evidence must have been the product of interrogation. A defendant who seeks to challenge the admissibility of a statement under Miranda must show that the statement was "prompted by police conduct that constituted 'interrogation'". A volunteered statement by a person in custody does not implicate Miranda. In Rhode Island v. Innis, the Supreme Court defined interrogation as express questioning and "any words or actions on the part of the police (other than those normally attendant to arrest and custody) that the police should know are reasonably likely to elicit an incriminating response from the suspect". Thus, a practice that the police "should know is reasonably likely to evoke an incriminating response from a suspect ... amounts to interrogation". For example, confronting the suspect with incriminating evidence may be sufficiently evocative to amount to interrogation because the police are implicitly communicating a question: "How do you explain this?" On the other hand, "unforeseeable results of police words or actions" do not constitute interrogation. Under this definition, routine statements made during the administration of sobriety tests would not implicate Miranda. For example, a police officer arrests a person for impaired driving and takes him to the police station to administer an intoxilyzer test. While at the station the officer also asks the defendant to perform certain psycho-physical tests such as the walk and turn, one leg stand or finger to nose test. It is standard practice to instruct the arrestee on how to perform the test and to demonstrate the test. (The police will not tell the person that they have the right to refuse to perform the test, and the refusal cannot be used in evidence against them, nor can they be in any way punished for refusing to perform it, same as the police will not tell someone that they may refuse to perform a roadside sobriety test without penalty). An incriminating statement made by an arrestee during the instruction, "I couldn't do that even if I were sober", would not be the product of interrogation. Similarly, incriminating statements made in response to requests for consent to search a vehicle or other property are not considered to be the product of interrogation.
5. The interrogation must have been conducted by state-agents.
To establish a violation of the defendant's Fifth Amendment rights, the defendant must show state action, so the interrogation must have been conducted by state-agents. If the interrogation was conducted by a person known by the suspect to be a law enforcement officer the state action requirement is unquestionably met. On the other hand, where a private citizen obtains a statement there is no state action regardless of the custodial circumstances surrounding the statement. A confession obtained through the interrogation by an undercover police officer or a paid informant does not violate Miranda because there is no coercion, no police dominated atmosphere if the suspect does not know that they are being questioned by the police. Private security guards and "private" police present special problems. They are generally not regarded as state-agents. However, an interrogation conducted by a police officer moonlighting as a security guard may well trigger Miranda's safeguards since an officer is considered to be "on duty" at all times.
6. The evidence must be offered by the state during a criminal prosecution.
The evidence is being offered during a criminal proceeding. Under the exclusionary rule, a Miranda-defective statement cannot be used by the prosecution as substantive evidence of guilt. However, the Fifth Amendment exclusionary rule applies only to criminal proceedings. In determining whether a particular proceeding is criminal, the courts look at the punitive nature of the sanctions that could be imposed. Labels are irrelevant. The question is whether the consequences of an outcome adverse to the defendant could be characterized as punishment. Clearly a criminal trial is a criminal proceeding since if convicted the defendant could be fined or imprisoned. However, the possibility of loss of liberty does not make the proceeding criminal in nature. For example, commitment proceedings are not criminal proceedings even though they can result in long confinement because the confinement is considered rehabilitative in nature and not punishment. Similarly, Miranda does not apply directly to probation revocation proceedings because the evidence is not being used as a basis for imposing additional punishment.
Application of the prerequisites
Assuming that the six requirements are present and Miranda applies, the statement will be subject to suppression unless the prosecution can demonstrate:
that the suspect was advised of their Miranda rights, and
that the suspect voluntarily waived those rights or that the circumstances fit an exception to the Miranda rule.
The defendant may also be able to challenge the admissibility of the statement under provisions of state constitutions and state criminal procedure statutes.
Immigrants who live in the United States illegally are also protected and should receive their Miranda warnings as well when being interrogated or placed under arrest. "Aliens receive constitutional protections when they have come within the territory of the United States and [have] developed substantial connections with this country".
The Fifth Amendment right to counsel, a component of the Miranda Rule, is different from the Sixth Amendment right to counsel. In the context of the law of confessions the Sixth Amendment right to counsel is defined by the Massiah Doctrine (Massiah v. United States, 377 U.S. 201 (1964)).
Waiver
Simply advising the suspect of their rights does not fully comply with the Miranda rule. The suspect must also voluntarily waive their Miranda rights before questioning can proceed. An express waiver is not necessary. However, most law enforcement agencies use written waiver forms. These include questions designed to establish that the suspect expressly waived their rights. Typical waiver questions are
"Do you understand each of these rights?"
and
"Understanding each of these rights, do you now wish to speak to the police without a lawyer being present?"
The waiver must be "knowing and intelligent" and it must be "voluntary". These are separate requirements. To satisfy the first requirement the state must show that the suspect generally understood their rights (right to remain silent and right to counsel) and the consequences of forgoing those rights (that anything they said could be used against them in court). To show that the waiver was "voluntary" the state must show that the decision to waive the rights was not the product of police coercion. If police coercion is shown or evident, then the court proceeds to determine the voluntariness of the waiver under the totality of circumstances test focusing on the personal characteristics of the accused and the particulars of the coercive nature of the police conduct. The ultimate issue is whether the coercive police conduct was sufficient to overcome the will of a person under the totality of the circumstances. Courts traditionally focused on two categories of factors in making this determination: (1) the personal characteristics of the suspect and (2) the circumstances attendant to the waiver. However, the Supreme Court significantly altered the voluntariness standard in the case of Colorado v. Connelly. In Connelly, the Court held that "Coercive police activity is a necessary predicate to a finding that a confession is not 'voluntary' within the meaning of the Due Process Clause of the Fourteenth Amendment." The Court has applied this same standard of voluntariness in determining whether a waiver of a suspect's Fifth Amendment Miranda rights was voluntary. Thus, a waiver of Miranda rights is voluntary unless the defendant can show that their decision to waive their rights and speak to the police was the product of police misconduct and coercion that overcame the defendant's free will. After Connelly, the traditional totality of circumstances analysis is not even reached unless the defendant can first show such coercion by the police. Under Connelly, a suspect's decisions need not be the product of rational deliberations. In addition to showing that the waiver was "voluntary", the prosecution must also show that the waiver was "knowing" and "intelligent". Essentially this means the prosecution must prove that the suspect had a basic understanding of their rights and an appreciation of the consequences of forgoing those rights. The focus of the analysis is directly on the personal characteristics of the suspect. If the suspect was under the influence of alcohol or other drugs, or suffered from an emotional or mental condition that substantially impaired their capacity to make rational decisions, the courts may well decide that the suspect's waiver was not knowing and intelligent.
A waiver must also be clear and unequivocal. An equivocal statement is ineffective as a waiver and the police may not proceed with the interrogation until the suspect's intentions are made clear. The requirement that a waiver be unequivocal must be distinguished from situations in which the suspect made an equivocal assertion of their Miranda rights after the interrogation began. Any post-waiver assertion of a suspect's Miranda rights must be clear and unequivocal. Any ambiguity or equivocation will be ineffective. If the suspect's assertion is ambiguous, the interrogating officers are permitted to ask questions to clarify the suspect's intentions, although they are not required to. In other words, if a suspect's assertion is ambiguous, the police may either attempt to clarify the suspect's intentions or they may simply ignore the ineffective assertion and continue with the interrogation. The timing of the assertion is significant. Requesting an attorney prior to arrest is of no consequence because Miranda applies only to custodial interrogations. The police may simply ignore the request and continue with the questioning; however, the suspect is also free to leave.
Assertion
If the defendant asserts his right to remain silent, all interrogation must immediately stop and the police may not resume the interrogation unless they have "scrupulously honored" the defendant's assertion and subsequently obtained a valid waiver before resuming the interrogation. In determining whether the police "scrupulously honored" the assertion the courts apply a totality of the circumstances test. The most important factors are the length of time between termination of the original interrogation and the commencement of the second, and issuing a new set of Miranda warnings before resumption of interrogation.
The consequences of assertion of Sixth Amendment right to counsel are stricter. The police must immediately cease all interrogation and the police cannot reinitiate interrogation unless counsel is present (merely consulting with counsel is insufficient) or the defendant of his own volition contacts the police. If the defendant does reinitiate contact, a valid waiver must be obtained before interrogation may resume.
In Berghuis v. Thompkins (2010), the Supreme Court declared in a 5–4 decision that criminal defendants who have been read their Miranda rights (and who have indicated they understand them and have not already waived them), must explicitly state during or before an interrogation begins that they wish to be silent and not speak to police for that protection against self-incrimination to apply. If they speak to police about the incident before invoking the Miranda right to remain silent, or afterwards at any point during the interrogation or detention, the words they speak may be used against them if they have not stated they do not want to speak to police. Those who oppose the ruling contend that the requirement that the defendant must speak to indicate his intention to remain silent further erodes the ability of the defendant to stay completely silent about the case. This opposition must be put in context with the second option offered by the majority opinion, which allowed that the defendant had the option of remaining silent, saying: "Had he wanted to remain silent, he could have said nothing in response or unambiguously invoked his Miranda rights, ending the interrogation." Thus, having been "Mirandized", a suspect may avow explicitly the invocation of these rights, or, alternatively, simply remain silent. Absent the former, "anything [said] can and will be used against [the defendant] in a court of law".
Exceptions
Assuming that the six factors are present, the Miranda rule would apply unless the prosecution can establish that the statement falls within an exception to the Miranda rule. The three exceptions are:
the routine booking question exception
the jail house informant exception
the public safety exception.
Arguably only the last is a true exception—the first two can better be viewed as consistent with the Miranda factors. For example, questions that are routinely asked as part of the administrative process of arrest and custodial commitment are not considered "interrogation" under Miranda because they are not intended or likely to produce incriminating responses. Nonetheless, all three circumstances are treated as exceptions to the rule. The jail house informant exception applies to situations where the suspect does not know that he is speaking to a state-agent; either a police officer posing as a fellow inmate, a cellmate working as an agent for the state or a family member or friend who has agreed to cooperate with the state in obtaining incriminating information.
Public safety exception
The "public safety" exception is a limited and case-specific exception, allowing certain unadvised statements (given without Miranda warnings) to be admissible into evidence at trial when they were elicited in circumstances where there was great danger to public safety; thus, the Miranda rule provides some elasticity.
The public safety exception derives from New York v. Quarles (1984), a case in which the Supreme Court considered the admissibility of a statement elicited by a police officer who apprehended a rape suspect who was thought to be carrying a firearm. The arrest took place during the middle of the night in a supermarket that was open to the public but apparently deserted except for the clerks at the checkout counter. When the officer arrested the suspect, he found an empty shoulder holster, handcuffed the suspect, and asked him where the gun was. The suspect nodded in the direction of the gun (which was near some empty cartons) and said, "The gun is over there." The Supreme Court found that such an unadvised statement was admissible in evidence because "[i]n a kaleidoscopic situation such as the one confronting these officers, where spontaneity rather than adherence to a police manual is necessarily the order of the day, the application of the exception we recognize today should not be made to depend on post hoc findings at a suppression hearing concerning the subjective motivation of the police officer." Thus, the jurisprudential rule of Miranda must yield in "a situation where concern for public safety must be paramount to adherence to the literal language of the prophylactic rules enunciated in Miranda."
Under this exception, to be admissible in the government's direct case at a trial, the questioning must not be "actually compelled by police conduct which overcame his will to resist," and must be focused and limited, involving a situation "in which police officers ask questions reasonably prompted by a concern for the public safety."
In 2010, the Federal Bureau of Investigation encouraged agents to use a broad interpretation of public safety-related questions in terrorism cases, stating that the "magnitude and complexity" of terrorist threats justified "a significantly more extensive public safety interrogation without Miranda warnings than would be permissible in an ordinary criminal case," continuing to list such examples as: "questions about possible impending or coordinated terrorist attacks; the location, nature and threat posed by weapons that might pose an imminent danger to the public; and the identities, locations, and activities or intentions of accomplices who may be plotting additional imminent attacks." A Department of Justice spokesman described this position as not altering the constitutional right, but as clarifying existing flexibility in the rule.
Prosecutors initially argued for this exception to be applied to the 16-hour interrogation of Dzhokhar Tsarnaev in connection with the Boston Marathon bombing. However, the exception was not considered by the court because the prosecutors later decided not to use any of that evidence in their case against Tsarnaev.
The New York Court of Appeals upheld the exception in a 2013 murder case, People v Doll, where a man with blood on his clothes was detained and questioned.
The window of opportunity for the exception is small. Once the suspect is formally charged, the Sixth Amendment right to counsel would attach and surreptitious interrogation would be prohibited. The public safety exception applies where circumstances present a clear and present danger to the public's safety and the officers have reason to believe that the suspect has information that can end the emergency.
Consequences of violation
Assuming that a Miranda violation occurred—the six factors are present and no exception applies—the statement will be subject to suppression under the Miranda exclusionary rule. That is, if the defendant objects or files a motion to suppress, the exclusionary rule would prohibit the prosecution from offering the statement as proof of guilt. However, the statement can be used to impeach the defendant's testimony. Further, the fruit of the poisonous tree doctrine does not apply to Miranda violations. Therefore, the exclusionary rule exceptions, attenuation, independent source and inevitable discovery, do not come into play, and derivative evidence would be fully admissible. For example, suppose the police continue with a custodial interrogation after the suspect has asserted his right to silence. During his post-assertion statement the suspect tells the police the location of the gun he used in the murder. Using this information the police find the gun. Forensic testing identifies the gun as the murder weapon, and fingerprints lifted from the gun match the suspect's. The contents of the Miranda-defective statement could not be offered by the prosecution as substantive evidence, but the gun itself and all related forensic evidence could be used as evidence at trial.
Procedural requirements
Although the rules vary by jurisdiction, generally a person who wishes to contest the admissibility of evidence on the grounds that it was obtained in violation of his constitutional rights must comply with the following procedural requirements:
The defendant must file a motion.
The motion must be in writing.
The motion must be filed before trial.
The motion must allege the factual and legal grounds on which the defendant seeks suppression of evidence.
The motion must be supported by affidavits or other documentary evidence.
The motion must be served on the state.
Failure to comply with a procedural requirement may result in summary dismissal of the motion. If the defendant meets the procedural requirement, the motion will normally be considered by the judge outside the presence of the jury. The judge hears evidence, determines the facts, makes conclusions of law and enters an order allowing or denying the motion.
Related doctrines
In addition to Miranda, confession may be challenged under the Massiah Doctrine, the Voluntariness Standard, Provisions of Federal and State rules of criminal procedure and State Constitutional provisions.
Massiah Doctrine
The Massiah Doctrine (established by Massiah v. United States) prohibits the admission of a confession obtained in violation of the defendant's Sixth Amendment right to counsel. Specifically, the Massiah rule applies to the use of testimonial evidence in criminal proceedings deliberately elicited by the police from a defendant after formal charges have been filed. The events that trigger the Sixth Amendment safeguards under Massiah are (1) the commencement of adversarial criminal proceedings and (2) deliberate elicitation of information from the defendant by governmental agents.
The Sixth Amendment guarantees a defendant a right to counsel in all criminal prosecutions. The purposes of the Sixth Amendment right to counsel are to protect a defendant's right to a fair trial and to assure that the adversarial system of justice functions properly by providing competent counsel as an advocate for the defendant in his contest against the "prosecutorial forces" of the state.
Commencement of adversarial criminal proceedings
The Sixth Amendment right "attaches" once the government has committed itself to the prosecution of the case by the initiation of adversarial judicial proceedings "by way of formal charge, preliminary hearing, indictment, information or arraignment". Determining whether a particular event or proceeding constitutes the commencement of adversarial criminal proceedings requires both an examination of the rules of criminal procedure for the jurisdiction in which the crime is charged and the Supreme Courts cases dealing with the issue of when formal prosecution begins. Once adversarial criminal proceedings commence the right to counsel applies to all critical stages of the prosecution and investigation. A critical stage is "any stage of the prosecution, formal or informal, in court or out, where counsel's absence might derogate from the accused's right to a fair trial".
Government attempts to obtain incriminating statement related to the offense charged from the defendant by overt interrogation or surreptitious means is a critical stage and any information thus obtained is subject to suppression unless the government can show that an attorney was present or the defendant knowingly, voluntarily and intelligently waived his right to counsel.
Deliberate elicitation of information from the defendant by governmental agents
Deliberate elicitation is defined as the intentional creation of circumstances by government agents that are likely to produce incriminating information from the defendant. Clearly express questioning (interrogation) would qualify but the concept also extends to surreptitious attempts to acquire information from the defendant through the use of undercover agents or paid informants.
The definition of "deliberate elicitation" is not the same as the definition of "interrogation" under the Miranda rule. Miranda interrogation includes express questioning and any actions or statements that an officer would reasonably foresee as likely to cause an incriminating response. Massiah applies to express questioning and any attempt to deliberately and intentionally obtain incriminating information from the defendant regarding the crime charged. The difference is purposeful creation of an environment likely to produce incriminating information (Massiah) and action likely to induce an incriminating response even if that was not the officer's purpose or intent (Miranda).
The Sixth Amendment right to counsel is offense-specific – the right only applies to post-commencement attempts to obtain information relating to the crime charged. The right does not extend to uncharged offenses if factually related to the charged crime.
Information obtained in violation of the defendant's Sixth Amendment right to counsel is subject to suppression unless the government can establish that the defendant waived his right to counsel. The waiver must be knowing, intelligent and voluntary. A valid Miranda waiver operates as a waiver of Sixth Amendment right.
Miranda and Massiah compared
Constitutional basis:
Miranda is based on the Sixth Amendment right to counsel and the Fifth Amendment right to remain silent.
Massiah is based on the Sixth Amendment right to counsel.
Attachment:
Miranda: Custody + interrogation (charging status irrelevant).
Massiah: Formally charged + deliberate elicitation (custodial status irrelevant).
Scope:
a. Miranda applies to custodial interrogation by known governmental agents. Surreptitious acquisition of incriminating information allowed.
a. Massiah applies to overt and surreptitious interrogation.
b. Miranda is not offense specific.
b. Massiah is offense specific.
c. Miranda: interrogation + "functional equivalent"
c. Massiah: interrogation + "deliberate elicitation"
Waiver: Both Miranda and Massiah rights may be waived.
Assertion: In each case, the assertion must be clear and unequivocal. The effects of assertion are not identical. For purposes of Miranda, the police must immediately cease the interrogation and cannot resume interrogating the defendant about any offense charged or uncharged unless counsel is present or defendant initiates contact for purposes of resuming interrogation and valid waiver obtained. Because Massiah is offense-specific, an assertion of the sixth amendment right to counsel requires the police to cease interrogating the defendant about any charged offense. Apparently the police could continue questioning the defendant about uncharged crimes assuming that the defendant was not in custody. The defendant's remedy would be to leave or to refuse to answer questions.
Remedy for violation: The remedy for violation of Fifth and Sixth Amendment rights to counsel is identical: the statements and testimonial information are subject to suppression. Derivative evidence is not subject to suppression under Miranda – fruit of poisonous tree doctrine may apply to Massiah violation. Both Miranda and Massiah defective statements can be used for impeachment purposes.
Exceptions: The primary exceptions to Miranda are (1) the routine booking questions exception (2) the jail house informant exception and (3) the public safety exception. In Moulton v. Maine the Supreme Court refused to recognize a public safety exception to the Massiah rule. Massiah allows for the use of jail house informants provided the informants serve merely as "passive listeners".
The voluntariness standard
The voluntariness standard applies to all police interrogations regardless of the custodial status of the suspect and regardless of whether the suspect has been formally charged. The remedy for a violation of the standard is complete suppression of the statement and any evidence derived from the statement. The statement cannot be used as either substantive evidence of guilt or to impeach the defendant's testimony. The reason for the strictness is the common law's aversion to the use of coerced confessions because of their inherent unreliability. Further the rights to be free from coerced confession cannot be waived nor is it necessary that the victim of coercive police conduct assert his right. In considering the voluntariness standard one must consider the Supreme Court's decision in Colorado v. Connelly. Although federal courts' application of the Connelly rule has been inconsistent and state courts have often failed to appreciate the consequences of the case, Connelly clearly marked a significant change in the application of the voluntariness standard. Before Connelly the test was whether the confession was voluntary considering the totality of the circumstances. "Voluntary" carried its everyday meaning: the confession had to be a product of the exercise of the defendant's free will rather than police coercion. After Connelly the totality of circumstances test is not even triggered unless the defendant can show coercive police conduct. Questions of free will and rational decision making are irrelevant to a due process claim unless police misconduct existed and a causal connection can be shown between the misconduct and the confession.
State constitutional challenges
Every state constitution has articles and provision guaranteeing individual rights. In most cases the subject matter is similar to the federal bill of rights. Most state courts interpretation of their constitution is consistent with the interpretation federal court's of analogous provisions of the federal constitution. With regard to Miranda issues, state courts have exhibited significant resistance to incorporating into their state jurisprudence some of the limitations on the Miranda rule that have been created by the federal courts. As a consequence a defendant may be able to circumvent the federal limitation on the Miranda rule and successfully challenge the admissibility under state constitutional provisions. Practically every aspect of the Miranda rule has drawn state court criticism. However the primary point of contention involve the following limitations on the scope of the Miranda rule: (1) the Harris exception (2) the Burbine rule and (3) the Fare rule.
State statutory challenges
In addition to constitutionally based challenge, states permit a defendant to challenge the admissibility of a confession on the grounds that the confession was obtained in violation of a defendant's statutory rights. For example, North Carolina Criminal Procedure Act permits a defendant to move to suppress evidence obtained as a result of a "substantial" violation of the provision of the North Carolina Rules of Criminal Procedure.
Confusion regarding use
Due to the prevalence of American television programs and motion pictures in which the police characters frequently read suspects their rights, it has become an expected element of arrest procedure—in the 2000 Dickerson decision, Chief Justice William Rehnquist wrote that Miranda warnings had "become embedded in routine police practice to the point where the warnings have become part of our national culture".
While arrests and interrogations can legally occur without the Miranda warning being given, this procedure would generally make the arrestee's pre-Miranda statements inadmissible at trial. (However, pursuant to the plurality opinion in United States v. Patane, physical evidence obtained as a result of pre-Miranda statements may still be admitted. There was no majority opinion of the Court in that case.)
In some jurisdictions, a detention differs at law from an arrest, and police are not required to give the Miranda warning until the person is arrested for a crime. In those situations, a person's statements made to police are generally admissible even though the person was not advised of their rights. Similarly, statements made while an arrest is in progress before the Miranda warning was given or completed are also generally admissible.
Because Miranda applies only to custodial interrogations, it does not protect detainees from standard booking questions such as name and address. Because it is a protective measure intended to safeguard the Fifth Amendment right against self-incrimination, it does not prevent the police from taking blood without a warrant from persons suspected of driving under the influence of alcohol. (Such evidence may be self-incriminatory, but are not considered statements of self-incrimination.)
If an inmate is in jail and invoked Miranda on one case, it is unclear whether this extends to any other cases that they may be charged with while in custody. For example: a subject is arrested, charged with cattle raiding, and is held in county jail awaiting trial. He invoked his Miranda rights on the cattle case. While in custody, he is involved in a fight where a staff member loses his ability to walk. He speaks to the custodial staff regarding the fight without staff first invoking Miranda. It is unclear if this statement is admissible because of the original Miranda statement.
Many police departments give special training to interrogators with regard to the Miranda warning; specifically, how to influence a suspect's decision to waive the right. For instance, the officer may be required to specifically ask if the rights are understood and if the suspect wishes to talk. The officer is allowed, before asking the suspect a question, to speak at length about evidence collected, witness statements, etc. The officer will then ask if the suspect wishes to talk, and the suspect is then more likely to talk in an attempt to refute the evidence presented. Another tactic commonly taught is never to ask a question; the officer may simply sit the suspect down in an interrogation room, sit across from him and do paperwork, and wait for the suspect to begin talking. These tactics are intended to mitigate the restrictions placed on law officers against compelling a suspect to give evidence, and have stood up in court as valid lawful tactics. Nevertheless, such tactics are condemned by legal rights groups as deceptive.
Exemption for interrogations conducted by undercover agents
In Illinois v. Perkins, 496 U.S. 292 (1990), the United States Supreme Court held that undercover officers do not have to give suspects a Miranda warning prior to asking questions that may elicit incriminating responses. In this case, an undercover agent posed as an inmate and carried on a 35-minute conversation with another inmate that he suspected of committing a murder that was being investigated. During this conversation, the suspect implicated himself in the murder that the undercover agent was investigating.
The Supreme Court came to this conclusion despite the government's admission that a custodial interrogation had been conducted by a government agent.
Report of warnings being given to detainees in Afghanistan
Beginning in 2009, some detainees captured in Afghanistan have been read their Miranda rights by the FBI, according to Congressman Michael Rogers of Michigan, who claims to have witnessed this himself. According to the Justice Department, "There has been no policy change nor blanket instruction for FBI agents to Mirandize detainees overseas. While there have been specific cases in which FBI agents have Mirandized suspects overseas at both Bagram and in other situations, in order to preserve the quality of evidence obtained, there has been no overall policy change with respect to detainees."
Equivalent rights in other countries
Whether arising from their constitutions, common law, or statute, many nations recognize a defendant's right to silence.
See also
Arrest
Civil rights
Criminal justice
Garrity warning
Kalkines warning
Right to silence
Uniform Code of Military Justice
United States constitutional criminal procedure
Notes
References
Further reading
Coldrey, J. (1990). "The Right to Silence Reassessed". 74 Victorian Bar News 25.
Coldrey, J. (1991). "The Right to Silence: Should it be curtailed or abolished?", 20 Anglo-American Law Review 51.
"Rehnquist's legacy" The Economist. July 2–8, 2005. p. 28.
Stevenson, N. (1982). "Criminal Cases in the NSW District Court: A Pilot Study". In J. Basten, M. Richardson, C. Ronalds and G. Zdenkowski (eds.), The Criminal Injustice System. Sydney: Australian Legal Workers Group (NSW) and Legal Service Bulletin.
"The Miranda Warning". The U.S. Constitution Online. N.p., n.d. Web. November 4, 2012. <http://www.usconstitution.net/miranda.html>.
External links
Don't Talk to the Police — Lecture by Professor James Duane of the Regent University School of Law and Officer George Bruch from the Virginia Beach police department.
Miranda Rights and Illegal Immigrants on Real Law Radio—Host Bob DiCello discusses the Miranda rights of illegal immigrants in Arizona with author, Gary L. Stuart on the legal news talk radio program, Real Law Radio (Saturday, May 8, 2010).
Shahzad and Miranda Rights Prof. Orin Kerr
United States criminal investigation law
tr:Susma hakkı |
18973 | https://en.wikipedia.org/wiki/Moot | Moot | Moot may refer to:
Mootness, in American law: a point where further proceedings have lost practical significance, whereas in British law, mootness means that the issue remains debatable
Moot court, an activity in many law schools where participants take part in simulated court proceedings
moot, the pseudonym for Christopher Poole (born c. 1988), founder of the anonymous imageboard 4chan.org
See also
Meeting (Old English (Anglo-Saxon): Moot)
Folkmoot
Jamtamót, the old assembly of Jämtland
Witenagemot, the High Council of Anglo-Saxon England
Moot hall, a meeting or assembly building, traditionally to decide local issues
Moot hill, a hill or mound historically used as an assembly or meeting place
World Scout Moot, a gathering of older Scouts, mainly Rover Scouts, ages 18–26 from all over the world
Entmoot, a gathering of Ents in The Lord of the Rings
MoodleMoot, a gathering or conference relating to the Moodle Learning Management System |
18974 | https://en.wikipedia.org/wiki/Mississippian%20%28geology%29 | Mississippian (geology) | The Mississippian ( , also known as Lower Carboniferous or Early Carboniferous) is a subperiod in the geologic timescale or a subsystem of the geologic record. It is the earlier/lower of two subperiods of the Carboniferous period lasting from roughly 358.9 to 323.2 million years ago. As with most other geochronologic units, the rock beds that define the Mississippian are well identified, but the exact start and end dates are uncertain by a few million years. The Mississippian is so named because rocks with this age are exposed in the Mississippi Valley.
The Mississippian was a period of marine transgression in the Northern Hemisphere: the sea level was so high that only the Fennoscandian Shield and the Laurentian Shield were dry land. The cratons were surrounded by extensive delta systems and lagoons, and carbonate sedimentation on the surrounding continental platforms, covered by shallow seas.
In North America, where the interval consists primarily of marine limestones, it is treated as a geologic period between the Devonian and the Pennsylvanian. During the Mississippian an important phase of orogeny occurred in the Appalachian Mountains. The USGS geologic time scale shows its relation to other periods.
In Europe, the Mississippian and Pennsylvanian are grouped together as the Carboniferous system, and traditionally referred to as the Upper Carboniferous and Lower Carboniferous instead.
Subdivisions
In the official geologic timescale, the Mississippian is subdivided into three stages:
Serpukhovian ( to mya)
Visean ( to mya)
Tournaisian ( to mya)
The lower two come from European stratigraphy, the top from Russian stratigraphy. Besides Europe and Russia, there are many local subdivisions that are used as alternatives for the international timescale. In the North American system, the Mississippian is subdivided into four stages:
Chesterian (top of the Visean plus the Serpukhovian)
Meramecian (middle Visean)
Osagean (top of the Tournaisian and bottom of the Visean)
Kinderhookian (the lower two-thirds of the Tournaisian)
References
External links
01
Geological epochs |
18976 | https://en.wikipedia.org/wiki/Meiosis | Meiosis | Meiosis (; , because it is a reductional division) is a special type of cell division of germ cells in sexually-reproducing organisms used to produce the gametes, such as sperm or egg cells. It involves two rounds of division that ultimately result in four cells with only one copy of each chromosome (haploid). Additionally, prior to the division, genetic material from the paternal and maternal copies of each chromosome is crossed over, creating new combinations of code on each chromosome. Later on, during fertilisation, the haploid cells produced by meiosis from a male and female will fuse to create a cell with two copies of each chromosome again, the zygote.
Errors in meiosis resulting in aneuploidy (an abnormal number of chromosomes) are the leading known cause of miscarriage and the most frequent genetic cause of developmental disabilities.
In meiosis, DNA replication is followed by two rounds of cell division to produce four daughter cells, each with half the number of chromosomes as the original parent cell. The two meiotic divisions are known as meiosis I and meiosis II. Before meiosis begins, during S phase of the cell cycle, the DNA of each chromosome is replicated so that it consists of two identical sister chromatids, which remain held together through sister chromatid cohesion. This S-phase can be referred to as "premeiotic S-phase" or "meiotic S-phase". Immediately following DNA replication, meiotic cells enter a prolonged G2-like stage known as meiotic prophase. During this time, homologous chromosomes pair with each other and undergo genetic recombination, a programmed process in which DNA may be cut and then repaired, which allows them to exchange some of their genetic information. A subset of recombination events results in crossovers, which create physical links known as chiasmata (singular: chiasma, for the Greek letter Chi (Χ)) between the homologous chromosomes. In most organisms, these links can help direct each pair of homologous chromosomes to segregate away from each other during Meiosis I, resulting in two haploid cells that have half the number of chromosomes as the parent cell.
During meiosis II, the cohesion between sister chromatids is released and they segregate from one another, as during mitosis. In some cases, all four of the meiotic products form gametes such as sperm, spores or pollen. In female animals, three of the four meiotic products are typically eliminated by extrusion into polar bodies, and only one cell develops to produce an ovum. Because the number of chromosomes is halved during meiosis, gametes can fuse (i.e. fertilization) to form a diploid zygote that contains two copies of each chromosome, one from each parent. Thus, alternating cycles of meiosis and fertilization enable sexual reproduction, with successive generations maintaining the same number of chromosomes. For example, diploid human
cells contain 23 pairs of chromosomes including 1 pair of sex chromosomes (46 total), half of maternal origin and half of paternal origin. Meiosis produces haploid gametes (ova or sperm) that contain one set of 23 chromosomes. When two gametes (an egg and a sperm) fuse, the resulting zygote is once again diploid, with the mother and father each contributing 23 chromosomes. This same pattern, but not the same number of chromosomes, occurs in all organisms that utilize meiosis.
Meiosis occurs in all sexually-reproducing single-celled and multicellular organisms (which are all eukaryotes), including animals, plants and fungi. It is an essential process for oogenesis and spermatogenesis.
Overview
Although the process of meiosis is related to the more general cell division process of mitosis, it differs in two important respects:
Meiosis begins with a diploid cell, which contains two copies of each chromosome, termed homologs. First, the cell undergoes DNA replication, so each homolog now consists of two identical sister chromatids. Then each set of homologs pair with each other and exchange genetic information by homologous recombination often leading to physical connections (crossovers) between the homologs. In the first meiotic division, the homologs are segregated to separate daughter cells by the spindle apparatus. The cells then proceed to a second division without an intervening round of DNA replication. The sister chromatids are segregated to separate daughter cells to produce a total of four haploid cells. Female animals employ a slight variation on this pattern and produce one large ovum and two small polar bodies. Because of recombination, an individual chromatid can consist of a new combination of maternal and paternal genetic information, resulting in offspring that are genetically distinct from either parent. Furthermore, an individual gamete can include an assortment of maternal, paternal, and recombinant chromatids. This genetic diversity resulting from sexual reproduction contributes to the variation in traits upon which natural selection can act.
Meiosis uses many of the same mechanisms as mitosis, the type of cell division used by eukaryotes to divide one cell into two identical daughter cells. In some plants, fungi, and protists meiosis results in the formation of spores: haploid cells that can divide vegetatively without undergoing fertilization. Some eukaryotes, like bdelloid rotifers, do not have the ability to carry out meiosis and have acquired the ability to reproduce by parthenogenesis.
Meiosis does not occur in archaea or bacteria, which generally reproduce asexually via binary fission. However, a "sexual" process known as horizontal gene transfer involves the transfer of DNA from one bacterium or archaeon to another and recombination of these DNA molecules of different parental origin.
History
Meiosis was discovered and described for the first time in sea urchin eggs in 1876 by the German biologist Oscar Hertwig. It was described again in 1883, at the level of chromosomes, by the Belgian zoologist Edouard Van Beneden, in Ascaris roundworm eggs. The significance of meiosis for reproduction and inheritance, however, was described only in 1890 by German biologist August Weismann, who noted that two cell divisions were necessary to transform one diploid cell into four haploid cells if the number of chromosomes had to be maintained. In 1911, the American geneticist Thomas Hunt Morgan detected crossovers in meiosis in the fruit fly Drosophila melanogaster, which helped to establish that genetic traits are transmitted on chromosomes.
The term "meiosis" is derived from the Greek word , meaning 'lessening'. It was introduced to biology by J.B. Farmer and J.E.S. Moore in 1905, using the idiosyncratic rendering "maiosis":
We propose to apply the terms Maiosis or Maiotic phase to cover the whole series of nuclear changes included in the two divisions that were designated as Heterotype and Homotype by Flemming.
The spelling was changed to "meiosis" by Koernicke (1905) and by Pantel and De Sinety (1906) to follow the usual conventions for transliterating Greek.
Phases
Meiosis is divided into meiosis I and meiosis II which are further divided into Karyokinesis I and Cytokinesis I and Karyokinesis II and Cytokinesis II respectively. The preparatory steps that lead up to meiosis are identical in pattern and name to interphase of the mitotic cell cycle. Interphase is divided into three phases:
Growth 1 (G1) phase: In this very active phase, the cell synthesizes its vast array of proteins, including the enzymes and structural proteins it will need for growth. In G1, each of the chromosomes consists of a single linear molecule of DNA.
Synthesis (S) phase: The genetic material is replicated; each of the cell's chromosomes duplicates to become two identical sister chromatids attached at a centromere. This replication does not change the ploidy of the cell since the centromere number remains the same. The identical sister chromatids have not yet condensed into the densely packaged chromosomes visible with the light microscope. This will take place during prophase I in meiosis.
Growth 2 (G2) phase: G2 phase as seen before mitosis is not present in meiosis. Meiotic prophase corresponds most closely to the G2 phase of the mitotic cell cycle.
Interphase is followed by meiosis I and then meiosis II. Meiosis I separates replicated homologous chromosomes, each still made up of two sister chromatids, into two daughter cells, thus reducing the chromosome number by half. During meiosis II, sister chromatids decouple and the resultant daughter chromosomes are segregated into four daughter cells. For diploid organisms, the daughter cells resulting from meiosis are haploid and contain only one copy of each chromosome. In some species, cells enter a resting phase known as interkinesis between meiosis I and meiosis II.
Meiosis I and II are each divided into prophase, metaphase, anaphase, and telophase stages, similar in purpose to their analogous subphases in the mitotic cell cycle. Therefore, meiosis includes the stages of meiosis I (prophase I, metaphase I, anaphase I, telophase I) and meiosis II (prophase II, metaphase II, anaphase II, telophase II).
During meiosis, specific genes are more highly transcribed. In addition to strong meiotic stage-specific expression of mRNA, there are also pervasive translational controls (e.g. selective usage of preformed mRNA), regulating the ultimate meiotic stage-specific protein expression of genes during meiosis. Thus, both transcriptional and translational controls determine the broad restructuring of meiotic cells needed to carry out meiosis.
Meiosis I
Meiosis I segregates homologous chromosomes, which are joined as tetrads (2n, 4c), producing two haploid cells (n chromosomes, 23 in humans) which each contain chromatid pairs (1n, 2c). Because the ploidy is reduced from diploid to haploid, meiosis I is referred to as a reductional division. Meiosis II is an equational division analogous to mitosis, in which the sister chromatids are segregated, creating four haploid daughter cells (1n, 1c).
Prophase I
Prophase I is by far the longest phase of meiosis (lasting 13 out of 14 days in mice). During prophase I, homologous maternal and paternal chromosomes pair, synapse, and exchange genetic information (by homologous recombination), forming at least one crossover per chromosome. These crossovers become visible as chiasmata (plural; singular chiasma). This process facilitates stable pairing between homologous chromosomes and hence enables accurate segregation of the chromosomes at the first meiotic division. The paired and replicated chromosomes are called bivalents (two chromosomes) or tetrads (four chromatids), with one chromosome coming from each parent. Prophase I is divided into a series of substages which are named according to the appearance of chromosomes.
Leptotene
The first stage of prophase I is the leptotene stage, also known as leptonema, from Greek words meaning "thin threads". In this stage of prophase I, individual chromosomes—each consisting of two replicated sister chromatids—become "individualized" to form visible strands within the nucleus. The chromosomes each form a linear array of loops mediated by cohesin, and the lateral elements of the synaptonemal complex assemble forming an "axial element" from which the loops emanate. Recombination is initiated in this stage by the enzyme SPO11 which creates programmed double strand breaks (around 300 per meiosis in mice). This process generates single stranded DNA filaments coated by RAD51 and DMC1 which invade the homologous chromosomes, forming inter-axis bridges, and resulting in the pairing/co-alignment of homologues (to a distance of ~400 nm in mice).
Zygotene
Leptotene is followed by the zygotene stage, also known as zygonema, from Greek words meaning "paired threads", which in some organisms is also called the bouquet stage because of the way the telomeres cluster at one end of the nucleus. In this stage the homologous chromosomes become much more closely (~100 nm) and stably paired (a process called synapsis) mediated by the installation of the transverse and central elements of the synaptonemal complex. Synapsis is thought to occur in a zipper-like fashion starting from a recombination nodule. The paired chromosomes are called bivalent or tetrad chromosomes.
Pachytene
The pachytene stage ( ), also known as pachynema, from Greek words meaning "thick threads". is the stage at which all autosomal chromosomes have synapsed. In this stage homologous recombination, including chromosomal crossover (crossing over), is completed through the repair of the double strand breaks formed in leptotene. Most breaks are repaired without forming crossovers resulting in gene conversion. However, a subset of breaks (at least one per chromosome) form crossovers between non-sister (homologous) chromosomes resulting in the exchange of genetic information. Sex chromosomes, however, are not wholly identical, and only exchange information over a small region of homology called the pseudoautosomal region. The exchange of information between the homologous chromatids results in a recombination of information; each chromosome has the complete set of information it had before, and there are no gaps formed as a result of the process. Because the chromosomes cannot be distinguished in the synaptonemal complex, the actual act of crossing over is not perceivable through an ordinary light microscope, and chiasmata are not visible until the next stage.
Diplotene
During the diplotene stage, also known as diplonema, from Greek words meaning "two threads", the synaptonemal complex disassembles and homologous chromosomes separate from one another a little. However, the homologous chromosomes of each bivalent remain tightly bound at chiasmata, the regions where crossing-over occurred. The chiasmata remain on the chromosomes until they are severed at the transition to anaphase I to allow homologous chromosomes to move to opposite poles of the cell.
In human fetal oogenesis, all developing oocytes develop to this stage and are arrested in prophase I before birth. This suspended state is referred to as the dictyotene stage or dictyate. It lasts until meiosis is resumed to prepare the oocyte for ovulation, which happens at puberty or even later.
Diakinesis
Chromosomes condense further during the diakinesis stage, from Greek words meaning "moving through". This is the first point in meiosis where the four parts of the tetrads are actually visible. Sites of crossing over entangle together, effectively overlapping, making chiasmata clearly visible. Other than this observation, the rest of the stage closely resembles prometaphase of mitosis; the nucleoli disappear, the nuclear membrane disintegrates into vesicles, and the meiotic spindle begins to form.
Meiotic spindle formation
Unlike mitotic cells, human and mouse oocytes do not have centrosomes to produce the meiotic spindle. In mice, approximately 80 MicroTubule Organizing Centers (MTOCs) form a sphere in the ooplasm and begin to nucleate microtubules that reach out towards chromosomes, attaching to the chromosomes at the kinetochore. Over time the MTOCs merge until two poles have formed, generating a barrel shaped spindle. In human oocytes spindle microtubule nucleation begins on the chromosomes, forming an aster that eventually expands to surround the chromosomes. Chromosomes then slide along the microtubules towards the equator of the spindle, at which point the chromosome kinetochores form end-on attachments to microtubules.
Metaphase I
Homologous pairs move together along the metaphase plate: As kinetochore microtubules from both spindle poles attach to their respective kinetochores, the paired homologous chromosomes align along an equatorial plane that bisects the spindle, due to continuous counterbalancing forces exerted on the bivalents by the microtubules emanating from the two kinetochores of homologous chromosomes. This attachment is referred to as a bipolar attachment. The physical basis of the independent assortment of chromosomes is the random orientation of each bivalent along with the metaphase plate, with respect to the orientation of the other bivalents along the same equatorial line. The protein complex cohesin holds sister chromatids together from the time of their replication until anaphase. In mitosis, the force of kinetochore microtubules pulling in opposite directions creates tension. The cell senses this tension and does not progress with anaphase until all the chromosomes are properly bi-oriented. In meiosis, establishing tension ordinarily requires at least one crossover per chromosome pair in addition to cohesin between sister chromatids (see Chromosome segregation).
Anaphase I
Kinetochore microtubules shorten, pulling homologous chromosomes (which each consist of a pair of sister chromatids) to opposite poles. Nonkinetochore microtubules lengthen, pushing the centrosomes farther apart. The cell elongates in preparation for division down the center. Unlike in mitosis, only the cohesin from the chromosome arms is degraded while the cohesin surrounding the centromere remains protected by a protein named Shugoshin (Japanese for "guardian spirit"), what prevents the sister chromatids from separating. This allows the sister chromatids to remain together while homologs are segregated.
Telophase I
The first meiotic division effectively ends when the chromosomes arrive at the poles. Each daughter cell now has half the number of chromosomes but each chromosome consists of a pair of chromatids. The microtubules that make up the spindle network disappear, and a new nuclear membrane surrounds each haploid set. The chromosomes uncoil back into chromatin. Cytokinesis, the pinching of the cell membrane in animal cells or the formation of the cell wall in plant cells, occurs, completing the creation of two daughter cells. However, cytokinesis does not fully complete resulting in "cytoplasmic bridges" which enable the cytoplasm to be shared between daughter cells until the end of meiosis II. Sister chromatids remain attached during telophase I.
Cells may enter a period of rest known as interkinesis or interphase II. No DNA replication occurs during this stage.
Meiosis II
Meiosis II is the second meiotic division, and usually involves equational segregation, or separation of sister chromatids. Mechanically, the process is similar to mitosis, though its genetic results are fundamentally different. The end result is production of four haploid cells (n chromosomes, 23 in humans) from the two haploid cells (with n chromosomes, each consisting of two sister chromatids) produced in meiosis I. The four main steps of meiosis II are: prophase II, metaphase II, anaphase II, and telophase II.
In prophase II, we see the disappearance of the nucleoli and the nuclear envelope again as well as the shortening and thickening of the chromatids. Centrosomes move to the polar regions and arrange spindle fibers for the second meiotic division.
In metaphase II, the centromeres contain two kinetochores that attach to spindle fibers from the centrosomes at opposite poles. The new equatorial metaphase plate is rotated by 90 degrees when compared to meiosis I, perpendicular to the previous plate.
This is followed by anaphase II, in which the remaining centromeric cohesin, not protected by Shugoshin anymore, is cleaved, allowing the sister chromatids to segregate. The sister chromatids by convention are now called sister chromosomes as they move toward opposing poles.
The process ends with telophase II, which is similar to telophase I, and is marked by decondensation and lengthening of the chromosomes and the disassembly of the spindle. Nuclear envelopes re-form and cleavage or cell plate formation eventually produces a total of four daughter cells, each with a haploid set of chromosomes.
Meiosis is now complete and ends up with four new daughter cells.
Origin and function
The new combinations of DNA created during meiosis are a significant source of genetic variation alongside mutation, resulting in new combinations of alleles, which may be beneficial. Meiosis generates gamete genetic diversity in two ways: (1) Law of Independent Assortment. The independent orientation of homologous chromosome pairs along the metaphase plate during metaphase I and orientation of sister chromatids in metaphase II, this is the subsequent separation of homologs and sister chromatids during anaphase I and II, it allows a random and independent distribution of chromosomes to each daughter cell (and ultimately to gametes); and (2) Crossing Over. The physical exchange of homologous chromosomal regions by homologous recombination during prophase I results in new combinations of genetic information within chromosomes.
Prophase I arrest
Female mammals and birds are born possessing all the oocytes needed for future ovulations, and these oocytes are arrested at the prophase I stage of meiosis. In humans, as an example, oocytes are formed between three and four months of gestation within the fetus and are therefore present at birth. During this prophase I arrested stage (dictyate), which may last for decades, four copies of the genome are present in the oocytes. The arrest of ooctyes at the four genome copy stage was proposed to provide the informational redundancy needed to repair damage in the DNA of the germline. The repair process used appears to involve homologous recombinational repair Prophase I arrested oocytes have a high capability for efficient repair of DNA damages, particularly exogenously induced double-strand breaks. DNA repair capability appears to be a key quality control mechanism in the female germ line and a critical determinant of fertility.
Occurrence
In life cycles
Meiosis occurs in eukaryotic life cycles involving sexual reproduction, consisting of the constant cyclical process of meiosis and fertilization. This takes place alongside normal mitotic cell division. In multicellular organisms, there is an intermediary step between the diploid and haploid transition where the organism grows. At certain stages of the life cycle, germ cells produce gametes. Somatic cells make up the body of the organism and are not involved in gamete production.
Cycling meiosis and fertilization events produces a series of transitions back and forth between alternating haploid and diploid states. The organism phase of the life cycle can occur either during the diploid state (diplontic life cycle), during the haploid state (haplontic life cycle), or both (haplodiplontic life cycle, in which there are two distinct organism phases, one during the haploid state and the other during the diploid state). In this sense there are three types of life cycles that utilize sexual reproduction, differentiated by the location of the organism phase(s).
In the diplontic life cycle (with pre-gametic meiosis), of which humans are a part, the organism is diploid, grown from a diploid cell called the zygote. The organism's diploid germ-line stem cells undergo meiosis to create haploid gametes (the spermatozoa for males and ova for females), which fertilize to form the zygote. The diploid zygote undergoes repeated cellular division by mitosis to grow into the organism.
In the haplontic life cycle (with post-zygotic meiosis), the organism is haploid instead, spawned by the proliferation and differentiation of a single haploid cell called the gamete. Two organisms of opposing sex contribute their haploid gametes to form a diploid zygote. The zygote undergoes meiosis immediately, creating four haploid cells. These cells undergo mitosis to create the organism. Many fungi and many protozoa utilize the haplontic life cycle.
Finally, in the haplodiplontic life cycle (with sporic or intermediate meiosis), the living organism alternates between haploid and diploid states. Consequently, this cycle is also known as the alternation of generations. The diploid organism's germ-line cells undergo meiosis to produce spores. The spores proliferate by mitosis, growing into a haploid organism. The haploid organism's gamete then combines with another haploid organism's gamete, creating the zygote. The zygote undergoes repeated mitosis and differentiation to become a diploid organism again. The haplodiplontic life cycle can be considered a fusion of the diplontic and haplontic life cycles.
In plants and animals
Meiosis occurs in all animals and plants. The end result, the production of gametes with half the number of chromosomes as the parent cell, is the same, but the detailed process is different. In animals, meiosis produces gametes directly. In land plants and some algae, there is an alternation of generations such that meiosis in the diploid sporophyte generation produces haploid spores. These spores multiply by mitosis, developing into the haploid gametophyte generation, which then gives rise to gametes directly (i.e. without further meiosis). In both animals and plants, the final stage is for the gametes to fuse, restoring the original number of chromosomes.
In mammals
In females, meiosis occurs in cells known as oocytes (singular: oocyte). Each primary oocyte divides twice in meiosis, unequally in each case. The first division produces a daughter cell, and a much smaller polar body which may or may not undergo a second division. In meiosis II, division of the daughter cell produces a second polar body, and a single haploid cell, which enlarges to become an ovum. Therefore, in females each primary oocyte that undergoes meiosis results in one mature ovum and one or two polar bodies.
Note that there are pauses during meiosis in females. Maturing oocytes are arrested in prophase I of meiosis I and lie dormant within a protective shell of somatic cells called the follicle. At the beginning of each menstrual cycle, FSH secretion from the anterior pituitary stimulates a few follicles to mature in a process known as folliculogenesis. During this process, the maturing oocytes resume meiosis and continue until metaphase II of meiosis II, where they are again arrested just before ovulation. If these oocytes are fertilized by sperm, they will resume and complete meiosis. During folliculogenesis in humans, usually one follicle becomes dominant while the others undergo atresia. The process of meiosis in females occurs during oogenesis, and differs from the typical meiosis in that it features a long period of meiotic arrest known as the dictyate stage and lacks the assistance of centrosomes.
In males, meiosis occurs during spermatogenesis in the seminiferous tubules of the testicles. Meiosis during spermatogenesis is specific to a type of cell called spermatocytes, which will later mature to become spermatozoa. Meiosis of primordial germ cells happens at the time of puberty, much later than in females. Tissues of the male testis suppress meiosis by degrading retinoic acid, proposed to be a stimulator of meiosis. This is overcome at puberty when cells within seminiferous tubules called Sertoli cells start making their own retinoic acid. Sensitivity to retinoic acid is also adjusted by proteins called nanos and DAZL. Genetic loss-of-function studies on retinoic acid-generating enzymes have shown that retinoic acid is required postnatally to stimulate spermatogonia differentiation which results several days later in spermatocytes undergoing meiosis, however retinoic acid is not required during the time when meiosis initiates.
In female mammals, meiosis begins immediately after primordial germ cells migrate to the ovary in the embryo. Some studies suggest that retinoic acid derived from the primitive kidney (mesonephros) stimulates meiosis in embryonic ovarian oogonia and that tissues of the embryonic male testis suppress meiosis by degrading retinoic acid. However, genetic loss-of-function studies on retinoic acid-generating enzymes have shown that retinoic acid is not required for initiation of either female meiosis which occurs during embryogenesis or male meiosis which initiates postnatally.
Flagellates
While the majority of eukaryotes have a two-divisional meiosis (though sometimes achiasmatic), a very rare form, one-divisional meiosis, occurs in some flagellates (parabasalids and oxymonads) from the gut of the wood-feeding cockroach Cryptocercus.
Role in human genetics and disease
Recombination among the 23 pairs of human chromosomes is responsible for redistributing not just the actual chromosomes, but also pieces of each of them. There is also an estimated 1.6-fold more recombination in females relative to males. In addition, average, female recombination is higher at the centromeres and male recombination is higher at the telomeres. On average, 1 million bp (1 Mb) correspond to 1 cMorgan (cm = 1% recombination frequency). The frequency of cross-overs remain uncertain. In yeast, mouse and human, it has been estimated that ≥200 double-strand breaks (DSBs) are formed per meiotic cell. However, only a subset of DSBs (~5–30% depending on the organism), go on to produce crossovers, which would result in only 1-2 cross-overs per human chromosome.
Nondisjunction
The normal separation of chromosomes in meiosis I or sister chromatids in meiosis II is termed disjunction. When the segregation is not normal, it is called nondisjunction. This results in the production of gametes which have either too many or too few of a particular chromosome, and is a common mechanism for trisomy or monosomy. Nondisjunction can occur in the meiosis I or meiosis II, phases of cellular reproduction, or during mitosis.
Most monosomic and trisomic human embryos are not viable, but some aneuploidies can be tolerated, such as trisomy for the smallest chromosome, chromosome 21. Phenotypes of these aneuploidies range from severe developmental disorders to asymptomatic. Medical conditions include but are not limited to:
Down syndrome – trisomy of chromosome 21
Patau syndrome – trisomy of chromosome 13
Edwards syndrome – trisomy of chromosome 18
Klinefelter syndrome – extra X chromosomes in males – i.e. XXY, XXXY, XXXXY, etc.
Turner syndrome – lacking of one X chromosome in females – i.e. X0
Triple X syndrome – an extra X chromosome in females
Jacobs syndrome – an extra Y chromosome in males.
The probability of nondisjunction in human oocytes increases with increasing maternal age, presumably due to loss of cohesin over time.
Comparison to mitosis
In order to understand meiosis, a comparison to mitosis is helpful. The table below shows the differences between meiosis and mitosis.
Molecular regulation
How a cell proceeds to meiotic division in meiotic cell division is not well known. Maturation promoting factor (MPF) seemingly have role in frog Oocyte meiosis. In the fungus S. pombe. there is a role of MeiRNA binding protein for entry to meiotic cell division.
It has been suggested that Yeast CEP1 gene product, that binds centromeric region CDE1, may play a role in chromosome pairing during meiosis-I.
Meiotic recombination is mediated through double stranded break, which is catalyzed by Spo11 protein. Also Mre11, Sae2 and Exo1 play role in breakage and recombination. After the breakage happen, recombination take place which is typically homologous. The recombination may go through either a double Holliday junction (dHJ) pathway or synthesis-dependent strand annealing (SDSA). (The second one gives to noncrossover product).
Seemingly there are checkpoints for meiotic cell division too. In S. pombe, Rad proteins, S. pombe Mek1 (with FHA kinase domain), Cdc25, Cdc2 and unknown factor is thought to form a checkpoint.
In vertebrate oogenesis, maintained by cytostatic factor (CSF) has role in switching into meiosis-II.
See also
Fertilisation
Coefficient of coincidence
DNA repair
Oxidative stress
Synizesis (biology)
Biological life cycle
Apomixis
Parthenogenesis
Alternation of generations
Brachymeiosis
Mitotic recombination
Dikaryon
Mating of yeast
References
Cited texts
External links
Meiosis Flash Animation
Animations from the U. of Arizona Biology Dept.
Meiosis at Kimball's Biology Pages
Khan Academy, video lecture
CCO The Cell-Cycle Ontology
Stages of Meiosis animation
*"Abby Dernburg Seminar: Chromosome Dynamics During Meiosis"
Cellular processes
Cell cycle
Molecular genetics
Plant sexuality
Articles containing video clips
1876 in science |
18977 | https://en.wikipedia.org/wiki/Minix | Minix | Minix (from mini-Unix) is a Unix-like operating system based on a microkernel architecture. Since version 2.0, it has been Portable Operating System Interface (POSIX) compliant.
Early versions of MINIX were created by Andrew S. Tanenbaum for educational purposes. Starting with MINIX 3, the primary aim of development shifted from education to the creation of a highly reliable and self-healing microkernel OS. MINIX is now developed as open-source software.
MINIX was first released in 1987, with its complete source code made available to universities for study in courses and research. It has been free and open-source software since it was relicensed under the BSD-3-Clause license in April 2000.
Implementation
Minix 1.0
Andrew S. Tanenbaum created MINIX at Vrije Universiteit in Amsterdam to exemplify the principles conveyed in his textbook, Operating Systems: Design and Implementation (1987).
An abridged 12,000 lines of the C source code of the kernel, memory manager, and file system of MINIX 1.0 are printed in the book. Prentice-Hall also released MINIX source code and binaries on floppy disk with a reference manual. MINIX 1 was system-call compatible with Seventh Edition Unix.
Tanenbaum originally developed MINIX for compatibility with the IBM PC and IBM PC/AT 8088 microcomputers available at the time.
Minix 1.5
MINIX 1.5, released in 1991, included support for MicroChannel IBM PS/2 systems and was also ported to the Motorola 68000 and SPARC architectures, supporting the Atari ST, Commodore Amiga, Apple Macintosh and Sun SPARCstation computer platforms. There were also unofficial ports to Intel 386 PC compatibles (in 32-bit protected mode), National Semiconductor NS32532, ARM and Inmos transputer processors. Meiko Scientific used an early version of MINIX as the basis for the MeikOS operating system for its transputer-based Computing Surface parallel computers. A version of MINIX running as a user process under SunOS and Solaris was also available, a simulator named SMX (operating system) or just SMX for short.
Minix 2.0
Demand for the 68k-based architectures waned, however, and MINIX 2.0, released in 1997, was only available for the x86 and Solaris-hosted SPARC architectures. It was the subject of the second edition of Tanenbaum's textbook, cowritten with Albert Woodhull and was distributed on a CD-ROM included with the book. MINIX 2.0 added POSIX.1 compliance, support for 386 and later processors in 32-bit mode and replaced the Amoeba network protocols included in MINIX 1.5 with a TCP/IP stack.
Version 2.0.3 was released in May 2001. It was the first version after MINIX had been relicensed under the BSD-3-Clause license, which was retroactively applied to all previous versions.
Minix-vmd
Minix-vmd is a variant of MINIX 2.0 for Intel IA-32-compatible processors, created by two Vrije Universiteit researchers, which adds virtual memory and support for the X Window System.
Minix 3
Minix 3 was publicly announced on 24 October 2005 by Tanenbaum during his keynote speech at the Association for Computing Machinery (ACM) Symposium on Operating Systems Principles (SOSP). Although it still serves as an example for the new edition of Tanenbaum's textbook, coauthored by Albert S. Woodhull, it is comprehensively redesigned to be "usable as a serious system on resource-limited and embedded computers and for applications requiring high reliability."
Minix 3 currently supports IA-32 and ARM architecture systems. It is available in a live CD format that allows it to be used on a computer without installing it on the hard drive, and in versions compatible with hardware emulating and virtualizing systems, including Bochs, QEMU, VMware Workstation and Fusion, VirtualBox, and Microsoft Virtual PC.
Version 3.1.2 was released on 18 April 2006. It was the first version after MINIX had been relicensed under the BSD-3-Clause license with a new fourth clause.
Version 3.1.5 was released on 5 November 2009. It contains X11, emacs, vi, cc, gcc, perl, python, ash, bash, zsh, ftp, ssh, telnet, pine, and over 400 other common Unix utility programs. With the addition of X11, this version marks the transition away from a text-only system. In many cases it can automatically restart a crashed driver without affecting running processes. In this way, MINIX is self-healing and can be used in applications demanding high reliability. MINIX 3 also has support for virtual memory management, making it suitable for desktop OS use. Desktop applications such as Firefox and OpenOffice.org are not yet available for MINIX 3 however.
As of version 3.2.0, the userland was mostly replaced by that of NetBSD and support from pkgsrc became possible, increasing the available software applications that MINIX can use. Clang replaced the prior compiler (with GCC now having to be manually compiled), and GDB, the GNU debugger, was ported.
Minix 3.3.0, released in September 2014, brought ARM support.
Minix 3.4.0RC, Release Candidates became available in January 2016; however, a stable release of MINIX 3.4.0 is yet to be announced.
Minix supports many programming languages, including C, C++, FORTRAN, Modula-2, Pascal, Perl, Python, and Tcl.
Minix 3 still has an active development community with over 50 people attending MINIXCon 2016, a conference to discuss the history and future of MINIX.
All Intel chipsets post-2015 are running MINIX 3 internally as the software component of the Intel Management Engine.
Relationship with Linux
Early influence
Linus Torvalds used and appreciated Minix, but his design deviated from the Minix architecture in significant ways, most notably by employing a monolithic kernel instead of a microkernel. This was disapproved of by Tanenbaum in the Tanenbaum–Torvalds debate. Tanenbaum explained again his rationale for using a microkernel in May 2006.
Early Linux kernel development was done on a Minix host system, which led to Linux inheriting various features from Minix, such as the Minix file system.
Samizdat claims
In May 2004, Kenneth Brown of the Alexis de Tocqueville Institution made the accusation that major parts of the Linux kernel had been copied from the MINIX codebase, in a book named Samizdat. These accusations were rebutted universally—most prominently by Tanenbaum, who strongly criticised Brown and published a long rebuttal on his own personal Web site, also claiming that Brown was funded by Microsoft.
Licensing
At the time of MINIX's original development, its license was relatively liberal. Its licensing fee was very small ($69) relative to those of other operating systems. Tanenbaum wished for MINIX to be as accessible as possible to students, but his publisher was unwilling to offer material (such as the source code) that could be copied freely, so a restrictive license requiring a nominal fee (included in the price of Tanenbaum's book) was applied as a compromise. This prevented the use of MINIX as the basis for a freely distributed software system.
When free and open-source Unix-like operating systems such as Linux and 386BSD became available in the early 1990s, many volunteer software developers abandoned MINIX in favor of these. In April 2000, MINIX became free and open-source software under the BSD-3-Clause license, which was retroactively applied to all previous versions. However, by this time other operating systems had surpassed its capabilities, and it remained primarily an operating system for students and hobbyists. In late 2005, MINIX was relicensed with a fourth clause added to the BSD-3-Clause license.
See also
MINIX file system
Minix-vmd
MINIX 3
Redox —an operating system in Rust using a Minix-like kernel
Xinu
Notes
References
External links
History of MINIX from Andrew Tanenbaum
1987 software
Computer-related introductions in 1987
ARM operating systems
Computer science in the Netherlands
Dutch inventions
Educational operating systems
Free software operating systems
Information technology in the Netherlands
Lightweight Unix-like systems
Microkernel-based operating systems
Microkernels
Operating system distributions bootable from read-only media
Software using the BSD license
Unix variants |
18982 | https://en.wikipedia.org/wiki/Muscular%20dystrophy | Muscular dystrophy | Muscular dystrophies (MD) are a genetically and clinically heterogeneous group of rare neuromuscular diseases that cause progressive weakness and breakdown of skeletal muscles over time. The disorders differ as to which muscles are primarily affected, the degree of weakness, how fast they worsen, and when symptoms begin. Some types are also associated with problems in other organs.
Over 30 different disorders are classified as muscular dystrophies. Of those, Duchenne muscular dystrophy (DMD) accounts for approximately 50% of cases and affects males beginning around the age of four. Other relatively common muscular dystrophies include Becker muscular dystrophy, facioscapulohumeral muscular dystrophy, and myotonic dystrophy, whereas limb–girdle muscular dystrophy and congenital muscular dystrophy are themselves groups of several – usually ultrarare – genetic disorders.
Muscular dystrophies are caused by mutations in genes, usually those involved in making muscle proteins. These mutations are either inherited from parents or may occur spontaneously during early development. Muscular dystrophies may be X-linked recessive, autosomal recessive, or autosomal dominant. Diagnosis often involves blood tests and genetic testing.
There is no cure for any disorder from the muscular dystrophy group. Several drugs designed to address the root cause are under development, including gene therapy (Microdystrophin), and antisense drugs (Ataluren, Eteplirsen etc). Other medications used include corticosteroids (Deflazacort), calcium channel blockers (Diltiazem) to slow skeletal and cardiac muscle degeneration, anticonvulsants to control seizures and some muscle activity, and immunosuppressants (Vamorolone) to delay damage to dying muscle cells. Physical therapy, braces, and corrective surgery may help with some symptoms while assisted ventilation may be required in those with weakness of breathing muscles.
Outcomes depend on the specific type of disorder. Many affected people will eventually become unable to walk and Duchenne muscular dystrophy in particular is associated with shortened life expectancy.
Muscular dystrophy was first described in the 1830s by Charles Bell. The word "dystrophy" comes from the Greek dys, meaning "no, un-" and troph- meaning "nourish".
Signs and symptoms
The signs and symptoms consistent with muscular dystrophy are:
Causes
The majority of muscular dystrophies are inherited; the different muscular dystrophies follow various inheritance patterns (X-linked, autosomal recessive or autosomal dominant). In a small percentage of patients, the disorder may have been caused by a de novo (spontaneous) mutation.
Diagnosis
The diagnosis of muscular dystrophy is based on the results of muscle biopsy, increased creatine phosphokinase (CpK3), electromyography, and genetic testing. A physical examination and the patient's medical history will help the doctor determine the type of muscular dystrophy. Specific muscle groups are affected by different types of muscular dystrophy.
Classification
Management
Currently, there is no cure for muscular dystrophy. In terms of management, physical therapy, occupational therapy, orthotic intervention (e.g., ankle-foot orthosis), speech therapy, and respiratory therapy may be helpful. Low intensity corticosteroids such as prednisone, and deflazacort may help to maintain muscle tone. Orthoses (orthopedic appliances used for support) and corrective orthopedic surgery may be needed to improve the quality of life in some cases. The cardiac problems that occur with EDMD and myotonic muscular dystrophy may require a pacemaker. The myotonia (delayed relaxation of a muscle after a strong contraction) occurring in myotonic muscular dystrophy may be treated with medications such as quinine.
Occupational therapy assists the individual with MD to engage in activities of daily living (such as self-feeding and self-care activities) and leisure activities at the most independent level possible. This may be achieved with use of adaptive equipment or the use of energy-conservation techniques. Occupational therapy may implement changes to a person's environment, both at home or work, to increase the individual's function and accessibility; furthermore, it addresses psychosocial changes and cognitive decline which may accompany MD, and provides support and education about the disease to the family and individual.
Prognosis
Prognosis depends on the individual form of muscular dystrophy. Some dystrophies cause progressive weakness and loss of muscle function, which may result in severe physical disability and a life-threatening deterioration of respiratory muscles or heart. Other dystrophies do not affect life expectancy and only cause relatively mild impairment.
History
In the 1860s, descriptions of boys who grew progressively weaker, lost the ability to walk, and died at an early age became more prominent in medical journals. In the following decade, French neurologist Guillaume Duchenne gave a comprehensive account of the most common and severe form of the disease, which now carries his name – Duchenne MD.
Society and culture
In 1966, Jerry Lewis and the Muscular Dystrophy Association (MDA) began its annual Labor Day telecast The Jerry Lewis Telethon, which has probably done more to raise awareness of muscular dystrophy than any other event or initiative. Disability rights advocates, however, have criticized the telethon for portraying those living with the disease as deserving pity rather than respect.
On December 18, 2001, the MD CARE Act was signed into law in the US; it amends the Public Health Service Act to provide research for the various muscular dystrophies. This law also established the Muscular Dystrophy Coordinating Committee to help focus research efforts through a coherent research strategy.
See also
References
Further reading
External links
Genetic disorders by system
Myoneural junction and neuromuscular diseases
Wikipedia medicine articles ready to translate
Medical conditions with no known cure
no:Duchenne muskeldystrofi |
18984 | https://en.wikipedia.org/wiki/Mongols | Mongols | The Mongols (, , , ; ; ) are an East Asian ethnic group native to Mongolia, Inner Mongolia in China and the Buryatia Republic of the Russian Federation. The Mongols are the principal member of the large family of Mongolic peoples. The Oirats in Western Mongolia as well as the Buryats and Kalmyks of Russia are classified either as distinct ethno-linguistic groups or subgroups of Mongols.
The Mongols are bound together by a common heritage and ethnic identity. Their indigenous dialects are collectively known as the Mongolian language. The ancestors of the modern-day Mongols are referred to as Proto-Mongols.
Definition
Broadly defined, the term includes the Mongols proper (also known as the Khalkha Mongols), Buryats, Oirats, the Kalmyk people and the Southern Mongols. The latter comprises the Abaga Mongols, Abaganar, Aohans, Baarins, Chahars, Eastern Dorbets, Gorlos Mongols, Jalaids, Jaruud, Kharchins, Khishigten, Khorchins, Khuuchid, Muumyangan, Naimans, Onnigud, Ordos, Sunud, Tumed, Urad and Üzemchins.
The designation "Mongol" briefly appeared in 8th century records of Tang China to describe a tribe of Shiwei. It resurfaced in the late 11th century during the Khitan-ruled Liao dynasty. After the fall of the Liao in 1125, the Khamag Mongols became a leading tribe on the Mongolian Plateau. However, their wars with the Jurchen-ruled Jin dynasty and the Tatar confederation had weakened them.
In the thirteenth century, the word Mongol grew into an umbrella term for a large group of Mongolic-speaking tribes united under the rule of Genghis Khan.
History
In various times Mongolic peoples have been equated with the Scythians, the Magog, and the Tungusic peoples. Based on Chinese historical texts the ancestry of the Mongolic peoples can be traced back to the Donghu, a nomadic confederation occupying eastern Mongolia and Manchuria. The Donghu neighboured the Xiongnu, whose identity is still debated today. Although some scholars maintain that they were proto-Mongols, they were more likely a multi-ethnic group of Mongolic and Turkic tribes. It has been suggested that the language of the Huns was related to the Xiongnu.
The Donghu, however, can be much more easily labeled proto-Mongol since the Chinese histories trace only Mongolic tribes and kingdoms (Xianbei and Wuhuan peoples) from them, although some historical texts claim a mixed Xiongnu-Donghu ancestry for some tribes (e.g. the Khitan).
In the Chinese classics
The Donghu are mentioned by Sima Qian as already existing in Inner Mongolia north of Yan in 699–632 BCE along with the Shanrong. Mentions in the Yi Zhou Shu ("Lost Book of Zhou") and the Classic of Mountains and Seas indicate the Donghu were also active during the Shang dynasty (1600–1046 BCE).
The Xianbei formed part of the Donghu confederation, and had in earlier times independence within the Donghu confederation as well as from the Zhou dynasty, as evidenced by a mention in the book Discourses of the States, which states that during the reign of King Cheng of Zhou (reigned 1042–1021 BCE) they came to participate at a meeting of Zhou subject-lords at Qiyang (岐阳) (now Qishan County) but were only allowed to perform the fire ceremony under the supervision of Chu since they were not vassals (诸侯) by enfeoffment and establishment. The Xianbei chieftain was appointed joint guardian of the ritual torch along with Chu viscount Xiong Yi.
These early Xianbei came from the nearby Zhukaigou culture (2200–1500 BCE) in the Ordos Desert, where maternal DNA corresponds to the Mongol Daur people and the Tungusic Evenks. The Zhukaigou Xianbei (part of the Ordos culture of Inner Mongolia and northern Shaanxi) had trade relations with the Shang. Liu Song dynasty commentator Pei Yin (裴駰), in his Jixie (集解), quoted Eastern Han dynasty scholar Fu Qian (服虔)'s assertion that Shanrong (山戎) and Beidi (北狄) are ancestors of the present-day Xianbei (鮮卑). Again in Inner Mongolia another closely connected core Mongolic Xianbei region was the Upper Xiajiadian culture (1000–600 BCE) where the Donghu confederation was centered.
After the Donghu were defeated by Xiongnu king Modu Chanyu, the Xianbei and Wuhuan survived as the main remnants of the confederation. Tadun Khan of the Wuhuan (died 207 AD) was the ancestor of the proto-Mongolic Kumo Xi. The Wuhuan are of the direct Donghu royal line and the New Book of Tang says that in 209 BCE, Modu Chanyu defeated the Wuhuan instead of using the word Donghu. The Xianbei, however, were of the lateral Donghu line and had a somewhat separate identity, although they shared the same language with the Wuhuan. In 49 CE the Xianbei ruler Bianhe (Bayan Khan?) raided and defeated the Xiongnu, killing 2000, after having received generous gifts from Emperor Guangwu of Han. The Xianbei reached their peak under Tanshihuai Khan (reigned 156–181) who expanded the vast, but short lived, Xianbei state (93–234).
Three prominent groups split from the Xianbei state as recorded by the Chinese histories: the Rouran (claimed by some to be the Pannonian Avars), the Khitan people and the Shiwei (a subtribe called the "Shiwei Menggu" is held to be the origin of the Genghisid Mongols). Besides these three Xianbei groups, there were others such as the Murong, Duan and Tuoba. Their culture was nomadic, their religion shamanism or Buddhism and their military strength formidable. There is still no direct evidence that the Rouran spoke Mongolic languages, although most scholars agree that they were Proto-Mongolic. The Khitan, however, had two scripts of their own and many Mongolic words are found in their half-deciphered writings.
Geographically, the Tuoba Xianbei ruled the southern part of Inner Mongolia and northern China, the Rouran (Yujiulü Shelun was the first to use the title khagan in 402) ruled eastern Mongolia, western Mongolia, the northern part of Inner Mongolia and northern Mongolia, the Khitan were concentrated in eastern part of Inner Mongolia north of Korea and the Shiwei were located to the north of the Khitan. These tribes and kingdoms were soon overshadowed by the rise of the First Turkic Khaganate in 555, the Uyghur Khaganate in 745 and the Yenisei Kirghiz states in 840. The Tuoba were eventually absorbed into China. The Rouran fled west from the Göktürks and either disappeared into obscurity or, as some say, invaded Europe as the Avars under their Khan, Bayan I. Some Rouran under Tatar Khan migrated east, founding the Tatar confederation, who became part of the Shiwei. The Khitan, who were independent after their separation from the Kumo Xi (of Wuhuan origin) in 388, continued as a minor power in Manchuria until one of them, Ambagai (872–926), established the Liao dynasty (907–1125) as Emperor Taizu of Liao.
Mongol Empire
The destruction of Uyghur Khaganate by the Kirghiz resulted in the end of Turkic dominance in Mongolia. According to historians, Kirghiz were not interested in assimilating newly acquired lands; instead, they controlled local tribes through various manaps (tribal leaders). The Khitans occupied the areas vacated by the Turkic Uyghurs bringing them under their control. The Yenisei Kirghiz state was centered on Khakassia and they were expelled from Mongolia by the Khitans in 924. Beginning in the 10th century, the Khitans, under the leadership of Abaoji, prevailed in several military campaigns against the Tang dynastys border guards, and the Xi, Shiwei and Jurchen nomadic groups.
Khitan royalty led by Yelü Dashi fled west through Mongolia after being defeated by the Jurchens (later known as Manchu) and founded the Qara Khitai (1125–1218) in eastern Kazakhstan while still maintaining control over western Mongolia. In 1218, Genghis Khan incorporated the Qara Khitai after which the Khitan passed into obscurity. Some remnants surfaced as the Qutlugh-Khanid dynasty (1222–1306) in Iran and the Dai Khitai in Afghanistan. With the expansion of the Mongol Empire, the Mongolic peoples settled over almost all Eurasia and carried on military campaigns from the Adriatic Sea to Indonesian Java and from Japan to Palestine (Gaza). They simultaneously became Padishahs of Persia, Emperors of China, and Great Khans of the Mongols, and one (Al-Adil Kitbugha) became Sultan of Egypt. The Mongolic peoples of the Golden Horde established themselves to govern Russia by 1240. By 1279, they conquered the Song dynasty and brought all of China proper under the control of the Yuan dynasty.
With the breakup of the empire, the dispersed Mongolic peoples quickly adopted the mostly Turkic cultures surrounding them and were assimilated, forming parts of Afghanistan's Hazaras, Azerbaijanis, Uzbeks, Karakalpaks, Tatars, Bashkirs, Turkmens, Uyghurs, Nogays, Kyrgyzs, Kazakhs, Caucasaus peoples, Iranian peoples and Moghuls; linguistic and cultural Persianization also began to be prominent in these territories. Some Mongols assimilated into the Yakuts after their migration to northern Siberia and about 30% of Yakut words have Mongol origin. However, most of the Yuan Mongols returned to Mongolia in 1368, retaining their language and culture. There were 250,000 Mongols in southern China and many Mongols were massacred by the rebel army. The survivors were trapped in southern China and eventually assimilated. The Dongxiangs, Bonans, Yugur and Monguor people were invaded by the Chinese Ming dynasty.
Northern Yuan
After the fall of the Yuan dynasty in 1368, the Mongols continued to rule the Northern Yuan dynasty in northern China and the Mongolian steppe. However, the Oirads began to challenge the Eastern Mongolic peoples under the Borjigin monarchs in the late 14th century and Mongolia was divided into two parts: Western Mongolia (Oirats) and Eastern Mongolia (Khalkha, Inner Mongols, Barga, Buryats). The earliest written references to the plough in Middle Mongolian language sources appear towards the end of the 14th c.
In 1434, Eastern Mongolian Taisun Khan's (1433–1452) prime minister Western Mongolian Togoon Taish reunited the Mongols after killing Eastern Mongolian another king Adai (Khorchin). Togoon died in 1439 and his son Esen Taish became ruler of Northern Yuan dynasty. Esen carried out successful policy for Mongolian unification and independence. The Ming Empire attempted to invade Mongolia in the 14–16th centuries, however, the Ming Empire was defeated by the Oirat, Southern Mongol, Eastern Mongol and united Mongolian armies. Esen's 30,000 cavalries defeated 500,000 Chinese soldiers in 1449. Within eighteen months of his defeat of the titular Khan Taisun, in 1453, Esen himself took the title of Great Khan (1454–1455) of the Great Yuan.
The Khalkha emerged during the reign of Dayan Khan (1479–1543) as one of the six tumens of the Eastern Mongolic peoples. They quickly became the dominant Mongolic clan in Mongolia proper. He reunited the Mongols again. In 1550, Altan Khan led a Khalkha Mongol raid on Beijing. The Mongols voluntarily reunified during Eastern Mongolian Tümen Zasagt Khan rule (1558–1592) for the last time (the Mongol Empire united all Mongols before this).
Eastern Mongolia was divided into three parts in the 17th century: Outer Mongolia (Khalkha), Inner Mongolia (Inner Mongols) and the Buryat region in southern Siberia.
The last Mongol khagan was Ligdan in the early 17th century. He got into conflicts with the Manchus over the looting of Chinese cities, and managed to alienate most Mongol tribes. In 1618, Ligdan signed a treaty with the Ming dynasty to protect their northern border from the Manchus attack in exchange for thousands of taels of silver. By the 1620s, only the Chahars remained under his rule.
Qing-era Mongols
The Chahar army was defeated in 1625 and 1628 by the Inner Mongol and Manchu armies due to Ligdan's faulty tactics. The Qing forces secured their control over Inner Mongolia by 1635, and the army of the last khan Ligdan moved to battle against Tibetan Gelugpa sect (Yellow Hat sect) forces. The Gelugpa forces supported the Manchus, while Ligdan supported Kagyu sect (Red Hat sect) of Tibetan Buddhism. Ligden died in 1634 on his way to Tibet. By 1636, most Inner Mongolian nobles had submitted to the Qing dynasty founded by the Manchus. Inner Mongolian Tengis noyan revolted against the Qing in the 1640s and the Khalkha battled to protect Sunud.
Western Mongolian Oirats and Eastern Mongolian Khalkhas vied for domination in Mongolia since the 15th century and this conflict weakened Mongolian strength. In 1688, Western Mongolian Dzungar Khanate's king Galdan Boshugtu attacked Khalkha after murder of his younger brother by Tusheet Khan Chakhundorj (main or Central Khalkha leader) and the Khalkha-Oirat War began. Galdan threatened to kill Chakhundorj and Zanabazar (Javzandamba Khutagt I, spiritual head of Khalkha) but they escaped to Sunud (Inner Mongolia). Many Khalkha nobles and folks fled to Inner Mongolia because of the war. Few Khalkhas fled to the Buryat region and Russia threatened to exterminate them if they did not submit, but many of them submitted to Galdan Boshugtu.
In 1683 Galdan's armies reached Tashkent and the Syr Darya and crushed two armies of the Kazakhs. After that Galdan subjugated the Black Khirgizs and ravaged the Fergana Valley. From 1685 Galdan's forces aggressively pushed the Kazakhs. While his general Rabtan took Taraz, and his main force forced the Kazakhs to migrate westwards. In 1687, he besieged the City of Turkistan. Under the leadership of Abul Khair Khan, the Kazakhs won major victories over the Dzungars at the Bulanty River in 1726, and at the Battle of Anrakay in 1729.
The Khalkha eventually submitted to Qing rule in 1691 by Zanabazar's decision, thus bringing all of today's Mongolia under the rule of the Qing dynasty but Khalkha de facto remained under the rule of Galdan Boshugtu Khaan until 1696. The Mongol-Oirat's Code (a treaty of alliance) against foreign invasion between the Oirats and Khalkhas was signed in 1640, however, the Mongols could not unite against foreign invasions. Chakhundorj fought against Russian invasion of Outer Mongolia until 1688 and stopped Russian invasion of Khövsgöl Province. Zanabazar struggled to bring together the Oirats and Khalkhas before the war.
Galdan Boshugtu sent his army to "liberate" Inner Mongolia after defeating the Khalkha's army and called Inner Mongolian nobles to fight for Mongolian independence. Some Inner Mongolian nobles, Tibetans, Kumul Khanate and some Moghulistan's nobles supported his war against the Manchus, however, Inner Mongolian nobles did not battle against the Qing.
There were three khans in Khalkha and Zasagt Khan Shar (Western Khalkha leader) was Galdan's ally. Tsetsen Khan (Eastern Khalkha leader) did not engage in this conflict. While Galdan was fighting in Eastern Mongolia, his nephew Tseveenravdan seized the Dzungarian throne in 1689 and this event made Galdan impossible to fight against the Qing Empire. The Russian and Qing Empires supported his action because this coup weakened Western Mongolian strength. Galdan Boshugtu's army was defeated by the outnumbering Qing army in 1696 and he died in 1697. The Mongols who fled to the Buryat region and Inner Mongolia returned after the war. Some Khalkhas mixed with the Buryats.
The Buryats fought against Russian invasion since the 1620s and thousands of Buryats were massacred. The Buryat region was formally annexed to Russia by treaties in 1689 and 1727, when the territories on both the sides of Lake Baikal were separated from Mongolia. In 1689 the Treaty of Nerchinsk established the northern border of Manchuria north of the present line. The Russians retained Trans-Baikalia between Lake Baikal and the Argun River north of Mongolia. The Treaty of Kyakhta (1727), along with the Treaty of Nerchinsk, regulated the relations between Imperial Russia and the Qing Empire until the mid-nineteenth century. It established the northern border of Mongolia. Oka Buryats revolted in 1767 and Russia completely conquered the Buryat region in the late 18th century. Russia and Qing were rival empires until the early 20th century, however, both empires carried out united policy against Central Asians.
The Qing Empire conquered Upper Mongolia or the Oirat's Khoshut Khanate in the 1720s and 80,000 people were killed. By that period, Upper Mongolian population reached 200,000. The Dzungar Khanate conquered by the Qing dynasty in 1755–1758 because of their leaders and military commanders conflicts. Some scholars estimate that about 80% of the Dzungar population were destroyed by a combination of warfare and disease during the Qing conquest of the Dzungar Khanate in 1755–1758. Mark Levene, a historian whose recent research interests focus on genocide, has stated that the extermination of the Dzungars was "arguably the eighteenth century genocide par excellence." The Dzungar population reached 600,000 in 1755.
About 200,000–250,000 Oirats migrated from western Mongolia to Volga River in 1607 and established the Kalmyk Khanate.The Torghuts were led by their Tayishi, Höö Örlög. Russia was concerned about their attack but the Kalmyks became a Russian ally and a treaty to protect the southern Russian border was signed between the Kalmyk Khanate and Russia. In 1724 the Kalmyks came under control of Russia. By the early 18th century, there were approximately 300,000–350,000 Kalmyks and 15,000,000 Russians. The Tsardom of Russia gradually chipped away at the autonomy of the Kalmyk Khanate. These policies, for instance, encouraged the establishment of Russian and German settlements on pastures the Kalmyks used to roam and feed their livestock. In addition, the Tsarist government imposed a council on the Kalmyk Khan, thereby diluting his authority, while continuing to expect the Kalmyk Khan to provide cavalry units to fight on behalf of Russia. The Russian Orthodox church, by contrast, pressured Buddhist Kalmyks to adopt Orthodoxy. In January 1771, approximately 200,000 (170,000) Kalmyks began the migration from their pastures on the left bank of the Volga River to Dzungaria (Western Mongolia), through the territories of their Bashkir and Kazakh enemies. The last Kalmyk khan Ubashi led the migration to restore Mongolian independence. Ubashi Khan sent his 30,000 cavalries to the Russo-Turkish War in 1768–1769 to gain weapon before the migration. The Empress Catherine the Great ordered the Russian army, Bashkirs and Kazakhs to exterminate all migrants and the Empress abolished the Kalmyk Khanate. The Kyrgyzs attacked them near Balkhash Lake. About 100,000–150,000 Kalmyks who settled on the west bank of the Volga River could not cross the river because the river did not freeze in the winter of 1771 and Catherine the Great executed influential nobles of them. After seven months of travel, only one-third (66,073) of the original group reached Dzungaria (Balkhash Lake, western border of the Qing Empire). The Qing Empire transmigrated the Kalmyks to five different areas to prevent their revolt and influential leaders of the Kalmyks died soon (killed by the Manchus). Russia states that Buryatia voluntarily merged with Russia in 1659 due to Mongolian oppression and the Kalmyks voluntarily accepted Russian rule in 1609 but only Georgia voluntarily accepted Russian rule.
In the early 20th century, the late Qing government encouraged Han Chinese colonization of Mongolian lands under the name of "New Policies" or "New Administration" (xinzheng). As a result, some Mongol leaders (especially those of Outer Mongolia) decided to seek Mongolian independence. After the Xinhai Revolution, the Mongolian Revolution on 30 November 1911 in Outer Mongolia ended an over 200-year rule of the Qing dynasty.
Post-Qing era
With the independence of Outer Mongolia, the Mongolian army controlled Khalkha and Khovd regions (modern day Uvs, Khovd, and Bayan-Ölgii provinces), but Northern Xinjiang (the Altai and Ili regions of the Qing Empire), Upper Mongolia, Barga and Inner Mongolia came under control of the newly formed Republic of China. On February 2, 1913 the Bogd Khanate of Mongolia sent Mongolian cavalries to "liberate" Inner Mongolia from China. Russia refused to sell weapons to the Bogd Khanate, and the Russian czar, Nicholas II, referred to it as "Mongolian imperialism". Additionally, the United Kingdom urged Russia to abolish Mongolian independence as it was concerned that "if Mongolians gain independence, then Central Asians will revolt". 10,000 Khalkha and Inner Mongolian cavalries (about 3,500 Inner Mongols) defeated 70,000 Chinese soldiers and controlled almost all of Inner Mongolia; however, the Mongolian army retreated due to lack of weapons in 1914. 400 Mongol soldiers and 3,795 Chinese soldiers died in this war. The Khalkhas, Khovd Oirats, Buryats, Dzungarian Oirats, Upper Mongols, Barga Mongols, most Inner Mongolian and some Tuvan leaders sent statements to support Bogd Khan's call of Mongolian reunification. In reality however, most of them were too prudent or irresolute to attempt joining the Bogd Khan regime. Russia encouraged Mongolia to become an autonomous region of China in 1914. Mongolia lost Barga, Dzungaria, Tuva, Upper Mongolia and Inner Mongolia in the 1915 Treaty of Kyakhta.
In October 1919, the Republic of China occupied Mongolia after the suspicious deaths of Mongolian patriotic nobles. On 3 February 1921 the White Russian army—led by Baron Ungern and mainly consisting of Mongolian volunteer cavalries, and Buryat and Tatar cossacks—liberated the Mongolian capital. Baron Ungern's purpose was to find allies to defeat the Soviet Union. The Statement of Reunification of Mongolia was adopted by Mongolian revolutionist leaders in 1921. The Soviet, however, considered Mongolia to be Chinese territory in 1924 during a secret meeting with the Republic of China. However, the Soviets officially recognized Mongolian independence in 1945 but carried out various policies (political, economic and cultural) against Mongolia until its fall in 1991 to prevent Pan-Mongolism and other irredentist movements.
On 10 April 1932 Mongolians revolted against the government's new policy and Soviets. The government and Soviet soldiers defeated the rebels in October.
The Buryats started to migrate to Mongolia in the 1900s due to Russian oppression. Joseph Stalin's regime stopped the migration in 1930 and started a campaign of ethnic cleansing against newcomers and Mongolians. During the Stalinist repressions in Mongolia almost all adult Buryat men and 22,000–33,000 Mongols (3–5% of the total population; common citizens, monks, Pan-Mongolists, nationalists, patriots, hundreds of military officers, nobles, intellectuals and elite people) were shot dead under Soviet orders. Some authors also offer much higher estimates, up to 100,000 victims. Around the late 1930s the Mongolian People's Republic had an overall population of about 700,000 to 900,000 people. By 1939, Soviet said "We repressed too many people, the population of Mongolia is only hundred thousands". The proportion of victims in relation to the population of the country is much higher than the corresponding figures of the Great Purge in the Soviet Union.
The Manchukuo (1932–1945), puppet state of the Empire of Japan (1868–1947) invaded Barga and some part of Inner Mongolia with Japanese help. The Mongolian army advanced to the Great Wall of China during the Soviet–Japanese War of 1945 (Mongolian name: Liberation War of 1945). Japan forced Inner Mongolian and Barga people to fight against Mongolians but they surrendered to Mongolians and started to fight against their Japanese and Manchu allies. Marshal Khorloogiin Choibalsan called Inner Mongolians and Xinjiang Oirats to migrate to Mongolia during the war but the Soviet Army blocked Inner Mongolian migrants' way. It was a part of a Pan-Mongolian plan and few Oirats and Inner Mongols (Huuchids, Bargas, Tümeds, about 800 Uzemchins) arrived. Inner Mongolian leaders carried out active policy to merge Inner Mongolia with Mongolia since 1911. They founded the Inner Mongolian Army in 1929 but the Inner Mongolian Army disbanded after ending World War II. The Japanese Empire supported Pan-Mongolism since the 1910s but there have never been active relations between Mongolia and Imperial Japan due to Russian resistance. The nominally independent Inner Mongolian Mengjiang state (1936–1945) was established with support of Japan in 1936; also, some Buryat and Inner Mongol nobles founded a Pan-Mongolist government with the support of Japan in 1919.
The Inner Mongols established the short-lived Republic of Inner Mongolia in 1945.
Another part of Choibalsan's plan was to merge Inner Mongolia and Dzungaria with Mongolia. By 1945, Chinese communist leader Mao Zedong requested the Soviets to stop Pan-Mongolism because China lost its control over Inner Mongolia and without Inner Mongolian support the Communists were unable to defeat Japan and Kuomintang.
Mongolia and Soviets supported Xinjiang Uyghurs' and Kazakhs' separatist movement in the 1930–1940s. By 1945, the Soviets refused to support them after its alliance with the Communist Party of China and Mongolia interrupted its relations with the separatists under pressure. Xinjiang Oirat's militant groups operated together the Turkic peoples but the Oirats did not have the leading role due to their small population. Basmachis or Turkic and Tajik militants fought to liberate Central Asia (Soviet Central Asia) until 1942.
On February 2, 1913 the Treaty of friendship and alliance between the Government of Mongolia and Tibet was signed. Mongolian agents and Bogd Khan disrupted Soviet secret operations in Tibet to change its regime in the 1920s.
On October 27, 1961, the United Nations recognized Mongolian independence and granted the nation full membership in the organization.
The Tsardom of Russia, Russian Empire, Soviet Union, capitalist and communist China performed many genocide actions against the Mongols (assimilate, reduce the population, extinguish the language, culture, tradition, history, religion and ethnic identity). Peter the Great said: "The headwaters of the Yenisei River must be Russian land". The Russian Empire sent the Kalmyks and Buryats to war to reduce the populations (World War I and other wars). During the 20th century, Soviet scientists attempted to convince the Kalmyks and Buryats that they're not Mongols during (demongolization policy). 35,000 Buryats were killed during the rebellion of 1927 and around one-third of the Buryat population in Russia died in the 1900s–1950s. 10,000 Buryats of the Buryat-Mongol Autonomous Soviet Socialist Republic were massacred by Stalin's order in the 1930s. In 1919 the Buryats established a small theocratic Balagad state in Kizhinginsky District of Russia and it fell in 1926. In 1958, the name "Mongol" was removed from the name of the Buryat-Mongol Autonomous Soviet Socialist Republic.
On 22 January 1922 Mongolia proposed to migrate the Kalmyks during the Kalmykian Famine but bolshevik Russia refused. 71,000–72,000 (93,000?; around half of the population) Kalmyks died during the Russian famine of 1921–22. The Kalmyks revolted against the Soviet Union in 1926, 1930 and 1942–1943 (see Kalmykian Cavalry Corps). In 1913, Nicholas II, tsar of Russia, said: "We need to prevent from Volga Tatars. But the Kalmyks are more dangerous than them because they are the Mongols so send them to war to reduce the population". On 23 April 1923 Joseph Stalin, communist leader of Russia, said: "We are carrying out wrong policy on the Kalmyks who related to the Mongols. Our policy is too peaceful". In March 1927, Soviet deported 20,000 Kalmyks to Siberia, the tundra and Karelia.The Kalmyks founded the sovereign Republic of Oirat-Kalmyk on 22 March 1930. The Oirats' state had a small army and 200 Kalmyk soldiers defeated 1,700 Soviet soldiers in Durvud province of Kalmykia but the Oirats' state was destroyed by the Soviet Army in 1930. Kalmykian nationalists and Pan-Mongolists attempted to migrate Kalmyks to Mongolia in the 1920s. Mongolia suggested to migrate the Soviet Union's Mongols to Mongolia in the 1920s but Russia refused the suggestion.
Stalin deported all Kalmyks to Siberia in 1943 and around half of the (97,000–98,000) Kalmyk people deported to Siberia died before being allowed to return home in 1957. The government of the Soviet Union forbade teaching the Kalmyk language during the deportation. The Kalmyks' main purpose was to migrate to Mongolia and many Kalmyks joined the German Army. Marshal Khorloogiin Choibalsan attempted to migrate the deportees to Mongolia and he met with them in Siberia during his visit to Russia. Under the Law of the Russian Federation of April 26, 1991 "On Rehabilitation of Exiled Peoples," repressions against Kalmyks and other peoples were qualified as acts of genocide.
After the end of World War II, the Chinese Civil War resumed between the Chinese Nationalists (Kuomintang), led by Chiang Kai-shek, and the Chinese Communist Party, led by Mao Zedong. In December 1949, Chiang evacuated his government to Taiwan. Hundreds of thousands of Inner Mongols were massacred during the Cultural Revolution in the 1960s and China forbade Mongol traditions, celebrations and the teaching of Mongolic languages during the revolution. In Inner Mongolia, some 790,000 people were persecuted. Approximately 1,000,000 Inner Mongols were killed during the 20th century. In 1960 a Chinese newspaper wrote that "Han Chinese ethnic identity must be Chinese minorities ethnic identity". China-Mongolia relations were tense from the 1960s to the 1980s as a result of the Sino-Soviet split, and there were several border conflicts during the period. Cross-border movement of Mongols was therefore hindered.
On 3 October 2002 the Ministry of Foreign Affairs announced that Taiwan recognizes Mongolia as an independent country, although no legislative actions were taken to address concerns over its constitutional claims to Mongolia. Offices established to support Taipei's claims over Outer Mongolia, such as the Mongolian and Tibetan Affairs Commission, lie dormant.
Agin-Buryat Okrug and Ust-Orda Buryat Okrugs merged with Irkutsk Oblast and Chita Oblast in 2008 despite Buryats' resistance. Small scale protests occurred in Inner Mongolia in 2011. The Inner Mongolian People's Party is a member of the Unrepresented Nations and Peoples Organization and its leaders are attempting to establish a sovereign state or merge Inner Mongolia with Mongolia.
Language
Mongolian is the official national language of Mongolia, where it is spoken by nearly 2.8 million people (2010 estimate), and the official provincial language of China's Inner Mongolia Autonomous Region, where there are at least 4.1 million ethnic Mongols. Across the whole of China, the language is spoken by roughly half of the country's 5.8 million ethnic Mongols (2005 estimate) However, the exact number of Mongolian speakers in China is unknown, as there is no data available on the language proficiency of that country's citizens. The use of Mongolian in China, specifically in Inner Mongolia, has witnessed periods of decline and revival over the last few hundred years. The language experienced a decline during the late Qing period, a revival between 1947 and 1965, a second decline between 1966 and 1976, a second revival between 1977 and 1992, and a third decline between 1995 and 2012. However, in spite of the decline of the Mongolian language in some of Inner Mongolia's urban areas and educational spheres, the ethnic identity of the urbanized Chinese-speaking Mongols is most likely going to survive due to the presence of urban ethnic communities. The multilingual situation in Inner Mongolia does not appear to obstruct efforts by ethnic Mongols to preserve their language. Although an unknown number of Mongols in China, such as the Tumets, may have completely or partially lost the ability to speak their language, they are still registered as ethnic Mongols and continue to identify themselves as ethnic Mongols. The children of inter-ethnic Mongol-Chinese marriages also claim to be and are registered as ethnic Mongols.
The specific origin of the Mongolic languages and associated tribes is unclear. Linguists have traditionally proposed a link to the Tungusic and Turkic language families, included alongside Mongolic in the broader group of Altaic languages, though this remains controversial. Today the Mongolian peoples speak at least one of several Mongolic languages including Mongolian, Buryat, Oirat, Dongxiang, Tu and Bonan. Additionally, many Mongols speak either Russian or Mandarin Chinese as languages of inter-ethnic communication.
Religion
The original religion of the Mongolic peoples was Mongolian Shamanism. The Xianbei came in contact with Confucianism and Daoism but eventually adopted Buddhism. However, the Xianbeis and some other people in Mongolia and Rourans followed a form of shamanism (Tengrism). In the 5th century the Buddhist monk Dharmapriya was proclaimed State Teacher of the Rouran Khaganate and given 3000 families and some Rouran nobles became Buddhists. In 511 the Rouran Douluofubadoufa Khan sent Hong Xuan to the Tuoba court with a pearl-encrusted statue of the Buddha as a gift. The Tuoba Xianbei and Khitans were mostly Buddhists, although they still retained their original Shamanism. The Tuoba had a "sacrificial castle" to the west of their capital where ceremonies to spirits took place. Wooden statues of the spirits were erected on top of this sacrificial castle. One ritual involved seven princes with milk offerings who ascended the stairs with 20 female shamans and offered prayers, sprinkling the statues with the sacred milk. The Khitan had their holiest shrine on Mount Muye where portraits of their earliest ancestor Qishou Khagan, his wife Kedun and eight sons were kept in two temples. Mongolic peoples were also exposed to Zoroastrianism, Manicheism, Nestorianism, Eastern Orthodoxy and Islam from the west. The Mongolic peoples, in particular the Borjigin, had their holiest shrine on Mount Burkhan Khaldun where their ancestor Börte Chono (Blue Wolf) and Goo Maral (Beautiful Doe) had given birth to them. Genghis Khan usually fasted, prayed and meditated on this mountain before his campaigns. As a young man he had thanked the mountain for saving his life and prayed at the foot of the mountain sprinkling offerings and bowing nine times to the east with his belt around his neck and his hat held at his chest. Genghis Khan kept a close watch on the Mongolic supreme shaman Kokochu Teb who sometimes conflicted with his authority. Later the imperial cult of Genghis Khan (centered on the eight white gers and nine white banners in Ordos) grew into a highly organized indigenous religion with scriptures in the Mongolian script. Indigenous moral precepts of the Mongolic peoples were enshrined in oral wisdom sayings (now collected in several volumes), the anda (blood-brother) system and ancient texts such as the Chinggis-un Bilig (Wisdom of Genghis) and Oyun Tulkhuur (Key of Intelligence). These moral precepts were expressed in poetic form and mainly involved truthfulness, fidelity, help in hardship, unity, self-control, fortitude, veneration of nature, veneration of the state and veneration of parents.
In 1254 Möngke Khan organized a formal religious debate (in which William of Rubruck took part) between Christians, Muslims and Buddhists in Karakorum, a cosmopolitan city of many religions. The Mongolic Empire was known for its religious tolerance, but had a special leaning towards Buddhism and was sympathetic towards Christianity while still worshipping Tengri. The Mongolic leader Abaqa Khan sent a delegation of 13–16 to the Second Council of Lyon (1274), which created a great stir, particularly when their leader 'Zaganus' underwent a public baptism. A joint crusade was announced in line with the Franco-Mongol alliance but did not materialize because Pope Gregory X died in 1276. Yahballaha III (1245–1317) and Rabban Bar Sauma (c. 1220–1294) were famous Mongolic Nestorian Christians. The Keraites in central Mongolia were Christian. In Istanbul the Church of Saint Mary of the Mongols stands as a reminder of the Byzantine-Mongol alliance. The western Khanates, however, eventually adopted Islam (under Berke and Ghazan) and the Turkic languages (because of its commercial importance), although allegiance to the Great Khan and limited use of the Mongolic languages can be seen even in the 1330s. In 1521 the first Mughal emperor Babur took part in a military banner milk-sprinkling ceremony in the Chagatai Khanate where the Mongolian language was still used. Al-Adil Kitbugha (reigned 1294-1296), a Mongol Sultan of Egypt, and the half-Mongol An-Nasir Muhammad (reigned till 1341) built the Madrassa of Al-Nasir Muhammad in Cairo, Egypt. An-Nasir's Mongol mother was Ashlun bint Shaktay. The Mongolic nobility during the Yuan dynasty studied Confucianism, built Confucian temples (including Beijing Confucius Temple) and translated Confucian works into Mongolic but mainly followed the Sakya school of Tibetan Buddhism under Phags-pa Lama. The general populace still practised Shamanism. Dongxiang and Bonan Mongols adopted Islam, as did Moghol-speaking peoples in Afghanistan. In the 1576 the Gelug school of Tibetan Buddhism became the state religion of the Mongolia. The Red Hat school of Tibetan Buddhism coexisted with the Gelug Yellow Hat school which was founded by the half-Mongol Je Tsongkhapa (1357-1419). Shamanism was absorbed into the state religion while being marginalized in its purer forms, later only surviving in far northern Mongolia. Monks were some of the leading intellectuals in Mongolia, responsible for much of the literature and art of the pre-modern period. Many Buddhist philosophical works lost in Tibet and elsewhere are preserved in older and purer form in Mongolian ancient texts (e.g. the Mongol Kanjur). Zanabazar (1635–1723), Zaya Pandita (1599–1662) and Danzanravjaa (1803–1856) are among the most famous Mongol holy men. The 4th Dalai Lama Yonten Gyatso (1589–1617), a Mongol himself, is recognized as the only non-Tibetan Dalai Lama although the current 14th Dalai Lama is of Mongolic Monguor extraction. The name is a combination of the Mongolian word dalai meaning "ocean" and the Tibetan word (bla-ma) meaning "guru, teacher, mentor".[1] Many Buryats became Orthodox Christians due to the Russian expansion. During the socialist period religion was officially banned, although it was practiced in clandestine circles. Today, a sizable proportion of Mongolic peoples are atheist or agnostic. In the most recent census in Mongolia, almost forty percent of the population reported as being atheist, while the majority religion was Tibetan Buddhism, with 53%. Having survived suppression by the Communists, Buddhism among the Eastern, Northern, Southern and Western Mongols is today primarily of the Gelugpa (Yellow Hat sect) school of Tibetan Buddhism. There is a strong shamanistic influence in the Gelugpa sect among the Mongols.
Military
Mongols battled against the most powerful armies and warriors in Eurasia. The beating of the kettle and smoke signals were signals for the start of battle. One battle formation that they used consisted of five squadrons or units. The typical squadrons were divided by ranks. The first two ranks were in the front. These warriors had the heaviest armor and weapons. The back three ranks broke out between the front ranks and attacked first with their arrows. The forces kept their distance from the enemy and killed them with arrow fire, during which time "archers did not aim at a specific target, but shot their arrows at a high path into a set 'killing zone' or target area."<ref>{{Cite web |url= http://www.thepicaproject.org/?page_id=522 |title=Matthew Barnes. "The Mongol War Machine: How Were the Mongols Able to Forge the Largest Contiguous Land Empire in History? |page=522 |agency= The Pica A Global Research Organization. Pica, 14 November 2012 |access-date=2012-11-14 |archive-url= https://web.archive.org/web/20130612184909/http://www.thepicaproject.org/?page_id=522 |archive-date=2013-06-12 |url-status=dead }}</ref> Mongolics also acquired engineers from the defeated armies. They made engineers a permanent part of their army, so that their weapons and machinery were complex and efficient.
Kinship and family life
The traditional Mongol family was patriarchal, patrilineal and patrilocal. Wives were brought for each of the sons, while daughters were married off to other clans. Wife-taking clans stood in a relation of inferiority to wife-giving clans. Thus wife-giving clans were considered "elder" or "bigger" in relation to wife-taking clans, who were considered "younger" or "smaller".Aberle 1953:23–24 This distinction, symbolized in terms of "elder" and "younger" or "bigger" and "smaller", was carried into the clan and family as well, and all members of a lineage were terminologically distinguished by generation and age, with senior superior to junior.
In the traditional Mongolian family, each son received a part of the family herd as he married, with the elder son receiving more than the younger son. The youngest son would remain in the parental tent caring for his parents, and after their death he would inherit the parental tent in addition to his own part of the herd. This inheritance system was mandated by law codes such as the Yassa, created by Genghis Khan. Likewise, each son inherited a part of the family's camping lands and pastures, with the elder son receiving more than the younger son. The eldest son inherited the farthest camping lands and pastures, and each son in turn inherited camping lands and pastures closer to the family tent until the youngest son inherited the camping lands and pastures immediately surrounding the family tent. Family units would often remain near each other and in close cooperation, though extended families would inevitably break up after a few generations. It is probable that the Yasa simply put into written law the principles of customary law.
After the family, the next largest social units were the subclan and clan. These units were derived from groups claiming patrilineal descent from a common ancestor, ranked in order of seniority (the "conical clan"). By the Chingissid era this ranking was symbolically expressed at formal feasts, in which tribal chieftains were seated and received particular portions of the slaughtered animal according to their status. The lineage structure of Central Asia had three different modes. It was organized on the basis of genealogical distance, or the proximity of individuals to one another on a graph of kinship; generational distance, or the rank of generation in relation to a common ancestor, and birth order, the rank of brothers in relation to each another. The paternal descent lines were collaterally ranked according to the birth of their founders, and were thus considered senior and junior to each other. Of the various collateral patrilines, the senior in order of descent from the founding ancestor, the line of eldest sons, was the most noble. In the steppe, no one had his exact equal; everyone found his place in a system of collaterally ranked lines of descent from a common ancestor. It was according to this idiom of superiority and inferiority of lineages derived from birth order that legal claims to superior rank were couched.
The Mongol kinship is one of a particular patrilineal type classed as Omaha, in which relatives are grouped together under separate terms that crosscut generations, age, and even sexual difference. Thus, oe uses different terms for a man's father's sister's children, his sister's children, and his daughter's children. A further attribute is strict terminological differentiation of siblings according to seniority.
The division of Mongolian society into senior elite lineages and subordinate junior lineages was waning by the twentieth century. During the 1920s, the Communist regime was established. The remnants of the Mongolian aristocracy fought alongside the Japanese and against Chinese, Soviets and Communist Mongols during World War II, but were defeated.
The anthropologist Herbert Harold Vreeland visited three Mongol communities in 1920 and published a highly detailed book with the results of his fieldwork, Mongol community and kinship structure.
Royal family
The royal clan of the Mongols is the Borjigin clan descended from Bodonchar Munkhag (c. 850–900). This clan produced Khans and princes for Mongolia and surrounding regions until the early 20th century. All the Great Khans of the Mongol Empire, including its founder Genghis Khan, were of the Borjigin clan. The royal family of Mongolia was called the Altan Urag (Golden Lineage) and is synonymous with Genghisid. After the fall of the Northern Yuan Dynasty in 1635 the Dayan Khanid aristocracy continued the Genghisid legacy in Mongolia until 1937 when most were killed during the Stalinist purges. The four hereditary Khans of the Khalkha (Tüsheet Khan, Setsen Khan, Zasagt Khan and Sain Noyan Khan) were all descended from Dayan Khan (1464–1543) through Abtai Sain Khan, Sholoi Khan, Laikhur Khan and Tumenkhen Sain Noyan respectively. Dayan Khan was himself raised to power by Queen Mandukhai the Wise (c.1449–1510) during the crisis of the late 15th century when the line of Kublai Khan, the grandson of Genghis Khan, was on the verge of dying out.
Dayan Khan's ancestry is as follows. His father was Bayanmunkh Jonon (1448–1479) the son of Kharkhutsag Taij (?–1453), the son of Agbarjin Khan (1423–1454), the son of Ajai Taij (1399–1438), the son or younger brother of Elbeg Nigülesügchi Khan (1361–1399), the son of Uskhal Khan (1342–1388), the younger brother of Biligtü Khan (1340–1370) and the son of Toghon Temur Khan (1320–1370), the son of Khutughtu Khan (1300–1329), the son of Külüg Khan (1281–1311), the son of Darmabala (1264–1292), the son of Crown Prince Zhenjin (1243–1286), the son of Kublai Khan (1215–1294), the son of Tolui (1191–1232), the son of Genghis Khan (1162–1227). Okada (1994) noted that according to the Korean Veritable Records Taisun Khan, the brother of Agbarjin Khan, sent a Mongolian letter to Korea on May 9, 1442, where he named Kublai Khan as his ancestor. This, along with the direct Mongol account of the Erdeniin Tobchi as well as indirect indications from three different Mongolian chronicles noted in Okada, establishes the Kublaid descent of Elbeg Nigülesügchi Khan. Buyandelger (2000) noted that the year of birth of Elbeg Nigülesügchi Khan as well as the meaning of his name is the same as that of Maidarabala (买的里八剌) the son of Biligtü Khan's secondary consort Empress Kim (daughter of Kim Yunjang 金允藏). Further noting that Maidarabala was sent back to Mongolia in 1374 after being held hostage in Beiping (Beijing) for 3 years Buyandelger identified Maidarabala with Elbeg Nigülesügchi Khan. This does not change the Kublaid descent of Elbeg Nigülesügchi Khan and only changes his paternity from Uskhal Khan to his brother Biligtü Khan.
The Khongirad was the main consort clan of the Borjigin and provided numerous Empresses and consorts. There were five minor non-Khonggirad inputs from the maternal side which passed on to the Dayan Khanid aristocracy of Mongolia and Inner Mongolia. The first was the Keraite lineage added through Kublai Khan's mother Sorghaghtani Beki which linked the Borjigin to the Nestorian Christian tribe of Cyriacus Buyruk Khan. The second was the Turkic Karluk lineage added through Toghon Temur Khan's mother Mailaiti which linked the Borjigin to Bilge Kul Qadir Khan (840–893) of the Kara-Khanid Khanate and ultimately to the Lion-Karluks as well as the Ashina tribe of the 6th century Göktürks. The third was the Korean lineage added through Biligtü Khan's mother Empress Gi (1315–370) which linked the Borjigin to the Haengju Gi clan and ultimately to King Jun of Gojeoson (262–184 BC) and possibly even further to King Tang of Shang (1675–1646 BC) through Jizi. The fourth was the Esen Taishi lineage added through Bayanmunkh Jonon's mother Tsetseg Khatan which linked the Borjigin more firmly to the Oirats. The fifth was the Aisin-Gioro lineage added during the Qing Dynasty. To the west, Genghisid Khans received daughters of the Byzantine emperor in marriage, such as when the Byzantine princess Maria Palaiologina married to Abaqa Khan (1234–1282), while there were also connections with European royalty through Russia, where, for example, Prince Gleb (1237–1278) married Feodora Sartaqovna the daughter of Sartaq Khan, a great-grandson of Genghis Khan.
The Dayan Khanid aristocracy still held power during the Bogd Khanate of Mongolia (1911–1919) and the Constitutional Monarchy period (1921–1924). They were accused of collaboration with the Japanese and executed in 1937 while their counterparts in Inner Mongolia were severely persecuted during the Cultural Revolution. Ancestral shrines of Genghis Khan were destroyed by the Red Guards during the 1960s and the Horse-Tail Banner of Genghis Khan disappeared. The Rinchen family in Ulaanbaatar, Mongolia is a Dayan Khanid branch from Buryatia. Members of this family include the scholar Byambyn Rinchen (1905–1977), geologist Rinchen Barsbold (1935–?), diplomat Ganibal Jagvaral and Amartuvshin Ganibal (1974–?) the President of XacBank. There are many other families with aristocratic ancestry in Mongolia and it is often noted that most of the common populace already has some share of Genghisid ancestry. Mongolia, however, has remained a republic since 1924 and there has been no discussion of introducing a constitutional monarchy.
Historical population
Geographic distribution
Today, the majority of Mongols live in the modern states of Mongolia, China (mainly Inner Mongolia and Xinjiang), Russia, Kyrgyzstan and Afghanistan.
The differentiation between tribes and peoples (ethnic groups) is handled differently depending on the country. The Tumed, Chahar, Ordos, Barga, Altai Uriankhai, Buryats, Dörböd (Dörvöd, Dörbed), Torguud, Dariganga, Üzemchin (or Üzümchin), Bayads, Khoton, Myangad (Mingad), Eljigin, Zakhchin, Darkhad, and Olots (or Öölds or Ölöts) are all considered as tribes of the Mongols.
Subgroups
The Eastern Mongols are mainly concentrated in Mongolia, including the Khalkha, Eljigin Khalkha, Darkhad, Sartuul Khalkha, and Dariganga (Khalkha).
The Southern or Inner Mongols mainly are concentrated in Inner Mongolia, China. They comprise the Abaga Mongols, Abaganar, Aohans, Asud, Baarins, Chahar, Durved, Gorlos, Kharchin, Hishigten, Khorchin, Huuchid, Jalaid, Jaruud, Muumyangan, Naiman (Southern Mongols), Onnigud, Ordos, Sunud, Tümed, Urad, and Uzemchin.
Sister groups
The Buryats are mainly concentrated in their homeland, the Buryat Republic, a federal subject of Russia. They are the major northern subgroup of the Mongols. The Barga Mongols are mainly concentrated in Inner Mongolia, China, along with the Buryats and Hamnigan.
The Western Oirats are mainly concentrated in Western Mongolia:
184,000 Kalmyks (2010) — Kalmykia, Russia
205,000 Mongolian Oirats (2010)
140,000 Oirats (2010) — Xinjiang region, China
90,000 Upper Mongols (2010) — Qinghai region, China. The Khoshuts are the major subgroup of the Upper Mongols, along with the Choros, Khalkha and Torghuts.
12,000 Sart Kalmyks (Zungharian descents) (2012) — Kyrgyzstan. Religion: Sunni Islam.
Altai Uriankhai, Baatud, Bayad, Chantuu, Choros, Durvud, Khoshut, Khoid, Khoton, Myangad, Olots, Sart Kalmyks (mainly Olots), Torghut, Zakhchin.
Kalmyks — Baatud, Buzava, Choros, Durvud, Khoid, Olots, Torghut.
Upper Mongolian Oirats — Choros, Khoshut, Torghut.
Mongolia
In modern-day Mongolia, Mongols make up approximately 95% of the population, with the largest ethnic group being Khalkha Mongols, followed by Buryats, both belonging to the Eastern Mongolian peoples. They are followed by Oirats, who belong to the Western Mongolian peoples.
Mongolian ethnic groups:
Baarin, Baatud, Barga, Bayad, Buryat,
Selenge Chahar, Chantuu, Darkhad, Dariganga
Dörbet Oirat, Eljigin, Khalkha, Hamnigan, Kharchin, Khoid, Khorchin, Hotogoid, Khoton, Huuchid, Myangad, Olots, Sartuul,
Torgut, Tümed, Üzemchin, Zakhchin.
China
The 2010 census of the People's Republic of China counted more than 7 million people of various Mongolic groups. The 1992 census of China counted only 3.6 million ethnic Mongols. The 2010 census counted roughly 5.8 million ethnic Mongols, 621,500 Dongxiangs, 289,565 Mongours, 132,000 Daurs, 20,074 Baoans, and 14,370 Yugurs. Most of them live in the Inner Mongolia Autonomous Region, followed by Liaoning. Small numbers can also be found in provinces near those two.
There were 669,972 Mongols in Liaoning in 2011, making up 11.52% of Mongols in China. The closest Mongol area to the sea is the Dabao Mongol Ethnic Township () in Fengcheng, Liaoning. With 8,460 Mongols (37.4% of the township population) it is located from the North Korean border and from Korea Bay of the Yellow Sea. Another contender for closest Mongol area to the sea would be Erdaowanzi Mongol Ethnic Township () in Jianchang County, Liaoning. With 5,011 Mongols (20.7% of the township population) it is located around from the Bohai Sea.
Other peoples speaking Mongolic languages are the Daur, Sogwo Arig, Monguor people, Dongxiangs, Bonans, Sichuan Mongols and eastern part of the Yugur people. Those do not officially count as part of the Mongol ethnicity, but are recognized as ethnic groups of their own. The Mongols lost their contact with the Mongours, Bonan, Dongxiangs, Yunnan Mongols since the fall of the Yuan dynasty. Mongolian scientists and journalists met with the Dongxiangs and Yunnan Mongols in the 2000s.
Inner Mongolia:
Southern Mongols, Barga, Buryat, Dörbet Oirat, Khalkha, Dzungar people, Eznee Torgut.
Xinjiang province:
Altai Uriankhai, Chahar, Khoshut, Olots, Torghut, Zakhchin.
Qinghai province: Upper Mongols: Choros, Khalkha Mongols, Khoshut, Torghut.
Russia
Two Mongolic ethnic groups are present in Russia; the 2010 census found 461,410 Buryats and 183,400 Kalmyks.
Elsewhere
Smaller numbers of Mongolic peoples exist in Western Europe and North America. Some of the more notable communities exist in South Korea, the United States, the Czech Republic and the United Kingdom.
Gallery
See also
Altan Telgey
American Center for Mongolian Studies
Horse culture in Mongolia
List of medieval Mongol tribes and clans
List of modern Mongol clans
List of Mongolians
List of Mongol states
Mongolian name
Mongoloid
Qara'unas
References
Citations
General sources
External links
"Evidence that a West-East admixed population lived in the Tarim Basin as early as the early Bronze Age" Li et al. BMC Biology'' 2010, 8:15.
Ethnic map of Mongolia
Map share of ethnic by county of China
Modern nomads
Nomadic groups in Eurasia |
18985 | https://en.wikipedia.org/wiki/Manga | Manga | Manga (Japanese: 漫画 ) are comics or graphic novels originating from Japan. Most manga conform to a style developed in Japan in the late 19th century, and the form has a long prehistory in earlier Japanese art. The term manga is used in Japan to refer to both comics and cartooning. Outside of Japan, the word is typically used to refer to comics originally published in the country.
In Japan, people of all ages read manga. The medium includes works in a broad range of genres: action, adventure, business and commerce, comedy, detective, drama, historical, horror, mystery, romance, science fiction and fantasy, erotica (hentai and ecchi), sports and games, and suspense, among others. Many manga are translated into other languages. Since the 1950s, manga has become an increasingly major part of the Japanese publishing industry. By 1995, the manga market in Japan was valued at (), with annual sales of 1.9billion manga books and manga magazines in Japan (equivalent to 15issues per person). In 2020 Japan's manga market value hit a new record of ¥612.6 billion due to the fast growth of digital manga sales. Manga have also gained a significant worldwide audience. Beginning with the late 2010s manga started massively outselling American comics. In 2020 the North American manga market was valued at almost $250 million. The fast growth of the North American manga market has been attributed to manga's wide availability on digital reading apps, book retailer chains such as Barnes & Noble and online retailers such as Amazon as well as the increased streaming of anime. According to Jean-Marie Bouissou, Manga represented 38% of the French comics market in 2005. This is equivalent to approximately 3 times that of the United States and was valued at about ($million). In Europe and the Middle East, the market was valued at $250 million in 2012.
Manga stories are typically printed in black-and-white—due to time constraints, artistic reasons (as coloring could lessen the impact of the artwork) and to keep printing costs low—although some full-color manga exist (e.g., Colorful). In Japan, manga are usually serialized in large manga magazines, often containing many stories, each presented in a single episode to be continued in the next issue. Collected chapters are usually republished in tankōbon volumes, frequently but not exclusively paperback books. A manga artist (mangaka in Japanese) typically works with a few assistants in a small studio and is associated with a creative editor from a commercial publishing company. If a manga series is popular enough, it may be animated after or during its run. Sometimes, manga are based on previous live-action or animated films.
Manga-influenced comics, among original works, exist in other parts of the world, particularly in those places that speak Chinese ("manhua"), Korean ("manhwa"), English ("OEL manga"), and French ("manfra"), as well as in the nation of Algeria ("DZ-manga").
Etymology
The word "manga" comes from the Japanese word 漫画, (katakana: ; hiragana: ) composed of the two kanji 漫 (man) meaning "whimsical or impromptu" and 画 (ga) meaning "pictures". The same term is the root of the Korean word for comics, "manhwa", and the Chinese word "manhua".
The word first came into common usage in the late 18th century with the publication of such works as Santō Kyōden's picturebook Shiji no yukikai (1798), and in the early 19th century with such works as Aikawa Minwa's Manga hyakujo (1814) and the celebrated Hokusai Manga books (1814–1834) containing assorted drawings from the sketchbooks of the famous ukiyo-e artist Hokusai. Rakuten Kitazawa (1876–1955) first used the word "manga" in the modern sense.
In Japanese, "manga" refers to all kinds of cartooning, comics, and animation. Among English speakers, "manga" has the stricter meaning of "Japanese comics", in parallel to the usage of "anime" in and outside Japan. The term "ani-manga" is used to describe comics produced from animation cels.
History and characteristics
The history of manga is said to originate from scrolls dating back to the 12th century, and it is believed they represent the basis for the right-to-left reading style. During the Edo period (1603–1867), Toba Ehon embedded the concept of manga. The word itself first came into common usage in 1798, with the publication of works such as Santō Kyōden's picturebook Shiji no yukikai (1798), and in the early 19th century with such works as Aikawa Minwa's Manga hyakujo (1814) and the Hokusai Manga books (1814–1834). Adam L. Kern has suggested that kibyoshi, picture books from the late 18th century, may have been the world's first comic books. These graphical narratives share with modern manga humorous, satirical, and romantic themes. Some works were mass-produced as serials using woodblock printing.
Writers on manga history have described two broad and complementary processes shaping modern manga. One view represented by other writers such as Frederik L. Schodt, Kinko Ito, and Adam L. Kern, stress continuity of Japanese cultural and aesthetic traditions, including pre-war, Meiji, and pre-Meiji culture and art. The other view, emphasizes events occurring during and after the Allied occupation of Japan (1945–1952), and stresses U.S. cultural influences, including U.S. comics (brought to Japan by the GIs) and images and themes from U.S. television, film, and cartoons (especially Disney).
Regardless of its source, an explosion of artistic creativity occurred in the post-war period, involving manga artists such as Osamu Tezuka (Astro Boy) and Machiko Hasegawa (Sazae-san). Astro Boy quickly became (and remains) immensely popular in Japan and elsewhere, and the anime adaptation of Sazae-san drawing more viewers than any other anime on Japanese television in 2011. Tezuka and Hasegawa both made stylistic innovations. In Tezuka's "cinematographic" technique, the panels are like a motion picture that reveals details of action bordering on slow motion as well as rapid zooms from distance to close-up shots. This kind of visual dynamism was widely adopted by later manga artists. Hasegawa's focus on daily life and on women's experience also came to characterize later shōjo manga. Between 1950 and 1969, an increasingly large readership for manga emerged in Japan with the solidification of its two main marketing genres, shōnen manga aimed at boys and shōjo manga aimed at girls.
In 1969 a group of female manga artists (later called the Year 24 Group, also known as Magnificent 24s) made their shōjo manga debut ("year 24" comes from the Japanese name for the year 1949, the birth-year of many of these artists). The group included Moto Hagio, Riyoko Ikeda, Yumiko Ōshima, Keiko Takemiya, and Ryoko Yamagishi. Thereafter, primarily female manga artists would draw shōjo for a readership of girls and young women. In the following decades (1975–present), shōjo manga continued to develop stylistically while simultaneously evolving different but overlapping subgenres. Major subgenres include romance, superheroines, and "Ladies Comics" (in Japanese, redisu , redikomi , and josei ).
Modern shōjo manga romance features love as a major theme set into emotionally intense narratives of self-realization. With the superheroines, shōjo manga saw releases such as Pink Hanamori's Mermaid Melody Pichi Pichi Pitch, Reiko Yoshida's Tokyo Mew Mew, and Naoko Takeuchi's Pretty Soldier Sailor Moon, which became internationally popular in both manga and anime formats. Groups (or sentais) of girls working together have also been popular within this genre. Like Lucia, Hanon, and Rina singing together, and Sailor Moon, Sailor Mercury, Sailor Mars, Sailor Jupiter, and Sailor Venus working together.
Manga for male readers sub-divides according to the age of its intended readership: boys up to 18 years old (shōnen manga) and young men 18 to 30 years old (seinen manga); as well as by content, including action-adventure often involving male heroes, slapstick humor, themes of honor, and sometimes explicit sex. The Japanese use different kanji for two closely allied meanings of "seinen"— for "youth, young man" and for "adult, majority"—the second referring to pornographic manga aimed at grown men and also called seijin ("adult" ) manga. Shōnen, seinen, and seijin manga share a number of features in common.
Boys and young men became some of the earliest readers of manga after World War II. From the 1950s on, shōnen manga focused on topics thought to interest the archetypal boy, including subjects like robots, space-travel, and heroic action-adventure. Popular themes include science fiction, technology, sports, and supernatural settings. Manga with solitary costumed superheroes like Superman, Batman, and Spider-Man generally did not become as popular.
The role of girls and women in manga produced for male readers has evolved considerably over time to include those featuring single pretty girls (bishōjo) such as Belldandy from Oh My Goddess!, stories where such girls and women surround the hero, as in Negima and Hanaukyo Maid Team, or groups of heavily armed female warriors (sentō bishōjo)
With the relaxation of censorship in Japan in the 1990s, an assortment of explicit sexual material appeared in manga intended for male readers, and correspondingly continued into the English translations. In 2010, the Tokyo Metropolitan Government considered a bill to restrict minors' access to such content.
The gekiga style of storytelling—thematically somber, adult-oriented, and sometimes deeply violent—focuses on the day-in, day-out grim realities of life, often drawn in a gritty and unvarnished fashion. Gekiga such as Sampei Shirato's 1959–1962 Chronicles of a Ninja's Military Accomplishments (Ninja Bugeichō) arose in the late 1950s and 1960s partly from left-wing student and working-class political activism, and partly from the aesthetic dissatisfaction of young manga artists like Yoshihiro Tatsumi with existing manga.
Publications and exhibition
In Japan, manga constituted an annual 40.6 billion yen (approximately US$395 million) publication-industry by 2007. In 2006 sales of manga books made up for about 27% of total book-sales, and sale of manga magazines, for 20% of total magazine-sales. The manga industry has expanded worldwide, where distribution companies license and reprint manga into their native languages.
Marketeers primarily classify manga by the age and gender of the target readership. In particular, books and magazines sold to boys (shōnen) and girls (shōjo) have distinctive cover-art, and most bookstores place them on different shelves. Due to cross-readership, consumer response is not limited by demographics. For example, male readers may subscribe to a series intended for female readers, and so on. Japan has manga cafés, or manga kissa (kissa is an abbreviation of kissaten). At a manga kissa, people drink coffee, read manga and sometimes stay overnight.
The Kyoto International Manga Museum maintains a very large website listing manga published in Japanese.
Magazines
Manga magazines usually have many series running concurrently with approximately 20–40 pages allocated to each series per issue. Other magazines such as the anime fandom magazine Newtype featured single chapters within their monthly periodicals. Other magazines like Nakayoshi feature many stories written by many different artists; these magazines, or "anthology magazines", as they are also known (colloquially "phone books"), are usually printed on low-quality newsprint and can be anywhere from 200 to more than 850 pages thick. Manga magazines also contain one-shot comics and various four-panel yonkoma (equivalent to comic strips). Manga series can run for many years if they are successful. Popular shonen magazines include Weekly Shōnen Jump, Weekly Shōnen Magazine and Weekly Shōnen Sunday - Popular shoujo manga include Ciao, Nakayoshi and Ribon. Manga artists sometimes start out with a few "one-shot" manga projects just to try to get their name out. If these are successful and receive good reviews, they are continued. Magazines often have a short life.
Collected volumes
After a series has run for a while, publishers often collect the chapters and print them in dedicated book-sized volumes, called tankōbon. These can be hardcover, or more usually softcover books, and are the equivalent of U.S. trade paperbacks or graphic novels. These volumes often use higher-quality paper, and are useful to those who want to "catch up" with a series so they can follow it in the magazines or if they find the cost of the weeklies or monthlies to be prohibitive. "Deluxe" versions have also been printed as readers have gotten older and the need for something special grew. Old manga have also been reprinted using somewhat lesser quality paper and sold for 100 yen (about $1 U.S. dollar) each to compete with the used book market.
History
Kanagaki Robun and Kawanabe Kyōsai created the first manga magazine in 1874: Eshinbun Nipponchi. The magazine was heavily influenced by Japan Punch, founded in 1862 by Charles Wirgman, a British cartoonist. Eshinbun Nipponchi had a very simple style of drawings and did not become popular with many people. Eshinbun Nipponchi ended after three issues. The magazine Kisho Shimbun in 1875 was inspired by Eshinbun Nipponchi, which was followed by Marumaru Chinbun in 1877, and then Garakuta Chinpo in 1879. Shōnen Sekai was the first shōnen magazine created in 1895 by Iwaya Sazanami, a famous writer of Japanese children's literature back then. Shōnen Sekai had a strong focus on the First Sino-Japanese War.
In 1905 the manga-magazine publishing boom started with the Russo-Japanese War, Tokyo Pakku was created and became a huge hit. After Tokyo Pakku in 1905, a female version of Shōnen Sekai was created and named Shōjo Sekai, considered the first shōjo magazine. Shōnen Pakku was made and is considered the first children's manga magazine. The children's demographic was in an early stage of development in the Meiji period. Shōnen Pakku was influenced from foreign children's magazines such as Puck which an employee of Jitsugyō no Nihon (publisher of the magazine) saw and decided to emulate. In 1924, Kodomo Pakku was launched as another children's manga magazine after Shōnen Pakku. During the boom, Poten (derived from the French "potin") was published in 1908. All the pages were in full color with influences from Tokyo Pakku and Osaka Puck. It is unknown if there were any more issues besides the first one. Kodomo Pakku was launched May 1924 by Tokyosha and featured high-quality art by many members of the manga artistry like Takei Takeo, Takehisa Yumeji and Aso Yutaka. Some of the manga featured speech balloons, where other manga from the previous eras did not use speech balloons and were silent.
Published from May 1935 to January 1941, Manga no Kuni coincided with the period of the Second Sino-Japanese War (1937–1945). Manga no Kuni featured information on becoming a mangaka and on other comics industries around the world. Manga no Kuni handed its title to Sashie Manga Kenkyū in August 1940.
Dōjinshi
Dōjinshi, produced by small publishers outside of the mainstream commercial market, resemble in their publishing small-press independently published comic books in the United States. Comiket, the largest comic book convention in the world with around 500,000 visitors gathering over three days, is devoted to dōjinshi. While they most often contain original stories, many are parodies of or include characters from popular manga and anime series. Some dōjinshi continue with a series' story or write an entirely new one using its characters, much like fan fiction. In 2007, dōjinshi sales amounted to 27.73 billion yen (US$245 million). In 2006 they represented about a tenth of manga books and magazines sales.
Digital manga
Thanks to the advent of the internet, there have been new ways for aspiring mangaka to upload and sell their manga online. Before, there were two main ways in which a mangaka's work could be published: taking their manga drawn on paper to a publisher themselves, or submitting their work to competitions run by magazines.
Web manga
In recent years, there has been a rise in manga released digitally. Web manga, as it is known in Japan, has seen an increase thanks in part to image hosting websites where anyone can upload pages from their works for free. Although released digitally, almost all web manga sticks to the conventional black-and-white format despite some never getting physical publication. Pixiv is the most popular site where amateur and professional work gets published on the site. It has grown to be the most visited site for artwork in Japan. Twitter has also become a popular place for web manga with many artists releasing pages weekly on their accounts in the hope of their work getting picked up or published professionally. One of the best examples of an amateur work becoming professional is One-Punch Man which was released online and later received a professional remake released digitally and an anime adaptation soon thereafter.
Many of the big print publishers have also released digital only magazines and websites where web manga get published alongside their serialized magazines. Shogakukan for instance has two websites, Sunday Webry and Ura Sunday, that release weekly chapters for web manga and even offer contests for mangaka to submit their work. Both Sunday Webry and Ura Sunday have become one of the top web manga sites in Japan. Some have even released apps that teach how to draw professional manga and learn how to create them. Weekly Shōnen Jump released Jump Paint, an app that guides users on how to make their own manga from making storyboards to digitally inking lines. It also offers more than 120 types of pen tips and more than 1,000 screentones for artists to practice. Kodansha has also used the popularity of web manga to launch more series and also offer better distribution of their officially translated works under Kodansha Comics thanks in part to the titles being released digitally first before being published physically.
The rise web manga has also been credited to smartphones and computers as more and more readers read manga on their phones rather than from a print publication. While paper manga has seen a decrease over time, digital manga have been growing in sales each year. The Research Institute for Publications reports that sales of digital manga books excluding magazines jumped 27.1 percent to ¥146 billion in 2016 from the year before while sales of paper manga saw a record year-on-year decline of 7.4 percent to ¥194.7 billion. They have also said that if the digital and paper keep the same growth and drop rates, web manga would exceed their paper counterparts. In 2020 manga sales topped the ¥600 billion mark for the first time in history, beating the 1995 peak due to a fast growth of the digital manga market which rose by ¥82.7 billion from a previous year, surpassing print manga sales which have also increased.
Webtoons
While webtoons have caught on in popularity as a new medium for comics in Asia, Japan has been slow to adopt webtoons as the traditional format and print publication still dominate the way manga is created and consumed(although this is beginning to change). Despite this, one of the biggest webtoon publishers in the world, Comico, has had success in the traditional Japanese manga market. Comico was launched by NHN Japan, the Japanese subsidiary of Korean company, NHN Entertainment. As of now, there are only two webtoon publishers that publish Japanese webtoons: Comico and Naver Webtoon (under the name XOY in Japan). Kakao has also had success by offering licensed manga and translated Korean webtoons with their service Piccoma. All three companies credit their success to the webtoon pay model where users can purchase each chapter individually instead of having to buy the whole book while also offering some chapters for free for a period of time allowing anyone to read a whole series for free if they wait long enough. The added benefit of having all of their titles in color and some with special animations and effects have also helped them succeed. Some popular Japanese webtoons have also gotten anime adaptations and print releases, the most notable being ReLIFE and Recovery of an MMO Junkie.
International markets
By 2007, the influence of manga on international comics had grown considerably over the past two decades. "Influence" is used here to refer to effects on the comics markets outside Japan and to aesthetic effects on comics artists internationally.
Traditionally, manga stories flow from top to bottom and from right to left. Some publishers of translated manga keep to this original format. Other publishers mirror the pages horizontally before printing the translation, changing the reading direction to a more "Western" left to right, so as not to confuse foreign readers or traditional comics-consumers. This practice is known as "flipping". For the most part, criticism suggests that flipping goes against the original intentions of the creator (for example, if a person wears a shirt that reads "MAY" on it, and gets flipped, then the word is altered to "YAM"), who may be ignorant of how awkward it is to read comics when the eyes must flow through the pages and text in opposite directions, resulting in an experience that's quite distinct from reading something that flows homogeneously. If the translation is not adapted to the flipped artwork carefully enough it is also possible for the text to go against the picture, such as a person referring to something on their left in the text while pointing to their right in the graphic. Characters shown writing with their right hands, the majority of them, would become left-handed when a series is flipped. Flipping may also cause oddities with familiar asymmetrical objects or layouts, such as a car being depicted with the gas pedal on the left and the brake on the right, or a shirt with the buttons on the wrong side, however these issues are minor when compared to the unnatural reading flow, and some of them could be solved with an adaptation work that goes beyond just translation and blind flipping.
Asia
Manga has highly influenced the art styles of manhwa and manhua. Manga in Indonesia is published by Elex Media Komputindo, Level Comic, M&C and Gramedia. Manga has influenced Indonesia's original comic industry. Manga in the Philippines were imported from the US and were sold only in specialty stores and in limited copies. The first manga in Filipino language is Doraemon which was published by J-Line Comics and was then followed by Case Closed. In 2015, Boy's Love manga became popular through the introduction of BL manga by printing company BLACKink. Among the first BL titles to be printed were Poster Boy, Tagila, and Sprinters, all were written in Filipino. BL manga have become bestsellers in the top three bookstore companies in the Philippines since their introduction in 2015. During the same year, Boy's Love manga have become a popular mainstream with Thai consumers, leading to television series adapted from BL manga stories since 2016.
Europe
Manga has influenced European cartooning in a way that is somewhat different from in the U.S. Broadcast anime in France and Italy opened the European market to manga during the 1970s. French art has borrowed from Japan since the 19th century (Japonism) and has its own highly developed tradition of bande dessinée cartooning. In France, beginning in the mid-1990s, manga has proven very popular to a wide readership, accounting for about one-third of comics sales in France since 2004. By mid-2021, 75 percent of the €300 value of Culture Pass accounts given to French 18 year-olds was spent on manga. According to the Japan External Trade Organization, sales of manga reached $212.6 million within France and Germany alone in 2006. France represents about 50% of the European market and is the second worldwide market, behind Japan. In 2013, there were 41 publishers of manga in France and, together with other Asian comics, manga represented around 40% of new comics releases in the country, surpassing Franco-Belgian comics for the first time. European publishers marketing manga translated into French include Asuka, Casterman, Glénat, Kana, and Pika Édition, among others. European publishers also translate manga into Dutch, German, Italian, and other languages. In 2007, about 70% of all comics sold in Germany were manga.
Manga publishers based in the United Kingdom include Gollancz and Titan Books. Manga publishers from the United States have a strong marketing presence in the United Kingdom: for example, the Tanoshimi line from Random House. In 2019 The British Museum held a mass exhibition dedicated to manga.
United States
Manga made their way only gradually into U.S. markets, first in association with anime and then independently. Some U.S. fans became aware of manga in the 1970s and early 1980s. However, anime was initially more accessible than manga to U.S. fans, many of whom were college-age young people who found it easier to obtain, subtitle, and exhibit video tapes of anime than translate, reproduce, and distribute tankōbon-style manga books. One of the first manga translated into English and marketed in the U.S. was Keiji Nakazawa's Barefoot Gen, an autobiographical story of the atomic bombing of Hiroshima issued by Leonard Rifas and Educomics (1980–1982). More manga were translated between the mid-1980s and 1990s, including Golgo 13 in 1986, Lone Wolf and Cub from First Comics in 1987, and Kamui, Area 88, and Mai the Psychic Girl, also in 1987 and all from Viz Media-Eclipse Comics. Others soon followed, including Akira from Marvel Comics' Epic Comics imprint, Nausicaä of the Valley of the Wind from Viz Media, and Appleseed from Eclipse Comics in 1988, and later Iczer-1 (Antarctic Press, 1994) and Ippongi Bang's F-111 Bandit (Antarctic Press, 1995).
In the 1980s to the mid-1990s, Japanese animation, like Akira, Dragon Ball, Neon Genesis Evangelion, and Pokémon, made a bigger impact on the fan experience and in the market than manga. Matters changed when translator-entrepreneur Toren Smith founded Studio Proteus in 1986. Smith and Studio Proteus acted as an agent and translator of many Japanese manga, including Masamune Shirow's Appleseed and Kōsuke Fujishima's Oh My Goddess!, for Dark Horse and Eros Comix, eliminating the need for these publishers to seek their own contacts in Japan.
Simultaneously, the Japanese publisher Shogakukan opened a U.S. market initiative with their U.S. subsidiary Viz, enabling Viz to draw directly on Shogakukan's catalogue and translation skills.
Japanese publishers began pursuing a U.S. market in the mid-1990s due to a stagnation in the domestic market for manga. The U.S. manga market took an upturn with mid-1990s anime and manga versions of Masamune Shirow's Ghost in the Shell (translated by Frederik L. Schodt and Toren Smith) becoming very popular among fans. An extremely successful manga and anime translated and dubbed in English in the mid-1990s was Sailor Moon. By 1995–1998, the Sailor Moon manga had been exported to over 23 countries, including China, Brazil, Mexico, Australia, North America and most of Europe. In 1997, Mixx Entertainment began publishing Sailor Moon, along with CLAMP's Magic Knight Rayearth, Hitoshi Iwaaki's Parasyte and Tsutomu Takahashi's Ice Blade in the monthly manga magazine MixxZine. Mixx Entertainment, later renamed Tokyopop, also published manga in trade paperbacks and, like Viz, began aggressive marketing of manga to both young male and young female demographics.
During this period, Dark Horse Manga was a major publisher of translated manga. In addition to Oh My Goddess!, the company published Akira, Astro Boy, Berserk, Blade of the Immortal, Ghost in the Shell, Lone Wolf and Cub, Yasuhiro Nightow's Trigun and Blood Blockade Battlefront, Gantz, Kouta Hirano's Hellsing and Drifters, Blood+, Multiple Personality Detective Psycho, FLCL, Mob Psycho 100, and Oreimo. The company received 13 Eisner Award nominations for its manga titles, and three of the four manga creators admitted to The Will Eisner Award Hall of Fame — Osamu Tezuka, Kazuo Koike, and Goseki Kojima — were published in Dark Horse translations.
In the following years, manga became increasingly popular, and new publishers entered the field while the established publishers greatly expanded their catalogues. The Pokémon manga Electric Tale of Pikachu issue #1 sold over 1million copies in the United States, making it the best-selling single comic book in the United States since 1993. By 2008, the U.S. and Canadian manga market generated $175 million in annual sales. Simultaneously, mainstream U.S. media began to discuss manga, with articles in The New York Times, Time magazine, The Wall Street Journal, and Wired magazine. As of 2017, manga distributor Viz Media is the largest publisher of graphic novels and comic books in the United States, with a 23% share of the market. BookScan sales show that manga is one of the fastest-growing areas of the comic book and narrative fiction markets. From January 2019 to May 2019, the manga market grew 16%, compared to the overall comic book market's 5% growth. The NPD Group noted that, compared to other comic book readers, manga readers are younger (76% under 30) and more diverse, including a higher female readership (16% higher than other comic books).
As of January 2020 manga is the second largest category in the US comic book and graphic novel market, accounting for 27% of the entire market share. During the COVID-19 pandemic the American bookseller Barnes & Noble saw up to a 500% profit from graphic novel and manga sales due to the younger generations showing a high interest in the medium. Sales of print manga titles in the U.S. increased by 3.6 million units in the first quarter of 2021 compared to the same period in 2020.
Localized manga
A number of artists in the United States have drawn comics and cartoons influenced by manga. As an early example, Vernon Grant drew manga-influenced comics while living in Japan in the late 1960s and early 1970s. Others include Frank Miller's mid-1980s Ronin, Adam Warren and Toren Smith's 1988 The Dirty Pair, Ben Dunn's 1987 Ninja High School and Manga Shi 2000 from Crusade Comics (1997).
By the 21st century several U.S. manga publishers had begun to produce work by U.S. artists under the broad marketing-label of manga. In 2002 I.C. Entertainment, formerly Studio Ironcat and now out of business, launched a series of manga by U.S. artists called Amerimanga. In 2004 eigoMANGA launched the Rumble Pak and Sakura Pakk anthology series. Seven Seas Entertainment followed suit with World Manga. Simultaneously, TokyoPop introduced original English-language manga (OEL manga) later renamed Global Manga.
Francophone artists have also developed their own versions of manga (manfra), like Frédéric Boilet's la nouvelle manga. Boilet has worked in France and in Japan, sometimes collaborating with Japanese artists.
Awards
The Japanese manga industry grants a large number of awards, mostly sponsored by publishers, with the winning prize usually including publication of the winning stories in magazines released by the sponsoring publisher. Examples of these awards include:
The Akatsuka Award for humorous manga
The Dengeki Comic Grand Prix for one-shot manga
The Japan Cartoonists Association Award various categories
The Kodansha Manga Award (multiple genre awards)
The Seiun Award for best science fiction comic of the year
The Shogakukan Manga Award (multiple genres)
The Tezuka Award for best new serial manga
The Tezuka Osamu Cultural Prize (multiple genres)
The Japanese Ministry of Foreign Affairs has awarded the International Manga Award annually since May 2007.
University education
Kyoto Seika University in Japan has offered a highly competitive course in manga since 2000. Then, several established universities and vocational schools (専門学校: Semmon gakkou) established a training curriculum.
Shuho Sato, who wrote Umizaru and Say Hello to Black Jack, has created some controversy on Twitter. Sato says, "Manga school is meaningless because those schools have very low success rates. Then, I could teach novices required skills on the job in three months. Meanwhile, those school students spend several million yen, and four years, yet they are good for nothing." and that, "For instance, Keiko Takemiya, the then professor of Seika Univ., remarked in the Government Council that 'A complete novice will be able to understand where is "Tachikiri" (i.e., margin section) during four years.' On the other hand, I would imagine that, It takes about thirty minutes to completely understand that at work."
See also
ACG (subculture)
Alternative manga
Anime
Anime and manga fandom
Cinema of Japan
Cool Japan
Culture of Japan
Emakimono
E-toki (horizontal, illustrated narrative form)
Japanese language
Japanese popular culture
Kamishibai
Lianhuanhua (small Chinese picture book)
Light novel
List of best-selling manga
List of films based on manga
List of licensed manga in English
List of manga distributors
List of manga magazines
List of Japanese manga magazines by circulation
Manga iconography
Manga outside Japan
Manhua
Manhwa
Q-version (cartoonification)
Ukiyo-e
Visual novel
Webtoon
Weekly Shōnen Jump
Notes
References
Inline citations
Works cited
Further reading
Hattie Jones, "Manga girls: Sex, love, comedy and crime in recent boy's manga and anime," in Brigitte Steger and Angelika Koch (2013 eds): Manga Girl Seeks Herbivore Boy. Studying Japanese Gender at Cambridge. Lit Publisher, pp. 24–81.
Marcella Zaccagnino and Sebastiano Contrari. "Manga: il Giappone alla conquista del mondo" (Archive) Limes, rivista italiana di geopolitica. 31 October 2007.
External links
Anime and manga terminology
Comics formats
Entertainment in Japan
Illustration
Japanese culture |
18987 | https://en.wikipedia.org/wiki/Mexico%20City | Mexico City | Mexico City (, ; abbr.: CDMX; Nahuatl: Altepetl Mexico) is the capital and largest city of Mexico, as well as the most populous city in North America, and is one of the country's 32 federal entities. Mexico City is one of the most important cultural and financial centers in the world. It is located in the Valley of Mexico (), a large valley in the high plateaus in the center of Mexico, at an altitude of . The city has 16 , subdivisions colloquially known as or boroughs.
The 2020 population for the city proper was 9,209,944, with a land area of . According to the most recent definition agreed upon by the federal and state governments, the population of Greater Mexico City is 21,804,515, which makes it the sixth-largest metropolitan area in the world, the second-largest urban agglomeration in the Western Hemisphere (behind São Paulo, Brazil), and the largest Spanish-speaking city (city proper) in the world.
Greater Mexico City has a GDP of $411 billion in 2011, which makes it one of the most productive urban areas in the world. The city was responsible for generating 15.8% of Mexico's GDP, and the metropolitan area accounted for about 22% of the country's GDP. If it were an independent country in 2013, Mexico City would be the fifth-largest economy in Latin America.
Mexico's capital is both the oldest capital city in the Americas and one of two founded by indigenous people. The city was originally built on a group of islands in Lake Texcoco by the Mexica (Azteca) in 1325 as Tenochtitlan. It was almost completely destroyed in the 1521 Siege of Tenochtitlan and subsequently redesigned and rebuilt in accordance with the Spanish urban standards. In 1524, the municipality of Mexico City was established, known as , and as of 1585, it was officially known as (Mexico City). Mexico City was the political, administrative, and financial center of a major part of the Spanish colonial empire. After independence from Spain was achieved, the federal district was created in 1824.
After years of demanding greater political autonomy, residents were finally given the right to elect both a head of government and the representatives of the unicameral Legislative Assembly by election in 1997. Ever since, left-wing parties (first the Party of the Democratic Revolution and later the National Regeneration Movement) have controlled both of them. The city has several progressive policies, such as abortion on demand, a limited form of euthanasia, no-fault divorce, and same-sex marriage.
On 29 January 2016, it ceased to be the Federal District ( or ) and is now officially known as (or ), with a greater degree of autonomy. A clause in the Constitution of Mexico, however, prevents it from becoming a state within the Mexican federation, as it is the seat of power in the country, unless the capital of the country were to be relocated elsewhere.
History
The oldest signs of human occupation in the area of Mexico City are those of the "Peñon woman" and others found in San Bartolo Atepehuacan (Gustavo A. Madero). They were believed to correspond to the lower Cenolithic period (9500–7000 BC). However, recent studies place the age of the Peñon woman at 12,700 years old, making her one of the oldest human remains discovered in the Americas. Studies of her mitochondrial DNA suggest she was either of Asian origin, or Caucasian having an appearance like Western Europeans, or Aboriginal Australian.
The area was the destination of the migrations of the Teochichimecas during the 8th and 13th centuries, people that would give rise to the Toltec, and Mexica (Aztecs) cultures. The latter arrived around the 14th century to settle first on the shores of the lake.
Aztec period
The city of Mexico-Tenochtitlan was founded by the Mexica people in 1325. The old Mexica city that is now referred to as Tenochtitlan was built on an island in the center of the inland lake system of the Valley of Mexico, which is shared with a smaller city-state called Tlatelolco. According to legend, the Mexicas' principal god, Huitzilopochtli, indicated the site where they were to build their home by presenting a golden eagle perched on a prickly pear devouring a rattlesnake.
Between 1325 and 1521, Tenochtitlan grew in size and strength, eventually dominating the other city-states around Lake Texcoco and in the Valley of Mexico. When the Spaniards arrived, the Aztec Empire had reached much of Mesoamerica, touching both the Gulf of Mexico and the Pacific Ocean.
Spanish conquest
After landing in Veracruz, Spanish explorer Hernán Cortés advanced upon Tenochtitlan with the aid of many of the other native peoples,
arriving there on 8 November 1519. Cortés and his men marched along the causeway leading into the city from Iztapalapa (Ixtapalapa), and the city's ruler, Moctezuma II, greeted the Spaniards; they exchanged gifts, but the camaraderie did not last long.
Cortés put Moctezuma under house arrest, hoping to rule through him.
Tensions increased until, on the night of 30 June 1520 – during a struggle known as "La Noche Triste" – the Aztecs rose up against the Spanish intrusion and managed to capture or drive out the Europeans and their Tlaxcalan allies. Cortés regrouped at Tlaxcala. The Aztecs thought the Spaniards were permanently gone, and they elected a new king, Cuitláhuac, but he soon died; the next king was Cuauhtémoc.
Cortés began a siege of Tenochtitlan in May 1521. For three months, the city suffered from the lack of food and water as well as the spread of smallpox brought by the Europeans. Cortés and his allies landed their forces in the south of the island and slowly fought their way through the city. Cuauhtémoc surrendered in August 1521. The Spaniards practically razed Tenochtitlan during the final siege of the conquest.
Rebuilding
Cortés first settled in Coyoacán, but decided to rebuild the Aztec site to erase all traces of the old order. He did not establish a territory under his own personal rule, but remained loyal to the Spanish crown. The first Spanish viceroy arrived in Mexico City fourteen years later. By that time, the city had again become a city-state, having power that extended far beyond its borders.
Although the Spanish preserved Tenochtitlan's basic layout, they built Catholic churches over the old Aztec temples and claimed the imperial palaces for themselves. Tenochtitlan was renamed "Mexico" because the Spanish found the word easier to pronounce.
Growth of colonial Mexico City
The city had been the capital of the Aztec empire and in the colonial era, Mexico City became the capital of New Spain. The viceroy of Mexico or vice-king lived in the viceregal palace on the main square or Zócalo. The Mexico City Metropolitan Cathedral, the seat of the Archbishopric of New Spain, was constructed on another side of the Zócalo, as was the archbishop's palace, and across from it the building housing the city council or ayuntamiento of the city.
A late seventeenth-century painting of the Zócalo by Cristóbal de Villalpando depicts the main square, which had been the old Aztec ceremonial center. The existing central place of the Aztecs was effectively and permanently transformed to the ceremonial center and seat of power during the colonial period, and remains to this day in modern Mexico, the central place of the nation.
The rebuilding of the city after the siege of Tenochtitlan was accomplished by the abundant indigenous labor in the surrounding area. Franciscan friar Toribio de Benavente Motolinia, one of the Twelve Apostles of Mexico who arrived in New Spain in 1524, described the rebuilding of the city as one of the afflictions or plagues of the early period:
The seventh plague was the construction of the great City of Mexico, which, during the early years used more people than in the construction of Jerusalem. The crowds of laborers were so numerous that one could hardly move in the streets and causeways, although they are very wide. Many died from being crushed by beams, or falling from high places, or in tearing down old buildings for new ones. Preconquest Tenochtitlan was built in the center of the inland lake system, with the city reachable by canoe and by wide causeways to the mainland. The causeways were rebuilt under Spanish rule with indigenous labor.
Colonial Spanish cities were constructed on a grid pattern, if no geographical obstacle prevented it. In Mexico City, the Zócalo (main square) was the central place from which the grid was then built outward. The Spanish lived in the area closest to the main square in what was known as the traza, in orderly, well laid-out streets. Indigenous residences were outside that exclusive zone and houses were haphazardly located.
Spaniards sought to keep indigenous people separate but since the Zócalo was a center of commerce for Amerindians, they were a constant presence in the central area, so strict segregation was never enforced. At intervals Zócalo was where major celebrations took place as well as executions. It was also the site of two major riots in the seventeenth century, one in 1624, the other in 1692.
The city grew as the population did, coming up against the lake's waters. As the depth of the lake water fluctuated, Mexico City was subject to periodic flooding. A major labor draft, the desagüe, compelled thousands of indigenous over the colonial period to work on infrastructure to prevent flooding. Floods were not only an inconvenience but also a health hazard, since during flood periods human waste polluted the city's streets. By draining the area, the mosquito population dropped as did the frequency of the diseases they spread. However, draining the wetlands also changed the habitat for fish and birds and the areas accessible for indigenous cultivation close to the capital.
The 16th century saw a proliferation of churches, many of which can still be seen today in the historic center.
Economically, Mexico City prospered as a result of trade. Unlike Brazil or Peru, Mexico had easy contact with both the Atlantic and Pacific worlds. Although the Spanish crown tried to completely regulate all commerce in the city, it had only partial success.
The concept of nobility flourished in New Spain in a way not seen in other parts of the Americas. Spaniards encountered a society in which the concept of nobility mirrored that of their own. Spaniards respected the indigenous order of nobility and added to it. In the ensuing centuries, possession of a noble title in Mexico did not mean one exercised great political power, for one's power was limited even if the accumulation of wealth was not. The concept of nobility in Mexico was not political but rather a very conservative Spanish social one, based on proving the worthiness of the family. Most of these families proved their worth by making fortunes in New Spain outside of the city itself, then spending the revenues in the capital, building churches, supporting charities and building extravagant palatial homes. The craze to build the most opulent residence possible reached its height in the last half of the 18th century. Many of these palaces can still be seen today, leading to Mexico City's nickname of "The city of palaces" given by Alexander Von Humboldt.
The Grito de Dolores ("Cry of Dolores"), also known as El Grito de la Independencia ("Cry of Independence"), marked the beginning of the Mexican War of Independence. The Battle of Guanajuato, the first major engagement of the insurgency, occurred four days later. After a decade of war, Mexico's independence from Spain was effectively declared in the Declaration of Independence of the Mexican Empire on 27 September 1821. Agustín de Iturbide is proclaimed Emperor of the First Mexican Empire by Congress, crowned in the Cathedral of Mexico. Unrest followed for the next several decades, as different factions fought for control of Mexico.
The Mexican Federal District was established by the new government and by the signing of their new constitution, where the concept of a federal district was adapted from the United States Constitution. Before this designation, Mexico City had served as the seat of government for both the State of Mexico and the nation as a whole. Texcoco de Mora and then Toluca became the capital of the State of Mexico.
Battle of Mexico City in the U.S.–Mexican War of 1847
During the 19th century, Mexico City was the center stage of all the political disputes of the country. It was the imperial capital on two occasions (1821–1823 and 1864–1867), and of two federalist states and two centralist states that followed innumerable coups d'états in the space of half a century before the triumph of the Liberals after the Reform War. It was also the objective of one of the two French invasions to Mexico (1861–1867), and occupied for a year by American troops in the framework of the Mexican–American War (1847–1848).
The Battle for Mexico City was the series of engagements from 8 to 15 September 1847, in the general vicinity of Mexico City during the U.S. Mexican War. Included are major actions at the battles of Molino del Rey and Chapultepec, culminating with the fall of Mexico City. The U.S. Army under Winfield Scott scored a major success that ended the war. The American invasion into the Federal District was first resisted during the Battle of Churubusco on 8 August, where the Saint Patrick's Battalion, which was composed primarily of Catholic Irish and German immigrants but also Canadians, English, French, Italians, Poles, Scots, Spaniards, Swiss, and Mexicans, fought for the Mexican cause, repelling the American attacks. After defeating the Saint Patrick's Battalion, the Mexican–American War came to a close after the United States deployed combat units deep into Mexico resulting in the capture of Mexico City and Veracruz by the U.S. Army's 1st, 2nd, 3rd and 4th Divisions. The invasion culminated with the storming of Chapultepec Castle in the city itself.
During this battle, on 13 September, the 4th Division, under John A. Quitman, spearheaded the attack against Chapultepec and carried the castle. Future Confederate generals George E. Pickett and James Longstreet participated in the attack. Serving in the Mexican defense were the cadets later immortalized as Los Niños Héroes (the "Boy Heroes"). The Mexican forces fell back from Chapultepec and retreated within the city. Attacks on the Belén and San Cosme Gates came afterwards. The treaty of Guadalupe Hidalgo was signed in what is now the far north of the city.
Porfirian era (1876–1911)
Events such as the Mexican–American War, the French Intervention and the Reform War left the city relatively untouched and it continued to grow, especially during the rule of President Porfirio Díaz. During this time the city developed a modern infrastructure, such as roads, schools, transportation systems and communication systems. However the regime concentrated resources and wealth into the city while the rest of the country languished in poverty.
Under the rule of Porfirio Díaz, Mexico City experienced a massive transformation. Díaz's goal was to create a city which could rival the great European cities. He and his government came to the conclusion that they would use Paris as a model, while still containing remnants of Amerindian and Hispanic elements. This style of Mexican-French fusion architecture became colloquially known as Porfirian Architecture. Porfirian architecture became very influenced by Paris' Haussmannization.
During this era of Porfirian rule, the city underwent an extensive modernization. Many Spanish Colonial style buildings were destroyed, replaced by new much larger Porfirian institutions and many outlying rural zones were transformed into urban or industrialized districts with most having electrical, gas and sewage utilities by 1908. While the initial focus was on developing modern hospitals, schools, factories and massive public works, perhaps the most long-lasting effects of the Porfirian modernization were creation of the Colonia Roma area and the development of Reforma Avenue. Many of Mexico City's major attractions and landmarks were built during this era in this style.
Diaz's plans called for the entire city to eventually be modernized or rebuilt in the Porfirian/French style of the Colonia Roma; but the Mexican Revolution began soon afterward and the plans never came to fruition, with many projects being left half-completed. One of the best examples of this is the Monument to the Mexican Revolution. Originally the monument was to be the main dome of Diaz's new senate hall, but when the revolution erupted only the dome of the senate hall and its supporting pillars were completed, this was subsequently seen as a symbol by many Mexicans that the Porfirian era was over once and for all and as such, it was turned into a monument to victory over Diaz.
Mexican Revolution (1910–1920)
The capital escaped the worst of the violence of the ten-year conflict of the Mexican Revolution. The most significant episode of this period for the city was the February 1913 la Decena Trágica ("The Ten Tragic Days"), when forces counter to the elected government of Francisco I. Madero staged a successful coup. The center of the city was subjected to artillery attacks from the army stronghold of the ciudadela or citadel, with significant civilian casualties and the undermining of confidence in the Madero government. Victoriano Huerta, chief general of the Federal Army, saw a chance to take power, forcing Madero and Pino Suarez to sign resignations. The two were murdered later while on their way to Lecumberri prison. Huerta's ouster in July 1914 saw the entry of the armies of Pancho Villa and Emiliano Zapata, but the city did not experience violence. Huerta had abandoned the capital and the conquering armies marched in. Venustiano Carranza's Constitutionalist faction ultimately prevailed in the revolutionary civil war and Carranza took up residence in the presidential palace.
20th century to present
The history of the rest of the 20th century to the present focuses on the phenomenal growth of the city and its environmental and political consequences. In 1900, the population of Mexico City was about 500,000. The city began to grow rapidly westward in the early part of the 20th century and then began to grow upwards in the 1950s, with the Torre Latinoamericana becoming the city's first skyscraper.
The rapid development of Mexico City as a center for modernist architecture was most fully manifested in the mid-1950s construction of the Ciudad Universitaria, Mexico City, the main campus of the National Autonomous University of Mexico. Designed by the most prestigious architects of the era, including Mario Pani, Eugenio Peschard, and Enrique del Moral, the buildings feature murals by artists Diego Rivera, David Alfaro Siqueiros, and José Chávez Morado. It has since been recognized as a UNESCO World Heritage Site.
The 1968 Olympic Games brought about the construction of large sporting facilities. In 1969, the Metro system was inaugurated.
Explosive growth in the population of the city started in the 1960s, with the population overflowing the boundaries of the Federal District into the neighboring State of Mexico, especially to the north, northwest, and northeast. Between 1960 and 1980 the city's population more than doubled to nearly 9 million.
In 1980 half of all the industrial jobs in Mexico were located in Mexico City. Under relentless growth, the Mexico City government could barely keep up with services. Villagers from the countryside who continued to pour into the city to escape poverty only compounded the city's problems. With no housing available, they took over lands surrounding the city, creating huge shantytowns that extended for many miles. This caused serious air pollution in Mexico City and water pollution problems, as well as subsidence due to overextraction of groundwater. Air and water pollution has been contained and improved in several areas due to government programs, the renovation of vehicles and the modernization of public transportation.
The autocratic government that ruled Mexico City since the Revolution was tolerated, mostly because of the continued economic expansion since World War II. This was the case even though this government could not handle the population and pollution problems adequately. Nevertheless, discontent and protests began in the 1960s leading to the massacre of an unknown number of protesting students in Tlatelolco.
Three years later, a demonstration in the Maestros avenue, organized by former members of the 1968 student movement, was violently repressed by a paramilitary group called "Los Halcones", composed of gang members and teenagers from many sports clubs who received training in the U.S.
On Thursday, 19 September 1985, at 7:19 am CST, Mexico City was struck by an earthquake of magnitude 8.1 on the Richter magnitude scale. Although this earthquake was not as deadly or destructive as many similar events in Asia and other parts of Latin America, it proved to be a disaster politically for the one-party government. The government was paralyzed by its own bureaucracy and corruption, forcing ordinary citizens to create and direct their own rescue efforts and to reconstruct much of the housing that was lost as well.
However, the last straw may have been the controversial elections of 1988. That year, the presidency was set between the P.R.I.'s candidate, Carlos Salinas de Gortari, and a coalition of left-wing parties led by Cuauhtémoc Cárdenas, son of the former president Lázaro Cárdenas. The counting system "fell" because coincidentally the light went out and suddenly, when it returned, the winning candidate was Salinas, even though Cárdenas had the upper hand.
As a result of the fraudulent election, Cárdenas became a member of the Party of the Democratic Revolution. Discontent over the election eventually led Cuauhtémoc Cárdenas to become the first elected mayor of Mexico City in 1997. Cárdenas promised a more democratic government, and his party claimed some victories against crime, pollution, and other major problems. He resigned in 1999 to run for the presidency.
Geography
Mexico City is located in the Valley of Mexico, sometimes called the Basin of Mexico. This valley is located in the Trans-Mexican Volcanic Belt in the high plateaus of south-central Mexico. It has a minimum altitude of above sea level and is surrounded by mountains and volcanoes that reach elevations of over . This valley has no natural drainage outlet for the waters that flow from the mountainsides, making the city vulnerable to flooding. Drainage was engineered through the use of canals and tunnels starting in the 17th century.
Mexico City primarily rests on what was Lake Texcoco. Seismic activity is frequent there. Lake Texcoco was drained starting from the 17th century. Although none of the lake waters remain, the city rests on the lake bed's heavily saturated clay. This soft base is collapsing due to the over-extraction of groundwater, called groundwater-related subsidence. Since the beginning of the 20th century the city has sunk as much as in some areas. This sinking is causing problems with runoff and wastewater management, leading to flooding problems, especially during the summer. The entire lake bed is now paved over and most of the city's remaining forested areas lie in the southern boroughs of Milpa Alta, Tlalpan and Xochimilco.
Climate
Mexico City has a subtropical highland climate (Köppen climate classification Cwb), due to its tropical location but high elevation. The lower region of the valley receives less rainfall than the upper regions of the south; the lower boroughs of Iztapalapa, Iztacalco, Venustiano Carranza and the east portion of Gustavo A. Madero are usually drier and warmer than the upper southern boroughs of Tlalpan and Milpa Alta, a mountainous region of pine and oak trees known as the range of Ajusco.
The average annual temperature varies from , depending on the altitude of the borough. The temperature is rarely below or above . At the Tacubaya observatory, the lowest temperature ever registered was on 13 February 1960, and the highest temperature on record was on 9 May 1998.
Overall precipitation is heavily concentrated in the summer months, and includes dense hail.
Snow falls in the city very rarely, although somewhat more often in nearby mountain tops. Throughout its history, the Central Valley of Mexico was accustomed to having several snowfalls per decade (including a period between 1878 and 1895 in which every single year—except 1880—recorded snowfalls) mostly lake-effect snow. The effects of the draining of Lake Texcoco and global warming have greatly reduced snowfalls after the snow flurries of 12 February 1907. Since 1908, snow has only fallen three times, snow on 14 February 1920; snow flurries on 14 March 1940; and on 12 January 1967, when of snow fell on the city, the most on record. The 1967 snowstorm coincided with the operation of Deep Drainage System that resulted in the total draining of what was left of Lake Texcoco. After the disappearance of Lake Texcoco, snow has never fallen again over Mexico City.
The region of the Valley of Mexico receives anti-cyclonic systems. The weak winds of these systems do not allow for the dispersion, outside the basin, of the air pollutants which are produced by the 50,000 industries and 4 million vehicles operating in and around the metropolitan area.
The area receives about of annual rainfall, which is concentrated from May through October with little or no precipitation the remainder of the year. The area has two main seasons. The wet humid summer runs from May to October when winds bring in tropical moisture from the sea, the wettest month being July. The cool sunny winter runs from November to April, when the air is relatively drier, the driest month being December. This season is subdivided into a cold winter period and a warm spring period. The cold period spans from November to February, when polar air masses push down from the north and keep the air fairly dry. The warm period extends from March to May when subtropical winds again dominate but do not yet carry enough moisture for rain to form.
Environment
Originally much of the valley lay beneath the waters of Lake Texcoco, a system of interconnected salt and freshwater lakes. The Aztecs built dikes to separate the fresh water used to raise crops in chinampas and to prevent recurrent floods. These dikes were destroyed during the siege of Tenochtitlan, and during colonial times the Spanish regularly drained the lake to prevent floods. Only a small section of the original lake remains, located outside Mexico City, in the municipality of Atenco, State of Mexico.
Architects Teodoro González de León and Alberto Kalach along with a group of Mexican urbanists, engineers and biologists have developed the project plan for Recovering the City of Lakes. If approved by the government the project will contribute to the supply of water from natural sources to the Valley of Mexico, the creation of new natural spaces, a great improvement in air quality, and greater population establishment planning.
Pollution
By the 1990s Mexico City had become infamous as one of the world's most polluted cities; however, the city has become a model for drastically lowering pollution levels. By 2014 carbon monoxide pollution had dropped drastically, while sulfur dioxide and nitrogen dioxide were at levels about a third of those in 1992. The levels of signature pollutants in Mexico City are similar to those of Los Angeles. Despite the cleanup, the metropolitan area is still the most ozone-polluted part of the country, with ozone levels 2.5 times beyond WHO-defined safe limits.
To clean up pollution, the federal and local governments implemented numerous plans including the constant monitoring and reporting of environmental conditions, such as ozone and nitrogen oxides. When the levels of these two pollutants reached critical levels, contingency actions were implemented which included closing factories, changing school hours, and extending the A day without a car program to two days of the week. The government also instituted industrial technology improvements, a strict biannual vehicle emission inspection and the reformulation of gasoline and diesel fuels. The introduction of Metrobús bus rapid transit and the Ecobici bike-sharing were among efforts to encourage alternate, greener forms of transportation.
Politics
Political structure
The Acta Constitutiva de la Federación of 31 January 1824, and the Federal Constitution of 4 October 1824, fixed the political and administrative organization of the United Mexican States after the Mexican War of Independence. In addition, Section XXVIII of Article 50 gave the new Congress the right to choose where the federal government would be located. This location would then be appropriated as federal land, with the federal government acting as the local authority. The two main candidates to become the capital were Mexico City and Querétaro.
Due in large part to the persuasion of representative Servando Teresa de Mier, Mexico City was chosen because it was the center of the country's population and history, even though Querétaro was closer to the center geographically. The choice was official on 18 November 1824, and Congress delineated a surface area of two leagues square (8,800 acres) centered on the Zocalo. This area was then separated from the State of Mexico, forcing that state's government to move from the Palace of the Inquisition (now Museum of Mexican Medicine) in the city to Texcoco. This area did not include the population centers of the towns of Coyoacán, Xochimilco, Mexicaltzingo and Tlalpan, all of which remained as part of the State of Mexico.
In 1854 president Antonio López de Santa Anna enlarged the area of Mexico City almost eightfold from the original , annexing the rural and mountainous areas to secure the strategic mountain passes to the south and southwest to protect the city in event of a foreign invasion. (The Mexican–American War had just been fought.) The last changes to the limits of Mexico City were made between 1898 and 1902, reducing the area to the current by adjusting the southern border with the state of Morelos. By that time, the total number of municipalities within Mexico City was twenty-two.
While Mexico City was ruled by the federal government through an appointed governor, the municipalities within it were autonomous, and this duality of powers created tension between the municipalities and the federal government for more than a century. In 1903, Porfirio Díaz largely reduced the powers of the municipalities within the Federal District. Eventually, in December 1928, the federal government decided to abolish all the municipalities of the Federal District. In place of the municipalities, the Federal District was divided into one "Central Department" and 13 delegaciones (boroughs) administered directly by the government of the Federal District. The Central Department was integrated by the former municipalities of Mexico City, Tacuba, Tacubaya and Mixcoac.
In 1941, the General Anaya borough was merged with the Central Department, which was then renamed "Mexico City" (thus reviving the name but not the autonomous municipality). From 1941 to 1970, the Federal District comprised twelve delegaciones and Mexico City. In 1970, Mexico City was split into four different delegaciones: Cuauhtémoc, Miguel Hidalgo, Venustiano Carranza and Benito Juárez, increasing the number of delegaciones to 16. Since then, the whole Federal District, whose delegaciones had by then almost formed a single urban area, began to be considered de facto a synonym of Mexico City.
The lack of a de jure stipulation left a legal vacuum that led to a number of sterile discussions about whether one concept had engulfed the other or if the latter had ceased to exist altogether. In 1993, the situation was solved by an amendment to the 44th article of the Constitution of Mexico; Mexico City and the Federal District were stated to be the same entity. The amendment was later introduced into the second article of the Statute of Government of the Federal District.
On 29 January 2016, Mexico City ceased to be the Federal District (Spanish: Distrito Federal or D.F.), and was officially renamed "Ciudad de México" (or "CDMX"). On that date, Mexico City began a transition to becoming the country's 32nd federal entity, giving it a level of autonomy comparable to that of a state. It will have its own constitution and its legislature, and its delegaciones will now be headed by mayors. Because of a clause in the Mexican Constitution, however, as it is the seat of the powers of the federation, it can never become a state, or the capital of the country has to be relocated elsewhere.
Mexico City, being the seat of the powers of the Union, belongs not to any particular state but to all of them. Therefore, the president, representing the federation, used to designate the head of government of the national capital (today the head of the government of Mexico City), sometimes called outside Mexico as the "Mayor" of Mexico City. In the 1980s, the dramatic increase in the population of the previous decades, the inherent political inconsistencies of the system, and dissatisfaction with the inadequate response of the federal government after the 1985 earthquake made residents begin to request political and administrative autonomy to manage their local affairs.
In response to the demands, Mexico City received a greater degree of autonomy, with the 1987 elaboration the first Statute of Government (Estatuto de Gobierno) and the creation of an assembly of representatives. In the 1990s, this autonomy was further expanded, and since 1997, residents can directly elect the head of government to Mexico City and the representatives of a unicameral Legislative Assembly, which succeeded the previous assembly, by popular vote.
The first elected head of government was Cuauhtémoc Cárdenas. He resigned in 1999 to run in the 2000 presidential elections and designated Rosario Robles to succeed him, who became the first woman, elected or otherwise, to govern Mexico City. In 2000, Andrés Manuel López Obrador was elected, and he resigned in 2005 to run in the 2006 presidential elections; Alejandro Encinas was designated by the Legislative Assembly to finish the term. In 2006, Marcelo Ebrard was elected to serve until 2012.
The city has a Statute of Government, and as of its ratification on 31 January 2017, a constitution, similar to the states of the Union. As part of the recent changes in autonomy, the budget is administered locally; it is proposed by the head of government and approved by the Legislative Assembly. Nonetheless, it is the Congress of the Union that sets the ceiling to internal and external public debt issued by the city government.
According to the 44th article of the Mexican Constitution, if the powers of the Union move to another city, Mexico City would become a new state, the "State of the Valley of Mexico", with the new limits set by the Congress of the Union.
Elections and government
In 2012, elections were held for the post of head of government and the representatives of the Legislative Assembly. Heads of government are elected for a six-year period without the possibility of re-election. Traditionally, the position has been considered as the second most important executive office in the country.
The Legislative Assembly of Mexico City is formed, as it is the case for state legislatures in Mexico, by both single-seat and proportional seats, making it a system of parallel voting. Mexico City is divided into 40 electoral constituencies of similar population which elect one representative by the plurality voting system, locally called "uninominal deputies." Mexico City, as a whole, is a single constituency for the parallel election of 26 representatives, elected by proportional representation, with open-party lists, locally called "plurinominal deputies."
Even though proportionality is supposed to prevent a party from being overrepresented, several restrictions apply in the assignation of the seats. No party can have more than 63% of all seats, both uninominal and plurinominal. In the 2006 elections, the PRD got the absolute majority in the direct uninominal elections, securing 34 of the 40 FPP seats. As such, the PRD was not assigned any plurinominal seat to comply with the law that prevents over-representation. The overall composition of the Legislative Assembly is:
The politics pursued by the administrations of heads of government in Mexico City at the end of the 20th century have usually been more liberal than those of the rest of the country, whether with the support of the federal government, as was the case with the approval of several comprehensive environmental laws in the 1980s, or by laws that were since approved by the Legislative Assembly. The Legislative Assembly expanded provisions on abortions, becoming the first federal entity to expand abortion in Mexico beyond cases of rape and economic reasons, to permit it at the choice of the mother before the 12th week of pregnancy. In December 2009, the then Federal District became the first city in Latin America and one of very few in the world to legalize same-sex marriage.
Boroughs and neighborhoods
After the political reforms on 2016, the city is divided for administrative purposes into 16 boroughs (demarcaciones territoriales, colloquially alcaldías), formerly called delegaciones. While they are not fully equivalent to municipalities, the boroughs have gained significant autonomy. Formerly appointed by the Federal District's head of government, local authorities were first elected directly by plurality in 2000. From 2016, each borough is headed by a mayor, expanding their local government powers.
The boroughs of Mexico City with their 2020 populations are:
The boroughs are composed of hundreds of colonias, or neighborhoods, which have no jurisdictional autonomy or representation. The Historic Center, in the borough of Cuauhtémoc, is the oldest part of the city (along with some other, formerly separate colonial towns such as Coyoacán and San Ángel), some of the buildings dating back to the 16th century. Other well-known central neighborhoods include Condesa, known for its Art Deco architecture and its restaurant scene; Colonia Roma, a beaux arts neighborhood and artistic and culinary hot-spot, the Zona Rosa, formerly the center of nightlife and restaurants, now reborn as the center of the LGBT and Korean-Mexican communities; and Tepito and La Lagunilla, known for their local working-class folklore and large flea markets. Santa María la Ribera and San Rafael are the latest neighborhoods of magnificent Porfiriato architecture seeing the first signs of gentrification.
West of the Historic Center (Centro Histórico) along Paseo de la Reforma are many of the city's wealthiest neighborhoods such as Polanco, Lomas de Chapultepec, Bosques de las Lomas, Santa Fe, and (in the State of Mexico) Interlomas, which are also the city's most important areas of class A office space, corporate headquarters, skyscrapers, and shopping malls. Nevertheless, some areas of lower-income colonias are right next to rich neighborhoods, particularly in the case of Santa Fe.
The south of the city is home to some other high-income neighborhoods such as Colonia del Valle and Jardines del Pedregal and the formerly separate colonial towns of Coyoacán, San Ángel, and San Jerónimo. Along Avenida Insurgentes from Paseo de la Reforma, near the center, south past the World Trade Center and UNAM university toward the Periférico ring road, is another important corridor of corporate office space. The far-southern boroughs of Xochimilco and Tláhuac have a significant rural population, with Milpa Alta being entirely rural.
East of the center are mostly lower-income areas with some middle-class neighborhoods such as Jardín Balbuena. Urban sprawl continues further east for many miles into the State of Mexico, including Ciudad Nezahualcoyotl, now increasingly middle class but once full of informal settlements. Such slums are still found on the eastern edges of the metropolitan area in the Chalco area.
North of the Historic Center, Azcapotzalco and Gustavo A. Madero have important industrial centers and neighborhoods that range from established middle-class colonias such as Claveria and Lindavista to huge low-income housing areas that share hillsides with adjacent municipalities in the State of Mexico. In recent years, much of northern Mexico City's industry has moved to nearby municipalities in the State of Mexico. Northwest of Mexico City itself is Ciudad Satélite, a vast middle-class to upper-middle-class residential and business area.
The Human Development Index report of 2005 shows that there were three boroughs with a very high Human Development Index, 12 with a high HDI value (9 above .85), and one with a medium HDI value (almost high). Benito Juárez borough had the highest HDI of the country (0.9510) followed by Miguel Hidalgo, which came up fourth nationally with an HDI of (0.9189), and Coyoacán was fifth nationally, with an HDI of (0.9169). Cuajimalpa (15th), Cuauhtémoc (23rd), and Azcapotzalco (25th) also had very high values of 0.8994, 0.8922, and 0.8915, respectively.
In contrast, the boroughs of Xochimilco (172nd), Tláhuac (177th), and Iztapalapa (183rd) presented the lowest HDI values of Mexico City, with values of 0.8481, 0.8473, and 0.8464, respectively, which are still in the global high-HDI range. The only borough that did not have a high HDI was that of rural Milpa Alta, which had a "medium" HDI of 0.7984, far below those of all the other boroughs (627th nationally, the rest being in the top 200). Mexico City's HDI for the 2005 report was 0.9012 (very high), and its 2010 value of 0.9225 (very high), or (by newer methodology) 0.8307, was Mexico's highest.
Metropolitan area
Greater Mexico City is formed by Mexico City, 60 municipalities from the State of Mexico and one from the state of Hidalgo. Greater Mexico City is the largest metropolitan area in Mexico and the area with the highest population density. , 21,804,515 people live in this urban agglomeration, of which 9,209,944 live in Mexico City proper. In terms of population, the biggest municipalities that are part of Greater Mexico City (excluding Mexico City proper) are in the State of Mexico:
Ecatepec de Morelos ( 1,645,352)
Nezahualcóyotl ( 1,077,208)
Naucalpan ( 834,434)
Chimalhuacán ( 705,193)
Tlalnepantla de Baz ( 672,202)
Approximately 75% (10 million) of the State of México's population live in municipalities that are part of Greater Mexico City.
Greater Mexico City was the fastest growing metropolitan area in the country until the late 1980s. Since then, and through a policy of decentralization in order to reduce the environmental pollutants of the growing conurbation, the annual rate of growth of the agglomeration has decreased, and it is lower than that of the other four largest metropolitan areas (namely Greater Guadalajara, Greater Monterrey, Greater Puebla and Greater Toluca) even though it is still positive.
The net migration rate of Mexico City proper from 1995 to 2000 was negative, which implies that residents are moving to the suburbs of the metropolitan area, or to other states of Mexico. In addition, some inner suburbs are losing population to outer suburbs, indicating the continuing expansion of Greater Mexico City.
Law enforcement
The Secretariat of Public Security of Mexico City (Secretaría de Seguridad Pública de la Ciudad de México – SSP) manages a combined force of over 90,000 officers in Mexico City. The SSP is charged with maintaining public order and safety in the heart of Mexico City. The historic district is also roamed by tourist police, aiming to orient and serve tourists. These horse-mounted agents dress in traditional uniforms.
The investigative Judicial Police of Mexico City (Policía Judicial de la Ciudad de México – PJCDMX) is organized under the Office of the Attorney General of Mexico City (the Procuraduría General de Justicia de la Ciudad de México). The PGJCDMX maintains 16 precincts (delegaciones) with an estimated 3,500 judicial police, 1,100 investigating agents for prosecuting attorneys (agentes del ministerio público), and nearly 1,000 criminology experts or specialists (peritos).
Between 2000 and 2004 an average of 478 crimes were reported each day in Mexico City; however, the actual crime rate is thought to be much higher "since most people are reluctant to report crime". Under policies enacted by Mayor Marcelo Ebrard between 2009 and 2011, Mexico City underwent a major security upgrade with violent and petty crime rates both falling significantly despite the rise in violent crime in other parts of the country. Some of the policies enacted included the installation of 11,000 security cameras around the city and a very large expansion of the police force. Mexico City has one of the world's highest police officer-to-resident ratios, with one uniformed officer per 100 citizens.
Since 1997 the prison population has increased by more than 500%. Political scientist Markus-Michael Müller argues that mostly informal street vendors are hit by these measures. He sees punishment "related to the growing politicization of security and crime issues and the resulting criminalization of the people living at the margins of urban society, in particular those who work in the city's informal economy."
Femicides and violence against women
In 2016, the incidence of femicides was 3.2 per 100 000 inhabitants, the national average being 4.2. A 2015 city government report found that two of three women over the age of 15 in the capital suffered some form of violence. In addition to street harassment, one of the places where women in Mexico City are subjected to violence is on and around public transport. Annually the Metro of Mexico City receives 300 complaints of sexual harassment.
While the violence against women in Mexico City is rising, there is still a large number of incidents of kidnappings and killings that go undetected and unreported due to the corruption in the police department.
Health
Mexico City is home to some of the best private hospitals in the country, including Hospital Ángeles, Hospital ABC and Médica Sur. The national public healthcare institution for private-sector employees, IMSS, has its largest facilities in Mexico City—including the National Medical Center and the La Raza Medical Center—and has an annual budget of over 6 billion pesos. The IMSS and other public health institutions, including the ISSSTE (Public Sector Employees' Social Security Institute) and the National Health Ministry (SSA) maintain large specialty facilities in the city. These include the National Institutes of Cardiology, Nutrition, Psychiatry, Oncology, Pediatrics, Rehabilitation, among others.
The World Bank has sponsored a project to curb air pollution through public transport improvements and the Mexican government has started shutting down polluting factories. They have phased out diesel buses and mandated new emission controls on new cars; since 1993 all new cars must be fitted with a catalytic converter, which reduces the emissions released. Trucks must use only liquefied petroleum gas (LPG). Also construction of an underground rail system was begun in 1968 in order to help curb air pollution problems and alleviate traffic congestion. It has over of track and carries over 5 million people every day. Fees are kept low to encourage use of the system and during rush hours the crush is so great, that authorities have reserved a special carriage specifically for women. Due to these initiatives and others, the air quality in Mexico City has begun to improve; it is cleaner than it was in 1991, when the air quality was declared to be a public health risk for 355 days of the year.
Economy
Mexico City is one of the most important economic hubs in Latin America. The city proper produces 15.8% of the country's gross domestic product. According to a study conducted by PwC, Mexico City had a GDP of $390 billion, ranking it as the eighth richest city in the world and the richest in Latin America. Mexico City alone would rank as the 30th largest economy in the world.
Mexico City is the greatest contributor to the country's industrial GDP (15.8%) and also the greatest contributor to the country's GDP in the service sector (25.3%). Due to the limited non-urbanized space at the south—most of which is protected through environmental laws—the contribution of Mexico City in agriculture is the smallest of all federal entities in the country.
In 2002, Mexico City had a Human Development Index score of 0.915, identical to that of South Korea.
The top twelve percent of GDP per capita holders in the city had a mean disposable income of in 2007. The high spending power of Mexico City inhabitants makes the city attractive for companies offering prestige and luxury goods.
The economic reforms of President Carlos Salinas de Gortari had a tremendous effect on the city, as a number of businesses, including banks and airlines, were privatized. He also signed the North American Free Trade Agreement (NAFTA). This led to decentralization and a shift in Mexico City's economic base, from manufacturing to services, as most factories moved away to either the State of Mexico, or more commonly to the northern border. By contrast, corporate office buildings set their base in the city.
Demographics
Historically, and since Pre-Columbian times, the Valley of Anahuac has been one of the most densely populated areas in Mexico. When the Federal District was created in 1824, the urban area of Mexico City extended approximately to the area of today's Cuauhtémoc borough. At the beginning of the 20th century, the elites began migrating to the south and west and soon the small towns of Mixcoac and San Ángel were incorporated by the growing conurbation. According to the 1921 census, 54.78% of the city's population was considered Mestizo (Indigenous mixed with European), 22.79% considered European, and 18.74% considered Indigenous. This was the last Mexican Census which asked people to self-identify with a heritage other than Amerindian. However, the census had the particularity that, unlike racial/ethnic census in other countries, it was focused in the perception of cultural heritage rather than in a racial perception, leading to a good number of white people to identify with "Mixed heritage" due to cultural influence. In 1921, Mexico City had less than one million inhabitants.
Up to the 1990s, the Federal District was the most populous federal entity in Mexico, but since then, its population has remained stable at around 8.7 million. The growth of the city has extended beyond the limits of the city to 59 municipalities of the State of Mexico and 1 in the state of Hidalgo. With a population of approximately 19.8 million inhabitants (2008), it is one of the most populous conurbations in the world. Nonetheless, the annual rate of growth of the Metropolitan Area of Mexico City is much lower than that of other large urban agglomerations in Mexico, a phenomenon most likely attributable to the environmental policy of decentralization. The net migration rate of Mexico City from 1995 to 2000 was negative.
Representing around 18.74% of the city's population, indigenous peoples from different areas of Mexico have migrated to the capital in search of better economic opportunities. Nahuatl, Otomi, Mixtec, Zapotec and Mazahua are the indigenous languages with the greatest number of speakers in Mexico City.
According to the 2020 Census, 2.03% of Mexico City's population identified as Black, Afro-Mexican, or of African descent.
Nationality
Mexico City is also home to large communities of expatriates and immigrants from the rest of North America (U.S. and Canada), from South America (mainly from Argentina and Colombia, but also from Brazil, Chile, Uruguay and Venezuela), from Central America and the Caribbean (mainly from Cuba, Guatemala, El Salvador, Haiti and Honduras); from Europe (mainly from Spain, Germany and Switzerland, but also from Czech Republic, Hungary, France, Italy, Ireland, the Netherlands, Poland and Romania), from the Middle East (mainly from Egypt, Lebanon and Syria); and recently from Asia-Pacific (mainly from China, Japan, Pakistan, India and South Korea). Historically since the era of New Spain, many Filipinos settled in the city and have become integrated in Mexican society. While no official figures have been reported, population estimates of each of these communities are quite significant.
Mexico City is home to the largest population of U.S. Americans living outside the United States. Estimates are as high as 700,000 U.S. Americans living in Mexico City, while in 1999 the U.S. Bureau of Consular Affairs estimated over 440,000 Americans lived in the Mexico City Metropolitan Area.
Religion
The majority (82%) of the residents in Mexico City are Catholic, slightly lower than the 2010 census national percentage of 87%, making it the largest Christian denomination, though it has been decreasing over the last decades. Many other religions and philosophies are also practiced in the city: many different types of Protestant groups, different types of Jewish communities, Buddhist, Islamic and other spiritual and philosophical groups. There are also growing numbers of irreligious people, whether agnostic or atheist.
The patron saint of Mexico City is Saint Philip of Jesus, a Mexican Catholic missionary who became one of the Twenty-six Martyrs of Japan.
The Roman Catholic Archdiocese of Mexico is the largest archdiocese in the world. There are two Catholic cathedrals in the city, the Mexico City Metropolitan Cathedral and the Iztapalapa Cathedral, and three former Catholic churches who are now the cathedrals of other rites, the San José de Gracia Cathedral (Anglican church), the Porta Coeli Cathedral (Melkite Greek Catholic church) and the Valvanera Cathedral (Maronite church).
Culture
Tourism
Mexico City is a destination for many foreign tourists. The Historic center of Mexico City (Centro Histórico) and the "floating gardens" of Xochimilco in the southern borough have been declared World Heritage Sites by UNESCO. Landmarks in the Historic Center include the Plaza de la Constitución (Zócalo), the main central square with its epoch-contrasting Spanish-era Metropolitan Cathedral and National Palace, ancient Aztec temple ruins Templo Mayor ("Major Temple") and modern structures, all within a few steps of one another. (The Templo Mayor was discovered in 1978 while workers were digging to place underground electric cables).
The most recognizable icon of Mexico City is the golden Angel of Independence on the wide, elegant avenue Paseo de la Reforma, modeled by the order of the Emperor Maximilian of Mexico after the Champs-Élysées in Paris. This avenue was designed over the Americas' oldest known major roadway in the 19th century to connect the National Palace (seat of government) with the Castle of Chapultepec, the imperial residence. Today, this avenue is an important financial district in which the Mexican Stock Exchange and several corporate headquarters are located. Another important avenue is the Avenida de los Insurgentes, which extends and is one of the longest single avenues in the world.
Chapultepec Park houses the Chapultepec Castle, now a museum on a hill that overlooks the park and its numerous museums, monuments and the national zoo and the National Museum of Anthropology (which houses the Aztec Calendar Stone). Another piece of architecture is the Palacio de Bellas Artes, a white marble theater/museum whose weight is such that it has gradually been sinking into the soft ground below. Its construction began during the presidency of Porfirio Díaz and ended in 1934, after being interrupted by the Mexican Revolution in the 1920s. The Plaza de las Tres Culturas, in this square are located the College of Santa Cruz de Tlatelolco, that is the first and oldest European school of higher learning in the Americas, and the archeological site of the city-state of Tlatelolco, and the shrine and Basilica of Our Lady of Guadalupe are also important sites. There is a double-decker bus, known as the "Turibus", that circles most of these sites, and has timed audio describing the sites in multiple languages as they are passed.
In addition, according to the Secretariat of Tourism, the city has about 170 museums—is among the top ten of cities in the world with highest number of museums—over 100 art galleries, and some 30 concert halls, all of which maintain a constant cultural activity during the whole year. Many areas (e.g. Palacio Nacional and the National Institute of Cardiology) have murals painted by Diego Rivera. He and his wife Frida Kahlo lived in Coyoacán, where several of their homes, studios, and art collections are open to the public. The house where Leon Trotsky was initially granted asylum and finally murdered in 1940 is also in Coyoacán.
In addition, there are several haciendas that are now restaurants, such as the San Ángel Inn, the Hacienda de Tlalpan, Hacienda de Cortés and the Hacienda de los Morales.
Art
Having been capital of a vast pre-Hispanic empire, and also the capital of richest viceroyalty within the Spanish Empire (ruling over a vast territory in the Americas and Spanish West Indies), and, finally, the capital of the United Mexican States, Mexico City has a rich history of artistic expression. Since the mesoamerican pre-Classical period the inhabitants of the settlements around Lake Texcoco produced many works of art and complex craftsmanship, some of which are today displayed at the world-renowned National Museum of Anthropology and the Templo Mayor museum. While many pieces of pottery and stone-engraving have survived, the great majority of the Amerindian iconography was destroyed during the Conquest of Mexico.
Much of the early colonial art stemmed from the Aztec codices, aiming to recover and preserve some Aztec and other Amerindian iconography and history. From then, artistic expressions in Mexico were mostly religious in theme. The Metropolitan Cathedral still displays works by Juan de Rojas, Juan Correa and an oil painting whose authorship has been attributed to Murillo. Secular works of art of this period include the equestrian sculpture of Charles IV of Spain, locally known as El Caballito ("The little horse"). This piece, in bronze, was the work of Manuel Tolsá and it has been placed at the Plaza Tolsá, in front of the Palacio de Mineria (Mining Palace). Directly in front of this building is the Museo Nacional de Arte (Munal) (the National Museum of Art).
During the 19th century, an important producer of art was the Academia de San Carlos (San Carlos Art Academy), founded during colonial times, and which later became the Escuela Nacional de Artes Plásticas (the National School of Arts) including painting, sculpture and graphic design, one of UNAM's art schools. Many of the works produced by the students and faculty of that time are now displayed in the Museo Nacional de San Carlos (National Museum of San Carlos). One of the students, José María Velasco, is considered one of the greatest Mexican landscape painters of the 19th century. Porfirio Díaz's regime sponsored arts, especially those that followed the French school. Popular arts in the form of cartoons and illustrations flourished, e.g. those of José Guadalupe Posada and Manuel Manilla. The permanent collection of the San Carlos Museum also includes paintings by European masters such as Rembrandt, Velázquez, Murillo, and Rubens.
After the Mexican Revolution, an avant-garde artistic movement originated in Mexico City: muralism. Many of the works of muralists José Clemente Orozco, David Alfaro Siqueiros and Diego Rivera are displayed in numerous buildings in the city, most notably at the National Palace and the Palacio de Bellas Artes. Frida Kahlo, wife of Rivera, with a strong nationalist expression, was also one of the most renowned of Mexican painters. Her house has become a museum that displays many of her works.
The former home of Rivera muse Dolores Olmedo houses the namesake museum. The facility is in Xochimilco borough in southern Mexico City and includes several buildings surrounded by sprawling manicured lawns. It houses a large collection of Rivera and Kahlo paintings and drawings, as well as living Xoloizcuintles (Mexican Hairless Dog). It also regularly hosts small but important temporary exhibits of classical and modern art (e.g. Venetian Masters and Contemporary New York artists).
During the 20th century, many artists immigrated to Mexico City from different regions of Mexico, such as Leopoldo Méndez, an engraver from Veracruz, who supported the creation of the socialist Taller de la Gráfica Popular (Popular Graphics Workshop), designed to help blue-collar workers find a venue to express their art. Other painters came from abroad, such as Catalan painter Remedios Varo and other Spanish and Jewish exiles. It was in the second half of the 20th century that the artistic movement began to drift apart from the Revolutionary theme. José Luis Cuevas opted for a modernist style in contrast to the muralist movement associated with social politics.
Museums
Mexico City has numerous museums dedicated to art, including Mexican colonial, modern and contemporary art, and international art. The Museo Tamayo was opened in the mid-1980s to house the collection of international contemporary art donated by Mexican painter Rufino Tamayo. The collection includes pieces by Picasso, Klee, Kandinsky, Warhol and many others, though most of the collection is stored while visiting exhibits are shown. The Museo de Arte Moderno is a repository of Mexican artists from the 20th century, including Rivera, Orozco, Siqueiros, Kahlo, Gerzso, Carrington, Tamayo, and also regularly hosts temporary exhibits of international modern art. In southern Mexico City, the Carrillo Gil Museum showcases avant-garde artists, as does the Museo Universitario Arte Contemporáneo, designed by Mexican architect Teodoro González de León, inaugurated in late 2008.
The Museo Soumaya, named after the wife of Mexican magnate Carlos Slim, has the largest private collection of original Rodin sculptures outside of France. It also has a large collection of Dalí sculptures, and recently began showing pieces in its masters collection including El Greco, Velázquez, Picasso and Canaletto. The museum inaugurated a new futuristic-design facility in 2011 just north of Polanco, while maintaining a smaller facility in Plaza Loreto in southern Mexico City. The Colección Júmex is a contemporary art museum located on the sprawling grounds of the Jumex juice company in the northern industrial suburb of Ecatepec. It has the largest private contemporary art collection in Latin America and hosts pieces from its permanent collection as well as traveling exhibits. The Museo de San Ildefonso, housed in the Antiguo Colegio de San Ildefonso in Mexico City's historic downtown district is a 17th-century colonnaded palace housing an art museum that regularly hosts world-class exhibits of Mexican and international art. The Museo Nacional de Arte is also located in a former palace in the historic center. It houses a large collection of pieces by all major Mexican artists of the last 400 years and also hosts visiting exhibits.
Jack Kerouac, the noted American author, spent extended periods of time in the city, and wrote his masterpiece volume of poetry Mexico City Blues here. Another American author, William S. Burroughs, also lived in Colonia Roma where he accidentally shot his wife.
Most of Mexico City's museums can be visited from Tuesday to Sunday from 10am to 5pm, although some of them have extended schedules, such as the Museum of Anthropology and History, which is open to 7pm. In addition to this, entrance to most museums are free on Sunday. In some cases a modest fee may be charged.
The Memory and Tolerance Museum, inaugurated in 2011, showcases historical events of discrimination and genocide. Permanent exhibits include those on the Holocaust and other large-scale atrocities. It also houses temporary exhibits; one on Tibet was inaugurated by the Dalai Lama in September 2011.
Music, theater and entertainment
Mexico City is home to a number of orchestras offering season programs. These include the Mexico City Philharmonic, which performs at the Sala Ollin Yoliztli; the National Symphony Orchestra, whose home base is the Palacio de Bellas Artes (Palace of the Fine Arts), a masterpiece of art nouveau and art decó styles; the Philharmonic Orchestra of the National Autonomous University of Mexico (OFUNAM), and the Minería Symphony Orchestra, both of which perform at the Sala Nezahualcóyotl, which was the first wrap-around concert hall of the world's western hemisphere when inaugurated in 1976. There are also many smaller ensembles that enrich the city's musical scene, including the Carlos Chávez Youth Symphony, the Cuarteto Latinoamericano, the New World Orchestra (Orquesta del Nuevo Mundo), the National Polytechnical Symphony and the Bellas Artes Chamber Orchestra (Orquesta de Cámara de Bellas Artes).
The city is also a leading center of popular culture and music. There are a multitude of venues hosting Spanish and foreign-language performers. These include the 10,000-seat National Auditorium that regularly schedules the Spanish and English-language pop and rock artists, as well as many of the world's leading performing arts ensembles, the auditorium also broadcasts grand opera performances from New York's Metropolitan Opera on giant, high definition screens. In 2007 National Auditorium was selected world's best venue by multiple genre media.
Other sites for pop-artist performances include the 3,000-seat Teatro Metropolitan, the 15,000-seat Palacio de los Deportes, and the larger 50,000-seat Foro Sol Stadium, where popular international artists perform on a regular basis. The Cirque du Soleil has held several seasons at the Carpa Santa Fe, in the Santa Fe district in the western part of the city. There are numerous venues for smaller musical ensembles and solo performers. These include the Hard Rock Live, Bataclán, Foro Scotiabank, Lunario, Circo Volador and Voilá Acoustique. Recent additions include the 20,000-seat Arena Ciudad de México, the 3,000-seat Pepsi Center World Trade Center, and the 2,500-seat Auditorio Blackberry.
The Centro Nacional de las Artes (National Center for the Arts has several venues for music, theater, dance. UNAM's main campus, also in the southern part of the city, is home to the Centro Cultural Universitario (the University Culture Center) (CCU). The CCU also houses the National Library, the interactive Universum, Museo de las Ciencias, the Sala Nezahualcóyotl concert hall, several theaters and cinemas, and the new University Museum of Contemporary Art (MUAC). A branch of the National University's CCU cultural center was inaugurated in 2007 in the facilities of the former Ministry of Foreign Affairs, known as Tlatelolco, in north-central Mexico City.
The José Vasconcelos Library, a national library, is located on the grounds of the former Buenavista railroad station in the northern part of the city.
The Papalote children's museum, which houses the world's largest dome screen, is located in the wooded park of Chapultepec, near the Museo Tecnológico, and La Feria amusement park. The theme park Six Flags México (the largest amusement park in Latin America) is located in the Ajusco neighborhood, in Tlalpan borough, southern Mexico City. During the winter, the main square of the Zócalo is transformed into a gigantic ice skating rink, which is said to be the largest in the world behind that of Moscow's Red Square.
The Cineteca Nacional (the Mexican Film Library), near the Coyoacán suburb, shows a variety of films, and stages many film festivals, including the annual International Showcase, and many smaller ones ranging from Scandinavian and Uruguayan cinema, to Jewish and LGBT-themed films. Cinépolis and Cinemex, the two biggest film business chains, also have several film festivals throughout the year, with both national and international movies. Mexico City has a number of IMAX theaters, providing residents and visitors access to films ranging from documentaries to blockbusters on these large screens.
Cuisine
Once considered plebeian fare, by the 19th century tacos had become a standard of Mexico City's cuisine. Furthermore, as authorities struggled to tax local taquerias, imposing licensing requirements and penalties, they recorded some details of the types of foods being served by these establishments. The most frequent reference was for tacos de barbacoa. Also mentioned are enchiladas, tacos de minero and gorditas, along with oyster shops and fried fish stands. There is evidence of some regional specialties being made available for recent migrants; at least two shops were known to serve pozole, a type of stew similar to hominy that is a staple of Guadalajara, Jalisco.
Mexico City is known for having some of the freshest fish and seafood in Mexico's interior. La Nueva Viga Market is the second largest seafood market in the world after the Tsukiji fish market in Japan.
Restaurants
Mexico City offers a variety of cuisines: restaurants specializing in the regional cuisines of Mexico's 31 states are available in the city, and the city also has several branches of internationally recognized restaurants. These include Paris' Au Pied de Cochon and Brasserie Lipp, Philippe (by Philippe Chow); Nobu, Quintonil, Morimoto; Pámpano, owned by Mexican-raised opera singer Plácido Domingo. There are branches of Japanese restaurant Suntory, Italian restaurant Alfredo, as well as New York steakhouses Morton's and The Palm, and Monte Carlo's BeefBar. Three of Lima's Haute restaurants, serving Peruvian cuisine, have locations in Mexico City: La Mar, Segundo Muelle and Astrid y Gastón.
For the 2019 list of World's 50 Best Restaurants as named by the British magazine Restaurant, Mexico City ranked 12th best with the Mexican avant-garde restaurant Pujol (owned by Mexican chef Enrique Olvera). Also notable is the Basque-Mexican fusion restaurant Biko (run and co-owned by Bruno Oteiza and Mikel Alonso), which placed outside the list at 59th, but in previous years has ranked within the top 50. Other that has been placed on the list in 2019 is the restaurant Sud 777 at 58th place.
At the other end of the scale are working class pulque bars known as pulquerías, a challenge for tourists to locate and experience.
Transportation
Public transportation
Mexico City has many modes of public transportation, from the metro (subway) system, to suburban rail, light rail, regular buses and minibusses (locally known as "peseros"), bus rapid transit (Metrobús and Mexibús—partially—systems), and trolleybuses, to bike share and cableways. In 2019, the graphic designer Lance Wyman was engaged to create an integrated map of the multimodal public transportation system; he presented a new logo for the Sistema de Movilidad Integrada, describing eight distinct modes of transportation. The head of the government, Claudia Sheinbaum, said the branding would be used for a new single payment card to streamline public transportation fare collection.
Metro
Mexico City is served by the Sistema de Transporte Colectivo, a metro system, which is the largest in Latin America. The first portions were opened in 1969 and it has expanded to 12 lines with 195 stations. The metro transports 4.4 million people every day. It is the 8th busiest metro system in the world, behind Tokyo (10.0 million), Beijing (9.3 million), Shanghai (7.8 million), Seoul (7.3 million), Moscow (6.7 million), Guangzhou (6.2 million), and New York City (4.9 million). It is heavily subsidized, and has some of the lowest fares in the world, each trip costing 5.00 pesos (roughly US$0.27) from 05:00 am to midnight. Several stations display pre-Columbian artifacts and architecture that were discovered during the metro's construction. However, the metro covers less than half of the total urban area. The Metro stations are also differentiated by the use of icons and glyphs which were created for the illiterate, a unique system that has become iconic characteristic of Mexico City. Each icon was developed based on historical (characters, sites, pre-Hispanic motifs), linguistic, symbolic (glyphs) or geographic references. A complementary system of icons was used for the Metrobús (BRT) stops.
Suburban rail
A suburban rail system, the Tren Suburbano serves the metropolitan area, beyond the reach of the metro, with only one line serving to municipalities such as Tlalnepantla and Cuautitlán Izcalli, but with future lines planned to serve e.g. Chalco and La Paz.
Peseros
Peseros are typically half-length passenger buses (known as microbús) that sit 22 passengers and stand up to 28. , the approximately 28,000 peseros carried up to 60 percent of the city's passengers. In August 2016, Mayor Mancera announced that new pesero vehicle and concessions would be eliminated completely unless they were ecologically friendly vehicles, and in October 2011 the city's Secretary of Mobility Héctor Serrano states that by the end of the current administration (2018) there would no longer by any peseros/microbuses circulating at all, and that new full-sized buses would take over the routes.
Mid-size buses
In 2014, the city launched so-called "Bus Rapid Service", with mid-sized Mercedes-Benz Boxer buses carrying 75–85 passengers painted purple-on-white, replacing 'peseros' on certain groups of routes. Operation is a concession to the private firms (SAUSA, COTOBUSA, TREPSA) instead of to individual vehicle operators.
Full-sized buses
City agency Red de Transporte de Pasajeros (RTP), formerly M1, operates various networks of large buses including regular, Ecobús, Circuito Bicentenario, Atenea, Express, school and night routes. In 2016, more bus routes were added to replace pesero routes.
In 2016, the SVBUS express bus service was launched, with limited stops and utilizing the city's toll roads on the second-level of the Periférico ring road and Supervía Poniente and connecting Toreo/Cuatro Caminos with Santa Fe, San Jerónimo Lídice and Tepepan near Xochimilco in the southeast.
Suburban buses also leave from the city's main intercity bus stations.
Bus rapid transit
The city's first bus rapid transit line, the Metrobús, began operation in June 2005, along Avenida Insurgentes. More and more lines opened and as of mid-2017 there are 6 routes with a 7th planned along Paseo de la Reforma to connect Santa Fe with the city center and points north. As each line opened, the 'pesero' minibuses were removed from each route, in order to reduce pollution and commute times. As of mid-2017, there were 568 Metrobús buses. In late 2016 they transported an average of 1.1 million passengers daily.
Mexibús provides 3 bus rapid transit lines connecting Metro Ciudad Azteca and Metro Pantitlán with Cuautitlán, Ecatepec and other suburban areas in the State of Mexico.
Trolleybus, light rail, streetcars
Electric transport other than the metro also exists, in the form of several Mexico City trolleybus routes and the Xochimilco Light Rail line, both of which are operated by Servicio de Transportes Eléctricos. The central area's last streetcar line (tramway, or tranvía) closed in 1979.
Roads and car transport
In the late 1970s many arterial roads were redesigned as ejes viales; high-volume one-way roads that cross, in theory, Mexico City proper from side to side. The eje vial network is based on a quasi-Cartesian grid, with the ejes themselves being called Eje 1 Poniente, Eje Central, and Eje 1 Oriente, for example, for the north–south roads, and Eje 2 Sur and Eje 3 Norte, for example, for east–west roads. Ring roads are the Circuito Interior (inner ring), Anillo Periférico; the Circuito Exterior Mexiquense ("State of Mexico outer loop") toll road skirting the northeastern and eastern edges of the metropolitan area, the Chamapa-La Venta toll road skirting the northwestern edge, and the Arco Norte completely bypassing the metropolitan area in an arc from northwest (Atlacomulco) to north (Tula, Hidalgo) to east (Puebla). A second level (where tolls are charged) of the Periférico, colloquially called the segundo piso ("second floor"), was officially opened in 2012, with sections still being completed. The Viaducto Miguel Alemán crosses the city east–west from Observatorio to the airport. In 2013 the Supervía Poniente opened, a toll road linking the new Santa Fe business district with southwestern Mexico City.
There is an environmental program, called Hoy No Circula ("Today Does Not Run", or "One Day without a Car"), whereby vehicles that have not passed emissions testing are restricted from circulating on certain days according to the ending digit of their license plates; this in an attempt to cut down on pollution and traffic congestion. While in 2003, the program still restricted 40% of vehicles in the metropolitan area, with the adoption of stricter emissions standards in 2001 and 2006, in practice, these days most vehicles are exempt from the circulation restrictions as long as they pass regular emissions tests.
Parking
Street parking in urban neighborhoods is mostly controlled by the franeleros a.k.a. "viene vienes" (lit. "come on, come on"), who ask drivers for a fee to park. Double parking is common (with franeleros moving the cars as required), impeding on the available lanes for traffic to pass. In order to mitigate that and other problems and to raise revenue, 721 parking meters (as of October 2013), have been installed in the west-central neighborhoods Lomas de Chapultepec, Condesa, Roma, Polanco and Anzures, in operation from 8 AM to 8 PM on weekdays and charging a rate of 2 pesos per 15 minutes, with offenders' cars booted, costing about 500 pesos to remove. 30 percent of the monthly 16 million-peso (as of October 2013) income from the parking-meter system (named "ecoParq") is earmarked for neighborhood improvements. The granting of the license for all zones exclusively to a new company without experience in operating parking meters, Operadora de Estacionamientos Bicentenario, has generated controversy.
Cycling
The local government continuously strives for a reduction of massive traffic congestion, and has increased incentives for making a bicycle-friendly city. This includes North America's second-largest bicycle sharing system, Ecobici, launched in 2010, in which registered residents can get bicycles for 45 minutes with a pre-paid subscription of 300 pesos a year. There are, as of September 2013, 276 stations with 4,000 bicycles across an area stretching from the Historic center to Polanco. within of one another and are fully automatic using a transponder based card. Bicycle-service users have access to several permanent Ciclovías (dedicated bike paths/lanes/streets), including ones along Paseo de la Reforma and Avenida Chapultepec as well as one running from Polanco to Fierro del Toro, which is located south of Cumbres del Ajusco National Park, near the Morelos state line. The city's initiative is inspired by forward thinking examples, such as Denmark's Copenhagenization.
Intercity buses
The city has four major bus stations (North, South, Observatorio, TAPO), which comprise one of the world's largest transportation agglomerations, with bus service to many cities across the country and international connections. There are some intercity buses that leave directly from the Mexico City International Airport.
Airports
Mexico City is served by Mexico City International Airport (IATA Airport Code: MEX). This airport is Latin America's busiest, with daily flights to United States and Canada, Mexico, Central America and the Caribbean, South America, Europe and Asia. Aeroméxico (Skyteam) is based at this airport, and provide codeshare agreements with non-Mexican airlines that span the entire globe. The airport is also a hub for Volaris, Interjet and Aeromar.
In 2016, the airport handled almost 42 million passengers, about 3.3 million more than the year before. This traffic exceeds the capacity of the airport, which has historically centralized the majority of air traffic in the country. An alternate option is Lic. Adolfo López Mateos International Airport (IATA Airport Code: TLC) in nearby Toluca, State of Mexico, although due to several airlines' decisions to terminate service to TLC, the airport has seen a passenger drop to just over 700,000 passengers in 2014 from over 2.1 million passengers just four years prior.
In the Mexico City airport, the government engaged in an extensive restructuring program that includes the addition of a new second terminal, which began operations in 2007, and the enlargement of four other airports (at the nearby cities of Toluca, Querétaro, Puebla and Cuernavaca) that, along with Mexico City's airport, comprise the Grupo Aeroportuario del Valle de México, distributing traffic to different regions in Mexico. The city of Pachuca will also provide additional expansion to central Mexico's airport network.
Education
In the Plaza de las Tres Culturas is the Colegio de Santa Cruz de Tlatelolco that is recognized for being the first and oldest European school of higher learning in the Americas and the first major school of interpreters and translators in the New World. Other, the now-defunct Royal and Pontifical University of Mexico is considered the father of the UNAM, and it was located in the city and was the third oldest university in the Americas.
The National Autonomous University of Mexico (UNAM), located in Mexico City, is the largest university on the continent, with more than 300,000 students from all backgrounds. Three Nobel laureates, several Mexican entrepreneurs and most of Mexico's modern-day presidents are among its former students. UNAM conducts 50% of Mexico's scientific research and has presence all across the country with satellite campuses, observatories and research centers. UNAM ranked 74th in the Top 200 World University Ranking published by Times Higher Education (then called Times Higher Education Supplement) in 2006, making it the highest ranked Spanish-speaking university in the world. The sprawling main campus of the university, known as Ciudad Universitaria, was named a World Heritage Site by UNESCO in 2007.
The second largest higher-education institution is the National Polytechnic Institute (IPN), which includes among many other relevant centers the Centro de Investigación y de Estudios Avanzados (Cinvestav), where varied high-level scientific and technological research is done. Other major higher-education institutions in the city include the Metropolitan Autonomous University (UAM), the National School of Anthropology and History (ENAH), the Instituto Tecnológico Autónomo de México (ITAM), the Monterrey Institute of Technology and Higher Education (3 campuses), the Universidad Panamericana (UP), the Universidad La Salle, the Universidad del Valle de México (UVM), the Universidad Anáhuac, Simón Bolívar University (USB), the Alliant International University, the Universidad Iberoamericana, El Colegio de México (Colmex), Escuela Libre de Derecho and the Centro de Investigación y Docencia Económica, (CIDE).
In addition, the prestigious University of California maintains a campus known as "Casa de California" in the city. The Universidad Tecnológica de México is also in Mexico City.
Unlike those of Mexican states' schools, curricula of Mexico City's public schools is managed by the federal Secretary of Public Education. The whole funding is allocated by the government of Mexico City (in some specific cases, such as El Colegio de México, funding comes from both the city's government and other public and private national and international entities). The city's public high school system is the Instituto de Educación Media Superior de la Ciudad de México (IEMS-DF).
A special case is that of El Colegio Nacional, created during the district's governmental period of Miguel Alemán Valdés to have, in Mexico, an institution similar to the College of France. The select and privileged group of Mexican scientists and artists belonging to this institution—membership is for life—include, among many, Mario Lavista, Ruy Pérez Tamayo, José Emilio Pacheco, Marcos Moshinsky (d.2009), Guillermo Soberón Acevedo. Members are obligated to publicly disclose their works through conferences and public events such as concerts and recitals.
Among its many public and private schools (K–13), the city offers multi-cultural, multi-lingual and international schools attended by Mexican and foreign students. Best known are the Colegio Alemán (German school with three main campuses), the Liceo Mexicano Japonés (Japanese), the Centro Cultural Coreano en México (Korean), the Lycée Franco-Mexicain (French), the American School, The Westhill Institute (American School), the Edron Academy and the Greengates School (British).
Shopping
Mexico City offers an immense and varied consumer retail market, ranging from basic foods to ultra high-end luxury goods. Consumers may buy in fixed indoor markets, in mobile markets (tianguis), from street vendors, from downtown shops in a street dedicated to a certain type of good, in convenience stores and traditional neighborhood stores, in modern supermarkets, in warehouse and membership stores and the shopping centers that they anchor, in department stores, in big-box stores, and in modern shopping malls.
In addition, "tianguis" or mobile markets set up shop on streets in many neighborhoods, depending on day of week. Sundays see the largest number of these markets.
Traditional markets
The city's main source of fresh produce is the Central de Abasto. This in itself is a self-contained mini-city in Iztapalapa borough covering an area equivalent to several dozen city blocks. The wholesale market supplies most of the city's "mercados", supermarkets and restaurants, as well as people who come to buy the produce for themselves. Tons of fresh produce are trucked in from all over Mexico every day.
The principal fish market is known as La Nueva Viga, in the same complex as the Central de Abastos. The world-renowned market of Tepito occupies 25 blocks, and sells a variety of products.
A staple for consumers in the city is the omnipresent "mercado". Every major neighborhood in the city has its own borough-regulated market, often more than one. These are large well-established facilities offering most basic products, such as fresh produce and meat/poultry, dry goods, tortillerías, and many other services such as locksmiths, herbal medicine, hardware goods, sewing implements; and a multitude of stands offering freshly made, home-style cooking and drinks in the tradition of aguas frescas and atole.
Street vendors
Street vendors ply their trade from stalls in the tianguis as well as at non-officially controlled concentrations around metro stations and hospitals; at plazas comerciales, where vendors of a certain "theme" (e.g. stationery) are housed; originally these were organized to accommodate vendors formerly selling on the street; or simply from improvised stalls on a city sidewalk. In addition, food and goods are sold from people walking with baskets, pushing carts, from bicycles or the backs of trucks, or simply from a tarp or cloth laid on the ground. In the center of the city informal street vendors are increasingly targeted by laws and prosecution. The weekly San Felipe de Jesús Tianguis is reported to be the largest in Latin America.
Downtown shopping
The Historic Center of Mexico City is widely known for specialized, often low-cost retailers. Certain blocks or streets are dedicated to shops selling a certain type of merchandise, with areas dedicated to over 40 categories such as home appliances, lamps and electricals, closets and bathrooms, housewares, wedding dresses, jukeboxes, printing, office furniture and safes, books, photography, jewelry, and opticians. The main department stores are also represented downtown.
Traditional markets downtown include the La Merced Market; the Mercado de Jamaica specializes in fresh flowers, the Mercado de Sonora in the occult, and La Lagunilla in furniture.
Ethnic shopping areas are located in Chinatown, downtown along Calle Dolores, but Mexico City's Koreatown, or Pequeño Seúl, is located in the Zona Rosa.
Supermarkets and neighborhood stores
Large, modern chain supermarkets, hypermarkets and warehouse clubs including Soriana, Comercial Mexicana, Chedraui, Bodega Aurrerá, Walmart and Costco, are located across the city. Many anchor shopping centers that contain smaller shops, services, a food court and sometimes cinemas.
Small "mom-and-pop" corner stores ("abarroterías" or more colloquially as "changarros") abound in all neighborhoods, rich and poor. These are small shops offering basics such as soft drinks, packaged snacks, canned goods and dairy products. Thousands of C-stores or corner stores, such as Oxxo, 7-Eleven and Extra are located throughout the city.
Parks and recreation
Chapultepec, the city's most iconic public park, has history back to the Aztec emperors who used the area as a retreat. It is south of Polanco district, and houses the Chapultepec Zoo the main city's zoo, several ponds and seven museums, including the National Museum of Anthropology.
Other iconic city parks include the Alameda Central historic center, a city park since colonial times and renovated in 2013; Parque México and Parque España in the hip Condesa district; Parque Hundido and Parque de los Venados in Colonia del Valle, and Parque Lincoln in Polanco. There are many smaller parks throughout the city. Most are small "squares" occupying two or three square blocks amid residential or commercial districts.
Several other larger parks such as the Bosque de Tlalpan and Viveros de Coyoacán, and in the east Alameda Oriente, offer many recreational activities. Northwest of the city is a large ecological reserve, the Bosque de Aragón. In the southeast is the Xochimilco Ecological Park and Plant Market, a World Heritage site. West of Santa Fe district are the pine forests of the Desierto de los Leones National Park.
Amusement parks include Six Flags México, in Ajusco neighborhood which is the largest in Latin America. There are numerous seasonal fairs present in the city.
Mexico City has three zoos. Chapultepec Zoo, the San Juan de Aragon Zoo and Los Coyotes Zoo. Chapultepec Zoo is located in the first section of Chapultepec Park in the Miguel Hidalgo. It was opened in 1924. Visitors can see about 243 specimens of different species including kangaroos, giant panda, gorillas, caracal, hyena, hippos, jaguar, giraffe, lemur, lion, among others. Zoo San Juan de Aragon is near the San Juan de Aragon Park in the Gustavo A. Madero. In this zoo, opened in 1964, there are species that are in danger of extinction such as the jaguar and the Mexican wolf. Other guests are the golden eagle, pronghorn, bighorn sheep, caracara, zebras, African elephant, macaw, hippo, among others. Zoo Los Coyotes is a 27.68-acre (11.2 ha) zoo located south of Mexico City in the Coyoacan. It was inaugurated on 2 February 1999. It has more than 301 specimens of 51 species of wild native or endemic fauna from the area, featuring eagles, ajolotes, coyotes, macaws, bobcats, Mexican wolves, raccoons, mountain lions, teporingos, foxes, white-tailed deer.
Sports
Association football is the country's most popular and most televized franchized sport. Its important venues in Mexico City include the Azteca Stadium, home to the Mexico national football team and giants América, which can seat 91,653 fans, making it the biggest stadium in Latin America. The Olympic Stadium in Ciudad Universitaria is home to the football club giants Universidad Nacional, with a seating capacity of over 52,000. The Estadio Azul, which seats 33,042 fans, is near the World Trade Center Mexico City in the Nochebuena neighborhood, and is home to the giants Cruz Azul. The three teams are based in Mexico City and play in the First Division; they are also part, with Guadalajara-based giants Club Deportivo Guadalajara, of Mexico's traditional "Big Four" (though recent years have tended to erode the teams' leading status at least in standings).
The country hosted the FIFA World Cup in 1970 and 1986, and Azteca Stadium is the first stadium in World Cup history to host the final twice.
Mexico City is the first Latin American city to host the Olympic Games, having held the Summer Olympics in 1968, winning bids against Buenos Aires, Lyon and Detroit. The city hosted the 1955 and 1975 Pan American Games, the last after Santiago and São Paulo withdrew.
The ICF Flatwater Racing World Championships were hosted here in 1974 and 1994. Lucha libre is a Mexican style of wrestling, and is one of the more popular sports throughout the country. The main venues in the city are Arena México and Arena Coliseo.
The Autódromo Hermanos Rodríguez is the main venue for motorsport, and hosts the Formula 1 Mexican Grand Prix since its return to the sport in 2015, the event being held in the past from 1962 to 1970, and again from 1986 to 1992. From 1980 to 1981 and again from 2002 to 2007, the circuit hosted the Champ Car World Series Gran Premio de México. Beginning in 2005, the NASCAR Nationwide Series ran the Telcel-Motorola México 200. 2005 also marked the first running of the Mexico City 250 by the Grand-Am Rolex Sports Car Series. Both races were removed from their series' schedules for 2009.
Baseball is another sport played professionally in the city. Mexico City is home of the Mexico City Red Devils of the Mexican League, which is considered a Triple-A league by Major League Baseball. The Devils play their home games at Estadio Alfredo Harp Helú designed by international Mexican-American architect FGP Atelier Founder Francisco Gonzalez Pulido in collaboration with local architect Taller ADG. Mexico City has some 10 Little Leagues for young baseball players.
In 2005, Mexico City became the first city to host an NFL regular season game outside of the United States, at the Azteca Stadium. The crowd of 103,467 people attending this game was the largest ever for a regular season game in NFL history until 2009. The city has also hosted several NBA pre-season games and has hosted international basketball's FIBA Americas Championship, along with north-of-the-border Major League Baseball exhibition games at Foro Sol. In 2017, NBA commissioner Adam Silver expressed interest in placing an NBA G League expansion team in Mexico City as early as 2018. This came to fruition on 12 December 2019 when commissioner Silver announced at a press conference in Mexico City Arena that LNBP team, Capitanes de Ciudad de México will be joining the G League in the 2020–21 season on a five-year agreement.
Other sports facilities in Mexico City are the Palacio de los Deportes indoor arena, Francisco Márquez Olympic Swimming Pool, the Hipódromo de Las Américas, the Agustin Melgar Olympic Velodrome, and venues for equestrianism and horse racing, ice hockey, rugby, American-style football, baseball, and basketball.
Bullfighting takes place every Sunday during bullfighting season at the 50,000-seat Plaza México, the world's largest bullring.
Mexico City's golf courses have hosted Women's LPGA action, and two Men's Golf World Cups. Courses throughout the city are available as private as well as public venues.
Media
Mexico City is Latin America's leading center for the television, music and film industries. It is also Mexico's most important for the printed media and book publishing industries. Dozens of daily newspapers are published, including El Universal, Excélsior, Reforma and La Jornada. Other major papers include Milenio, Crónica, El Economista and El Financiero. Leading magazines include Expansión, Proceso, Poder, as well as dozens of entertainment publications such as Vanidades, Quién, Chilango, TV Notas, and local editions of Vogue, GQ, and Architectural Digest.
It is also a leading center of the advertizing industry. Most international ad firms have offices in the city, including Grey, JWT, Leo Burnett, Euro RSCG, BBDO, Ogilvy, Saatchi & Saatchi, and McCann Erickson. Many local firms also compete in the sector, including Alazraki, Olabuenaga/Chemistri, Terán, Augusto Elías, and Clemente Cámara, among others. There are 60 radio stations operating in the city and many local community radio transmission networks.
The two largest media companies in the Spanish-speaking world, Televisa and TV Azteca, are headquartered in Mexico City. Other local television channels include:
XHDF 1 (Azteca Uno),
XEW 2 (Televisa W),
XHCTMX 3,
XHTV 4,
XHGC 5,
XHTDMX 6,
XHIMT 7,
XEQ 9,
XEIPN 11,
XHUNAM 20,
XHCDM 21,
XEIMT 22,
XHTRES 28,
XHTVM 40 and
XHHCU 45.
Nicknames and mottos
Mexico City was traditionally known as La Ciudad de los Palacios ("the City of the Palaces"), a nickname attributed to Baron Alexander von Humboldt when visiting the city in the 19th century, who, sending a letter back to Europe, said Mexico City could rival any major city in Europe. But it was English politician Charles Latrobe who really penned the following: "... look at their works: the moles, aqueducts, churches, roads—and the luxurious City of Palaces which has risen from the clay-builts ruins of Tenochtitlan...", on page 84 of the Letter V of The Rambler in Mexico.
During all the colony the city's motto was "Muy Noble e Insigne, Muy Leal e Imperial" (Very Noble and Distinguished, Very Loyal and Imperial).
During Andrés López Obrador's administration a political slogan was introduced: la Ciudad de la Esperanza ("The City of Hope"). This motto was quickly adopted as a city nickname but has faded since the new motto, Capital en Movimiento ("Capital in Movement"), was adopted by the administration headed by Marcelo Ebrard, though the latter is not treated as often as a nickname in media. Since 2013, to refer to the City particularly in relation to government campaigns, the abbreviation CDMX has been used (from Ciudad de México), prior to this but recently, the abbreviation was "the DF" (from Distrito Federal de México).
The city is colloquially known as Chilangolandia after the locals' nickname chilangos. Chilango is used pejoratively by people living outside Mexico City to "connote a loud, arrogant, ill-mannered, loutish person". For their part those living in Mexico City designate insultingly those who live elsewhere as living in la provincia ("the provinces", the periphery) and many proudly embrace the term chilango. Residents of Mexico City are more recently called defeños (deriving from the postal abbreviation of the Federal District in Spanish: D.F., which is read "De-Efe"). They are formally called capitalinos (in reference to the city being the capital of the country), but "[p]erhaps because capitalino is the more polite, specific, and correct word, it is almost never utilized".
International relations
Twin towns – sister cities
Mexico City is twinned with:
Cusco, Peru, 1987
Havana, Cuba, 1997
Quito, Ecuador, 1999
Tegucigalpa, Honduras, 1999
San Antonio de los Baños, Cuba, 1999
Cerro (Havana), Cuba, 1999
San José, Costa Rica, 2000
Buenos Aires, Argentina, 2006
Nagoya, Japan, 2007
Los Angeles, United States, 2007
Cádiz, Spain, 2009
Beijing, China, 2009
Istanbul, Turkey, 2010
Kuwait City, Kuwait, 2011
Chicago, United States
Multi-thematic agreement
Mexico City has agreements of multi-thematic co-operation with:
Berlin, Germany, 1996
Kyiv, Ukraine, 1997
Barcelona, Spain, 1999
Paris, France, 1999
San Pedro Sula, Honduras, 1999
Pennsylvania, USA, 1999
San Salvador, El Salvador, 1999
Wallonia, Belgium, 2001
Seoul, South Korea, 2010
Guangzhou, China, 2010
Moscow, Russia, 2014
Dublin, Ireland, 2015
Phoenix, United States, 2015
Quebec, Canada, 2015
Tegucigalpa, Honduras, 2017
Madrid, Spain, 2017
Union of Ibero-American Capital Cities
Mexico City also is a part of the Union of Ibero-American Capital Cities.
See also
List of pre-columbian archaeological sites in Mexico City
List of colonial churches in Mexico City
Cuisine of Mexico City
Six Flags México
Gentrification of Mexico City
Greater Mexico City
Historic center of Mexico City
Large Cities Climate Leadership Group
Largest cities in the Americas
Metropolitan areas of Mexico
Outline of Mexico
World's largest cities
Notes
References
External links
Mexico City Government
Mexico City Tourism Ministry
Cities in Mexico
Subdivisions of Mexico
Nahua settlements
Mexico City metropolitan area
1520s establishments in Mexico
1521 establishments in New Spain
1521 in Mexico
Articles containing video clips
Capital districts and territories
Capitals in North America
Populated places established in 1521 |
18989 | https://en.wikipedia.org/wiki/Merlot | Merlot | Merlot is a dark blue–colored wine grape variety, that is used as both a blending grape and for varietal wines. The name Merlot is thought to be a diminutive of merle, the French name for the blackbird, probably a reference to the color of the grape. Its softness and "fleshiness", combined with its earlier ripening, makes Merlot a popular grape for blending with the sterner, later-ripening Cabernet Sauvignon, which tends to be higher in tannin.
Along with Cabernet Sauvignon, Cabernet Franc, Malbec and Petit Verdot, Merlot is one of the primary grapes used in Bordeaux wine, and it is the most widely planted grape in the Bordeaux wine regions. Merlot is also one of the most popular red wine varietals in many markets. This flexibility has helped to make it one of the world's most planted grape varieties. As of 2004, Merlot was estimated to be the third most grown variety at globally.
The area planted to Merlot has continued to increase, with in 2015.
While Merlot is made across the globe, there tend to be two main styles. The "International style" favored by many New World wine regions tends to emphasize late harvesting to gain physiological ripeness and produce inky, purple colored wines that are full in body with high alcohol and lush, velvety tannins with intense, plum and blackberry fruit. While this international style is practiced by many Bordeaux wine producers, the traditional "Bordeaux style" of Merlot involves harvesting Merlot earlier to maintain acidity and producing more medium-bodied wines with moderate alcohol levels that have fresh, red fruit flavors (raspberries, strawberries) and potentially leafy, vegetal notes.
History and name
The earliest recorded mention of Merlot (under the synonym of Merlau) was in the notes of a local Bordeaux official who in 1784 labeled wine made from the grape in the Libournais region as one of the area's best. In 1824, the word Merlot itself appeared in an article on Médoc wine where it was described that the grape was named after the local black bird (called merlau in the local variant of Occitan language, merle in standard) who liked eating the ripe grapes on the vine. Other descriptions of the grape from the 19th century called the variety lou seme doù flube (meaning "the seedling from the river") with the grape thought to have originated on one of the islands found along the Garonne river.
By the 19th century it was being regularly planted in the Médoc on the "Left Bank" of the Gironde. After a series of setbacks that includes a severe frost in 1956 and several vintages in the 1960s lost to rot, French authorities in Bordeaux banned new plantings of Merlot vines between 1970 and 1975.
It was first recorded in Italy around Venice under the synonym Bordò in 1855. The grape was introduced to the Swiss, from Bordeaux, sometime in the 19th century and was recorded in the Swiss canton of Ticino between 1905 and 1910. In the 1990s, Merlot saw an upswing of popularity in the United States. Red wine consumption, in general, increased in the US following the airing of the 60 Minutes report on the French Paradox and the potential health benefits of wine and, possibly, the chemical resveratrol. The popularity of Merlot stemmed in part from the relative ease in pronouncing the name of the wine as well as its softer, fruity profile that made it more approachable to some wine drinkers.
Parentage and relationship to other grapes
In the late 1990s, researchers at University of California, Davis, showed that Merlot is an offspring of Cabernet Franc and is a half-sibling of Carménère, Malbec and Cabernet Sauvignon. The identity of the second parent of Merlot wouldn't be discovered till the late 2000s when an obscure and unnamed variety, first sampled in 1996 from vines growing in an abandoned vineyard in Saint-Suliac in Brittany, was shown by DNA analysis to be the mother of Merlot.
This grape, later discovered in front of houses as a decorative vine in the villages of Figers, Mainxe, Saint-Savinien and Tanzac in the Poitou-Charentes, was colloquially known as Madeleina or Raisin de La Madeleine due to its propensity to be fully ripe and ready for harvest around the July 22nd feast day of Mary Magdalene. As the connection to Merlot became known, the grape was formally registered under the name Magdeleine Noire des Charentes. Through its relationship with Magdeleine Noire des Charentes, Merlot is related to the Southwest France wine grape Abouriou, though the exact nature of that relationship (with Abouriou potentially being either a parent of Magdeleine Noire or an offspring) is not yet known.
Grape breeders have used Merlot crossed with other grapes to create several new varieties including Carmine (an Olmo grape made by crossing a Carignan x Cabernet Sauvignon cross with Merlot), Ederena (with Abouriou), Evmolpia (with Mavrud), Fertilia (with Raboso Veronese), Mamaia (a Romanian wine grape made by crossing a Muscat Ottonel x Babeasca negra cross with Merlot), Nigra (with Barbera), Prodest (with Barbera) and Rebo (with Teroldego).
Over the years, Merlot has spawned a color mutation that is used commercially, a pink-skinned variety known as Merlot gris. However, unlike the relationship between Grenache noir and Grenache blanc or Pinot noir and Pinot blanc, the variety known as Merlot blanc is not a color mutation but rather an offspring variety of Merlot crossing with Folle blanche.
Viticulture
Merlot grapes are identified by their loose bunches of large berries. The color has less of a blue/black hue than Cabernet Sauvignon grapes and with a thinner skin and fewer tannins per unit volume. It normally ripens up to two weeks earlier than Cabernet Sauvignon. Also compared to Cabernet, Merlot grapes tend to have a higher sugar content and lower malic acid. Ampelographer J.M. Boursiquot has noted that Merlot has seemed to inherit some of the best characteristics from its parent varieties—its fertility and easy ripening ability from Magdeleine Noire des Charentes and its color, tannin and flavor phenolic potential from Cabernet Franc.
Merlot thrives in cold soil, particularly ferrous clay. The vine tends to bud early which gives it some risk to cold frost and its thinner skin increases its susceptibility to the viticultural hazard of Botrytis bunch rot. If bad weather occurs during flowering, the Merlot vine is prone to develop coulure. The vine can also be susceptible to downy mildew (though it has better resistance to powdery mildew than other Bordeaux varieties) and to infection by leafhopper insect varieties.
Water stress is important to the vine with it thriving in well-drained soil more so than at base of a slope. Pruning is a major component to the quality of the wine that is produced with some producing believing it is best to prune the vine "short" (cutting back to only a few buds). Wine consultant Michel Rolland is a major proponent of reducing the yields of Merlot grapes to improve quality. The age of the vine is also important, with older vines contributing character to the resulting wine.
A characteristic of the Merlot grape is the propensity to quickly overripen once it hits its initial ripeness level, sometimes in a matter of a few days. There are two schools of thought on the right time to harvest Merlot. The wine makers of Château Pétrus favor early picking to best maintain the wine's acidity and finesse as well as its potential for aging. Others, such as Rolland, favor late picking and the added fruit body that comes with a little bit of over-ripeness.
Wine regions
Merlot is one of the world's most widely planted grape variety with plantings of the vine outpacing even the more well-known Cabernet Sauvignon in many regions, including the grape's homeland of France. Here, France is home to nearly two thirds of the world's total plantings of Merlot. Beyond France it is also grown in Italy (where it is the country's 5th most planted grape), Algeria, California, Romania, Australia, Argentina, Bulgaria, Canada, Chile, Greece, New Zealand, South Africa, Switzerland, Croatia, Hungary, Montenegro, Slovenia, Mexico and other parts of the United States such as Washington, Virginia and Long Island. It grows in many regions that also grow Cabernet Sauvignon but tends to be cultivated in the cooler portions of those areas. In areas that are too warm, Merlot will ripen too early.
In places like Israel, Merlot is the second most widely planted grape variety after Cabernet Sauvignon with in cultivation, making very "New World-style" wines. The grape can also be found in Turkey with in 2010 as well as Malta and Cyprus.
France
Merlot is the most commonly grown grape variety in France. In 2004, total French plantations stood at . By 2009, that number had risen slightly to . It is most prominent in Southwest France in regions like Bordeaux, Bergerac and Cahors where it is often blended with Malbec. The largest recent increase in Merlot plantations has occurred in the south of France, such as Languedoc-Roussillon, where it is often made under the designation of Vin de Pays wine. Here, Merlot accounted for , more than doubling the devoted to Cabernet Sauvignon in the Languedoc.
In the traditional Bordeaux blend, Merlot's role is to add body and softness. Despite accounting for 50-60% of overall plantings in Bordeaux, the grape tends to account for an average of 25% of the blends—especially in the Bordeaux wine regions of Graves and Médoc. Of these Left Bank regions, the commune of St-Estephe uses the highest percentage of Merlot in the blends. However, Merlot is much more prominent on the Right Bank of the Gironde in the regions of Pomerol and Saint-Émilion, where it will commonly comprise the majority of the blend. One of the most famous and rare wines in the world, Château Pétrus, is almost all Merlot. In Pomerol, where Merlot usually accounts for around 80% of the blend, the iron-clay soils of the region give Merlot more of a tannic backbone than what is found in other Bordeaux regions. It was in Pomerol that the garagistes movement began with small-scale production of highly sought after Merlot-based wines. In the sandy, clay-limestone-based soils of Saint-Émilion, Merlot accounts for around 60% of the blend and is usually blended with Cabernet Franc. In limestone, Merlot tends to develop more perfume notes while in sandy soils the wines are generally softer than Merlot grown in clay dominant soils.
Merlot can also be found in significant quantities in Provence, Loire Valley, Savoie, Ardèche, Charente, Corrèze, Drôme, Isère and Vienne.
Italy
In Italy, there were of the grape planted in 2000 with more than two-thirds of Italian Merlot being used in Indicazione geografica tipica (IGT) blends (such as the so-called "Super Tuscans") versus being used in classified Denominazione di origine controllata (DOC) or Denominazione di Origine Controllata e Garantita (DOCG) wines. A large portion of Merlot is planted in the Friuli wine region where it is made as a varietal or sometimes blended with Cabernet Sauvignon or Cabernet Franc. In other parts of Italy, such as the Maremma coast in Tuscany, it is often blended with Sangiovese to give the wine a similar softening effect as the Bordeaux blends.
Italian Merlots are often characterized by their light bodies and herbal notes. Merlot's low acidity serves as a balance for the higher acidity in many Italian wine grapes with the grape often being used in blends in the Veneto, Alto Adige and Umbria. Global warming is potentially having an influence on Italian Merlot as more cooler-climate regions in northern Italy are being able to ripen the grape successfully while other regions already planted are encountering issues with over-ripeness.
According to Master of Wine Jancis Robinson, some of the higher quality Italian Merlots are often from vineyards planted with cuttings sourced from France. Robinson describes the style of Fruili Merlots from regarded estates as having potentially a "Pomerol-quality" to them while Merlots from the warm plains of the Veneto can often be over-ripe with high yields giving them a "sweet and sour" quality. Robinson notes that the Merlots from Trentino-Alto-Adige can fall somewhere between those of Friuli and the Veneto.
The Strada del Merlot is a popular tourist route through Italian Merlot regions along the Isonzo river.
Spain
In the hot continental climate of many of Spain's major wine regions, Merlot is less valued than it is in the damp maritime climate of Bordeaux or the warm Mediterranean climate of the Tuscan coast. But as the popularity of international varieties continue to grow on the world wine market, Spanish wine producers have been experimenting with the variety with even winemakers in Rioja petitioning authorities to allow Merlot to be a permitted grape to be blended with Tempranillo in the red wines of the region.
In 2008, there were of Merlot, a significant increase from the that were being cultivated in the country only 4 years earlier. In 2015, this had dropped slightly to , making Merlot the eighth most planted red grape variety in Spain. The largest concentration of the grape is in the Mediterranean climate of Catalonia and the continental climate of Castilla–La Mancha, with significant plantings also in Navarra and Aragon. In Costers del Segre, the grape is often used in Bordeaux-style blends while in Aragon, Navarra, and Castilla-La Mancha it is sometimes blended with Tempranillo and other local Spanish wine grape varieties.
Central Europe
In Germany, there were of Merlot growing in 2008 with the grape mostly planted in the warmer German wine regions of the Palatinate and Rheinhessen.
In Switzerland, Merlot accounts for nearly 85% of the wine production in Ticino where it is often made in a pale "white Merlot" style. In 2009, there were plantings of Swiss Merlot.
Plantings of Merlot have increased in recent years in the Austrian wine region of Burgenland where vineyards previously growing Welschriesling are being uprooted to make room for more plantings. The grape still lags behind its parent variety, Cabernet Franc, with in cultivation in 2008. Outside of Burgenland, nearly half of all Austrian Merlot plantings are found in Lower Austria.
Rest of Europe
In the Eastern European countries of Bulgaria, Moldova, Croatia and Romania, Merlot is often produced as a full bodied wine that can be very similar to Cabernet Sauvignon. In Bulgaria, plantings of Merlot lag slightly behind Cabernet Sauvignon with in 2009 while Croatia had . In the Czech Republic, most of the country's were found in Moravia while Moldova had in 2009.
In Slovenia, Merlot was the most widely planted grape variety of any color in the Vipava Valley in the Slovene Littoral and the second most widely planted variety in the Gorizia Hills located across the Italian border from Friuli. In the Slovene Littoral, collectively, Merlot accounts for around 15% of total vineyard plantings with of Merlot in cultivation across Slovenia in 2009.
In Hungary, Merlot complements Kékfrankos, Kékoportó and Kadarka as a component in Bull's Blood. It is also made into varietal wine known as Egri Médoc Noir which is noted for its balanced acid levels and sweet taste. In 2009, there were of Merlot planted across Hungary. Most of these hectares can be found in the wine regions of Szekszárd and Villány on the warm Pannonian Basin with significant plantings also found in Kunság, Eger and Balaton.
In Romania, Merlot is the most widely exported red wine grape variety with in cultivation in 2008. Most of these plantings are found along the Black Sea in Dobruja, further inland in the Muntenia region of Dealu Mare and in the western Romanian wine region of Drăgășani. Here the grape is often made a varietal but is sometimes blended with other international varieties such as Cabernet Sauvignon and with local grape varieties such as Fetească neagră.
In 2009, Ukraine had of Merlot in cultivation.
Russia had .
Portugal, has only a very limited amount of Merlot compared to the abundance of native Portuguese grape varieties with planted in 2010, mostly in the Portuguese wine regions along the Tagus river.
In Greece, Merlot is one of the top six grape varieties planted in the eastern wine regions of Macedonia ()and Western Thrace (). In central Greece, there were of Merlot in cultivation as of 2012.
United States
Merlot is grown across the United States with California and Washington growing the most. Other regions producing significant quantities of Merlot include New York State with in 2006 with most of it in the maritime climate of the Long Island AVA and multiple regions in Ohio. In Texas, Merlot is the second most widely planted red wine grape after Cabernet Sauvignon with . In Virginia, the grape was the most widely planted red variety with in 2010, most of it in the Monticello AVA and Shenandoah Valley AVA, while Oregon had in 2008 with most planted in the Rogue Valley AVA.
California
In the early history of California wine, Merlot was used primarily as a 100% varietal wine until winemaker Warren Winiarski encouraged taking the grape back to its blending roots with Bordeaux style blends. Following the "Merlot wine craze" of the 1990s sparked by 60 Minutes French Paradox report, sales of Merlot spiked with the grape hitting its peak plantings of over in 2004. The 2004 movie Sideways, where the lead character is a Pinot noir fan who expresses his disdain of Merlot, has been connected with declining Merlot sales in the US after its release (and an even larger spike of interest in Pinot noir). By 2010, plantings of California Merlot had dropped slightly to .
In California, Merlot can range from very fruity simple wines (sometimes referred to by critics as a "red Chardonnay") to more serious, barrel aged examples. It can also be used as a primary component in Meritage blends.
While Merlot is grown throughout the state, it is particularly prominent in Napa, Monterey and Sonoma County. In Napa, examples from Los Carneros, Mount Veeder, Oakville and Rutherford tend to show ripe blackberry and black raspberry notes. Sonoma Merlots from Alexander Valley, Carneros and Dry Creek Valley tend to show plum, tea leaf and black cherry notes.
Washington State
In the 1980s, Merlot helped put the Washington wine industry on the world's wine map. Prior to this period there was a general perception that the climate of Washington State was too cold to produce red wine varietals. Merlots from Leonetti Cellar, Andrew Will, Columbia Crest and Chateau Ste. Michelle demonstrated that areas of the Eastern Washington were warm enough for red wine production. Today it is the second most widely grown red wine grape in the state (after Cabernet Sauvignon), following many years of being the most widely planted variety, and accounts for nearly one fifth of the state's entire production. In 2011, there were of Washington Merlot in cultivation.
It is widely planted throughout the Columbia Valley AVA but has earned particular notice from plantings grown in Walla Walla, Red Mountain and the Horse Heaven Hills. Washington Merlots are noted for their deep color and balanced acidity. The state's climate lends itself towards long days and hours of sunshine with cool nights that contributes to a significant diurnal temperature variation and produces wines with New World fruitiness and Old World structure.
Canada
In Canada, Merlot can be found across the country from Ontario, where there were of the grape in 2008, to British Columbia, where the grape is the most widely planted wine grape variety of either color at . Here Merlot accounts for almost a third of all red wine grape plantings and is used for both varietal and Bordeaux-style blends.
Mexico
In Mexico, Merlot is cultivated primarily in the Valle de Guadalupe of Baja California, the country's main wine-producing area. Plantings have increased substantially since the 1980s, and cultivation has spread into the nearby areas of Ojos Negros and Santo Tomás. The grape can also be found in the north eastern Mexican wine region of Coahuila, across the border from Texas.
Chile
In Chile, Merlot thrives in the Apalta region of Colchagua Province. It is also grown in significant quantities in Curicó, Casablanca and the Maipo Valley. Until the early 1990s, the Chilean wine industry mistakenly sold a large quantity of wine made from the Carménère grape as Merlot. Following the discovery that many Chilean vineyards thought to be planted with Sauvignon blanc was actually Sauvignonasse, the owners of the Chilean winery Domaine Paul Bruno (who previously worked with Château Margaux and Château Cos d'Estournel) invited ampelographers to comb through their vineyards to make sure that their wines were properly identified. Genetic studies discovered that much of what had been grown as Merlot was actually Carménère, an old French variety that had gone largely extinct in France due to its poor resistance to phylloxera. While the vines, leaves and grapes look very similar, both grapes produce wines with distinct characteristics—Carménère being more strongly flavored with green pepper notes and Merlot having softer fruit with chocolate notes.
Today, "true" Merlot is the third most widely planted grape variety in Chile after Cabernet Sauvignon and Listán Prieto with in 2009. Most of these planting are in the Central Valley with Colchagua leading the way with followed by Maule Valley with and Curicó with .
South America
In Uruguay, Merlot is often blended with Tannat and is the 2nd most widely planted red grape variety, representing around 10% of total vineyard plantings. More widely planted than Cabernet Sauvignon, there were of the grape in cultivation in 2009. Brazil is home to of Merlot (as of 2007) with most of them in the Rio Grande do Sul region that is across the border with Uruguay. Other South American wine regions growing Merlot include Bolivia with as of 2012 and Peru.
Argentina
In Argentina, Merlot plantings have been increasing in the Mendoza region with the grape showing an affinity to the Tupungato region of the Uco Valley. Argentine Merlots grown in the higher elevations of Tunpungato have shown a balance of ripe fruit, tannic structure and acidity. The grape is not as widely planted here due to the natural fruity and fleshiness of the popular Malbec and Douce noir/Bonarda grapes that often don't need to be "mellowed" by Merlot as Cabernet Sauvignon and Cabernet Franc may benefit from. In 2008, there were of Merlot growing in Argentina, most of it in the Mendoza region and in the San Juan Province.
Oceania, South Africa and Asia
In New Zealand, plantings of Merlot have increased in the Hawke's Bay region, particularly in Gimblett Gravels where the grape has shown the ability to produce Bordeaux-style wine. The grape has been growing in favor among New Zealand producers due to its ability to ripen better, with less green flavors, than Cabernet Sauvignon. Other regions with significant plantings include Auckland, Marlborough and Martinborough. In 2008, Merlot was the second most widely red grape variety (after Pinot noir) in New Zealand and accounted for nearly 5% of all the country's plantings with in cultivation.
In Australia, some vineyards labeled as "Merlot" were discovered to actually be Cabernet Franc. Merlot vines can also be found growing in the Barossa Valley, McLaren Vale and Wrattonbully in South Australia. In 2008, it was the third most widely planted red grape variety after Syrah and Cabernet Sauvignon with . As in California, the global "Merlot craze" spurred an increase of plantings, most of it in the warm, irrigated regions of Murray Darling, Riverina and Riverland where the grape variety could be mass-produced. Recent plantings, such as those in the Margaret River area of Western Australia have been focusing on making more Bordeaux-style blends.
In South Africa, plantings of Merlot have focused on cooler sites within the Paarl and Stellenbosch regions. Here the grape is the third most widely planted red grape variety, accounting for nearly 15% of all red wine grape plantings, with of Merlot in cultivation in 2008. The majority of these plantings are found in the Stellenbosch region with and Paarl with . According to wine expert Jancis Robinson, South African Merlot tend to be made as a varietal in a "chocolately, glossy California style".
In Asia, Merlot is planted in emerging wine regions in India. It can also be found in Japan with in 2009 and in China with .
Wines
As a varietal wine, Merlot can make soft, velvety wines with plum flavors. While Merlot wines tend to mature faster than Cabernet Sauvignon, some examples can continue to develop in the bottle for decades. There are three main styles of Merlot—a soft, fruity, smooth wine with very little tannins; a fruity wine with more tannic structure; and, finally, a brawny, highly tannic style made in the profile of Cabernet Sauvignon. Some of the fruit notes commonly associated with Merlot include cassis, black and red cherries, blackberry, blueberry, boysenberry, mulberry, ollalieberry and plum. Vegetable and earthy notes include black and green olives, cola nut, bell pepper, fennel, humus, leather, mushrooms, rhubarb and tobacco. Floral and herbal notes commonly associated with Merlot include green and black tea, eucalyptus, laurel, mint, oregano, pine, rosemary, sage, sarsaparilla and thyme. When Merlot has spent significant time in oak, the wine may show notes of caramel, chocolate, coconut, coffee bean, dill weed, mocha, molasses, smoke, vanilla and walnut.
White Merlot
White Merlot is made the same way as White Zinfandel. The grapes are crushed, and after very brief skin contact, the resulting pink juice is run off the must and is then fermented. It normally has a hint of raspberry. White Merlot was reputedly first marketed in the late 1990s. In Switzerland, a type of White Merlot is made in the Ticino region but has been considered more a rosé.
White Merlot should not be confused with the grape variety Merlot blanc, which is a cross between Merlot and Folle blanche that was discovered in 1891, nor should it be confused with the white mutant variety of the Merlot grape.
Food pairing
In food and wine pairings, the diversity of Merlot can lend itself to a wide array of matching options. Cabernet-like Merlots pair well with many of the same things that Cabernet Sauvignon would pair well with, such as grilled and charred meats. Softer, fruitier Merlots (particularly those with higher acidity from cooler climate regions like Washington State and Northeastern Italy) share many of the same food-pairing affinities with Pinot noir and go well with dishes like salmon, mushroom-based dishes and greens like chard and radicchio. Light-bodied Merlots can go well with shellfish like prawns or scallops, especially if wrapped in a protein-rich food such as bacon or prosciutto. Merlot tends not to go well with strong and blue-veined cheeses that can overwhelm the fruit flavors of the wine. The capsaicins of spicy foods can accentuate the perception of alcohol in Merlot and make it taste more tannic and bitter.
Synonyms
Over the years, Merlot has been known under many synonyms across the globe, including Bégney, Bidal, Bidalhe, Bigney, Bigney rouge, Bini, Bini Ruzh, Bioney, Bordeleza belcha, Crabutet, Crabutet noir, Crabutet noir merlau, Hebigney, Higney, Higney rouge, Langon, Lecchumskij, Médoc noir, Merlau, Merlaut, Merlaut noir, Merle, Merle Petite, Merleau, Merlô, Merlot noir, Merlot black, Merlot blauer, Merlot crni, Merlot nero, Merlott, Merlou, Odzalesi, Odzhaleshi, Odzhaleshi Legkhumskii, Petit Merle, Picard, Pikard, Plan medre, Planet Medok, Plant du Médoc, Plant Médoc, Saint-Macaire, Same de la Canan, Same dou Flaube, Sème de la Canau, Sème Dou Flube, Semilhon rouge, Semilhoum rouge, Semilhoun rouge, Sémillon rouge, Sud des Graves, Vidal, Vini Ticinesi, Vitrai and Vitraille.
See also
International variety
References
External links
Growing Merlot grapes in the U.S. - information from Cooperative Extension
Red wine grape varieties
Wine grapes of Italy |
18991 | https://en.wikipedia.org/wiki/MM | MM | MM or variants may refer to:
Arts and entertainment
Literature
MM!, a Japanese light novel, manga and anime series by Akinari Matsuno
Monster Manual, a 1977 Dungeons & Dragons source book
Music
Melody Maker British music publication
Maelzel's metronome, a music marking
MM (album), 1989, by Marisa Monte
"MM", a 1993 song by Mr. President
Master of Music
Games
Media Molecule, a video game developer in England
Television
MM, the production code for the 1967 Doctor Who serial The Tomb of the Cybermen
Businesses and organizations
MM (TV channel), Bulgaria
Maryknoll, a Catholic religious institute
Maybach-Motorenbau GmbH and Maybach-Manufaktur and Mercedes-Maybach; an engine and car marque
Moderation Management, alcohol support group
Mumbai Magicians, a defunct Hockey India League franchise
Peach (airline) (IATA code)
SAM Colombia (former IATA code)
Degrees, honorifics, and titles
Master of Management, a degree
Machinist's mate in the US Navy
Master mariner
Master of Music, a degree
Military Medal, British and Commonwealth
Minister Mentor, a Singapore cabinet position
messieurs, a plural honorific in French
Places
Metro Manila, a region in the Philippines
Mega Manila, a region in the Philippines consisting of Metro Manila
Myanmar (ISO 3166-1 country code)
.mm, Myanmar's Internet country code top-level domain
Science, technology, and mathematics
Computing
.mm, Internet country code top-level domain for Myanmar
".mm", the file extension for FreeMind
".mm", the file extension for source code files of Objective-C++
mm tree, the Andrew Morton's Linux kernel tree
MM algorithm, an iterative method for constructing optimization algorithms
Columbia MM, an early e-mail client
Multiple master fonts
Units of measurement
Megametre (Mm) (rare) 1,000km
Millimetre (mm)
Millimolar (mM), a unit of concentration of a solution
Momme, a unit of textile measurement
One million (MM), used in reference to currency
Percent concentration by mass (m/m%, %m/m, or m%), a unit of relative mass concentration
Other uses in science, technology, and mathematics
Minimax or maximin, a decision rule
Modified Mercalli scale for the intensity of earthquakes
Moving magnet, phonograph cartridge type
Moving mean in statistics
Multiple myeloma
Other uses
2000 (number) in Roman numerals
The year 2000 in Roman numerals
Mutatis mutandis ("m.m."), "with things changed that should be changed"
See also
M (disambiguation)
M2 (disambiguation)
2M (disambiguation)
MMS (disambiguation)
M&M (disambiguation) |
18995 | https://en.wikipedia.org/wiki/Martin%20Scorsese | Martin Scorsese | Martin Charles Scorsese (; ; born November 17, 1942) is an American film director, producer, and screenwriter. He is the recipient of many accolades, including nine Academy Award nominations (and one win) for Best Director, four British Academy Film Awards, three Golden Globe Awards, and two Directors Guild of America Awards. Five of his films have been inducted into the National Film Registry by the Library of Congress as "culturally, historically or aesthetically significant".
Scorsese received an MA from New York University's Steinhardt School of Culture, Education, and Human Development in 1968. His directorial debut, Who's That Knocking at My Door (1967), was accepted into the Chicago Film Festival. In the 1970s and 1980s decades, Scorsese emerged as one of the major figures of the New Hollywood era. His 1973 crime film Mean Streets, dealing with machismo and violence, and exploring Catholic concepts of guilt and redemption, was a blueprint for his filmmaking styles. Scorsese won the Palme d'Or at Cannes with his 1976 psychological thriller Taxi Driver, which starred Robert De Niro, who became associated with Scorsese through eight more films. After the critical failure of the musical New York, New York (1977), Scorsese fell into depression and nearly died from a drug overdose. His 1980 biographical drama Raging Bull starring De Niro received critical acclaim and revitalized his career; it placed fourth on the American Film Institute's 2007 edition of the 100 best American movies.
Scorsese's work during the 1980s decade saw mixed critical evaluation, but with the black comedy After Hours (1985), he won Best Director at Cannes. His 1990 gangster epic Goodfellas, starring De Niro, Ray Liotta and Joe Pesci, once again brought critical acclaim to Scorsese and won him three British Academy Film Awards. After deviating from crime films to mixed results, he returned to the genre with Casino (1995). In the 2000s and 2010s decades, Scorsese garnered critical acclaim and box office success with a series of collaborations with Leonardo DiCaprio. The Departed (2006) earned him his first Academy Award for Best Director, and their successive collaborations include the psychological thriller Shutter Island (2010) and the biopic The Wolf of Wall Street (2013). Returning to his familiar territory of crime films, Scorsese collaborated with De Niro again on The Irishman (2019), which additionally starred Pesci and Al Pacino.
Scorsese's films, much influenced by his Italian-American background and upbringing in New York City, center on macho-posturing insecure men and explore crime, machismo, nihilism, and Catholic concepts of guilt and redemption. His trademark styles include extensive use of slow motion and freeze frames, graphic depictions of extreme violence, and liberal use of profanity. In addition to film, Scorsese has directed episodes for some television series and rock music documentaries, winning the Grammy Award for Best Long Form Music Video for No Direction Home (2005). An advocate for film preservation and restoration, he founded three nonprofit organizations: the Film Foundation in 1990, the World Cinema Foundation in 2007, and the African Film Heritage Project in 2017.
Early life
Martin Scorsese was born on November 17, 1942, in the Flushing area of New York City's Queens borough. His family moved to Little Italy in Manhattan before he started school. Both of Scorsese's parents, Charles Scorsese and Catherine Scorsese (born Cappa), worked in New York's Garment District. Charles was a clothes presser and an actor while Catherine was a seamstress and an actress. Both of them were of Italian descent: his paternal grandparents, Francesco Paolo and Teresa Scozzese, emigrated from Polizzi Generosa, while his maternal grandparents, Martino and Domenica Cappa, emigrated from Ciminna, both in the province of Palermo, Sicily. The original surname of the family was Scozzese, later changed to Scorsese because of a transcription error. Scorsese was raised in a predominantly Catholic environment.
As a boy, he had asthma and could not play sports or take part in any activities with other children, so his parents and his older brother would often take him to movie theaters; it was at this stage in his life that he developed a passion for cinema. As a teenager in the Bronx, Scorsese frequently rented Powell and Pressburger's The Tales of Hoffmann (1951) from a store that had one copy of the reel. Scorsese was one of only two people who regularly rented it; the other was future film director George A. Romero.
Scorsese has cited Sabu and Victor Mature as his favorite actors during his youth. He has also spoken of the influence of the 1947–48 Powell and Pressburger films Black Narcissus and The Red Shoes, whose innovative techniques later impacted his filmmaking. In his documentary titled A Personal Journey with Martin Scorsese Through American Movies, Scorsese said that he was enamored of historical epics in his adolescence, and at least two films of the genre, Land of the Pharaohs and El Cid, appear to have had a deep and lasting impact on his cinematic psyche. Scorsese also developed an admiration for neorealist cinema at this time. He recounted its influence in a documentary on Italian neorealism, and commented on how Bicycle Thieves, Rome, Open City and especially Paisà inspired him and influenced his view or portrayal of his Sicilian roots. In his documentary, Il Mio Viaggio in Italia (My Voyage to Italy), Scorsese noted that the Sicilian episode of Roberto Rossellini's Paisà, which he first saw on television with his relatives who were themselves Sicilian immigrants, had a significant impact on his life. He acknowledges owing a great debt to the French New Wave and has stated that "the French New Wave has influenced all filmmakers who have worked since, whether they saw the films or not." He has also cited filmmakers including Satyajit Ray, Ingmar Bergman, Michelangelo Antonioni, and Federico Fellini as major influences on his career.
He attended the all-boys Cardinal Hayes High School in the Bronx, graduating in 1960. He had initially desired to become a priest, attending a preparatory seminary but failed after the first year. This gave way to cinema and consequently Scorsese enrolled in NYU's Washington Square College (now known as the College of Arts and Science), where he earned a B.A. in English in 1964. He went on to earn his MA from New York University's School of Education (now the Steinhardt School of Culture, Education, and Human Development) in 1968, a year after the school was founded.
Career
1960s
While attending the Tisch School of the Arts, Scorsese made the short films What's a Nice Girl Like You Doing in a Place Like This? (1963) and It's Not Just You, Murray! (1964). His most famous short of the period is the darkly comic The Big Shave (1967), which features Peter Bernuth. The film is an indictment of America's involvement in Vietnam, suggested by its alternative title Viet '67. Scorsese has mentioned on several occasions that he was greatly inspired in his early days at New York University by film professor Haig P. Manoogian.
In 1967, Scorsese made his first feature-length film, the black and white I Call First, which was later retitled Who's That Knocking at My Door, with his fellow students actor Harvey Keitel and editor Thelma Schoonmaker, both of whom were to become long-term collaborators. This film was intended to be the first of Scorsese's semi-autobiographical J. R. Trilogy, which would have included a later film, Mean Streets. Film critic Roger Ebert saw the film at the 1967 Chicago International Film Festival and in his review praised Scorsese and the film writing, "I Call First" brings these two kinds of films together into a work that is absolutely genuine, artistically satisfying and technically comparable to the best films being made anywhere. I have no reservations in describing it as a great moment in American movies."
1970s
Scorsese became friends with the influential "movie brats" of the 1970s: Brian De Palma, Francis Ford Coppola, George Lucas and Steven Spielberg. It was De Palma who introduced Scorsese to Robert De Niro. During this period, Scorsese worked as the assistant director and one of the editors on the documentary Woodstock (1970) and met actor–director John Cassavetes, who became a close friend and mentor. In 1972, Scorsese made the Depression-era exploiter Boxcar Bertha for B-movie producer Roger Corman, who also helped directors such as Francis Ford Coppola, James Cameron, and John Sayles launch their careers. It was Corman who taught Scorsese that entertaining films could be shot with very little money or time, preparing the young director well for the challenges to come with Mean Streets. Following the film's release, Cassavetes encouraged Scorsese to make the films that he wanted to make, rather than someone else's projects.
Championed by influential film critic Pauline Kael, Mean Streets was a breakthrough for Scorsese, De Niro, and Keitel. By now the signature Scorsese style was in place: macho posturing, bloody violence, Catholic guilt and redemption, gritty New York locale (though the majority of Mean Streets was shot in Los Angeles), rapid-fire editing and a soundtrack with contemporary music. Although the film was innovative, its wired atmosphere, edgy documentary style, and gritty street-level direction owed a debt to directors Cassavetes, Samuel Fuller and early Jean-Luc Godard. In 1974, actress Ellen Burstyn chose Scorsese to direct her in Alice Doesn't Live Here Anymore, for which she won an Academy Award for Best Actress. Although well regarded, the film remains an anomaly in the director's early career as it focuses on a central female character. Returning to Little Italy to explore his ethnic roots, Scorsese next came up with Italianamerican, a documentary featuring his parents Charles and Catherine Scorsese.
Scorsese followed with Taxi Driver in 1976, which depicted a Vietnam veteran who takes the law into his own hands on New York's crime-ridden streets. The film established him as an accomplished filmmaker and also brought attention to cinematographer Michael Chapman, whose style tends towards high contrasts, strong colors, and complex camera movements. The film starred Robert De Niro as the troubled and psychotic Travis Bickle, and co-starred Jodie Foster in a highly controversial role as an underage prostitute, with Harvey Keitel as her pimp. Taxi Driver also marked the start of a series of collaborations between Scorsese and writer Paul Schrader, whose influences included the diary of would-be assassin Arthur Bremer and Pickpocket, a film by the French director Robert Bresson. Writer–director Schrader often returns to Bresson's work in films such as American Gigolo, Light Sleeper, and Scorsese's later Bringing Out the Dead. Already controversial upon its release, Taxi Driver hit the headlines again five years later, when John Hinckley Jr. made an assassination attempt on then-president Ronald Reagan. He subsequently blamed his act on his obsession with Jodie Foster's Taxi Driver character (in the film, De Niro's character, Travis Bickle, makes an assassination attempt on a senator).
Taxi Driver won the Palme d'Or at the 1976 Cannes Film Festival, also receiving four Oscar nominations, including Best Picture. The critical and financial success of Taxi Driver encouraged Scorsese to move ahead with his first big-budget project: the highly stylized musical New York, New York. This tribute to Scorsese's home town and the classic Hollywood musical was a box-office failure. The film was the director's third collaboration with Robert De Niro, co-starring with Liza Minnelli. The film is best remembered today for the title theme song, which was popularized by Frank Sinatra. Although possessing Scorsese's usual visual panache and stylistic bravura, many critics felt its enclosed studio-bound atmosphere left it leaden in comparison with his earlier work. Despite its weak reception, the film is regarded positively by some critics. Richard Brody in The New Yorker wrote:
In 1977 he directed the Broadway musical The Act, starring Liza Minnelli. The disappointing reception that New York, New York received drove Scorsese into depression. By this stage the director had developed a serious cocaine addiction. However, he did find the creative drive to make the highly regarded The Last Waltz, documenting the final concert by The Band. It was held at the Winterland Ballroom in San Francisco on American Thanksgiving Day, November 25, 1976, and featured one of the most extensive lineups of prominent guest performers at a single concert, including Bob Dylan, Neil Young, Ringo Starr, Muddy Waters, Joni Mitchell, Van Morrison, Paul Butterfield, Neil Diamond, Ronnie Wood, and Eric Clapton. However, Scorsese's commitments to other projects delayed the release of the film until 1978. Another Scorsese-directed documentary, titled American Boy, also appeared in 1978, focusing on Steven Prince, the cocky gun salesman who appeared in Taxi Driver. A period of wild partying followed, damaging the director's already fragile health. Scorsese helped provide footage for the documentary Elvis on Tour.
1980s
By several accounts (Scorsese's included), Robert De Niro saved Scorsese's life when he persuaded him to kick his cocaine addiction to make his highly regarded film Raging Bull. Writing for The New Yorker in March 2000, Mark Singer summarized Scorsese's condition stating: He (Scorsese) was more than mildly depressed. Drug abuse, and abuse of his body in general, culminated in a terrifying episode of internal bleeding. Robert De Niro came to see him in the hospital and asked, in so many words, whether he wanted to live or die. If you want to live, De Niro proposed, let's make this picture—referring to Raging Bull, an as-told-to book by Jake La Motta, the former world middleweight boxing champion, that De Niro had given him to read years earlier. Convinced that he would never make another movie, he poured his energies into making this violent biopic of middleweight boxing champion Jake LaMotta, calling it a kamikaze method of film-making. The film is widely viewed as a masterpiece and was voted the greatest film of the 1980s by Britain's Sight & Sound magazine. It received eight Oscar nominations, including Best Picture, Best Actor for Robert De Niro and Scorsese's first for Best Director. De Niro won, as did Thelma Schoonmaker for editing, but Best Director went to Robert Redford for Ordinary People. From this work onwards, Scorsese's films are always labeled as "A Martin Scorsese Picture" on promotional material. Raging Bull, filmed in high contrast black and white, is where Scorsese's style reached its zenith: Taxi Driver and New York, New York had used elements of expressionism to replicate psychological points of view, but here the style was taken to new extremes, employing extensive slow-motion, complex tracking shots, and extravagant distortion of perspective (for example, the size of boxing rings would change from fight to fight). Thematically too, the concerns carried on from Mean Streets and Taxi Driver: insecure males, violence, guilt, and redemption.
Although the screenplay for Raging Bull was credited to Paul Schrader and Mardik Martin (who earlier co-wrote Mean Streets), the finished script differed extensively from Schrader's original draft. It was rewritten several times by various writers including Jay Cocks (who went on to co-script later Scorsese films The Age of Innocence and Gangs of New York). The final draft was largely written by Scorsese and Robert De Niro. The American Film Institute chose Raging Bull as the number one American sports film on their list of the top 10 sports films. In 1997, the Institute ranked Raging Bull as the twenty-fourth greatest film of all time on their AFI's 100 Years ... 100 Movies list. In 2007, they ranked Raging Bull as the fourth greatest film of all time on their AFI's 100 Years ... 100 Movies (10th Anniversary Edition) list.
Scorsese's next project was his fifth collaboration with Robert De Niro, The King of Comedy (1983). It is a satire on the world of media and celebrity, whose central character is a troubled loner who ironically becomes famous through a criminal act (kidnapping). The film was an obvious departure from the more emotionally committed films he had become associated with. Visually, it was far less kinetic than the style Scorsese had developed previously, often using a static camera and long takes. Here the expressionism of his previous work gave way to moments of almost total surrealism. It still bore many of Scorsese's trademarks, however. The King of Comedy failed at the box office, but has become increasingly well regarded by critics in the years since its release. German director Wim Wenders numbered it among his 15 favorite films. Also, in 1983, Scorsese made a brief cameo appearance in the film Anna Pavlova (also known as A Woman for All Time), originally intended to be directed by one of his heroes, Michael Powell. This led to a more significant acting appearance in Bertrand Tavernier's jazz film Round Midnight. He also made a brief venture into television, directing an episode of Steven Spielberg's Amazing Stories.
With After Hours (1985), for which he won a Best Director Award at Cannes, Scorsese made an esthetic shift back to a pared-down, almost "underground" film-making style. Filmed on an extremely low budget, on location, and at night in the SoHo neighborhood of Manhattan, the film is a black comedy about one increasingly misfortunate night for a mild New York word processor (Griffin Dunne) and features cameos by such disparate actors as Teri Garr and Cheech and Chong. Along with the 1987 Michael Jackson music video "Bad", in 1986 Scorsese made The Color of Money, a sequel to the much admired Robert Rossen film The Hustler (1961) with Paul Newman, which co-starred Tom Cruise. Although adhering to Scorsese's established style, The Color of Money was the director's first official foray into mainstream film-making. The film finally won actor Paul Newman an Oscar and gave Scorsese the clout to finally secure backing for a project that had been a longtime goal for him: The Last Temptation of Christ.
In 1983, Scorsese began work on this long-cherished personal project. The Last Temptation of Christ, based on the 1955 novel written by Nikos Kazantzakis, retold the life of Christ in human rather than divine terms. Barbara Hershey recalls introducing Scorsese to the book while they were filming Boxcar Bertha. The film was slated to shoot under the Paramount Pictures banner, but shortly before principal photography was to start, Paramount pulled the plug on the project, citing pressure from religious groups. In this aborted 1983 version, Aidan Quinn was cast as Jesus, and Sting was cast as Pontius Pilate. (In the 1988 version, these roles were played by Willem Dafoe and David Bowie respectively.) However, following his mid-1980s flirtation with commercial Hollywood, Scorsese made a major return to personal filmmaking with the project; Universal Pictures agreed to finance the film as Scorsese agreed to make a more mainstream film for the studio in the future (it eventually resulted in Cape Fear). Even prior to its 1988 release, the film (adapted by Taxi Driver and Raging Bull veteran Paul Schrader) caused a massive furor, with worldwide protests against its perceived blasphemy effectively turning a low-budget independent film into a media sensation. Most of the controversy centered on the final passages of the film, which depicted Christ marrying and raising a family with Mary Magdalene in a Satan-induced hallucination while on the cross.
In 1986, Scorsese directed the 18 minute short film Bad featuring Michael Jackson and Wesley Snipes (in his film debut). The short also serves as a music video and was shot in the Hoyt–Schermerhorn Streets station in Brooklyn over a 6-week period during November and December 1986. The short film's cinematographer was frequent Scorsese collaborator Michael Chapman. The dancing and filmmaking was heavily influenced by the 1961 film West Side Story. Scorsese also noted the influence of his own film Taxi Driver (1976) in Spike Lee's documentary about the 25th anniversary of the short titled, Bad 25 (2012). The short has been praised by critics as one of the most iconic and greatest videos of all time; Jackson's outfit has been cited as an influence on fashion. That year, he had signed a deal with upstart major The Walt Disney Studios to produce and direct features, following the success of The Color of Money, and the company is currently soliciting material for possible development, and decided not to decide on projects he had hoped to produce under the company's two-year agreement with the studio, and the decision Scorsese wants to hire established directors like Elia Kazan and Arthur Penn.
Looking past the controversy, The Last Temptation of Christ gained critical acclaim and remains an important work in Scorsese's canon: an explicit attempt to wrestle with the spirituality underpinning his films up until that point. The director went on to receive his second nomination for a Best Director Academy Award (again unsuccessfully, this time losing to Barry Levinson for Rain Man). As a separate film project, and along with directors Woody Allen and Francis Ford Coppola in 1989, Scorsese provided one of three segments in the portmanteau film New York Stories, called "Life Lessons". Roger Ebert's gave the film a mixed review, while praising Scorsese's short as "really successful".
1990s
After a decade of films considered by critics to be mixed results, some considered Scorsese's gangster epic Goodfellas (1990) his return to directorial form, and his most confident and fully realized film since Raging Bull. De Niro and Joe Pesci offered a virtuoso display of Scorsese's bravura cinematic technique in the film and re-established, enhanced, and consolidated his reputation. After the film was released, Roger Ebert, a friend and supporter of Scorsese, named Goodfellas "the best mob movie ever". It is ranked No. 1 on Ebert's movie list for 1990, along with those of Gene Siskel and Peter Travers', and is widely considered one of the director's greatest achievements. The film was nominated for six Academy Awards, including Best Picture and Best Director, and Scorsese earned his third Best Director nomination but again lost to a first-time director, Kevin Costner (Dances with Wolves). Joe Pesci earned the Academy Award for Best Supporting Actor for his performance. Scorsese and the film also won many other awards, including five BAFTA Awards, a Silver Lion and more. The American Film Institute placed Goodfellas at No. 94 on the AFI's 100 Years ... 100 Movies list. On the 2007 updated version, they moved Goodfellas up to No. 92 on the AFI's 100 Years ... 100 Movies list (10th Anniversary Edition) and put Goodfellas at No. 2 on their list of the top 10 gangster films (after The Godfather).
In 1990, he released his only short-form documentary: Made in Milan about fashion designer Giorgio Armani. The following year brought Cape Fear, a remake of a cult 1962 movie of the same name and the director's seventh collaboration with De Niro. Another foray into the mainstream, the film was a stylized thriller taking its cues heavily from Alfred Hitchcock and Charles Laughton's The Night of the Hunter (1955). Cape Fear received a mixed critical reception and was lambasted in many quarters for its scenes depicting misogynistic violence. However, the lurid subject matter gave Scorsese a chance to experiment with visual tricks and effects. The film garnered two Oscar nominations. Earning $80 million domestically, it stood as Scorsese's most commercially successful release until The Aviator (2004), and then The Departed (2006). The film also marked the first time Scorsese used wide-screen Panavision with an aspect ratio of 2.39:1.
In 1990, Scorsese acted in a small role as Vincent van Gogh in the film Dreams by Japanese director Akira Kurosawa. Scorsese's 1994 cameo appearance in the Robert Redford film Quiz Show is remembered for the telling line: "You see, the audience didn't tune in to watch some amazing display of intellectual ability. They just wanted to watch the money." De Fina-Cappa was the production company he formed that same year with producer Barbara De Fina. In the early 1990s, Scorsese also expanded his role as a film producer. He produced a wide range of films, including major Hollywood studio productions (Mad Dog and Glory, Clockers), low-budget independent films (The Grifters, Naked in New York, Grace of My Heart, Search and Destroy, The Hi-Lo Country), and even the foreign film (Con gli occhi chiusi (With Closed Eyes)).
The Age of Innocence (1993) was a significant departure for Scorsese, a period adaptation of the Edith Wharton novel about the constrictive high society of late-19th century New York. It was highly lauded by critics upon its original release but was a box office bomb, making an overall loss. As noted in Scorsese on Scorsese by editor–interviewer Ian Christie, the news that Scorsese wanted to make a film about a failed 19th-century romance raised many eyebrows among the film fraternity; all the more when Scorsese made it clear that it was a personal project and not a studio for-hire job.
Scorsese was interested in doing a "romantic piece", and he was strongly drawn to the characters and the story of Wharton's text. Scorsese wanted his film to be as rich an emotional experience as the book was to him rather than the traditional academic adaptations of literary works. To this end, Scorsese sought influence from diverse period films that had had an emotional impact on him. In Scorsese on Scorsese, he documents influences from films such as Luchino Visconti's Senso and his Il Gattopardo (The Leopard) as well as Orson Welles's The Magnificent Ambersons and also Roberto Rossellini's La prise de pouvoir par Louis XIV (The Taking of Power by Louis XIV). Although The Age of Innocence was ultimately different from these films in terms of narrative, story, and thematic concern, the presence of a lost society, of lost values as well as detailed re-creations of social customs and rituals continues the tradition of these films. It came back into the public eye, especially in countries such as the UK and France, but still is largely neglected in North America. The film earned five Academy Award nominations (including Best Adapted Screenplay for Scorsese), winning the Costume Design Oscar. This was his first collaboration with the Academy Award-winning actor Daniel Day-Lewis, with whom he would work again on Gangs of New York. This was Scorsese's first film to be shot on Super 35 format.
Casino (1995), like The Age of Innocence before it, focused on a tightly wound male whose well-ordered life is disrupted by the arrival of unpredictable forces. The fact that it was a violent gangster film made it more palatable to the director's fans who perhaps were baffled by the apparent departure of the earlier film. Casino was a box office success, and it received generally positive notices from critics. Comparisons were drawn to his earlier film Goodfellas, and Scorsese admitted Casino bore a superficial resemblance to it, but he maintained that the story was significantly larger in scope. Sharon Stone was nominated for the Best Actress Academy Award for her performance. During the filming, Scorsese played a background part as a gambler at one of the tables.
Scorsese still found time for a four-hour documentary in 1995, titled A Personal Journey with Martin Scorsese Through American Movies, offering a thorough trek through American cinema. It covered the silent era to 1969, a year after which Scorsese began his feature career. He said, "I wouldn't feel right commenting on myself or my contemporaries." In the four-hour documentary, Scorsese lists the four aspects of the director he believes are the most important as (1) the director as storyteller; (2) the director as an illusionist: D. W. Griffith or F. W. Murnau, who created new editing techniques among other innovations that made the appearance of sound and color possible later on; (3) the director as a smuggler—filmmakers such as Douglas Sirk, Samuel Fuller, and Vincente Minnelli, who used to hide subversive messages in their films; and (4) the director as iconoclast. In the preface to this documentary, Scorsese states his commitment to the "Director's Dilemma", in which a successful contemporary director must be pragmatic about the realities of getting financing for films of personal esthetic interest by accepting the need of "making one film for the studio, and (then) making one for oneself."
If The Age of Innocence alienated and confused some fans, then Kundun (1997) went several steps further, offering an account of the early life of Tenzin Gyatso, the 14th Dalai Lama, the People's Liberation Army's entry into Tibet, and the Dalai Lama's subsequent exile to India. Not only a departure in subject matter, Kundun saw Scorsese employing a fresh narrative and visual approach. Traditional dramatic devices were substituted for a trance-like meditation achieved through an elaborate tableau of colorful visual images. The film was a source of turmoil for its distributor, Buena Vista Pictures, which was planning significant expansion into the Chinese market at the time. Initially defiant in the face of pressure from Chinese officials, Disney has since distanced itself from the project, hurting Kunduns commercial profile. In the short term, the sheer eclecticism in evidence enhanced the director's reputation. In the long term, however, it appears Kundun has been sidelined in most critical appraisals of the director, mostly noted as a stylistic and thematic detour. Kundun was the Scorsese's second attempt to profile the life of a great religious leader, following The Last Temptation of Christ.
Bringing Out the Dead (1999) was a return to familiar territory, with the director and writer Paul Schrader constructing a pitch-black comic take on their own earlier Taxi Driver. Like earlier Scorsese-Schrader collaborations, its final scenes of spiritual redemption explicitly recall the films of Robert Bresson. (It is also worth noting that the film's incident-filled nocturnal setting is reminiscent of After Hours.) It received generally positive reviews, although not the universal critical acclaim of some of his other films. It stars Nicolas Cage, Ving Rhames, John Goodman, Tom Sizemore, and Patricia Arquette.
On various occasions Scorsese has been asked to present the Honorary Academy Award during the Oscar telecast. In 1998, at the 70th Academy Awards, Scorsese presented the award to film legend Stanley Donen. When accepting the award Donen quipped, "Marty this is backwards, I should be giving this to you, believe me". In 1999, at the 71st Academy Awards, Scorsese and De Niro presented the award to film director Elia Kazan. This was a controversial pick for the academy due to Kazan's involvement with the Hollywood blacklist in the 1950s. Several members of the audience including Nick Nolte and Ed Harris refused to applaud Kazan when he received the award while others such as Warren Beatty, Meryl Streep, Kathy Bates, and Kurt Russell gave him a standing ovation.
2000s
In 1999, Scorsese produced a documentary on Italian filmmakers titled Il Mio Viaggio in Italia, also known as My Voyage to Italy. The documentary foreshadowed the director's next project, the epic Gangs of New York (2002), influenced by (amongst many others) major Italian directors such as Luchino Visconti and filmed in its entirety at Rome's famous Cinecittà film studios. With a production budget said to be in excess of $100 million, Gangs of New York was Scorsese's biggest and arguably most mainstream venture to date. Like The Age of Innocence, it was set in 19th-century New York, although focusing on the other end of the social scale (and like that film, also starring Daniel Day-Lewis). The film marked the first collaboration between Scorsese and actor Leonardo DiCaprio, who became a fixture in later Scorsese films. The production was highly troubled, with many rumors referring to the director's conflict with Miramax boss Harvey Weinstein. Despite denials of artistic compromise, some felt that Gangs of New York was the director's most conventional film, featuring standard film tropes that the director had traditionally avoided, such as characters existing purely for exposition purposes and explanatory flashbacks.
The final cut of the movie ran to 168 minutes, while the director's original cut was over 180 minutes long. Even so, the film received generally positive reviews with the review aggregator Rotten Tomatoes reporting that 75 percent of the reviews for the film they tallied were positive and summarizing the critics writing, "Though flawed, the sprawling, messy Gangs of New York is redeemed by impressive production design and Day-Lewis's electrifying performance." The film's central themes are consistent with the director's established concerns: New York, violence as culturally endemic, and subcultural divisions down ethnic lines. Originally filmed for a release in the winter of 2001 (to qualify for Academy Award nominations), Scorsese delayed the final production of the film until after the beginning of 2002; the studio consequently delayed the film until its release in the Oscar season of late 2002. Gangs of New York earned Scorsese his first Golden Globe for Best Director. In February 2003, Gangs of New York received 10 Academy Award nominations, including Best Picture, Best Director, and Best Actor for Daniel Day-Lewis; however, it did not win in any category.
The following year, Scorsese completed production of The Blues, an expansive seven-part documentary tracing the history of blues music from its African roots to the Mississippi Delta and beyond. Seven film-makers including Wim Wenders, Clint Eastwood, Mike Figgis, and Scorsese himself each contributed a 90-minute film (Scorsese's entry was titled Feel Like Going Home). In the early 2000s, Scorsese produced several films for up-and-coming directors, such as You Can Count on Me (directed by Kenneth Lonergan), Rain (directed by Katherine Lindberg), Lymelife (directed by Derick Martini) and The Young Victoria (directed by Jean-Marc Vallée). At that time, he established Sikelia Productions. In 2003, producer Emma Tillinger Koskoff joined the company. Scorsese also produced several documentaries, such as The Soul of a Man (directed by Wim Wenders) and Lightning in a Bottle (directed by Antoine Fuqua).
Scorsese's film The Aviator (2004) is a lavish, large-scale biopic of eccentric aviation pioneer and film mogul Howard Hughes and reunited Scorsese with actor Leonardo DiCaprio. The film received highly positive reviews. The film was a widespread box office success and gained Academy recognition. The Aviator was nominated for six Golden Globe awards, including Best Motion Picture-Drama, Best Director, Best Screenplay, and Best Actor-Motion Picture Drama for Leonardo DiCaprio. It won three, including Best Motion Picture-Drama and Best Actor-Motion Picture Drama. In January 2005 The Aviator became the most-nominated film of the 77th Academy Awards nominations, nominated in 11 categories including Best Picture. The film also garnered nominations in nearly all the other major categories, including a fifth Best Director nomination for Scorsese. Despite having the most nominations, the film won only five Oscars. Scorsese lost again, this time to director Clint Eastwood for Million Dollar Baby (which also won Best Picture).
No Direction Home is a documentary film by Scorsese that tells of the life of Bob Dylan, and his impact on American popular music and the culture of the 20th century. The film does not cover Dylan's entire career; it focuses on his beginnings, his rise to fame in the 1960s, his then-controversial transformation from an acoustic guitar-based musician and performer to an electric guitar-influenced sound and his "retirement" from touring in 1966 following an infamous motorcycle accident. The film was first presented on television in both the United States (as part of the PBS American Masters series) and the United Kingdom (as part of the BBC Two Arena series) on September 26 to 27, 2005. A DVD version of the film was released the same month. The film won a Peabody Award and the Grammy Award for Best Long Form Music Video. In addition, Scorsese received an Emmy nomination for it.
Scorsese returned to the crime genre with the Boston-set thriller The Departed, based on the Hong Kong police drama Infernal Affairs (which is co-directed by Andrew Lau and Alan Mak). The film continued Scorsese's collaboration with Leonardo DiCaprio and was the first time he worked with Matt Damon, Jack Nicholson, Mark Wahlberg, and Martin Sheen.
The Departed opened to widespread critical acclaim, with some proclaiming it as one of the best efforts Scorsese had brought to the screen since 1990's Goodfellas, and still others putting it at the same level as Scorsese's most celebrated classics Taxi Driver and Raging Bull. With domestic box office receipts surpassing million, The Departed was Scorsese's highest-grossing film (not accounting for inflation) until 2010's Shutter Island.
The Departed earned Scorsese a second Golden Globe for Best Director, as well as a Critics' Choice Award, his first Directors Guild of America Award, and the Academy Award for Best Director. Presented with the latter, Scorsese poked fun at his track record of nominations, asking, "Could you double-check the envelope?" The award was presented by his longtime friends and colleagues Francis Ford Coppola, George Lucas and Steven Spielberg. The Departed also received the Academy Award for the Best Motion Picture of 2006, Best Adapted Screenplay, and Best Film Editing by longtime Scorsese editor Thelma Schoonmaker, her third win for a Scorsese film.
Shine a Light captures rock and roll band The Rolling Stones' performing at New York City's Beacon Theater on October 29 and November 1, 2006, intercut with brief news and interview footage from throughout their career. The film was initially scheduled for release on September 21, 2007, but Paramount Classics postponed its general release until April 2008. Its world premiere was at the opening of the 58th Berlinale Film Festival on February 7, 2008. "Marty did an amazing job of making us look great…" observed drummer Charlie Watts. "It's all in the edits and the cuts. That's a movie maker rather than a guy just shooting a band onstage… It's not Casablanca, but it's a great thing to have from our point of view, not being egotistical. It's a document."
In 2009, Scorsese signed a petition in support of director Roman Polanski, calling for his release from custody after he was detained in relation to his 1977 sexual abuse charges.
2010s
On October 22, 2007, Daily Variety reported that Scorsese would reunite with Leonardo DiCaprio on a fourth picture, Shutter Island. Principal photography on the Laeta Kalogridis screenplay, based on the novel of the same name by Dennis Lehane, began in Massachusetts in March 2008. In December 2007, actors Mark Ruffalo, Max von Sydow, Ben Kingsley, and Michelle Williams joined the cast, marking the first time these actors had worked with Scorsese. The film was released on February 19, 2010. On May 20, 2010, the film became Scorsese's highest-grossing film. In 2010, The Wall Street Journal reported that Scorsese was supporting the David Lynch Foundation's initiative to help 10,000 military veterans overcome posttraumatic stress disorder through Transcendental Meditation; Scorsese has publicly discussed his own practice of TM.
Scorsese directed a television commercial for Chanel's then-new men's fragrance, Bleu de Chanel, starring French actor Gaspard Ulliel. Filmed in New York City, it debuted online on August 25, 2010 and was released on TV in September 2010.
Scorsese directed the series premiere for Boardwalk Empire, an HBO drama series, starring Steve Buscemi and Michael Pitt, based on Nelson Johnson's book Boardwalk Empire: The Birth, High Times and Corruption of Atlantic City. Terence Winter, who wrote for The Sopranos, created the series. In addition to directing the pilot (for which he won the 2011 Primetime Emmy Award for Outstanding Directing), Scorsese also served as an executive producer on the series. The series premiered on September 19, 2010, and was broadcast for five seasons.
Scorsese directed the three-and-a-half-hour documentary George Harrison: Living in the Material World about the life and music of former Beatles' member George Harrison, which premiered in the United States on HBO over two parts on October 5 and 6, 2011. His next film Hugo is a 3D adventure drama film based on Brian Selznick's novel The Invention of Hugo Cabret. The film stars Asa Butterfield, Chloë Grace Moretz, Ben Kingsley, Sacha Baron Cohen, Ray Winstone, Emily Mortimer, Christopher Lee, and Jude Law. The film has been met with critical acclaim and earned Scorsese his third Golden Globe Award for Best Director. The film was also nominated for 11 Academy Awards, winning five of them and becoming tied with Michel Hazanavicius's film The Artist for the most Academy Awards won by a single film in 2011. Hugo also won two BAFTA awards, among numerous other awards and nominations. Hugo was Scorsese's first 3D film and was released in the United States on November 23, 2011.
Scorsese's 2013 film, The Wolf of Wall Street, is an American biographical black comedy based on Jordan Belfort's memoir of the same name. The screenplay was written by Terence Winter and starred Leonardo DiCaprio as Belfort, along with Jonah Hill, Matthew McConaughey, and others. The film marked the fifth collaboration between Scorsese and DiCaprio and the second between Scorsese and Winter after Boardwalk Empire. It was released on December 25, 2013. The film tells the story of a New York stockbroker, played by DiCaprio, who engages in a large securities fraud case involving illicit stock manipulation, by way of the practice of "pump and dump". DiCaprio was given the award for Best Actor-Motion Picture Musical or Comedy at the 2014 Golden Globe Awards. The film was also nominated for Best Motion Picture-Musical or Comedy as well. The Wolf of Wall Street was nominated for five Academy Awards, including Best Picture, Best Actor for Leonardo DiCaprio, Best Supporting Actor for Jonah Hill, Best Director for Martin Scorsese, and Best Adapted Screenplay for Terence Winter but did not win in any category. In a 2016 critics' poll conducted by the BBC, the film was ranked among the 100 greatest motion pictures since 2000.
Scorsese and David Tedeschi made a documentary about the history of the New York Review of Books, titled The 50 Year Argument. It screened as a work in progress at the Berlin International Film Festival in February 2014 and premiered in June 2014 at the Sheffield Doc/Fest. It was also screened in Oslo, and Jerusalem before being shown on the BBC's Arena series in July and at Telluride in August. In September, it was screened at the Toronto and Calgary International Film Festivals, and the New York Film Festival. It aired on HBO on September 29, 2014.
Scorsese directed the pilot for Vinyl written by Terence Winter and George Mastras, with Mick Jagger producing and Mastras as showrunner. The series stars Bobby Cannavale as Richie Finestra, founder and president of a top-tier record label, set in 1970s New York City's drug-and sex-fueled music business as punk and disco were breaking out, all told through the eyes of Finestra trying to resurrect his label and find the next new sound. Filming began on July 25, 2014. Co-stars include Ray Romano, Olivia Wilde, Juno Temple, Andrew Dice Clay, Ato Essandoh, Max Casella, and James Jagger. On December 2, 2014, Vinyl was picked up by HBO. The series lasted one season. Scorsese has acted as executive producer of several indie films, like the 2014 The Third Side of the River (directed by his protege Celina Murga), another 2014 film Revenge of the Green Dragons (co-directed by Andrew Lau, whose film Infernal Affairs inspired The Departed), as well as Bleed for This and Free Fire.
Scorsese directed The Audition, a short film that also served as a promotional piece for casinos Studio City in Macau and City of Dreams in Manila, Philippines. The short brought together Scorsese's long-time muses Leonardo DiCaprio and Robert De Niro for the first time under his direction. The short film featured the two actors, playing fictionalized versions of themselves, competing for a role in Scorsese's next film. It was Scorsese's first collaboration with De Niro in two decades. The film premiered in October 2015 in conjunction with the grand opening of Studio City.
Scorsese had long anticipated filming an adaptation of Shūsaku Endō's novel Silence, a drama about the lives of two Portuguese Jesuit priests in Japan during the 17th century. He had originally planned Silence as his next project following Shutter Island. On April 19, 2013, financing was secured for Silence by Emmett/Furla Films, and filming began in January 2015. By November 2016, the film had completed post-production. It was written by Jay Cocks and Scorsese, based on the novel, and stars Andrew Garfield, Liam Neeson, and Adam Driver. The film was released on December 23, 2016. Scorsese was recognized as an Italian citizen by jus sanguinis in 2018.
On January 10, 2019, Varietys Chris Willman reported that Scorsese's long-anticipated documentary of Bob Dylan's 1975 tour, the Rolling Thunder Revue, would be released by Netflix: "Rolling Thunder Revue: A Bob Dylan Story by Martin Scorsese captures the troubled spirit of America in 1975 and the joyous music that Dylan performed during the fall of that year. Part documentary, part concert film, part fever dream, Rolling Thunder is a one of a kind experience, from master filmmaker Martin Scorsese." On April 25, 2019, it was announced that the documentary would be released on Netflix on June 12, 2019, with a concurrent theatrical engagement in twenty American, European, and Australian cities the night before, and an extended theatrical schedule in Los Angeles and New York so that the film will qualify for award consideration. After years of development, principal photography on Scorsese's crime film The Irishman began in August 2017, starring Robert De Niro, Joe Pesci, and Al Pacino. The film had its world premiere at the 57th New York Film Festival on September 27, 2019. It received a limited theatrical release on November 1, 2019, followed by digital streaming on November 27, 2019, on Netflix. In January 2020, The Irishman received ten Academy Award nominations, including for Best Picture, Best Director, Best Adapted Screenplay, and Best Supporting Actor for Pacino and Pesci.
2020s
On December 29, 2020, the trailer for Scorsese's documentary series Pretend It's a City was released. The series features Fran Lebowitz and Scorsese as they delve into her personal beliefs and thoughts on New York City. The project was released January 8, 2021 on Netflix. This is Scorsese's second documentary featuring Lebowitz, the first being Public Speaking (2010) which was released on HBO.
In July 2019, Scorsese started scouting locations in preparation for the 2020 filming of his next film Killers of the Flower Moon, a film adaptation of the book of the same name by David Grann. Scorsese will be teaming up with Leonardo DiCaprio for the sixth time and Robert De Niro for the tenth time. In December 2019, Scorsese's frequent cinematographer Rodrigo Prieto confirmed that Flower Moon was gearing up to start principal photography in March 2020, which was postponed due to the COVID-19 pandemic. In April 2020, it was announced that filming for Killers of the Flower Moon had been postponed indefinitely in response to the COVID-19 pandemic, that the potential cost of the film had ballooned to $200 million, and that Scorsese was in talks with Netflix or Apple Inc. to produce and distribute, with Paramount Pictures involved as a partner. On May 27, 2020, Apple bought the production and distribution rights to the film, which will be released theatrically by Paramount and streaming on Apple TV+. Principal photography commenced in April 2021.
In November 2021, Scorsese was set to direct a biopic feature about rock band the Grateful Dead for Apple Studios featuring Jonah Hill.
Filmmaking style and technique
Several recurring filmmaking techniques are identifiable in many of Scorsese's films. He has established a filmmaking history which involves repeat collaborations with actors, screenwriters, film editors, and cinematographers, sometimes extending over several decades, such as that with recurring cinematographers Michael Ballhaus, Robert Richardson, and Rodrigo Prieto.
Slow motion and freeze frame
Scorsese is known for his frequent use of slow motion, for example, in Who's That Knocking at My Door (1967) and Mean Streets (1973). He is also known for using freeze frames, such as: in the opening credits of The King of Comedy (1983), throughout Goodfellas (1990), Casino (1995), The Departed (2006), and in The Irishman (2019). His blonde leading ladies are usually seen through the eyes of the protagonist as angelic and ethereal; they wear white in their first scene and are photographed in slow motion—Cybill Shepherd in Taxi Driver; Cathy Moriarty's white bikini in Raging Bull; Sharon Stone's white minidress in Casino. This may be a nod to director Alfred Hitchcock. Scorsese often uses long tracking shots, as seen in Taxi Driver, Goodfellas, Casino, Gangs of New York, and Hugo. MOS sequences set to popular music or voice-over are regularly seen in his films, often involving aggressive camera movement and/or rapid editing. Scorsese sometimes highlights characters in a scene with an iris, an homage to 1920s silent film cinema (as scenes at the time sometimes used this transition). This effect can be seen in Casino (it is used on Sharon Stone and Joe Pesci), Life Lessons, The Departed (on Matt Damon), and Hugo. Some of his films include references/allusions to Westerns, particularly Rio Bravo, The Great Train Robbery, Shane, The Searchers, and The Oklahoma Kid. Slow motion flashbulbs and accented camera/flash/shutter sounds are often used, as is the song "Gimme Shelter" by The Rolling Stones heard in several of Scorsese's films: Goodfellas, Casino, and The Departed.
Cameo appearances
Scorsese usually has a quick cameo in his films (Who's That Knocking at My Door, Boxcar Bertha, Mean Streets, Alice Doesn't Live Here Anymore, Taxi Driver, The King of Comedy, After Hours, The Last Temptation of Christ (albeit hidden under a hood), The Age of Innocence, Gangs of New York, Hugo), he is also known to contribute his voice to a film without appearing on screen (e.g. as in The Aviator and The Wolf of Wall Street). In The Age of Innocence, for example, he appears in the non-speaking role of a large format portrait photographer in one of the passing scenes of the film. He provides the opening voice-over narration in Mean Streets and The Color of Money; plays the off-screen dressing room attendant in the final scene of Raging Bull, and provides the voice of the unseen ambulance dispatcher in Bringing Out the Dead. He also appears as the director of fictional newly formed Vatican Television in the Italian comedy In the Pope's Eye.
Religious guilt
Guilt is a prominent theme in many of his films, as is the role of Catholicism in creating and dealing with guilt (Who's That Knocking at My Door, Mean Streets, Raging Bull, Bringing Out the Dead, The Departed, Shutter Island, and The Irishman). In a similar manner, Scorsese considered Silence a "passion project": it had been in development since 1990, two years after the release of his film The Last Temptation of Christ, which also contained strongly religious themes. When asked why he retained interest in a project dealing with strong theological themes for over 26 years, Scorsese said,As you get older, ideas go and come. Questions, answers, loss of the answer again and more questions, and this is what really interests me. Yes, the cinema and the people in my life and my family are most important, but ultimately as you get older, there's got to be more ... Silence is just something that I'm drawn to in that way. It's been an obsession, it has to be done ... it's a strong, wonderful true story, a thriller in a way, but it deals with those questions.
Political corruption
More recently, his films have featured corrupt authority figures, such as policemen in The Departed and politicians in Gangs of New York and The Aviator. He is also known for his liberal usage of profanity, dark humor, and violence.
Scorsese's interest in political corruption as depicted in his films was expanded further in his 2019 film The Irishman. Richard Brody writing for The New Yorker found the main interpretation of the film to be a dark allegory of a realist reading of American politics and American society stating: The real-life Hoffa... (was) a crucial player in both gangland politics and the actual practical politics of the day, and the movie's key through line is the inseparability of those two realms. The Irishman is a sociopolitical horror story that views much of modern American history as a continuous crime in motion, in which every level of society—from domestic life through local business through big business through national and international politics—is poisoned by graft and bribery, shady deals and dirty money, threats of violence and its gruesome enactment, and the hard-baked impunity that keeps the entire system running.
Frequent collaborators
Scorsese often casts the same actors in his projects, particularly Robert De Niro, who has collaborated with Scorsese on nine feature films and one short film. Included are the three films (Taxi Driver, Raging Bull, and Goodfellas) that made AFI's 100 Years ... 100 Movies list. Scorsese has often said he thinks De Niro's best work under his direction was Rupert Pupkin in The King of Comedy. After the turn of the century, Scorsese found a new muse with younger actor Leonardo DiCaprio, collaborating on five feature films and one short to date. Several critics have compared Scorsese's new partnership with DiCaprio with his previous one with De Niro. Frequent collaborators also include: Victor Argo (6), Harvey Keitel (6), Harry Northup (6), Murray Moston (5), Illeana Douglas (4), J. C. MacKenzie (4), Joe Pesci (4), Frank Vincent (3), Barry Primus (3), and Verna Bloom (3). Others who have appeared in multiple Scorsese projects include Daniel Day-Lewis, who had become very reclusive to the Hollywood scene, Alec Baldwin, Willem Dafoe, Ben Kingsley, Jude Law, Dick Miller, Liam Neeson, Emily Mortimer, John C. Reilly, David Carradine, Barbara Hershey, Kevin Corrigan, Jake Hoffman, Frank Sivero, Ray Winstone and Nick Nolte. Before their deaths, Scorsese's parents, Charles Scorsese and Catherine Scorsese, appeared in bit parts, walk-ons or supporting roles, such as in Goodfellas.
For his crew, Scorsese frequently worked with editors Marcia Lucas and Thelma Schoonmaker, cinematographers Michael Ballhaus, Robert Richardson, Michael Chapman and Rodrigo Prieto, screenwriters Paul Schrader, Mardik Martin, Jay Cocks, Terrence Winter, John Logan and Steven Zaillian, costume designer Sandy Powell, production designers Dante Ferretti and Bob Shaw, music producer Robbie Robertson, and composers Howard Shore and Elmer Bernstein. Schoonmaker, Richardson, Powell, and Ferretti have each won Academy Awards in their respective categories on collaborations with Scorsese. Elaine and Saul Bass, the latter being Hitchcock's frequent title designer, designed the opening credits for Goodfellas, The Age of Innocence, Casino and Cape Fear.
Personal life
In 1965, Scorsese married his first wife Laraine Marie Brennan, and they remained together for six years between 1965 and 1971; they have a daughter, Catherine, who was named after his mother.
In 1976, Scorsese married the writer Julia Cameron, his second marriage; they have a daughter (Domenica Cameron-Scorsese, who is an actress and appeared in The Age of Innocence), but the marriage lasted only a year. The divorce was acrimonious and served as the basis of Cameron's first feature, the dark comedy God's Will, which also starred their daughter. She had a small role in Cape Fear using the name Domenica Scorsese and has continued to act, write, direct, and produce.
Before the end of 1979, Scorsese married actress Isabella Rossellini, and they stayed together for four years, divorcing in 1983.
Scorsese married producer Barbara De Fina in 1985, his fourth of five marriages; they divorced in 1991. From 1989 to 1997, Scorsese was romantically involved with actress Illeana Douglas following his fourth divorce.
In 1999, Scorsese married his current spouse of over twenty years, Helen Schermerhorn Morris. They have a daughter, Francesca, who appeared in The Departed and The Aviator.
Religion
Since his first divorce in 1972, Scorsese has had four subsequent wives and had previously identified himself as a lapsed Roman Catholic as a result of the Church's doctrinal position against divorce. He has said, "I'm a lapsed Catholic. But I am Roman Catholic; there's no way out of it." In 2016, Scorsese identified himself as a Catholic again, saying, "my way has been, and is, Catholicism. After many years of thinking about other things, dabbling here and there, I am most comfortable as a Catholic. I believe in the tenets of Catholicism."
Filmography
, Scorsese has directed 25 full-length films and 16 full-length documentary films.
Favorite films
In 2012, Scorsese participated in the Sight & Sound film polls of that year. Held every ten years to select the greatest films of all time, contemporary directors were asked to select ten films of their choice. Scorsese, however, picked 12, which are listed below in alphabetical order:
2001: A Space Odyssey (USA/UK,1968)
8½ (Italy, 1963)
Ashes and Diamonds (Poland, 1958)
Citizen Kane (USA, 1941)
The Leopard (Italy, 1963)
Paisà (Italy, 1946)
The Red Shoes (UK, 1948)
The River (USA, 1951)
Salvatore Giuliano (Italy, 1962)
The Searchers (USA, 1956)
Ugetsu (Japan, 1953)
Vertigo (USA, 1958)
In 1999, after the death of Gene Siskel, Scorsese joined Roger Ebert as the guest co-host for an episode of Siskel & Ebert where they each stated their 10 favorite films of the decade. Scorsese's list numerically is:
The Horse Thief (China, 1986)
The Thin Red Line (US, 1998)
A Borrowed Life (Taiwan, 1994)
Eyes Wide Shut (USA/UK, 1999)
Bad Lieutenant (USA, 1992)
Breaking the Waves (UK, 1996)
Bottle Rocket (USA, 1996)
Crash (Canada, 1996)
Fargo (USA, 1996)
Malcolm X (USA, 1992) and Heat (USA, 1995) (tie)
Film activism
Scorsese has mentioned his mentors being such filmmakers as John Cassavetes, Roger Corman, and Michael Powell. In film critic Roger Ebert's book, Scorsese by Ebert, Ebert praised Scorsese for championing and supporting other filmmakers by serving as an executive producer on projects of filmmakers such as Antoine Fuqua, Wim Wenders, Kenneth Lonergan, Stephen Frears, Allison Anders, Spike Lee, and John McNaughton. More recently he's executive produced the films of the Safdie Brothers, Joanna Hogg, Kornél Mundruczó, Josephine Decker, Danielle Lessovitz, Alice Rohrwacher, Jonas Carpignano, Amélie van Elmbt, and Celina Murga. Scorsese has also chosen to name filmmakers throughout the years that he admires such as fellow New York City-based directors Woody Allen and Spike Lee, as well as other artists such as Wes Anderson, Bong Joon-ho, Greta Gerwig, Ari Aster, Kelly Reichardt, Claire Denis, Noah Baumbach, Paul Thomas Anderson, Christopher Nolan, the Coen Brothers, and Kathryn Bigelow.
Film preservation
The Film Foundation
Scorsese had been at the forefront in film preservation and restoration ever since 1990, when he created The Film Foundation, a non-profit film organization which collaborates with film studios to restore prints of old or damaged films. Scorsese launched the organization with Woody Allen, Robert Altman, Francis Ford Coppola, Clint Eastwood, Stanley Kubrick, George Lucas, Sydney Pollack, Robert Redford, and Steven Spielberg, who all sat on the foundation's original board of directors. In 2006, Paul Thomas Anderson, Wes Anderson, Curtis Hanson, Peter Jackson, Ang Lee and Alexander Payne joined them. In 2015, Christopher Nolan also joined the board. Recent members include Spike Lee, Sofia Coppola, Guillermo del Toro, Barry Jenkins, Lynne Ramsay, Joanna Hogg and Kathryn Bigelow.
The foundation has restored more than 800 films from around the world and conducts a free educational curriculum for young people on the language and history of film. Scorsese and the Foundation spearheaded fundraising for the film restoration of Michael Powell, and Emeric Pressburger's The Red Shoes (1948). For his advocacy in film restoration he received the Robert Osborne Award at the 2018 TCM Film Festival. The award was given to Scorsese as "an individual who has significantly contributed to preserving the cultural heritage of classic films".
In November 2020, the Criterion Channel released a 30-minute video titled, 30 Years of The Film Foundation: Martin Scorsese and Ari Aster in Conversation, celebrating the "mission, evolution, and ongoing work of The Film Foundation". Scorsese stated as of 2020, the Foundation has helped restore 850 films.
The World Cinema Project
In 2007, Scorsese established the World Cinema Project with the mission to preserve and present marginalized and infrequently screened films from regions generally ill-equipped to preserve their own cinema history. Scorsese's organization has worked with the Criterion Collection to not only preserve the films but to allow them to be released on DVD and Blu-ray boxsets and on streaming services such as The Criterion Channel. Films in the WCP include Ousmane Sembène's Black Girl (1966), and Djibril Diop Mambéty's Touki Bouki (1973).
The Criterion Collection so far has released two Vol. boxsets on DVD and Blu-ray, titled, Martin Scorsese's World Cinema Project. The first Volume includes 6 titles, Touki Bouki (1973), Redes (1936), A River Called Titas (1973), Dry Summer (1964), Trances (1981) and The Housemaid (1960). The second volume also includes 6 titles, Insiang (1976), Mysterious Object at Noon (2000), Revenge (1989), Limite (1931), Law of the Border (1967), and Taipei Story (1985).
The African Film Heritage Project
In 2017, Scorsese also introduced The African Film Heritage Project (AFHP), which is a joint initiative between Scorsese's non-profit The Film Foundation, UNESCO, Cineteca di Bologna, and the Pan African Federation of Filmmakers (FEPACI). The project aims to locate and preserve 50 classic African films, some thought lost and others beyond repair, with hopes to make them available to audiences everywhere. In an interview with Cinema Escapist in 2018, Scorsese talked about the ambitious collaboration saying, "Our first goal is to launch and conduct a thorough investigation in film archives and laboratories around the world, in order to locate the best surviving elements—original negatives, we hope—for our first 50 titles." He also stated that "Restoration is always the primary goal, of course, but within the initiative, it’s also a starting point of a process that follows through with exhibition and dissemination in Africa and abroad. And of course, our restoration process always includes the creation of preservation elements."
In 2019, the AFHP, announced that they would screen restorations of four African films on their home continent for the first time as part of the 50th anniversary of the Pan African Film Festival of Ouagadougou. The movies in question are Med Hondo’s Soleil Ô (1970), Mohammed Lakhdar-Hamina’s Chronique des années de braise (1975), Timité Bassori’s La Femme au couteau (1969), and Jean-Pierre Dikongue-Pipa’s Muna Moto (1975).
Legacy and honors
Scorsese's films have been nominated for numerous awards both nationally and internationally, with an Academy Award win for The Departed. In 1991, he received the Golden Plate Award of the American Academy of Achievement. In 1997, Scorsese received the AFI Life Achievement Award. In 1998, the American Film Institute placed three Scorsese films on their list of the greatest American movies: Raging Bull at No. 24, Taxi Driver at No. 47, and Goodfellas at No. 94. For the tenth-anniversary edition of their list, Raging Bull was moved to No. 4, Taxi Driver was moved to No. 52, and Goodfellas was moved to No. 92. In 2001, the American Film Institute placed two Scorsese films on their list of the most "heart-pounding movies" in American cinema: Taxi Driver at No. 22 and Raging Bull at No. 51. At a ceremony in Paris, France, on January 5, 2005, Martin Scorsese was awarded the French Legion of Honour in recognition of his contribution to cinema. On February 8, 2006, at the 48th Annual Grammy Awards, Scorsese was awarded the Grammy Award for Best Long Form Music Video for No Direction Home.
In 2007, Scorsese was listed among Time magazine's 100 Most Influential People in The World. In August 2007, Scorsese was named the second-greatest director of all time in a poll by Total Film magazine, in front of Steven Spielberg and behind Alfred Hitchcock. In 2007, Scorsese was honored by the National Italian American Foundation (N.I.A.F.) at the nonprofit's thirty-second Anniversary Gala. During the ceremony, Scorsese helped launch N.I.A.F.'s Jack Valenti Institute in memory of former foundation board member and past president of the Motion Picture Association of America (M.P.A.A.) Jack Valenti. The Institute provides support to Italian film students in the U.S. Scorsese received his award from Mary Margaret Valenti, Jack Valenti's widow. Certain pieces of Scorsese's film-related material and personal papers are contained in the Wesleyan University Cinema Archives, to which scholars and media experts from around the world may have full access. On September 11, 2007, the Kennedy Center Honors committee, which recognizes career excellence and cultural influence, named Scorsese as one of the honorees for the year. On June 17, 2008, the American Film Institute placed two of Scorsese's films on the AFI's 10 Top 10 list: Raging Bull at number one for the Sports genre and Goodfellas at number two for the Gangster genre. In 2013, the staff of Entertainment Weekly voted Mean Streets the seventh greatest film ever made.
On January 17, 2010, at the 67th Golden Globe Awards, Scorsese was the recipient of the Golden Globe Cecil B. DeMille Award. On September 18, 2011, at the 63rd Primetime Emmy Awards, Scorsese won the Primetime Emmy Award for Outstanding Directing for a Drama Series for his work on the series premiere of Boardwalk Empire. In 2011, Scorsese received an honorary doctorate from the National Film School in Lodz. At the awards ceremony he said, "I feel like I'm a part of this school and that I attended it," paying tribute to the films of Wajda, Munk, Has, Polanski and Skolimowski. King Missile wrote "Martin Scorsese" in his honor. On February 12, 2012, at the 65th British Academy Film Awards, Scorsese was the recipient of the BAFTA Academy Fellowship Award.
On September 16, 2012, Scorsese won two Emmy Awards for Outstanding Directing for Nonfiction Programming and Outstanding Nonfiction Special for his work on the documentary George Harrison: Living in the Material World. In 2013, the National Endowment for the Humanities selected Scorsese for the Jefferson Lecture, the U.S. federal government's highest honor for achievement in the humanities. He was the first filmmaker chosen for the honor. His lecture, delivered on April 1, 2013, at the John F. Kennedy Center for the Performing Arts, was titled "Persistence of Vision: Reading the Language of Cinema". Scorsese was awarded the Polish Gold Medal for Merit to Culture – Gloria Artis on April 11, 2017, in recognition of his contribution to Polish cinema.
Scorsese has also garnered favorable responses from numerous film giants including Ingmar Bergman, Frank Capra, Jean-Luc Godard, Werner Herzog, Elia Kazan, Akira Kurosawa, David Lean, Michael Powell, Satyajit Ray, and François Truffaut. He was elected to the American Philosophical Society in 2008. He was awarded an Honorary Doctorate from the University of Oxford on June 20, 2018. As of 2021, five of Scorsese's films have been selected by the Library of Congress for preservation in the National Film Registry for being "culturally, historically, or aesthetically significant". In commenting on Scorsese's 2019 film The Irishman, Guillermo del Toro cited Scorsese's ability as a director for the depiction of character development comparable to the films of "Renoir, Bresson, Bergman, Oliveira or Kurosawa". Sam Mendes, in his acceptance speech after winning the 2020 Golden Globe Award for Best Director for 1917, praised Scorsese's contribution to cinema, stating, "There's not one director in this room, not one director in the world, that is not in the shadow of Martin Scorsese... I just have to say that." Bong Joon-ho, in his acceptance speech for the 2020 Academy Award for Best Director for Parasite, said, "When I was young and studying cinema, there was a saying that I carved deep into my heart, which is, the most personal is the most creative." He then said that this quote had come from Scorsese, which prompted the audience to give Scorsese a standing ovation.
Awards and nominations
See also
Dr Catherine O'Brien's Martin Scorsese's Divine Comedy: Movies and Religion (2018).
References
External links
Martin Scorsese on Instagram
, movie clip compilation, 3 min.
Martin Scorsese Bibliography (via UC Berkeley)
They Shoot Pictures, Don't They?
1999 Princeton Q&A lecture (RealMedia video)
Podcast: Scorsese Discusses His Digital Workflow Techniques
Martin Scorsese's response to a Proust Questionnaire
1942 births
Living people
20th-century American male actors
21st-century American male actors
AFI Life Achievement Award recipients
American documentary filmmakers
American film directors of Italian descent
American film editors
American film producers
American male film actors
American male screenwriters
American music video directors
American writers of Italian descent
Best Adapted Screenplay BAFTA Award winners
Best Directing Academy Award winners
Best Director BAFTA Award winners
Best Director Golden Globe winners
Cannes Film Festival Award for Best Director winners
Catholics from New York (state)
American Roman Catholics
Cecil B. DeMille Award Golden Globe winners
César Honorary Award recipients
Citizens of Italy through descent
David di Donatello Career Award winners
Directors Guild of America Award winners
Directors of Palme d'Or winners
Fellows of the American Academy of Arts and Sciences
Filmmakers who won the Best Film BAFTA Award
Film directors from New York City
Film theorists
Grammy Award winners
Kennedy Center honorees
Recipients of the Legion of Honour
Mass media theorists
New York University faculty
People from Corona, Queens
Primetime Emmy Award winners
Screenwriters from New York (state)
Tisch School of the Arts alumni
Venice Best Director Silver Lion winners
Cardinal Hayes High School alumni |
18996 | https://en.wikipedia.org/wiki/Mean%20Streets | Mean Streets | Mean Streets is a 1973 American crime film directed by Martin Scorsese and co-written by Scorsese and Mardik Martin. The film stars Harvey Keitel and Robert De Niro. It was released by Warner Bros. on October 2, 1973. De Niro won the National Society of Film Critics award for Best Supporting Actor for his role as "Johnny Boy" Civello.
In 1997, Mean Streets was selected for preservation in the United States National Film Registry by the Library of Congress as "culturally, historically, or aesthetically significant".
Plot
Charlie, a young Italian-American man in New York's Little Italy, is hampered by his feeling of responsibility towards his reckless younger friend Johnny Boy, a small-time gambler and ne'er-do-well who refuses to work and owes money to many loan sharks. Charlie is also having a secret affair with Johnny's cousin Teresa, who has epilepsy and is ostracized because of her condition—especially by Charlie's Uncle Giovanni, a powerful mafioso. Giovanni wants Charlie to distance himself from Johnny, saying "honorable men go with honorable men."
Charlie is torn between his devout Catholicism and his illicit Mafia work for Giovanni. Johnny becomes increasingly self-destructive and disrespectful of his Mafia-connected creditors. Failing to receive redemption in the Church, Charlie seeks it through sacrificing himself on Johnny's behalf. At a bar, a loan shark named Michael comes looking for Johnny to pay up. To his surprise, Johnny insults him. Michael lunges at Johnny, who pulls a gun. After a tense standoff, Michael walks away and Charlie convinces Johnny that they should leave town for a brief period. Teresa insists on coming with them. Charlie borrows a car and they drive off, leaving the neighborhood without incident.
A car that has been following them suddenly pulls up, with Michael at the wheel and his henchman, Jimmy Shorts, in the backseat. Jimmy fires several shots at Charlie's car, hitting Johnny in the neck and Charlie in the hand, causing Charlie to crash the car into a fire hydrant. Johnny is seen in an alleyway staggering toward a white light which is revealed to be a police car. Charlie gets out of the crashed vehicle and kneels in the spurting water from the hydrant, dazed and bleeding. Paramedics take Teresa and Charlie away. Johnny's fate remains unknown.
Cast
Harvey Keitel as Charlie Cappa
Robert De Niro as John "Johnny Boy" Civello
David Proval as Tony DeVienazo
Amy Robinson as Teresa Ronchelli
Richard Romanus as Michael Longo
Cesare Danova as Giovanni Cappa
George Memmoli as Joey
Harry Northup as Soldier
Martin Scorsese as Jimmy Shorts
David Carradine as Drunk
Production
Apart from his first actual feature, Who's That Knocking at My Door, and a directing project given to him by early independent film maker Roger Corman, Boxcar Bertha, this was Scorsese's first feature film of his own design. Director John Cassavetes told him after he completed Boxcar Bertha: "You’ve just spent a year of your life making a piece of shit." This inspired Scorsese to make a film about his own experiences. Cassavetes told Scorsese he should do something like Who's That Knocking at My Door, which Cassavetes had liked. Mean Streets was based on events Scorsese saw almost regularly while growing up in New York City's Little Italy.
The screenplay began as a continuation of the characters in Who's That Knocking. Scorsese changed the title from Season of the Witch to Mean Streets, a reference to Raymond Chandler's essay "The Simple Art of Murder", where Chandler writes, "But down these mean streets a man must go who is not himself mean, who is neither tarnished nor afraid." Scorsese sent the script to Corman, who agreed to back the film if all the characters were black. Scorsese was anxious to make the film so he considered this option, but actress Verna Bloom arranged a meeting with potential financial backer Jonathan Taplin, the road manager for The Band. Taplin liked the script and was willing to raise the $300,000 Scorsese wanted if Corman promised, in writing, to distribute the film. The blaxploitation suggestion came to nothing when funding from Warner Bros. allowed him to make the film with Italian-American characters.
Reception
The film was well received by most critics; Pauline Kael was among the enthusiastic critics, calling it "a true original, and a triumph of personal filmmaking" and "dizzyingly sensual". Vincent Canby of The New York Times reflected that "no matter how bleak the milieu, no matter how heartbreaking the narrative, some films are so thoroughly, beautifully realized they have a kind of tonic effect that has no relation to the subject matter". Time Out magazine called it "one of the best American films of the decade". David Denby, writing for Sight and Sound, praised the film's acting, saying that Scorsese had used improvisation "better than anyone in American movies so far." He concluded by saying that, "Scorsese's impulse to express all he feels about life in every scene (a cannier, more prudent director wouldn't have started his film with that great De Niro monologue), and thus to wrench his audience upwards into a new state of consciousness with one prolonged and devastating gesture, infinitely hurting and infinitely tender. Mean Streets comes close enough to this feverish ideal to warrant our love and much of our respect."
Retrospectively, Roger Ebert of the Chicago Sun-Times inducted Mean Streets on his Great Movies list and wrote, "In countless ways, right down to the detail of modern TV crime shows, Mean Streets is one of the source points of modern movies." In 2013, the staff of Entertainment Weekly voted the film the seventh greatest of all time. In 2015, it was ranked 93rd on the BBC's list of the 100 greatest American films. James Gandolfini, when asked on Inside the Actors Studio (season 11, episode two) which films most influenced him, cited Mean Streets, saying "I saw that 10 times in a row." Likewise, director Kathryn Bigelow said that Mean Streets was one of her five favorite movies. In an interview with GQ Magazine, Spike Lee named Mean Streets as one of his influences, along with On The Waterfront. In 2011, Empire Magazine listed the film as #1 on its "50 Greatest American Independent Films" list.
On Rotten Tomatoes, the film holds an approval rating of 96% based on 67 reviews, with an average rating of 8.90/10. The website's critics consensus reads: "Mean Streets is a powerful tale of urban sin and guilt that marks Scorsese's arrival as an important cinematic voice and features electrifying performances from Harvey Keitel and Robert De Niro." According to Metacritic, which assigned a weighted average of 96 out of 100 based on 11 critics, the film received "universal acclaim".
Home media
Mean Streets was released on VHS and Betamax in 1985. The film debuted as a letterboxed LaserDisc on October 7, 1991 in the US. It was released on Blu-ray on April 6, 2011 in France, and in America on July 17, 2012. The home media releases use the original mono audio track, rather than a modern surround sound mix as is common even for films that originally had mono audio.
See also
List of American films of 1973
References
External links
1973 films
1973 crime drama films
American crime drama films
American films
American neo-noir films
1970s English-language films
Films about Catholicism
Films directed by Martin Scorsese
Films set in New York City
Films shot in New York City
Films with screenplays by Martin Scorsese
Films about the American Mafia
United States National Film Registry films
Warner Bros. films |
18997 | https://en.wikipedia.org/wiki/Marcel%20Achard | Marcel Achard | Marcel Achard (5 July 1899 – 4 September 1974) was a French playwright and screenwriter whose popular sentimental comedies maintained his position as a highly recognizable name in his country's theatrical and literary circles for five decades. He was elected to the Académie française in 1959.
Themes and variations within a philosophical outlook
A native of the Rhône département's Urban Community of Lyon, France's second largest metropolitan area, Marcel-Auguste Ferréol was born in Sainte-Foy-lès-Lyon, one of the city's suburbs, and adopted his nom de plume at the start of his writing career in the early 1920s. Able to absorb knowledge quickly, he became, in 1916, in the midst of World War I, a village schoolteacher at the age of 17. In 1919, a few months after the end of the war, the 20-year-old aspiring writer arrived in Paris and found jobs as a prompter at the Théâtre du Vieux-Colombier and as a journalist for various publications, including the major daily newspaper, Le Figaro.
Marcel Achard wrote his first play in 1922 and had a major success the following year when renowned actor-director Charles Dullin staged his play Voulez-vous jouer avec moâ? [Would You Like to Play with Me?], a sensitively delicate comedy about circus and its clowns, casting the playwright in a small part, as one of the clowns. The production set a pattern for the remainder of his theatrical output, most of which can be considered as 20th century reworkings of stock characters and situations from the Italian traditional Commedia dell'arte. The personages of Pierrot and Columbine are transported into modern-day settings and inserted into an occasionally mawkish or nostalgic love plot with equal doses of laughter mingled with pain and regret.
These themes were expanded upon in two of his most popular plays of the period—1929's Jean de la Lune [John of the Moon a/k/a The Dreamer] and 1932's Domino. Jean showed how the unwavering trust of Jef, the faithful Pierrot prototype, transforms his scandalously adulterous wife into his idealized image of her, while Domino presented another unfaithful wife who pays a gigolo to make a pretense of courting her so as to distract her husband from her real lover, but the gigolo manages to act his character with such pretend sincerity that she winds up falling in love with this fictional persona.
The distinctive quality of Achard's plays was their dreamlike mood of sentimental melancholy, underscored by the very titles which were primarily taken from popular bittersweet songs of the day. 1924's Marlbrough s'en va-t-en guerre [Marlborough Gets Himself Off to War], 1935's Noix de coco [Coconuts], 1946's Auprès de ma blonde [Close to My Girlfriend] and Savez-vous planter les choux? [Do You Know How to Plant Cabbage?] and 1948's Nous irons à Valparaiso [We're Going to Valparaiso] are among some examples of this specific style.
Career peak in the interwar period
Achard's greatest successes and popularity were in the period between the two World Wars when contemporary critics favorably compared him to some of his renowned French predecessors such as Pierre de Marivaux and Alfred de Musset. Postwar pundits were not as kind, pointing out the rather narrow scope of human psyche that he represented and deprecatingly referring to him as a "spécialiste de l'amour" ["love specialist"] for the sickly-sweet characteristics of his poetic imagination.
The critics focused, of course, on Achard's most popular plays, disregarding the fact that the reason Achard continued to write them is precisely because they met with such unvarying success. His less-well known works, however, show innovative techniques and original themes. 1929's La Belle Marinière [The Beautiful Lady of the Canals a/k/a The Beautiful Bargewoman] still has some of the excessively-poetic dialogue, but is overall a realistic play about a love triangle involving a bargeman, his wife and his best friend and companion. Similarly, 1933's La femme en blanc [The Woman in White] uses a then-new technique of recreating for the audience events as they are being described by the play's characters. In 1938's Le corsaire [The Privateer], a "play-in-a-play" device, pioneered by Luigi Pirandello, depicts film actors portraying the life of a long-ago pirate, finding themselves caught in an endless loop of similarities. The same year saw the production of his most controversial play, Adam, which strove to give insight into the conflicted emotions of an unhappy homosexual. Although the very subject matter caused it to be considered scandalous at the time, its brief revival three decades later, in the open and radicalized culture of the late 1960s, when the author was approaching his 70th birthday, found the once-ahead-of-its-time work judged as a tame and dated period piece below Achard's usual literary standard.
Successful postwar plays
After World War II, despite the criticism, Achard's literary output continued unabated. Among his most successful later plays were 1952's Les compagnons de la Marjolaine [The Companions of Marjoram] and 1955's Le mal d'amour [Love Sickness]. The greatest popularity, however, was achieved by a 1957 comedy about a testy, ill-tempered character nicknamed Patate [Spud] and a 1962 comic mystery L'Idiote [The Idiot], best known in America as the basis for the play and film A Shot in the Dark.
Four of Achard's plays also had Broadway runs. Domino, adapted by actress-writer Grace George, opened at the Playhouse Theatre on 16 August 1932 and closed after seven performances. The title role went to Rod La Rocque, a top star of the silent cinema, whose career was on the wane following the advent of the talkies, and the lead actress was Jessie Royce Landis. Seventeen years later, a much better run was enjoyed by Auprès de ma blonde, which was reworked by S. N. Behrman into I Know My Love. It opened at the Shubert Theatre on 2 November 1949 and ran for 247 performances, closing on 3 June 1950. It was directed by and starred Alfred Lunt and his leading lady was, as always, his wife, Lynn Fontanne. Nine years after that premiere, however, Patate, which played to sold-out theaters in Paris, could not translate its elusive charm to American audiences and repeated the seven-performance fiasco of the previous single-name character, Domino. The fellow whose nickname made up the title was played by Tom Ewell, and the female lead, Susan Oliver, won the Theatre World Award for her performance, while the Irwin Shaw adaptation opened at Henry Miller's Theatre on 28 October 1958 and closed on November 1. Ultimately, it would be A Shot in the Dark, three years later, which would boast the longest run. Adapted by Harry Kurnitz and directed by Harold Clurman, it racked up an impressive 389 performances, opening at the Booth Theatre on 18 October 1961 and closing on 22 September 1962. The stars were Julie Harris, Walter Matthau and William Shatner.
Achard's numerous screenplays, frequently centering on relatively recent historical events and personalities, include 1936's Mayerling, 1938's Orage and 1942's Félicie Nanteuil. He presided over the Cannes Film Festival in 1958 and 1959 and had a similar role at the Venice Film Festival in 1960. It was also in 1959 that he was finally, at the age of 60, elected to the Académie française.
Death
Marcel Achard died of diabetes in his Paris home two months after his 75th birthday. He was survived by his wife, Lily.
Filmography
Jean de la Lune, directed by Jean Choux (France, 1931, based on the play Jean de la Lune)
Mistigri, directed by Harry Lachman (France, 1931, based on the play Mistigri)
The Beautiful Sailor, directed by Harry Lachman (France, 1932, based on the play La Belle Marinière)
Cocoanut, directed by Jean Boyer (France, 1939, based on the play Noix de coco)
The Strange Monsieur Victor (1938)
, directed by Schamyl Bauman (Sweden, 1939, based on the play Pétrus)
Domino, directed by Roger Richebé (France, 1943, based on the play Domino)
Pétrus, directed by Marc Allégret (France, 1946, based on the play Pétrus)
Jean de la Lune, directed by Marcel Achard (France, 1949, based on the play Jean de la Lune)
A Shot in the Dark, directed by Blake Edwards (1964, based on the play L'Idiote)
Patate, directed by Robert Thomas (France, 1964, based on the play Patate)
Citations
References
(obituary)
External links
Marcel Achard quotations
Additional quotations from Marcel Achard
1899 births
1974 deaths
People from Sainte-Foy-lès-Lyon
20th-century French dramatists and playwrights
French male screenwriters
20th-century French screenwriters
Members of the Académie Française
Deaths from diabetes
20th-century French male writers
French male dramatists and playwrights |
18998 | https://en.wikipedia.org/wiki/Myasthenia%20gravis | Myasthenia gravis | Myasthenia gravis (MG) is a long-term neuromuscular disease that leads to varying degrees of skeletal muscle weakness. The most commonly affected muscles are those of the eyes, face, and swallowing. It can result in double vision, drooping eyelids, trouble talking, and trouble walking. Onset can be sudden. Those affected often have a large thymus or develop a thymoma.
Myasthenia gravis is an autoimmune disease of the neuro-muscular junction which results from antibodies that block or destroy nicotinic acetylcholine receptors (AChR) at the junction between the nerve and muscle. This prevents nerve impulses from triggering muscle contractions. Most cases are due to immunoglobulin G1 (IgG1) and IgG3 antibodies that attack AChR in the postsynaptic membrane, causing complement-mediated damage and muscle weakness. Rarely, an inherited genetic defect in the neuromuscular junction results in a similar condition known as congenital myasthenia. Babies of mothers with myasthenia may have symptoms during their first few months of life, known as neonatal myasthenia. Diagnosis can be supported by blood tests for specific antibodies, the edrophonium test, or a nerve conduction study.
MG is generally treated with medications known as acetylcholinesterase inhibitors, such as neostigmine and pyridostigmine. Immunosuppressants, such as prednisone or azathioprine, may also be used. The surgical removal of the thymus may improve symptoms in certain cases. Plasmapheresis and high-dose intravenous immunoglobulin may be used during sudden flares of the condition. If the breathing muscles become significantly weak, mechanical ventilation may be required. Once intubated acetylcholinesterase inhibitors may be temporarily held to reduce airway secretions.
MG affects 50 to 200 per million people. It is newly diagnosed in three to 30 per million people each year. Diagnosis is becoming more common due to increased awareness. MG most commonly occurs in women under the age of 40 and in men over the age of 60. It is uncommon in children. With treatment, most of those affected lead relatively normal lives and have a normal life expectancy. The word is from the Greek mys, "muscle" and astheneia "weakness", and the Latin gravis, "serious".
Signs and symptoms
The initial, main symptom in MG is painless weakness of specific muscles, not fatigue. The muscle weakness becomes progressively worse during periods of physical activity and improves after periods of rest. Typically, the weakness and fatigue are worse toward the end of the day. MG generally starts with ocular (eye) weakness; it might then progress to a more severe generalized form, characterized by weakness in the extremities or in muscles that govern basic life functions.
Eyes
In about two-thirds of individuals, the initial symptom of MG is related to the muscles around the eye. Eyelid drooping (ptosis may occur due to weakness of m. levator palpebrae superioris) and double vision (diplopia, due to weakness of the extraocular muscles). Eye symptoms tend to get worse when watching television, reading, or driving, particularly in bright conditions. Consequently, some affected individuals choose to wear sunglasses. The term "ocular myasthenia gravis" describes a subtype of MG where muscle weakness is confined to the eyes, i.e. extraocular muscles, m. levator palpebrae superioris, and m. orbicularis oculi. Typically, this subtype evolves into generalized MG, usually after a few years.
Eating
The weakness of the muscles involved in swallowing may lead to swallowing difficulty (dysphagia). Typically, this means that some food may be left in the mouth after an attempt to swallow, or food and liquids may regurgitate into the nose rather than go down the throat (velopharyngeal insufficiency). Weakness of the muscles that move the jaw (muscles of mastication) may cause difficulty chewing. In individuals with MG, chewing tends to become more tiring when chewing tough, fibrous foods. Difficulty in swallowing, chewing, and speaking is the first symptom in about one-sixth of individuals.
Speaking
Weakness of the muscles involved in speaking may lead to dysarthria and hypophonia. Speech may be slow and slurred, or have a nasal quality. In some cases, a singing hobby or profession must be abandoned.
Head and neck
Due to weakness of the muscles of facial expression and muscles of mastication, facial weakness may manifest as the inability to hold the mouth closed (the "hanging jaw sign") and as a snarling expression when attempting to smile. With drooping eyelids, facial weakness may make the individual appear sleepy or sad. Difficulty in holding the head upright may occur.
Other
The muscles that control breathing and limb movements can also be affected; rarely do these present as the first symptoms of MG, but develop over months to years. In a myasthenic crisis, a paralysis of the respiratory muscles occurs, necessitating assisted ventilation to sustain life. Crises may be triggered by various biological stressors such as infection, fever, an adverse reaction to medication, or emotional stress.
Pathophysiology
MG is an autoimmune synaptopathy. The disorder occurs when the immune system malfunctions and generates antibodies that attack the body's tissues. The antibodies in MG attack a normal human protein, the nicotinic acetylcholine receptor, or a related protein called MuSK, a muscle-specific kinase. Other, less frequent antibodies are found against LRP4, agrin, and titin proteins.
Human leukocyte antigen haplotypes are associated with increased susceptibility to myasthenia gravis and other autoimmune disorders. Relatives of people with myasthenia gravis have a higher percentage of other immune disorders.
The thymus gland cells form part of the body's immune system. In those with myasthenia gravis, the thymus gland is large and abnormal. It sometimes contains clusters of immune cells that indicate lymphoid hyperplasia, and the thymus gland may give wrong instructions to immune cells.
In pregnancy
For women who are pregnant and already have MG, in a third of cases, they have been known to experience an exacerbation of their symptoms, and in those cases, it usually occurs in the first trimester of pregnancy. Signs and symptoms in pregnant mothers tend to improve during the second and third trimesters. Complete remission can occur in some mothers. Immunosuppressive therapy should be maintained throughout pregnancy, as this reduces the chance of neonatal muscle weakness, and controls the mother's myasthenia.
About 10–20% of infants with mothers affected by the condition are born with transient neonatal myasthenia (TNM), which generally produces feeding and respiratory difficulties that develop about 12 hours to several days after birth. A child with TNM typically responds very well to acetylcholinesterase inhibitors, and the condition generally resolves over a period of three weeks, as the antibodies diminish, and generally does not result in any complications. Very rarely, an infant can be born with arthrogryposis multiplex congenita, secondary to profound intrauterine weakness. This is due to maternal antibodies that target an infant's acetylcholine receptors. In some cases, the mother remains asymptomatic.
Diagnosis
MG can be difficult to diagnose, as the symptoms can be subtle and hard to distinguish from both normal variants and other neurological disorders.
Three types of myasthenic symptoms in children can be distinguished:
Transient neonatal myasthenia occurs in 10 to 15% of babies born to mothers afflicted with the disorder, and disappears after a few weeks.
Congenital myasthenia, the rarest form, occurs when genes are present from both parents.
Juvenile myasthenia gravis is most common in females.
Congenital myasthenias cause muscle weakness and fatigability similar to those of MG.
The signs of congenital myasthenia usually are present in the first years of childhood, although they may not be recognized until adulthood.
Classification
When diagnosed with MG, a person is assessed for his or her neurological status and the level of illness is established. This is usually done using the accepted Myasthenia Gravis Foundation of America Clinical Classification scale.
Physical examination
During a physical examination to check for MG, a doctor might ask the person to perform repetitive movements. For instance, the doctor may ask one to look at a fixed point for 30 seconds and to relax the muscles of the forehead, because a person with MG and ptosis of the eyes might be involuntarily using the forehead muscles to compensate for the weakness in the eyelids. The clinical examiner might also try to elicit the "curtain sign" in a person by holding one of the person's eyes open, which in the case of MG will lead the other eye to close.
Blood tests
If the diagnosis is suspected, serology can be performed:
One test is for antibodies against the acetylcholine receptor; the test has a reasonable sensitivity of 80–96%, but in ocular myasthenia, the sensitivity falls to 50%.
A proportion of the people without antibodies against the acetylcholine receptor have antibodies against the MuSK protein.
In specific situations, testing is performed for Lambert-Eaton syndrome.
Electrodiagnostics
Muscle fibers of people with MG are easily fatigued, which the repetitive nerve stimulation test can help diagnose. In single-fiber electromyography, which is considered to be the most sensitive (although not the most specific) test for MG, a thin needle electrode is inserted into different areas of a particular muscle to record the action potentials from several samplings of different individual muscle fibers. Two muscle fibers belonging to the same motor unit are identified, and the temporal variability in their firing patterns is measured. Frequency and proportion of particular abnormal action potential patterns, called "jitter" and "blocking", are diagnostic. Jitter refers to the abnormal variation in the time interval between action potentials of adjacent muscle fibers in the same motor unit. Blocking refers to the failure of nerve impulses to elicit action potentials in adjacent muscle fibers of the same motor unit.
Ice test
Applying ice for 2–5 minutes to the muscles reportedly has a sensitivity and specificity of 76.9% and 98.3%, respectively, for the identification of MG. Acetylcholinesterase is thought to be inhibited at the lower temperature, which is the basis for this diagnostic test. This generally is performed on the eyelids when ptosis is present and is deemed positive if a ≥2-mm rise in the eyelid occurs after the ice is removed.
Edrophonium test
This test requires the intravenous administration of edrophonium chloride or neostigmine, drugs that block the breakdown of acetylcholine by cholinesterase (acetylcholinesterase inhibitors). This test is no longer typically performed, as its use can lead to life-threatening bradycardia (slow heart rate) which requires immediate emergency attention. Production of edrophonium was discontinued in 2008.
Imaging
A chest X-ray may identify widening of the mediastinum suggestive of thymoma, but computed tomography or magnetic resonance imaging (MRI) are more sensitive ways to identify thymomas and are generally done for this reason. MRI of the cranium and orbits may also be performed to exclude compressive and inflammatory lesions of the cranial nerves and ocular muscles.
Pulmonary function test
The forced vital capacity may be monitored at intervals to detect increasing muscular weakness. Acutely, negative inspiratory force may be used to determine adequacy of ventilation; it is performed on those individuals with MG.
Management
Treatment is by medication and/or surgery. Medication consists mainly of acetylcholinesterase inhibitors to directly improve muscle function and immunosuppressant drugs to reduce the autoimmune process. Thymectomy is a surgical method to treat MG.
Medication
Worsening may occur with medication such as fluoroquinolones, aminoglycosides, and magnesium. About 10% of people with generalized MG are considered treatment-refractory. Autologous hematopoietic stem cell transplantation (HSCT) is sometimes used in severe, treatment-refractory MG. Available data provide preliminary evidence that HSCT can be an effective therapeutic option in carefully selected cases.
Efgartigimod alfa was approved for medical use in the United States in December 2021.
Acetylcholinesterase inhibitors
Acetylcholinesterase inhibitors can provide symptomatic benefit and may not fully remove a person's weakness from MG. While they might not fully remove all symptoms of MG, they still may allow a person the ability to perform normal daily activities. Usually, acetylcholinesterase inhibitors are started at a low dose and increased until the desired result is achieved. If taken 30 minutes before a meal, symptoms will be mild during eating, which is helpful for those who have difficulty swallowing due to their illness. Another medication used for MG, atropine, can reduce the muscarinic side effects of acetylcholinesterase inhibitors. Pyridostigmine is a relatively long-acting drug (when compared to other cholinergic agonists), with a half-life around four hours with relatively few side effects. Generally, it is discontinued in those who are being mechanically ventilated, as it is known to increase the amount of salivary secretions. A few high-quality studies have directly compared cholinesterase inhibitors with other treatments (or placebo); their practical benefit may be such that conducting studies in which they would be withheld from some people would be difficult.
Immune suppressants
The steroid prednisone might also be used to achieve a better result, but it can lead to the worsening of symptoms for 14 days and takes 6–8 weeks to achieve its maximal effectiveness. Due to the myriad symptoms that steroid treatments can cause, it is not the preferred method of treatment. Other immune suppressing medications may also be used including rituximab.
Plasmapheresis and IVIG
If the myasthenia is serious (myasthenic crisis), plasmapheresis can be used to remove the putative antibodies from the circulation. Also, intravenous immunoglobulins (IVIGs) can be used to bind the circulating antibodies. Both of these treatments have relatively short-lived benefits, typically measured in weeks, and often are associated with high costs, which make them prohibitive; they are generally reserved for when MG requires hospitalization.
Surgery
As thymomas are seen in 10% of all people with the MG, they are often given a chest X-ray and CT scan to evaluate their need for surgical removal of their thymus glands and any cancerous tissue that may be present. Even if surgery is performed to remove a thymoma, it generally does not lead to the remission of MG. Surgery in the case of MG involves the removal of the thymus, although in 2013, no clear benefit was indicated except in the presence of a thymoma. A 2016 randomized, controlled trial, however, found some benefits.
Physical measures
People with MG should be educated regarding the fluctuating nature of their symptoms, including weakness and exercise-induced fatigue. Exercise participation should be encouraged with frequent rest. In people with generalized MG, some evidence indicates a partial home program including training in diaphragmatic breathing, pursed-lip breathing, and interval-based muscle therapy may improve respiratory muscle strength, chest wall mobility, respiratory pattern, and respiratory endurance.
Medical imaging
In people with myasthenia gravis, older forms of iodinated contrast used for medical imaging have caused an increased risk of exacerbation of the disease, but modern forms have no immediate increased risk.
Prognosis
The prognosis of people with MG is generally good, as is quality of life, given very good treatment. Monitoring of a person with MG is very important, as at least 20% of people diagnosed with it will experience a myasthenic crisis within two years of their diagnosis, requiring rapid medical intervention. Generally, the most disabling period of MG might be years after the initial diagnosis. In the early 1900s, 70% of detected cases died from lung problems; now, that number is estimated to be around 3–5%, which is attributed to increased awareness and medications to manage symptoms.
Epidemiology
MG occurs in all ethnic groups and both sexes. It most commonly affects women under 40 and people from 50 to 70 years old of either sex, but it has been known to occur at any age. Younger people rarely have thymoma. Prevalence in the United States is estimated at between 0.5 and 20.4 cases per 100,000, with an estimated 60,000 Americans affected. Within the United Kingdom, an estimated 15 cases of MG occur per 100,000 people.
History
The first to write about MG were Thomas Willis, Samuel Wilks, Erb, and Goldflam. The term "myasthenia gravis pseudo-paralytica" was proposed in 1895 by Jolly, a German physician. Mary Walker treated a person with MG with physostigmine in 1934. Simpson and Nastuck detailed the autoimmune nature of the condition. In 1973, Patrick and Lindstrom used rabbits to show that immunization with purified muscle-like acetylcholine receptors caused the development of MG-like symptoms.
Research
Immunomodulating substances, such as drugs that prevent acetylcholine receptor modulation by the immune system, are currently being researched. Some research recently has been on anti-c5 inhibitors for treatment research as they are safe and used in the treatment of other diseases. Ephedrine seems to benefit some people more than other medications, but it has not been properly studied as of 2014.
In the laboratory, MG is mostly studied in model organisms, such as rodents. In addition, in 2015, scientists developed an in vitro functional, all-human, neuromuscular junction assay from human embryonic stem cells and somatic-muscle stem cells. After the addition of pathogenic antibodies against the acetylcholine receptor and activation of the complement system, the neuromuscular co-culture shows symptoms such as weaker muscle contractions.
References
Further reading
Autoimmune diseases
Myoneural junction and neuromuscular diseases
Wikipedia neurology articles ready to translate
Wikipedia medicine articles ready to translate |
18999 | https://en.wikipedia.org/wiki/Motala%20str%C3%B6m | Motala ström | Motala ström is the river system that drains lake Vättern, the second largest lake in Sweden, into the Baltic Sea in Norrköping. It is named from the city Motala where it begins. In the early 19th century, the Göta Canal was constructed in parallel with Motala ström.
References
Rivers of Östergötland County
Götaland |
19001 | https://en.wikipedia.org/wiki/Microsoft | Microsoft | Microsoft Corporation is an American multinational technology corporation which produces computer software, consumer electronics, personal computers, and related services. Its best-known software products are the Microsoft Windows line of operating systems, the Microsoft Office suite, and the Internet Explorer and Edge web browsers. Its flagship hardware products are the Xbox video game consoles and the Microsoft Surface lineup of touchscreen personal computers. Microsoft ranked No. 21 in the 2020 Fortune 500 rankings of the largest United States corporations by total revenue; it was the world's largest software maker by revenue as of 2016. It is one of the Big Five American information technology companies, alongside Alphabet, Amazon, Apple, and Meta.
Microsoft (the word being a portmanteau of "microcomputer software") was founded by Bill Gates and Paul Allen on April 4, 1975, to develop and sell BASIC interpreters for the Altair 8800. It rose to dominate the personal computer operating system market with MS-DOS in the mid-1980s, followed by Microsoft Windows. The company's 1986 initial public offering (IPO), and subsequent rise in its share price, created three billionaires and an estimated 12,000 millionaires among Microsoft employees. Since the 1990s, it has increasingly diversified from the operating system market and has made a number of corporate acquisitions, their largest being the acquisition of LinkedIn for $26.2 billion in December 2016, followed by their acquisition of Skype Technologies for $8.5 billion in May 2011.
, Microsoft is market-dominant in the IBM PC compatible operating system market and the office software suite market, although it has lost the majority of the overall operating system market to Android. The company also produces a wide range of other consumer and enterprise software for desktops, laptops, tabs, gadgets, and servers, including Internet search (with Bing), the digital services market (through MSN), mixed reality (HoloLens), cloud computing (Azure), and software development (Visual Studio).
Steve Ballmer replaced Gates as CEO in 2000, and later envisioned a "devices and services" strategy. This unfolded with Microsoft acquiring Danger Inc. in 2008, entering the personal computer production market for the first time in June 2012 with the launch of the Microsoft Surface line of tablet computers, and later forming Microsoft Mobile through the acquisition of Nokia's devices and services division. Since Satya Nadella took over as CEO in 2014, the company has scaled back on hardware and has instead focused on cloud computing, a move that helped the company's shares reach its highest value since December 1999.
Earlier dethroned by Apple in 2010, in 2018 Microsoft reclaimed its position as the most valuable publicly traded company in the world. In April 2019, Microsoft reached the market cap, becoming the third U.S. public company to be valued at over $1 trillion after Apple and Amazon respectively. , Microsoft has the third-highest global brand valuation.
History
1972–1985: Founding
Childhood friends Bill Gates and Paul Allen sought to make a business using their skills in computer programming. In 1972, they founded Traf-O-Data, which sold a rudimentary computer to track and analyze automobile traffic data. Gates enrolled at Harvard University while Allen pursued a degree in computer science at Washington State University, though he later dropped out to work at Honeywell. The January 1975 issue of Popular Electronics featured Micro Instrumentation and Telemetry Systems's (MITS) Altair 8800 microcomputer, which inspired Allen to suggest that they could program a BASIC interpreter for the device. Gates called MITS and claimed that he had a working interpreter, and MITS requested a demonstration. Allen worked on a simulator for the Altair while Gates developed the interpreter, and it worked flawlessly when they demonstrated it to MITS in March 1975 in Albuquerque, New Mexico. MITS agreed to distribute it, marketing it as Altair BASIC. Gates and Allen established Microsoft on April 4, 1975, with Gates as CEO, and Allen suggested the name "Micro-Soft", short for micro-computer software. In August 1977, the company formed an agreement with ASCII Magazine in Japan, resulting in its first international office of ASCII Microsoft. Microsoft moved its headquarters to Bellevue, Washington, in January 1979.
Microsoft entered the operating system (OS) business in 1980 with its own version of Unix called Xenix, but it was MS-DOS that solidified the company's dominance. IBM awarded a contract to Microsoft in November 1980 to provide a version of the CP/M OS to be used in the IBM Personal Computer (IBM PC). For this deal, Microsoft purchased a CP/M clone called 86-DOS from Seattle Computer Products which it branded as MS-DOS, although IBM rebranded it to IBM PC DOS. Microsoft retained ownership of MS-DOS following the release of the IBM PC in August 1981. IBM had copyrighted the IBM PC BIOS, so other companies had to reverse engineer it in order for non-IBM hardware to run as IBM PC compatibles, but no such restriction applied to the operating systems. Microsoft eventually became the leading PC operating systems vendor. The company expanded into new markets with the release of the Microsoft Mouse in 1983, as well as with a publishing division named Microsoft Press.
Paul Allen resigned from Microsoft in 1983 after developing Hodgkin's disease. Allen claimed in Idea Man: A Memoir by the Co-founder of Microsoft that Gates wanted to dilute his share in the company when he was diagnosed with Hodgkin's disease because he did not think that he was working hard enough. Allen later invested in low-tech sectors, sports teams, commercial real estate, neuroscience, private space flight, and more.
1985–1994: Windows and Office
Microsoft released Microsoft Windows on November 20, 1985, as a graphical extension for MS-DOS, despite having begun jointly developing OS/2 with IBM the previous August. Microsoft moved its headquarters from Bellevue to Redmond, Washington, on February 26, 1986, and went public on March 13, with the resulting rise in stock making an estimated four billionaires and 12,000 millionaires from Microsoft employees. Microsoft released its version of OS/2 to original equipment manufacturers (OEMs) on April 2, 1987. In 1990, the Federal Trade Commission examined Microsoft for possible collusion due to the partnership with IBM, marking the beginning of more than a decade of legal clashes with the government. Meanwhile, the company was at work on Microsoft Windows NT, which was heavily based on their copy of the OS/2 code. It shipped on July 21, 1993, with a new modular kernel and the 32-bit Win32 application programming interface (API), making it easier to port from 16-bit (MS-DOS-based) Windows. Microsoft informed IBM of Windows NT, and the OS/2 partnership deteriorated.
In 1990, Microsoft introduced the Microsoft Office suite which bundled separate applications such as Microsoft Word and Microsoft Excel. On May 22, Microsoft launched Windows 3.0, featuring streamlined user interface graphics and improved protected mode capability for the Intel 386 processor, and both Office and Windows became dominant in their respective areas.
On July 27, 1994, the Department of Justice's Antitrust Division filed a competitive impact statement which said: "Beginning in 1988 and continuing until July 15, 1994, Microsoft induced many OEMs to execute anti-competitive 'per processor' licenses. Under a per-processor license, an OEM pays Microsoft a royalty for each computer it sells containing a particular microprocessor, whether the OEM sells the computer with a Microsoft operating system or a non-Microsoft operating system. In effect, the royalty payment to Microsoft when no Microsoft product is being used acts as a penalty, or tax, on the OEM's use of a competing PC operating system. Since 1988, Microsoft's use of per processor licenses has increased."
1995–2007: Foray into the Web, Windows 95, Windows XP, and Xbox
Following Bill Gates' internal "Internet Tidal Wave memo" on May 26, 1995, Microsoft began to redefine its offerings and expand its product line into computer networking and the World Wide Web. With a few exceptions of new companies, like Netscape, Microsoft was the only major and established company that acted fast enough to be a part of the World Wide Web practically from the start. Other companies like Borland, WordPerfect, Novell, IBM and Lotus, being much slower to adapt to the new situation, would give Microsoft a market dominance. The company released Windows 95 on August 24, 1995, featuring pre-emptive multitasking, a completely new user interface with a novel start button, and 32-bit compatibility; similar to NT, it provided the Win32 API. Windows 95 came bundled with the online service MSN, which was at first intended to be a competitor to the Internet, and (for OEMs) Internet Explorer, a Web browser. Internet Explorer was not bundled with the retail Windows 95 boxes, because the boxes were printed before the team finished the Web browser, and instead was included in the Windows 95 Plus! pack. Backed by a high-profile marketing campaign and what The New York Times called "the splashiest, most frenzied, most expensive introduction of a computer product in the industry's history," Windows 95 quickly became a success. Branching out into new markets in 1996, Microsoft and General Electric's NBC unit created a new 24/7 cable news channel, MSNBC. Microsoft created Windows CE 1.0, a new OS designed for devices with low memory and other constraints, such as personal digital assistants. In October 1997, the Justice Department filed a motion in the Federal District Court, stating that Microsoft violated an agreement signed in 1994 and asked the court to stop the bundling of Internet Explorer with Windows.
On January 13, 2000, Bill Gates handed over the CEO position to Steve Ballmer, an old college friend of Gates and employee of the company since 1980, while creating a new position for himself as Chief Software Architect. Various companies including Microsoft formed the Trusted Computing Platform Alliance in October 1999 to (among other things) increase security and protect intellectual property through identifying changes in hardware and software. Critics decried the alliance as a way to enforce indiscriminate restrictions over how consumers use software, and over how computers behave, and as a form of digital rights management: for example the scenario where a computer is not only secured for its owner, but also secured against its owner as well. On April 3, 2000, a judgment was handed down in the case of United States v. Microsoft Corp., calling the company an "abusive monopoly." Microsoft later settled with the U.S. Department of Justice in 2004. On October 25, 2001, Microsoft released Windows XP, unifying the mainstream and NT lines of OS under the NT codebase. The company released the Xbox later that year, entering the video game console market dominated by Sony and Nintendo. In March 2004 the European Union brought antitrust legal action against the company, citing it abused its dominance with the Windows OS, resulting in a judgment of €497 million ($613 million) and requiring Microsoft to produce new versions of Windows XP without Windows Media Player: Windows XP Home Edition N and Windows XP Professional N. In November 2005, the company's second video game console, the Xbox 360, was released. There were two versions, a basic version for $299.99 and a deluxe version for $399.99.
Increasingly present in the hardware business following Xbox, Microsoft in 2006 released the Zune series of digital media players, a successor of its previous software platform Portable Media Center. These expanded on previous hardware commitments from Microsoft following its original Microsoft Mouse in 1983; as of 2007 the company sold the best-selling wired keyboard (Natural Ergonomic Keyboard 4000), mouse (IntelliMouse), and desktop webcam (LifeCam) in the United States. That year the company also launched the Surface "digital table", later renamed PixelSense.
2007–2011: Microsoft Azure, Windows Vista, Windows 7, and Microsoft Stores
Released in January 2007, the next version of Windows, Vista, focused on features, security and a redesigned user interface dubbed Aero. Microsoft Office 2007, released at the same time, featured a "Ribbon" user interface which was a significant departure from its predecessors. Relatively strong sales of both products helped to produce a record profit in 2007. The European Union imposed another fine of €899 million ($1.4 billion) for Microsoft's lack of compliance with the March 2004 judgment on February 27, 2008, saying that the company charged rivals unreasonable prices for key information about its workgroup and backoffice servers. Microsoft stated that it was in compliance and that "these fines are about the past issues that have been resolved". 2007 also saw the creation of a multi-core unit at Microsoft, following the steps of server companies such as Sun and IBM.
Gates retired from his role as Chief Software Architect on June 27, 2008, a decision announced in June 2006, while retaining other positions related to the company in addition to being an advisor for the company on key projects. Azure Services Platform, the company's entry into the cloud computing market for Windows, launched on October 27, 2008. On February 12, 2009, Microsoft announced its intent to open a chain of Microsoft-branded retail stores, and on October 22, 2009, the first retail Microsoft Store opened in Scottsdale, Arizona; the same day Windows 7 was officially released to the public. Windows 7's focus was on refining Vista with ease-of-use features and performance enhancements, rather than an extensive reworking of Windows.
As the smartphone industry boomed in the late 2000s, Microsoft had struggled to keep up with its rivals in providing a modern smartphone operating system, falling behind Apple and Google-sponsored Android in the United States. As a result, in 2010 Microsoft revamped their aging flagship mobile operating system, Windows Mobile, replacing it with the new Windows Phone OS that was released in October that year. It used a new user interface design language, codenamed "Metro", which prominently used simple shapes, typography and iconography, utilizing the concept of minimalism. Microsoft implemented a new strategy for the software industry, providing a consistent user experience across all smartphones using the Windows Phone OS. It launched an alliance with Nokia in 2011 and Microsoft worked closely with the company to co-develop Windows Phone, but remained partners with long-time Windows Mobile OEM HTC. Microsoft is a founding member of the Open Networking Foundation started on March 23, 2011. Fellow founders were Google, HP Networking, Yahoo!, Verizon Communications, Deutsche Telekom and 17 other companies. This nonprofit organization is focused on providing support for a cloud computing initiative called Software-Defined Networking. The initiative is meant to speed innovation through simple software changes in telecommunications networks, wireless networks, data centers and other networking areas.
2011–2014: Windows 8/8.1, Xbox One, Outlook.com, and Surface devices
Following the release of Windows Phone, Microsoft undertook a gradual rebranding of its product range throughout 2011 and 2012, with the corporation's logos, products, services and websites adopting the principles and concepts of the Metro design language. Microsoft unveiled Windows 8, an operating system designed to power both personal computers and tablet computers, in Taipei in June 2011. A developer preview was released on September 13, which was subsequently replaced by a consumer preview on February 29, 2012, and released to the public in May. The Surface was unveiled on June 18, becoming the first computer in the company's history to have its hardware made by Microsoft. On June 25, Microsoft paid US$1.2 billion to buy the social network Yammer. On July 31, they launched the Outlook.com webmail service to compete with Gmail. On September 4, 2012, Microsoft released Windows Server 2012.
In July 2012, Microsoft sold its 50% stake in MSNBC, which it had run as a joint venture with NBC since 1996. On October 1, Microsoft announced its intention to launch a news operation, part of a new-look MSN, with Windows 8 later in the month. On October 26, 2012, Microsoft launched Windows 8 and the Microsoft Surface. Three days later, Windows Phone 8 was launched. To cope with the potential for an increase in demand for products and services, Microsoft opened a number of "holiday stores" across the U.S. to complement the increasing number of "bricks-and-mortar" Microsoft Stores that opened in 2012. On March 29, 2013, Microsoft launched a Patent Tracker.
In August 2012, the New York City Police Department announced a partnership with Microsoft for the development of the Domain Awareness System which is used for Police surveillance in New York City.
The Kinect, a motion-sensing input device made by Microsoft and designed as a video game controller, first introduced in November 2010, was upgraded for the 2013 release of the Xbox One video game console. Kinect's capabilities were revealed in May 2013: an ultra-wide 1080p camera, function in the dark due to an infrared sensor, higher-end processing power and new software, the ability to distinguish between fine movements (such as a thumb movement), and determining a user's heart rate by looking at their face. Microsoft filed a patent application in 2011 that suggests that the corporation may use the Kinect camera system to monitor the behavior of television viewers as part of a plan to make the viewing experience more interactive. On July 19, 2013, Microsoft stocks suffered their biggest one-day percentage sell-off since the year 2000, after its fourth-quarter report raised concerns among the investors on the poor showings of both Windows 8 and the Surface tablet. Microsoft suffered a loss of more than US$32 billion.
In line with the maturing PC business, in July 2013, Microsoft announced that it would reorganize the business into four new business divisions, namely Operating System, Apps, Cloud, and Devices. All previous divisions will be dissolved into new divisions without any workforce cuts. On September 3, 2013, Microsoft agreed to buy Nokia's mobile unit for $7 billion, following Amy Hood taking the role of CFO.
2014–2020: Windows 10, Microsoft Edge, and HoloLens
On February 4, 2014, Steve Ballmer stepped down as CEO of Microsoft and was succeeded by Satya Nadella, who previously led Microsoft's Cloud and Enterprise division. On the same day, John W. Thompson took on the role of chairman, in place of Bill Gates, who continued to participate as a technology advisor. Thompson became the second chairman in Microsoft's history. On April 25, 2014, Microsoft acquired Nokia Devices and Services for $7.2 billion. This new subsidiary was renamed Microsoft Mobile Oy. On September 15, 2014, Microsoft acquired the video game development company Mojang, best known for Minecraft, for $2.5 billion. On June 8, 2017, Microsoft acquired Hexadite, an Israeli security firm, for $100 million.
On January 21, 2015, Microsoft announced the release of their first Interactive whiteboard, Microsoft Surface Hub. On July 29, 2015, Windows 10 was released, with its server sibling, Windows Server 2016, released in September 2016. In Q1 2015, Microsoft was the third largest maker of mobile phones, selling 33 million units (7.2% of all). While a large majority (at least 75%) of them do not run any version of Windows Phone— those other phones are not categorized as smartphones by Gartner in the same time frame 8 million Windows smartphones (2.5% of all smartphones) were made by all manufacturers (but mostly by Microsoft). Microsoft's share of the U.S. smartphone market in January 2016 was 2.7%. During the summer of 2015 the company lost $7.6 billion related to its mobile-phone business, firing 7,800 employees.
On March 1, 2016, Microsoft announced the merger of its PC and Xbox divisions, with Phil Spencer announcing that Universal Windows Platform (UWP) apps would be the focus for Microsoft's gaming in the future. On January 24, 2017, Microsoft showcased Intune for Education at the BETT 2017 education technology conference in London. Intune for Education is a new cloud-based application and device management service for the education sector. In May 2016, the company announced it was laying off 1,850 workers, and taking an impairment and restructuring charge of $950 million. In June 2016, Microsoft announced a project named Microsoft Azure Information Protection. It aims to help enterprises protect their data as it moves between servers and devices. In November 2016, Microsoft joined the Linux Foundation as a Platinum member during Microsoft's Connect(); developer event in New York. The cost of each Platinum membership is US$500,000 per year. Some analysts deemed this unthinkable ten years prior, however, as in 2001 then-CEO Steve Ballmer called Linux "cancer". Microsoft planned to launch a preview of Intune for Education "in the coming weeks", with general availability scheduled for spring 2017, priced at $30 per device, or through volume licensing agreements.
In January 2018, Microsoft patched Windows 10 to account for CPU problems related to Intel's Meltdown security breach. The patch led to issues with the Microsoft Azure virtual machines reliant on Intel's CPU architecture. On January 12, Microsoft released PowerShell Core 6.0 for the macOS and Linux operating systems. In February 2018, Microsoft killed notification support for their Windows Phone devices which effectively ended firmware updates for the discontinued devices. In March 2018, Microsoft recalled Windows 10 S to change it to a mode for the Windows operating system rather than a separate and unique operating system. In March the company also established guidelines that censor users of Office 365 from using profanity in private documents. In April 2018, Microsoft released the source code for Windows File Manager under the MIT License to celebrate the program's 20th anniversary. In April the company further expressed willingness to embrace open source initiatives by announcing Azure Sphere as its own derivative of the Linux operating system. In May 2018, Microsoft partnered with 17 American intelligence agencies to develop cloud computing products. The project is dubbed "Azure Government" and has ties to the Joint Enterprise Defense Infrastructure (JEDI) surveillance program. On June 4, 2018, Microsoft officially announced the acquisition of GitHub for $7.5 billion, a deal that closed on October 26, 2018. On July 10, 2018, Microsoft revealed the Surface Go platform to the public. Later in the month it converted Microsoft Teams to gratis. In August 2018, Microsoft released two projects called Microsoft AccountGuard and Defending Democracy. It also unveiled Snapdragon 850 compatibility for Windows 10 on the ARM architecture.
In August 2018, Toyota Tsusho began a partnership with Microsoft to create fish farming tools using the Microsoft Azure application suite for Internet of things (IoT) technologies related to water management. Developed in part by researchers from Kindai University, the water pump mechanisms use artificial intelligence to count the number of fish on a conveyor belt, analyze the number of fish, and deduce the effectiveness of water flow from the data the fish provide. The specific computer programs used in the process fall under the Azure Machine Learning and the Azure IoT Hub platforms. In September 2018, Microsoft discontinued Skype Classic. On October 10, 2018, Microsoft joined the Open Invention Network community despite holding more than 60,000 patents. In November 2018, Microsoft agreed to supply 100,000 Microsoft HoloLens headsets to the United States military in order to "increase lethality by enhancing the ability to detect, decide and engage before the enemy." In November 2018, Microsoft introduced Azure Multi-Factor Authentication for Microsoft Azure. In December 2018, Microsoft announced Project Mu, an open source release of the Unified Extensible Firmware Interface (UEFI) core used in Microsoft Surface and Hyper-V products. The project promotes the idea of Firmware as a Service. In the same month, Microsoft announced the open source implementation of Windows Forms and the Windows Presentation Foundation (WPF) which will allow for further movement of the company toward the transparent release of key frameworks used in developing Windows desktop applications and software. December also saw the company discontinue the Microsoft Edge project in favor of Chromium backends for their browsers.
On February 20, 2019, Microsoft Corp said it will offer its cyber security service AccountGuard to 12 new markets in Europe including Germany, France and Spain, to close security gaps and protect customers in political space from hacking. In February 2019, hundreds of Microsoft employees protested the company's war profiteering from a $480 million contract to develop virtual reality headsets for the United States Army.
2020–present: Acquisitions, Xbox Series X/S, and Windows 11
On March 26, 2020, Microsoft announced it was acquiring Affirmed Networks for about $1.35 billion. Due to the COVID-19 pandemic, Microsoft closed all of its retail stores indefinitely due to health concerns. On July 22, 2020, Microsoft announced plans to close its Mixer service, planning to move existing partners to Facebook Gaming.
On July 31, 2020, it was reported that Microsoft was in talks to acquire TikTok after the Trump administration ordered ByteDance to divest ownership of the application to the U.S. On August 3, 2020, after speculation on the deal, Donald Trump stated that Microsoft could buy the application, however it should be completed by September 15, 2020, and that the United States Department of the Treasury should receive a portion if it were to go through.
On August 5, 2020, Microsoft stopped its xCloud game streaming test for iOS devices. According to Microsoft, the future of xCloud on iOS remains unclear and potentially out of Microsoft's hands. Apple has imposed a strict limit on "remote desktop clients" that means applications are only allowed to connect to a user-owned host device or gaming console owned by the user. On September 21, 2020, Microsoft announced its intent to acquire video game company ZeniMax Media, the parent company of Bethesda Softworks, for about $7.5 billion, with the deal expected to be occurred in the second half of 2021 fiscal year. On March 9, 2021, the acquisition was finalized and ZeniMax Media became part of Microsoft's Xbox Game Studios division. The total price of the deal was $8.1 billion.
On September 22, 2020, Microsoft announced that it had an exclusive license to use OpenAI’s GPT-3 artificial intelligence language generator. The previous version of GPT-3, called GPT-2, made headlines for being “too dangerous to release” and had numerous capabilities, including designing websites, prescribing medication, answering questions and penning articles. On November 10, 2020, Microsoft released the Xbox Series X and Xbox Series S video game consoles.
In April 2021, Microsoft said that it will buy Nuance Communications for about $16 billion in cash. In 2021, in part due to the strong quarterly earnings spurred by the COVID-19 pandemic, Microsoft's valuation came to near $2 trillion. The increased necessity for remote work and distance education drove up the demand for cloud-computing services and grew the company's gaming sales.
On June 24, 2021, Microsoft announced Windows 11 during a livestream. The announcement came with confusion after Microsoft announced Windows 10 would be the last version of the operating system; set to be released in Fall 2021. It was released to the general public on October 5, 2021.
In October 2021, Microsoft announced that it began rolling out end-to-end encryption (E2EE) support for Microsoft Teams calls in order to secure business communication while using video conferencing software. Users can ensure that their calls are encrypted and can utilize a security code which both parties on a call must verify on respective ends. On October 7, Microsoft acquired Ally.io, a software service that measures companies' progress against OKRs. Microsoft plans to incorporate Ally.io into its Viva family of employee experience products.
On January 18, 2022, Microsoft announced the acquisition of American video game developer and holding company Activision Blizzard in an all-cash deal worth $68.7 billion. Activision Blizzard is best known for producing franchises, including but not limited to Warcraft, Diablo, Call of Duty, StarCraft, Candy Crush Saga, and Overwatch. Activision and Microsoft each released statements saying the acquisition was to benefit their businesses in the metaverse, many saw Microsoft's acquisition of video game studios as an attempt to compete against Meta Platforms, with TheStreet referring to Microsoft wanting to become "the Disney of the metaverse". Microsoft has not released statements regarding Activision's recent legal controversies regarding employee abuse, but reports have alleged that Activision CEO Bobby Kotick, a major target of the controversy, will leave the company after the acquisition is finalized. The deal is expected to close in 2023 followed by a review from the US Federal Trade Commission.
Corporate affairs
Board of directors
The company is run by a board of directors made up of mostly company outsiders, as is customary for publicly traded companies. Members of the board of directors as of July 2020 are Satya Nadella, Reid Hoffman, Hugh Johnston, Teri List-Stoll, Sandi Peterson, Penny Pritzker, Charles Scharf, Arne Sorenson, John W. Stanton, John W. Thompson, Emma Walmsley and Padmasree Warrior. Board members are elected every year at the annual shareholders' meeting using a majority vote system. There are four committees within the board that oversee more specific matters. These committees include the Audit Committee, which handles accounting issues with the company including auditing and reporting; the Compensation Committee, which approves compensation for the CEO and other employees of the company; the Governance and Nominating Committee, which handles various corporate matters including the nomination of the board; and the Regulatory and Public Policy Committee, which includes legal/antitrust matters, along with privacy, trade, digital safety, artificial intelligence, and environmental sustainability.
On March 13, 2020, Gates announced that he is leaving the board of directors of Microsoft and Berkshire Hathaway to focus more on his philanthropic efforts. According to Aaron Tilley of The Wall Street Journal this is "marking the biggest boardroom departure in the tech industry since the death of longtime rival and Apple Inc. co-founder Steve Jobs."
On January 13, 2022, The Wall Street Journal reported the Microsoft's board of directors plans to hire an external law firm to review its sexual harassment and gender discrimination policies, and to release a summary of how the company handled past allegations of misconduct against Bill Gates and other corporate executives.
Chief executives
Bill Gates (1975–2000)
Steve Ballmer (2000–2014)
Satya Nadella (2014–present)
Financial
When Microsoft went public and launched its initial public offering (IPO) in 1986, the opening stock price was $21; after the trading day, the price closed at $27.75. As of July 2010, with the company's nine stock splits, any IPO shares would be multiplied by 288; if one were to buy the IPO today, given the splits and other factors, it would cost about 9 cents. The stock price peaked in 1999 at around $119 ($60.928, adjusting for splits). The company began to offer a dividend on January 16, 2003, starting at eight cents per share for the fiscal year followed by a dividend of sixteen cents per share the subsequent year, switching from yearly to quarterly dividends in 2005 with eight cents a share per quarter and a special one-time payout of three dollars per share for the second quarter of the fiscal year. Though the company had subsequent increases in dividend payouts, the price of Microsoft's stock remained steady for years.
Standard & Poor's and Moody's Investors Service have both given a AAA rating to Microsoft, whose assets were valued at $41 billion as compared to only $8.5 billion in unsecured debt. Consequently, in February 2011 Microsoft released a corporate bond amounting to $2.25 billion with relatively low borrowing rates compared to government bonds. For the first time in 20 years Apple Inc. surpassed Microsoft in Q1 2011 quarterly profits and revenues due to a slowdown in PC sales and continuing huge losses in Microsoft's Online Services Division (which contains its search engine Bing). Microsoft profits were $5.2 billion, while Apple Inc. profits were $6 billion, on revenues of $14.5 billion and $24.7 billion respectively. Microsoft's Online Services Division has been continuously loss-making since 2006 and in Q1 2011 it lost $726 million. This follows a loss of $2.5 billion for the year 2010.
On July 20, 2012, Microsoft posted its first quarterly loss ever, despite earning record revenues for the quarter and fiscal year, with a net loss of $492 million due to a writedown related to the advertising company aQuantive, which had been acquired for $6.2 billion back in 2007. As of January 2014, Microsoft's market capitalization stood at $314B, making it the 8th largest company in the world by market capitalization. On November 14, 2014, Microsoft overtook ExxonMobil to become the second most-valuable company by market capitalization, behind only Apple Inc. Its total market value was over $410B—with the stock price hitting $50.04 a share, the highest since early 2000. In 2015, Reuters reported that Microsoft Corp had earnings abroad of $76.4 billion which were untaxed by the Internal Revenue Service. Under U.S. law, corporations don't pay income tax on overseas profits until the profits are brought into the United States.
In November 2018, the company won a $480 million military contract with the U.S. government to bring augmented reality (AR) headset technology into the weapon repertoires of American soldiers. The two-year contract may result in follow-on orders of more than 100,000 headsets, according to documentation describing the bidding process. One of the contract's tag lines for the augmented reality technology seems to be its ability to enable "25 bloodless battles before the 1st battle", suggesting that actual combat training is going to be an essential aspect of the augmented reality headset capabilities.
Subsidiaries
Microsoft is an international business. As such, it needs subsidiaries present in whatever national markets it chooses to harvest. An example is Microsoft Canada, which it established in 1985. Other countries have similar installations, to funnel profits back up to Redmond and to distribute the dividends to the holders of MSFT stock.
Marketing
In 2004, Microsoft commissioned research firms to do independent studies comparing the total cost of ownership (TCO) of Windows Server 2003 to Linux; the firms concluded that companies found Windows easier to administrate than Linux, thus those using Windows would administrate faster resulting in lower costs for their company (i.e. lower TCO). This spurred a wave of related studies; a study by the Yankee Group concluded that upgrading from one version of Windows Server to another costs a fraction of the switching costs from Windows Server to Linux, although companies surveyed noted the increased security and reliability of Linux servers and concern about being locked into using Microsoft products. Another study, released by the Open Source Development Labs, claimed that the Microsoft studies were "simply outdated and one-sided" and their survey concluded that the TCO of Linux was lower due to Linux administrators managing more servers on average and other reasons.
As part of the "Get the Facts" campaign, Microsoft highlighted the .NET Framework trading platform that it had developed in partnership with Accenture for the London Stock Exchange, claiming that it provided "five nines" reliability. After suffering extended downtime and unreliability the London Stock Exchange announced in 2009 that it was planning to drop its Microsoft solution and switch to a Linux-based one in 2010.
In 2012, Microsoft hired a political pollster named Mark Penn, whom The New York Times called "famous for bulldozing" his political opponents as Executive Vice-president, Advertising and Strategy. Penn created a series of negative advertisements targeting one of Microsoft's chief competitors, Google. The advertisements, called "Scroogled", attempt to make the case that Google is "screwing" consumers with search results rigged to favor Google's paid advertisers, that Gmail violates the privacy of its users to place ad results related to the content of their emails and shopping results, which favor Google products. Tech publications like TechCrunch have been highly critical of the advertising campaign, while Google employees have embraced it.
Layoffs
In July 2014, Microsoft announced plans to lay off 18,000 employees. Microsoft employed 127,104 people as of June 5, 2014, making this about a 14 percent reduction of its workforce as the biggest Microsoft lay off ever. This included 12,500 professional and factory personnel. Previously, Microsoft had eliminated 5,800 jobs in 2009 in line with the Great Recession of 2008–2017. In September 2014, Microsoft laid off 2,100 people, including 747 people in the Seattle–Redmond area, where the company is headquartered. The firings came as a second wave of the layoffs that were previously announced. This brought the total number to over 15,000 out of the 18,000 expected cuts. In October 2014, Microsoft revealed that it was almost done with the elimination of 18,000 employees, which was its largest-ever layoff sweep. In July 2015, Microsoft announced another 7,800 job cuts in the next several months. In May 2016, Microsoft announced another 1,850 job cuts mostly in its Nokia mobile phone division. As a result, the company will record an impairment and restructuring charge of approximately $950 million, of which approximately $200 million will relate to severance payments.
United States government
Microsoft provides information about reported bugs in their software to intelligence agencies of the United States government, prior to the public release of the fix. A Microsoft spokesperson has stated that the corporation runs several programs that facilitate the sharing of such information with the U.S. government. Following media reports about PRISM, NSA's massive electronic surveillance program, in May 2013, several technology companies were identified as participants, including Microsoft. According to leaks of said program, Microsoft joined the PRISM program in 2007. However, in June 2013, an official statement from Microsoft flatly denied their participation in the program:
During the first six months in 2013, Microsoft had received requests that affected between 15,000 and 15,999 accounts. In December 2013, the company made statement to further emphasize the fact that they take their customers' privacy and data protection very seriously, even saying that "government snooping potentially now constitutes an 'advanced persistent threat,' alongside sophisticated malware and cyber attacks". The statement also marked the beginning of three-part program to enhance Microsoft's encryption and transparency efforts. On July 1, 2014, as part of this program they opened the first (of many) Microsoft Transparency Center, that provides "participating governments with the ability to review source code for our key products, assure themselves of their software integrity, and confirm there are no "back doors." Microsoft has also argued that the United States Congress should enact strong privacy regulations to protect consumer data.
In April 2016, the company sued the U.S. government, arguing that secrecy orders were preventing the company from disclosing warrants to customers in violation of the company's and customers' rights. Microsoft argued that it was unconstitutional for the government to indefinitely ban Microsoft from informing its users that the government was requesting their emails and other documents, and that the Fourth Amendment made it so people or businesses had the right to know if the government searches or seizes their property. On October 23, 2017, Microsoft said it would drop the lawsuit as a result of a policy change by the United States Department of Justice (DoJ). The DoJ had "changed data request rules on alerting the Internet users about agencies accessing their information."
Corporate identity
Corporate culture
Technical reference for developers and articles for various Microsoft magazines such as Microsoft Systems Journal (MSJ) are available through the Microsoft Developer Network (MSDN). MSDN also offers subscriptions for companies and individuals, and the more expensive subscriptions usually offer access to pre-release beta versions of Microsoft software. In April 2004, Microsoft launched a community site for developers and users, titled Channel 9, that provides a wiki and an Internet forum. Another community site that provides daily videocasts and other services, On10.net, launched on March 3, 2006. Free technical support is traditionally provided through online Usenet newsgroups, and CompuServe in the past, monitored by Microsoft employees; there can be several newsgroups for a single product. Helpful people can be elected by peers or Microsoft employees for Microsoft Most Valuable Professional (MVP) status, which entitles them to a sort of special social status and possibilities for awards and other benefits.
Noted for its internal lexicon, the expression "eating your own dog food" is used to describe the policy of using pre-release and beta versions of products inside Microsoft in an effort to test them in "real-world" situations. This is usually shortened to just "dog food" and is used as noun, verb, and adjective. Another bit of jargon, FYIFV or FYIV ("Fuck You, I'm [Fully] Vested"), is used by an employee to indicate they are financially independent and can avoid work anytime they wish.
Microsoft is an outspoken opponent of the cap on H-1B visas, which allow companies in the U.S. to employ certain foreign workers. Bill Gates claims the cap on H1B visas makes it difficult to hire employees for the company, stating "I'd certainly get rid of the H1B cap" in 2005. Critics of H1B visas argue that relaxing the limits would result in increased unemployment for U.S. citizens due to H1B workers working for lower salaries. The Human Rights Campaign Corporate Equality Index, a report of how progressive the organization deems company policies towards LGBT employees, rated Microsoft as 87% from 2002 to 2004 and as 100% from 2005 to 2010 after they allowed gender expression.
In August 2018, Microsoft implemented a policy for all companies providing subcontractors to require 12 weeks of paid parental leave to each employee. This expands on the former requirement from 2015 requiring 15 days of paid vacation and sick leave each year. In 2015, Microsoft established its own parental leave policy to allow 12 weeks off for parental leave with an additional 8 weeks for the parent who gave birth.
Environment
In 2011, Greenpeace released a report rating the top ten big brands in cloud computing on their sources of electricity for their data centers. At the time, data centers consumed up to 2% of all global electricity and this amount was projected to increase. Phil Radford of Greenpeace said "we are concerned that this new explosion in electricity use could lock us into old, polluting energy sources instead of the clean energy available today," and called on "Amazon, Microsoft and other leaders of the information-technology industry must embrace clean energy to power their cloud-based data centers." In 2013, Microsoft agreed to buy power generated by a Texas wind project to power one of its data centers. Microsoft is ranked on the 17th place in Greenpeace's Guide to Greener Electronics (16th Edition) that ranks 18 electronics manufacturers according to their policies on toxic chemicals, recycling and climate change. Microsoft's timeline for phasing out brominated flame retardant (BFRs) and phthalates in all products is 2012 but its commitment to phasing out PVC is not clear. As of January 2011, it has no products that are completely free from PVC and BFRs.
Microsoft's main U.S. campus received a silver certification from the Leadership in Energy and Environmental Design (LEED) program in 2008, and it installed over 2,000 solar panels on top of its buildings at its Silicon Valley campus, generating approximately 15 percent of the total energy needed by the facilities in April 2005. Microsoft makes use of alternative forms of transit. It created one of the world's largest private bus systems, the "Connector", to transport people from outside the company; for on-campus transportation, the "Shuttle Connect" uses a large fleet of hybrid cars to save fuel. The company also subsidizes regional public transport, provided by Sound Transit and King County Metro, as an incentive. In February 2010, however, Microsoft took a stance against adding additional public transport and high-occupancy vehicle (HOV) lanes to the State Route 520 and its floating bridge connecting Redmond to Seattle; the company did not want to delay the construction any further. Microsoft was ranked number 1 in the list of the World's Best Multinational Workplaces by the Great Place to Work Institute in 2011. In January 2020, the company promised the carbon dioxide removal of all carbon that it has emitted since its foundation in 1975. On October 9, 2020, Microsoft permanently allowed remote work.
In January 2021, the company announced on Twitter to join the Climate Neutral Data Centre Pact, which engages the cloud infrastructure and data centers industries to reach carbon neutrality in Europe by 2030.
Headquarters
The corporate headquarters, informally known as the Microsoft Redmond campus, is located at One Microsoft Way in Redmond, Washington. Microsoft initially moved onto the grounds of the campus on February 26, 1986, weeks before the company went public on March 13. The headquarters has since experienced multiple expansions since its establishment. It is estimated to encompass over 8 million ft2 (750,000 m2) of office space and 30,000–40,000 employees. Additional offices are located in Bellevue and Issaquah, Washington (90,000 employees worldwide). The company is planning to upgrade its Mountain View, California, campus on a grand scale. The company has occupied this campus since 1981. In 2016, the company bought the campus, with plans to renovate and expand it by 25%. Microsoft operates an East Coast headquarters in Charlotte, North Carolina.
Flagship stores
On October 26, 2015, the company opened its retail location on Fifth Avenue in New York City. The location features a five-story glass storefront and is 22,270 square feet. As per company executives, Microsoft had been on the lookout for a flagship location since 2009. The company's retail locations are part of a greater
strategy to help build a connection with its consumers. The
opening of the store coincided with the launch of the Surface Book and Surface
Pro 4. On November 12, 2015, Microsoft opened a second flagship store, located in Sydney's Pitt Street Mall.
Logo
Microsoft adopted the so-called "Pac-Man Logo," designed by Scott Baker, in 1987. Baker stated "The new logo, in Helvetica italic typeface, has a slash between the o and s to emphasize the "soft" part of the name and convey motion and speed." Dave Norris ran an internal joke campaign to save the old logo, which was green, in all uppercase, and featured a fanciful letter O, nicknamed the blibbet, but it was discarded. Microsoft's logo with the tagline "Your potential. Our passion."—below the main corporate name—is based on a slogan Microsoft used in 2008. In 2002, the company started using the logo in the United States and eventually started a television campaign with the slogan, changed from the previous tagline of "Where do you want to go today?" During the private MGX (Microsoft Global Exchange) conference in 2010, Microsoft unveiled the company's next tagline, "Be What's Next." They also had a slogan/tagline "Making it all make sense."
On August 23, 2012, Microsoft unveiled a new corporate logo at the opening of its 23rd Microsoft store in Boston, indicating the company's shift of focus from the classic style to the tile-centric modern interface, which it uses/will use on the Windows Phone platform, Xbox 360, Windows 8 and the upcoming Office Suites. The new logo also includes four squares with the colors of the then-current Windows logo which have been used to represent Microsoft's four major products: Windows (blue), Office (red), Xbox (green) and Bing (yellow). The logo resembles the opening of one of the commercials for Windows 95.
Sponsorship
The company was the official jersey sponsor of Finland's national basketball team at EuroBasket 2015.
The company was a Major sponsor of the Toyota Gazoo Racing WRT (2017-2020).
The company was a sponsor of the Renault F1 Team (2016-2020)
Philanthropy
During the COVID-19 pandemic, Microsoft's president, Brad Smith, announced that an initial batch of supplies, including 15,000 protection goggles, infrared thermometers, medical caps, and protective suits, were donated to Seattle, with further aid to come soon.
Criticism
Criticism of Microsoft has followed various aspects of its products and business practices. Frequently criticized are the ease of use, robustness, and security of the company's software. They've also been criticized for the use of permatemp employees (employees employed for years as "temporary," and therefore without medical benefits), the use of forced retention tactics, which means that employees would be sued if they tried to leave. Historically, Microsoft has also been accused of overworking employees, in many cases, leading to burnout within just a few years of joining the company. The company is often referred to as a "Velvet Sweatshop", a term which originated in a 1989 Seattle Times article, and later became used to describe the company by some of Microsoft's own employees. This characterization is derived from the perception that Microsoft provides nearly everything for its employees in a convenient place, but in turn overworks them to a point where it would be bad for their (possibly long-term) health.
"Embrace, extend, and extinguish" (EEE), also known as "embrace, extend, and exterminate", is a phrase that the U.S. Department of Justice found that was used internally by Microsoft to describe its strategy for entering product categories involving widely used standards, extending those standards with proprietary capabilities, and then using those differences to strongly disadvantage competitors. Microsoft is frequently accused of using anticompetitive tactics and abusing its monopolistic power. People who use their products and services often end up becoming dependent on them, a process known as vendor lock-in.
Microsoft was the first company to participate in the PRISM surveillance program, according to leaked NSA documents obtained by The Guardian and The Washington Post in June 2013, and acknowledged by government officials following the leak. The program authorizes the government to secretly access data of non-US citizens hosted by American companies without a warrant. Microsoft has denied participation in such a program.
Jesse Jackson believes Microsoft should hire more minorities and women. Jackson has urged other companies to diversify their workforce. He believes that Microsoft made some progress when it appointed two women to its board of directors in 2015.
Licensing arrangements for service providers
The Microsoft Services Provider License Agreement, or SPLA, is a mechanism by which service providers and independent software vendors (ISVs), who license Microsoft products on a monthly basis, are able to provide software services and hosting services to end-users. The SPLA can be customised to suit the solution being offered and the customers using it.
See also
List of Microsoft software
List of Microsoft hardware
List of investments by Microsoft Corporation
List of mergers and acquisitions by Microsoft
Microsoft engineering groups
Microsoft Enterprise Agreement
References
External links
1975 establishments in New Mexico
1980s initial public offerings
American brands
American companies established in 1975
Business software companies
Cloud computing providers
Companies based in Redmond, Washington
Companies in the Dow Jones Industrial Average
Companies in the NASDAQ-100
Companies in the PRISM network
Companies listed on the Nasdaq
Computer companies established in 1975
Computer hardware companies
CRM software companies
Electronics companies established in 1975
Electronics companies of the United States
ERP software companies
Mobile phone manufacturers
Multinational companies headquartered in the United States
Portmanteaus
Software companies based in Washington (state)
Software companies established in 1975
Software companies of the United States
Supply chain software companies
Technology companies established in 1975
Technology companies of the United States
Web service providers |
19002 | https://en.wikipedia.org/wiki/Microserfs | Microserfs | Microserfs, published by HarperCollins in 1995, is an epistolary novel by Douglas Coupland. It first appeared in short story form as the cover article for the January 1994 issue of Wired magazine and was subsequently expanded to full novel length. Set in the early 1990s, it captures the state of the technology industry before Windows 95, and anticipates the dot-com bubble of the late 1990s.
The novel is presented in the form of diary entries maintained on a PowerBook by the narrator, Daniel. Because of this, as well as its formatting and usage of emoticons, this novel is similar to what emerged a decade later as the blog format.
Coupland revisited many of the ideas in Microserfs in his 2006 novel JPod, which has been labeled "Microserfs for the Google generation".
Plot
The plot of the novel has two distinct movements: the events at Microsoft in Redmond, Washington, and the move to Silicon Valley and the "Oop!" project.
The novel begins in Redmond as the characters are working on different projects at Microsoft's main campus. Life at the campus feels like a feudalistic society, with Bill Gates as the lord, and the employees the serfs. The majority of the main characters—Daniel (the narrator), Susan, Todd, Bug, Michael, and Abe—are living together in a "geek house", and their lives are dedicated to their projects and the company. Daniel's foundations are shaken when his father, a longtime employee of IBM, is laid off. The lifespan of a Microsoft coder weighs heavily on Daniel's mind.
The second movement of the novel begins when the characters are offered jobs in Silicon Valley working on a project for Michael, who has by then left Redmond. All of the housemates—some immediately, some after thought—decide to move to the Valley.
The characters' lives change drastically once they leave the limited sphere of the Microsoft campus and enter the world of "One-Point-Oh". They begin to work on a project called "Oop!" (a reference to object-oriented programming). Oop! is a Lego-like design program, allowing dynamic creation of many objects, bearing a resemblance to 2009's Minecraft (Coupland appears on the rear cover of the novel's hardcover editions photographed in Denmark's Legoland Billund, holding a Lego 777.).
One of the undercurrents of the plot is Daniel and his family's relationship to Jed, Daniel's younger brother who died in a boating accident while they were children.
Characters
Daniel
The book's narrator and main character. Initially a software tester for Microsoft. His thoughts are funneled into the book through the epistolary format of the novel, and also as he records stream of consciousness lists of terms that he believes exist in a computer's subconscious.
Susan
A programmer initially working for Microsoft. Throughout the novel, Susan attempts (not always successfully) to find and maintain a meaning to life outside of work. She eventually gains semi-celebrity status after founding Chyx, a feminist support group for Valley women who code.
Todd
A tester and coworker of Daniel's who is obsessed with bodybuilding and is continually searching for something to believe in. His family is very Christian, while Todd has rejected his parents' faith.
Bug Barbecue
A tester and coworker of Daniel's; "the World's Most Bitter Man". He is older than most of the other characters, and likes to remind them of his greater experience in the software industry. Eventually he comes out of the closet. His primary reason for leaving Microsoft for Oop! was to "leave the old me behind" and start over.
Michael
A gifted programmer with high-functioning autism (specifically developmental coordination disorder) initially working for Microsoft. Michael's decision to leave Microsoft and found a startup company is the impetus for the change in lives of the other characters. Michael lives on a "Flatlander" diet, meaning that he eats only things that are two dimensional; this began after a period during which he barred himself in his office, eating only what his co-workers slid under the door. His screen name is "Kraft Singles". Michael is addicted to Robitussin cough syrup, which contains the dissociative drug dextromethorphan.
Karla
A coder, coworker, and girlfriend of Daniel. Karla's relationship with her family is tense, and she actively avoids contact with them. She begins the story as a closed-off person, but as the novel unfolds her character begins to be more open and understanding. She has a history of an eating disorder.
Abe
MIT graduate coder and multimillionaire who stays with Microsoft when the rest of the characters leave for California. His email conversations with Daniel appear throughout the novel. Abe, who dearly missed his friends, eventually joins Oop! and saves the company from financial ruin.
Ethan
President and co-founder of Oop!. Primarily business-minded, he has been a millionaire three times over with various (eventually failed) projects. He devotes his time to seeking venture capital for the startup company. Ethan's personality is diametrically opposed to the other characters, in part because of his relative lack of technical knowledge. He suffers from bad dandruff and his skin is pocked by scars from procedures to remove cancerous growths.
Dusty
Female bodybuilder and coder who is introduced later in the novel. She is romantically involved with Todd, and they have a baby together (Lindsay). She becomes an employee at Oop!. She and Todd are obsessed with transforming their bodies into perfect "machines" by going to the gym every day and taking protein pills and drinks.
Amy
A Canadian computer engineering student who is introduced later in the novel. She and Michael meet on the internet and fall in love despite never meeting in person or even knowing each other's genders. Due to Michael's fear of rejection, Daniel is sent to the University of Waterloo to meet her. Amy becomes engaged to Michael and joins the Oop! team after graduating from university.
Emmett
Introduced later in the novel, Emmett is a meek and asthmatic storyboard artist hired by Oop! who enters into a submissive relationship with Susan. He collects manga despite his hatred of Japan's influence on American animation.
Anatole
French coder who is Daniel's neighbor and used to work for Apple. Although not an Oop! employee, he visits the team often and accompanies them to Las Vegas for the CES convention. His accent becomes stronger around women.
Daniel's father
A mid-level manager at IBM who represents an older generation of technical workers. After being laid off, he begins to work closely with Michael on a secret project that evokes feelings of jealousy from Daniel.
Daniel's mother
A librarian with little technical knowledge, she serves to give the group insight into what the laypeople understand about technology.
Jed
Daniel's younger brother who died in a childhood drowning accident. He is a looming presence in Daniel's mind throughout the novel.
Misty
The Underwoods' overweight dog. She was originally trained to be a seeing eye dog, but failed the exam because she was too affectionate.
Influences
Microsoft, Silicon Valley, and geek culture
Coupland lived in Redmond, Washington for six weeks and Palo Alto, Silicon Valley for four months researching the lives of Microsoft workers. "It was a 'Gorillas in the Mist' kind of observation… What do they put in their glove compartments? What snack foods do they eat? What posters are on their bedroom walls?" Friends from Microsoft and Apple also helped him with research.
The novel was a radical departure from Coupland's previous novel, Life After God. "I wrote the two books under radically different mind-sets, and Serfs was a willful rerouting into a different realm". Coupland first noticed that his art school friends were working in computers in 1992.
Digital faith
Coupland's research turned up links to the themes of Life After God. "What surprised me about Microsoft is that no one has any conception of an afterlife. There is so little thought given to eternal issues that their very absence make them pointedly there. These people are so locked into the world, by default some sort of transcendence is located elsewhere, and obviously machines become the totem they imbue with sacred properties, wishes, hopes, goals, desires, dreams. That sounds like 1940s SF, but it's become the world."
Allusions to history, geography, and science
The book takes place first at Microsoft in Redmond, Washington (near Seattle) and then Silicon Valley (near San Francisco). The time period is 1993–1995, at a time when Microsoft has reached dominance in the software industry and emerged victorious from the "Look & Feel" lawsuit by Apple Inc., a company that had at times seemed in danger of falling apart.
The Northridge earthquake takes place during the story and has a profound effect on Ethan, who eventually constructs a replica highway interchange out of Lego pieces to honor the infrastructure destroyed by the earthquake.
History
Coupland's interest in the world of Microsoft and technology workers began with the publication of a short story in Wired magazine in 1994. The story would later be expanded into the novel.
Shortly before the publication of Microserfs, Coupland began to distance himself from his label as spokesperson for Generation X.
Coupland's novel anticipated the outcome of the late-1990s dot-com bubble with his depiction of the Oop! project's search for capital.
The abridged audiobook for Microserfs was read by Matthew Perry.
Coded messages
Several coded messages are included within the text:
On pages 104–105 there is an encoded binary message that reads, when decoded:
This message is an adapted version of the Rifleman's Creed.
On pages 308–309, consonants appear on one page and vowels on the other. This text is taken from a letter written by Patty Hearst to her parents when she was kidnapped.
Release
1995, USA, Regan Books , Pub date June 1995, Hardback
1995, Canada, HarperCollins , Pub date June 1995, Hardback
1996, USA, Regan Books , Pub date June 19, 1996, Paperback
References
External links
David Louis Edelman's review of the book, published in the Baltimore Evening Sun, June 26, 1995
1995 Canadian novels
Novels by Douglas Coupland
Epistolary novels
Novels about computing
Microsoft culture
Novels set in Washington (state)
HarperCollins books |
19004 | https://en.wikipedia.org/wiki/Moscow | Moscow | Moscow ( , US chiefly ; ) is the capital and largest city of Russia. The city stands on the Moskva River in Central Russia, with a population estimated at 12.4 million residents within the city limits, over 17 million residents in the urban area, and over 20 million residents in the metropolitan area. The city covers an area of , while the urban area covers , and the metropolitan area covers over . Moscow is among the world's largest cities; being the most populous city entirely in Europe, the largest urban and metropolitan area in Europe, and the largest city by land area on the European continent.
First documented in 1147, Moscow grew to become a prosperous and powerful city that served as the capital of the Grand Duchy that bears its name. When the Grand Duchy of Moscow evolved into the Tsardom of Russia, Moscow still remained as the political and economic center for most of the Tsardom's history. When the Tsardom was reformed into the Russian Empire, the capital was moved from Moscow to Saint Petersburg diminishing the influence of the city. The capital was then moved back to Moscow following the October Revolution and the city was brought back as the political center of the Russian SFSR and then the Soviet Union. In the aftermath of the dissolution of the Soviet Union, Moscow remained as the capital city of the contemporary and newly established Russian Federation.
The northernmost and coldest megacity in the world, with a history that spans eight centuries, Moscow is governed as a federal city (since 1993) that serves as the political, economic, cultural, and scientific center of Russia and Eastern Europe. As an alpha world city, Moscow has one of the world's largest urban economies. The city is one of the fastest-growing tourist destinations in the world, and is one of Europe's most visited cities. Moscow is home to the fourth-highest number of billionaires of any city in the world, and has the highest number of billionaires of any city in Europe. The Moscow International Business Center is one of the largest financial centers in Europe and the world, and features some of Europe's tallest skyscrapers. Moscow was the host city of the 1980 Summer Olympics, and one of the host cities of the 2018 FIFA World Cup.
As the historic core of Russia, Moscow serves as the home of numerous Russian artists, scientists, and sports figures due to the presence of its various museums, academic and political institutions, and theaters. The city is home to several UNESCO World Heritage Sites, and is well known for its display of Russian architecture, particularly its historic Red Square, and buildings such as the Saint Basil's Cathedral and the Moscow Kremlin, of which the latter serves as the seat of power of the Government of Russia. Moscow is home to many Russian companies in numerous industries and is served by a comprehensive transit network, which includes four international airports, ten railway terminals, a tram system, a monorail system, and most notably the Moscow Metro, the busiest metro system in Europe, and one of the largest rapid transit systems in the world. The city has over 40 percent of its territory covered by greenery, making it one of the greenest cities in Europe and the world.
Etymology
The name of the city is thought to be derived from the name of the Moskva River. There have been proposed several theories of the origin of the name of the river. Finno-Ugric Merya and Muroma people, who were among the several pre-Slavic tribes which originally inhabited the area, called the river supposedly Mustajoki, in English: Black river. It has been suggested that the name of the city derives from this term.
The most linguistically well-grounded and widely accepted is from the Proto-Balto-Slavic root *mŭzg-/muzg- from the Proto-Indo-European *- "wet", so the name Moskva might signify a river at a wetland or a marsh. Its cognates include , "pool, puddle", and "to wash", "to drown", "to dip, immerse". In many Slavic countries Moskov is a surname, most common in Bulgaria, Russia, Ukraine and North Macedonia. Additionally, there are similarly named places in Poland like Mozgawa.
The original Old Russian form of the name is reconstructed as *, *, hence it was one of a few Slavic ū-stem nouns. As with other nouns of that declension, it had been undergoing a morphological transformation at the early stage of the development of the language, as a result the first written mentions in the 12th century were , (accusative case), , (locative case), , (genitive case). From the latter forms came the modern Russian name , , which is a result of morphological generalisation with the numerous Slavic ā-stem nouns.
However, the form Moskovĭ has left some traces in many other languages, such as , , , , , Ottoman Turkish: , , , , , , , , etc. In a similar manner the Latin name has been formed, later it became a colloquial name for Russia used in Western Europe in the 16th–17th centuries. From it as well came English Muscovy and muscovite.
Various other theories (of Celtic, Iranian, Caucasic origins), having little or no scientific ground, are now largely rejected by contemporary linguists.
Other names
Moscow has acquired a number of epithets, most referring to its size and preeminent status within the nation: The Third Rome (), the Whitestone One (), the First Throne (), the Forty Soroks () ("sorok" meaning both "forty, a great many" and "a district or parish" in Old Russian). Moscow is also one of the twelve Hero Cities. The demonym for a Moscow resident is "" (moskvich) for male or "ка" (moskvichka) for female, rendered in English as Muscovite. The name "Moscow" is abbreviated "MSK" ( in Russian).
History
Prehistory
Archaeological digs show that the site of today's Moscow and the surrounding area have been inhabited since time immemorial. Among the earliest finds are relics of the Lyalovo culture, which experts assign to the Neolithic period, the last phase of the Stone Age.
They confirm that the first inhabitants of the area were hunters and gatherers. Around 950 AD, two Slavic tribes, Vyatichi and Krivichi, settled here. Possibly the Vyatichi formed the core of Moscow's indigenous population.
Early history (1147–1284)
The first known reference to Moscow dates from 1147 as a meeting place of Yuri Dolgoruky and Sviatoslav Olgovich. At the time it was a minor town on the western border of Vladimir-Suzdal Principality. The chronicle says, "Come, my brother, to Moskov" ().
In 1156, Knyaz Yuri Dolgorukiy fortified the town with a timber fence and a moat. In the course of the Mongol invasion of Kievan Rus', the Mongols under Batu Khan burned the city to the ground and killed its inhabitants.
The timber fort na Moskvě "on the Moscow River" was inherited by Daniel, the youngest son of Alexander Nevsky, in the 1260s, at the time considered the least valuable of his father's possessions.
Daniel was still a child at the time, and the big fort was governed by (deputies), appointed by Daniel's paternal uncle, Yaroslav of Tver.
Daniel came of age in the 1270s and became involved in the power struggles of the principality with lasting success, siding with his brother Dmitry in his bid for the rule of Novgorod. From 1283 he acted as the ruler of an independent principality alongside Dmitry, who became Grand Duke of Vladimir.
Daniel has been credited with founding the first Moscow monasteries, dedicated to the Lord's Epiphany and to Saint Daniel.
Grand Duchy (1283–1547)
Daniel ruled Moscow as Grand Duke until 1303 and established it as a prosperous city that would eclipse its parent principality of Vladimir by the 1320s.
On the right bank of the Moskva River, at a distance of from the Kremlin, not later than in 1282, Daniel founded the first monastery with the wooden church of St. Daniel-Stylite, which is now the Danilov Monastery. Daniel died in 1303, at the age of 42. Before his death, he became a monk and, according to his will, was buried in the cemetery of the St. Daniel Monastery.
Moscow was quite stable and prosperous for many years and attracted a large number of refugees from across Russia. The Rurikids maintained large landholdings by practicing primogeniture, whereby all land was passed to the eldest sons, rather than dividing it up among all sons. By 1304, Yury of Moscow contested with Mikhail of Tver for the throne of the principality of Vladimir. Ivan I eventually defeated Tver to become the sole collector of taxes for the Mongol rulers, making Moscow the capital of Vladimir-Suzdal. By paying high tribute, Ivan won an important concession from the Khan.
While the Khan of the Golden Horde initially attempted to limit Moscow's influence, when the growth of the Grand Duchy of Lithuania began to threaten all of Russia, the Khan strengthened Moscow to counterbalance Lithuania, allowing it to become one of the most powerful cities in Russia. In 1380, prince Dmitry Donskoy of Moscow led a united Russian army to an important victory over the Mongols in the Battle of Kulikovo. Afterward, Moscow took the leading role in liberating Russia from Mongol domination. In 1480, Ivan III had finally broken the Russians free from Tatar control, and Moscow became the capital of an empire that would eventually encompass all of Russia and Siberia, and parts of many other lands.
In 1462 Ivan III, (1440–1505) became Grand Prince of Moscow (then part of the medieval Muscovy state). He began fighting the Tatars, enlarged the territory of Muscovy, and enriched his capital city. By 1500 it had a population of 100,000 and was one of the largest cities in the world. He conquered the far larger principality of Novgorod to the north, which had been allied to the hostile Lithuanians. Thus he enlarged the territory sevenfold, from . He took control of the ancient "Novgorod Chronicle" and made it a propaganda vehicle for his regime.
The original Moscow Kremlin was built in the 14th century. It was reconstructed by Ivan, who in the 1480s invited architects from Renaissance Italy, such as Petrus Antonius Solarius, who designed the new Kremlin wall and its towers, and Marco Ruffo who designed the new palace for the prince. The Kremlin walls as they now appear are those designed by Solarius, completed in 1495. The Kremlin's Great Bell Tower was built in 1505–08 and augmented to its present height in 1600.
A trading settlement, or posad, grew up to the east of the Kremlin, in the area known as Zaradye (Зарядье). In the time of Ivan III, the Red Square, originally named the Hollow Field (Полое поле) appeared.
In 1508–1516, the Italian architect Aleviz Fryazin (Novy) arranged for the construction of a moat in front of the eastern wall, which would connect the Moskva and Neglinnaya and be filled in with water from Neglinnaya. This moat, known as the Alevizov moat and having a length of , width of , and a depth of was lined with limestone and, in 1533, fenced on both sides with low, cogged-brick walls.
Tsardom (1547–1721)
In the 16th and 17th centuries, the three circular defenses were built: Kitay-gorod (Китай-город), the White City (Белый город) and the Earthen City (Земляной город). However, in 1547, two fires destroyed much of the town, and in 1571 the Crimean Tatars captured Moscow, burning everything except the Kremlin. The annals record that only 30,000 of 200,000 inhabitants survived.
The Crimean Tatars attacked again in 1591, but this time were held back by new defense walls, built between 1584 and 1591 by a craftsman named Fyodor Kon. In 1592, an outer earth rampart with 50 towers was erected around the city, including an area on the right bank of the Moscow River. As an outermost line of defense, a chain of strongly fortified monasteries was established beyond the ramparts to the south and east, principally the Novodevichy Convent and Donskoy, Danilov, Simonov, Novospasskiy, and Andronikov monasteries, most of which now house museums. From its ramparts, the city became poetically known as Bielokamennaya, the "White-Walled." The city's limits as marked by the ramparts built in 1592 are now marked by the Garden Ring.
Three square gates existed on the eastern side of the Kremlin wall, which in the 17th century, were known as Konstantino-Eleninsky, Spassky, Nikolsky (owing their names to the icons of Constantine and Helen, the Saviour and St. Nicholas that hung over them). The last two were directly opposite the Red Square, while the Konstantino-Elenensky gate was located behind Saint Basil's Cathedral.
The Russian famine of 1601–03 killed perhaps 100,000 in Moscow. From 1610 through 1612, troops of the Polish–Lithuanian Commonwealth occupied Moscow, as its ruler Sigismund III tried to take the Russian throne. In 1612, the people of Nizhny Novgorod and other Russian cities conducted by prince Dmitry Pozharsky and Kuzma Minin rose against the Polish occupants, besieged the Kremlin, and expelled them. In 1613, the Zemsky sobor elected Michael Romanov tsar, establishing the Romanov dynasty. The 17th century was rich in popular risings, such as the liberation of Moscow from the Polish–Lithuanian invaders (1612), the Salt Riot (1648), the Copper Riot (1662), and the Moscow Uprising of 1682.
During the first half of the 17th century, the population of Moscow doubled from roughly 100,000 to 200,000. It expanded beyond its ramparts in the later 17th century. It is estimated, that in the middle of the 17th century, 20% of Moscow suburb's inhabitants were from the Grand Duchy of Lithuania, practically all of them being driven from their homeland to Moscow by Muscovite invaders. By 1682, there were 692 households established north of the ramparts, by Ukrainians and Belarusians abducted from their hometowns in the course of the Russo-Polish War (1654–1667). These new outskirts of the city came to be known as the Meshchanskaya sloboda, after Ruthenian meshchane "town people". The term meshchane (мещане) acquired pejorative connotations in 18th-century Russia and today means "petty bourgeois" or "narrow-minded philistine".
The entire city of the late 17th century, including the slobodas that grew up outside the city ramparts, are contained within what is today Moscow's Central Administrative Okrug.
Numerous disasters befell the city. The plague epidemics ravaged Moscow in 1570–1571, 1592 and 1654–1656. The plague killed upwards of 80% of the people in 1654–55. Fires burned out much of the wooden city in 1626 and 1648.
In 1712 Peter the Great moved his government to the newly built Saint Petersburg on the Baltic coast. Moscow ceased to be Russia's capital, except for a brief period from 1728 to 1732 under the influence of the Supreme Privy Council.
Empire (1721–1917)
After losing the status as the capital of the empire, the population of Moscow at first decreased, from 200,000 in the 17th century to 130,000 in 1750. But after 1750, the population grew more than tenfold over the remaining duration of the Russian Empire, reaching 1.8 million by 1915. The 1770–1772 Russian plague killed up to 100,000 people in Moscow.
By 1700, the building of cobbled roads had begun. In November 1730, the permanent street light was introduced, and by 1867 many streets had a gaslight. In 1883, near the Prechistinskiye Gates, arc lamps were installed. In 1741 Moscow was surrounded by a barricade long, the Kamer-Kollezhskiy barrier, with 16 gates at which customs tolls were collected. Its line is traced today by a number of streets called val (“ramparts”).
Between 1781 and 1804 the Mytischinskiy water pipe (the first in Russia) was built. In 1813, following the destruction of much of the city during the French occupation, a Commission for the Construction of the City of Moscow was established. It launched a great program of rebuilding, including a partial replanning of the city-centre. Among many buildings constructed or reconstructed at this time was the Grand Kremlin Palace and the Kremlin Armoury, the Moscow University, the Moscow Manege (Riding School), and the Bolshoi Theatre. In 1903 the Moskvoretskaya water supply was completed.
In the early 19th century, the Arch of Konstantino-Elenensky gate was paved with bricks, but the Spassky Gate was the main front gate of the Kremlin and used for royal entrances. From this gate, wooden and (following the 17th-century improvements) stone bridges stretched across the moat. Books were sold on this bridge and stone platforms were built nearby for guns – "raskats". The Tsar Cannon was located on the platform of the Lobnoye mesto.
The road connecting Moscow with St. Petersburg, now the M10 highway, was completed in 1746, its Moscow end following the old Tver road, which had existed since the 16th century. It became known as Peterburskoye Schosse after it was paved in the 1780s. Petrovsky Palace was built in 1776–1780 by Matvey Kazakov.
When Napoleon invaded Russia in 1812, the Moscovites were evacuated. It is suspected that the Moscow fire was principally the effect of Russian sabotage. Napoleon's Grande Armée was forced to retreat and was nearly annihilated by the devastating Russian winter and sporadic attacks by Russian military forces. As many as 400,000 of Napoleon's soldiers died during this time.
Moscow State University was established in 1755. Its main building was reconstructed after the 1812 fire by Domenico Giliardi. The Moskovskiye Vedomosti newspaper appeared from 1756, originally in weekly intervals, and from 1859 as a daily newspaper.
The Arbat Street had been in existence since at least the 15th century, but it was developed into a prestigious area during the 18th century. It was destroyed in the fire of 1812 and was rebuilt completely in the early 19th century.
In the 1830s, general Alexander Bashilov planned the first regular grid of city streets north from Petrovsky Palace. Khodynka field south of the highway was used for military training. Smolensky Rail station (forerunner of present-day Belorussky Rail Terminal) was inaugurated in 1870. Sokolniki Park, in the 18th century the home of the tsar's falconers well outside Moscow, became contiguous with the expanding city in the later 19th century and was developed into a public municipal park in 1878. The suburban Savyolovsky Rail Terminal was built in 1902. In January 1905, the institution of the City Governor, or Mayor, was officially introduced in Moscow, and Alexander Adrianov became Moscow's first official mayor.
When Catherine II came to power in 1762, the city's filth and the smell of sewage were depicted by observers as a symptom of disorderly lifestyles of lower-class Russians recently arrived from the farms. Elites called for improving sanitation, which became part of Catherine's plans for increasing control over social life. National political and military successes from 1812 through 1855 calmed the critics and validated efforts to produce a more enlightened and stable society. There was less talk about the smell and the poor conditions of public health. However, in the wake of Russia's failures in the Crimean War in 1855–56, confidence in the ability of the state to maintain order in the slums eroded, and demands for improved public health put filth back on the agenda.
Soviet period (1917–1991)
In November 1917, upon learning of the uprising happening in Petrograd, Moscow's Bolsheviks also began their uprising. On November 2 (15), 1917, after heavy fighting, Soviet power was established in Moscow.
Then Vladimir Lenin, fearing possible foreign invasion, moved the capital from Petrograd (Saint Petersburg) back to Moscow on March 12, 1918. The Kremlin once again became the seat of power and the political centre of the new state.
With the change in values imposed by communist ideology, the tradition of preservation of cultural heritage was broken. Independent preservation societies, even those that defended only secular landmarks such as Moscow-based OIRU were disbanded by the end of the 1920s. A new anti-religious campaign, launched in 1929, coincided with the collectivization of peasants; the destruction of churches in the cities peaked around 1932. In 1937 several letters were written to the Central Committee of the Communist Party of the Soviet Union to rename Moscow to "Stalindar" or "Stalinodar," one from an elderly pensioner whose dream was to "live in Stalinodar" and had selected the name to represent the "gift" (dar) of the genius of Stalin. Stalin rejected this suggestion, and after it was suggested again to him by Nikolai Yezhov, he was outraged, saying "What do I need this for?". This was following Stalin banning the renaming of places in his name in 1936.
During World War II, the Soviet State Committee of Defence and the General Staff of the Red Army were located in Moscow. In 1941, 16 divisions of the national volunteers (more than 160,000 people), 25 battalions (18,000 people), and four engineering regiments were formed among the Muscovites. Between October 1941 and January 1942, the German Army Group Centre was stopped at the outskirts of the city and then driven off in the course of the Battle of Moscow. Many factories were evacuated, together with much of the government, and from October 20 the city was declared to be in a state of siege. Its remaining inhabitants built and manned antitank defenses, while the city was bombarded from the air. On May 1, 1944, a medal "For the defence of Moscow" and in 1947 another medal "In memory of the 800th anniversary of Moscow" was instituted.
Both German and Soviet casualties during the battle of Moscow have been a subject of debate, as various sources provide somewhat different estimates. Total casualties between September 30, 1941, and January 7, 1942, are estimated to be between 248,000 and 400,000 for the Wehrmacht and between 650,000 and 1,280,000 for the Red Army.
During the postwar years, there was a serious housing crisis, solved by the invention of high-rise apartments. There are over 11,000 of these standardised and prefabricated apartment blocks, housing the majority of Moscow's population, making it by far the city with the most high-rise buildings. Apartments were built and partly furnished in the factory before being raised and stacked into tall columns. The popular Soviet-era comic film Irony of Fate parodies this construction method.
The city of Zelenograd was built in 1958 at from the city centre to the north-west, along with the Leningradskoye Shosse, and incorporated as one of Moscow's administrative okrugs. Moscow State University moved to its campus on Sparrow Hills in 1953.
In 1959 Nikita Khrushchev launched his anti-religious campaign. By 1964 over 10 thousand churches out of 20 thousand were shut down (mostly in rural areas) and many were demolished. Of 58 monasteries and convents operating in 1959, only sixteen remained by 1964; of Moscow's fifty churches operating in 1959, thirty were closed and six demolished.
On May 8, 1965, due to the actual 20th anniversary of the victory in World War II, Moscow was awarded a title of the Hero City. In 1980 it hosted the Summer Olympic Games.
The MKAD (ring road) was opened in 1961. It had four lanes running along the city borders. The MKAD marked the administrative boundaries of the city of Moscow until the 1980s when outlying suburbs beyond the ring road began to be incorporated. In 1980, it hosted the Summer Olympic Games, which were boycotted by the United States and several other Western countries due to the Soviet Union's involvement in Afghanistan in late 1979. In 1991 Moscow was the scene of a coup attempt by conservative communists opposed to the liberal reforms of Mikhail Gorbachev.
Recent history (1991–present)
When the USSR was dissolved in the same year, Moscow remained the capital of the Russian SFSR (on December 25, 1991, the Russian SFSR was renamed the Russian Federation). Since then, a market economy has emerged in Moscow, producing an explosion of Western-style retailing, services, architecture, and lifestyles.
The city has continued to grow during the 1990s to 2000s, its population rising from below nine to above ten million. Mason and Nigmatullina argue that Soviet-era urban-growth controls (before 1991) produced controlled and sustainable metropolitan development, typified by the greenbelt built in 1935. Since then, however, there has been a dramatic growth of low-density suburban sprawl, created by heavy demand for single-family dwellings as opposed to crowded apartments. In 1995–1997 the MKAD ring road was widened from the initial four to ten lanes.
In December 2002 Bulvar Dmitriya Donskogo became the first Moscow Metro station that opened beyond the limits of MKAD. The Third Ring Road, intermediate between the early 19th-century Garden Ring and the Soviet-era outer ring road, was completed in 2004. The greenbelt is becoming more and more fragmented, and satellite cities are appearing at the fringe. Summer dachas are being converted into year-round residences, and with the proliferation of automobiles there is heavy traffic congestion. Multiple old churches and other examples of architectural heritage that had been demolished during the Stalin era have been restored, such as the Cathedral of Christ the Saviour.
In 2010s Moscow's Administration has launched some long duration projects like the Moja Ulitsa (in English: My Street) urban redevelopment program or the Residency renovation one.
By its territorial expansion on July 1, 2012, southwest into the Moscow Oblast the area of the capital more than doubled, going from , resulting in Moscow becoming the largest city on the European continent by area; it also gained an additional population of 233,000 people. The annexed territory was officially named Новая Москва (New Moscow).
Geography
Location
Moscow is situated on the banks of the Moskva River, which flows for just over through the East European Plain in central Russia. 49 bridges span the river and its canals within the city's limits. The elevation of Moscow at the All-Russia Exhibition Center (VVC), where the leading Moscow weather station is situated, is . Teplostanskaya Upland is the city's highest point at . The width of Moscow city (not limiting MKAD) from west to east is , and the length from north to south is .
Time
Moscow serves as the reference point for the time zone used in most of European Russia, Belarus and the Republic of Crimea. The areas operate in what is referred to in international standards as Moscow Standard Time (MSK, ), which is 3 hours ahead of UTC, or UTC+3. Daylight saving time is no longer observed. According to the geographical longitude the average solar noon in Moscow occurs at 12:30.
Climate
Moscow has a humid continental climate (Köppen: Dfb) with long, cold (although average by Russian standards) winters usually lasting from mid-November to the end of March, and warm summers. More extreme continental climates at the same latitude- such as parts of Eastern Canada or Siberia- have much colder winters than Moscow, suggesting that there is still significant moderation from the Atlantic Ocean despite the fact that Moscow is far from the sea. Weather can fluctuate widely, with temperatures ranging from in the city and in the suburbs to above in the winter, and from in the summer.
Typical high temperatures in the warm months of June, July, and August are around a comfortable , but during heat waves (which can occur between May and September), daytime high temperatures often exceed , sometimes for a week or two at a time. In the winter, average temperatures normally drop to approximately , though almost every winter there are periods of warmth with day temperatures rising above , and periods of cooling with night temperatures falling below . These periods usually last about a week or two. The growing season in Moscow normally lasts for 156 days usually around May 1 to October 5.
The highest temperature ever recorded was at the VVC weather station and in the center of Moscow and Domodedovo airport on July 29, 2010, during the unusual 2010 Northern Hemisphere summer heat waves. Record high temperatures were recorded for January, March, April, May, July, August, November, and December in 2007–2014. The average July temperature from 1981 to 2010 is . The lowest ever recorded temperature was in January 1940. Snow, which is present for about five months a year, often begins to fall mid-October, while snow cover lies in November and melts at the beginning of April.
On average, Moscow has 1731 hours of sunshine per year, varying from a low of 8% in December to 52% from May to August. This large annual variation is due to convective cloud formation. In the winter, moist air from the Atlantic condenses in the cold continental interior, resulting in very overcast conditions. However, this same continental influence results in considerably sunnier summers than oceanic cities of similar latitude such as Edinburgh. Between 2004 and 2010, the average was between 1800 and 2000 hours with a tendency to more sunshine in summer months, up to a record 411 hours in July 2014, 79% of possible sunshine. December 2017 was the darkest month in Moscow since records began, with only six minutes of sunlight.
Temperatures in the centre of Moscow are often significantly higher than in the outskirts and nearby suburbs, especially in winter. For example, if the average February temperature in the north-east of Moscow is , in the suburbs it is about . The temperature difference between the centre of Moscow and nearby areas of Moscow Oblast can sometimes be more than on frosty winter nights.
Climate change
Below is the 1961–1990 normals table. The annual temperature rose from to in the new 1981–2010 normals. In 2019, the average annual temperature reached a record high of
Recent changes in Moscow's regional climate, since it is in the mid-latitudes of the northern hemisphere, are often cited by climate scientists as evidence of global warming, though by definition, climate change is global, not regional. During the summer, extreme heat is often observed in the city (2001, 2002, 2003, 2010, 2011, 2021). Along with a southern part of Central Russia, after recent years of hot summer seasons, the climate of the city gets hot-summer classification trends. Winter also became significantly milder: for example, the average January temperature in the early 1900s was , while now it is about . At the end of January–February it is often colder, with frosts reaching a few nights per year (2006, 2010, 2011, 2012, and 2013).
The last decade was the warmest in the history of meteorological observations of Moscow. Temperature changes in the city are depicted in the table below:
Demographics
Population
According to the results of the 2010 Census, the population of Moscow was 11,503,501; up from 10,382,754 recorded in the 2002 Census.
668,409 people were registered from administrative databases, and could not declare an ethnicity. It is estimated that the proportion of ethnicities in this group is the same as that of the declared group.
The official population of Moscow is based on those holding "permanent residency". According to Russia's Federal Migration Service, Moscow holds 1.8 million official "guests" who have temporary residency on the basis of visas or other documentation, giving a legal population of 13.3 million. The number of Illegal immigrants, the vast majority originating from Central Asia, is estimated to be an additional 1 million people, giving a total population of about 14.3 million.
Total fertility rate:
2010 - 1.25
2014 - 1.34
2015 - 1.41
2016 - 1.46
2017 - 1.38
2018 - 1.41
2019 - 1.50
2020 - 1.47
Births (2016): 145,252 (11.8 per 1000)
Deaths (2016): 123,623 (10.0 per 1000)
Religion
Christians form the majority of the city's population; most of whom adhere Russian Orthodox Church. The Patriarch of Moscow serves as the head of the church and resides in the Danilov Monastery. Moscow was called the "city of 40 times 40 churches"—prior to 1917. Moscow is Russia's capital of Eastern Orthodox Christianity, which has been the country's traditional religion.
Other religions practiced in Moscow include Buddhism, Hinduism, Islam, Judaism, Yazidism, and Rodnovery. The Moscow Mufti Council claimed that Muslims numbered around 1.5 million of 10.5 million of the city's population in 2010; There are four mosques in the city.
Cityscape
Architecture
Moscow's architecture is world-renowned. Moscow is the site of Saint Basil's Cathedral, with its elegant onion domes, as well as the Cathedral of Christ the Savior and the Seven Sisters. The first Kremlin was built in the middle of the 12th century.
Medieval Moscow's design was of concentric walls and intersecting radial thoroughfares. This layout, as well as Moscow's rivers, helped shape Moscow's design in subsequent centuries.
The Kremlin was rebuilt in the 15th century. Its towers and some of its churches were built by Italian architects, lending the city some of the aurae of the renaissance. From the end of the 15th century, the city was embellished by masonry structures such as monasteries, palaces, walls, towers, and churches.
The city's appearance had not changed much by the 18th century. Houses were made of pine and spruce logs, with shingled roofs plastered with sod or covered by birch bark. The rebuilding of Moscow in the second half of the 18th century was necessitated by constant fires and the needs of the nobility. Much of the wooden city was replaced by buildings in the classical style.
For much of its architectural history, Moscow was dominated by Orthodox churches. However, the overall appearance of the city changed drastically during Soviet times, especially as a result of Joseph Stalin's large-scale effort to "modernize" Moscow. Stalin's plans for the city included a network of broad avenues and roadways, some of them over ten lanes wide, which, while greatly simplifying movement through the city, were constructed at the expense of a great number of historical buildings and districts. Among the many casualties of Stalin's demolitions was the Sukharev Tower, a longtime city landmark, as well as mansions and commercial buildings The city's newfound status as the capital of a deeply secular nation, made religiously significant buildings especially vulnerable to demolition. Many of the city's churches, which in most cases were some of Moscow's oldest and most prominent buildings, were destroyed; some notable examples include the Kazan Cathedral and the Cathedral of Christ the Savior. During the 1990s, both were rebuilt. Many smaller churches, however, were lost.
While the later Stalinist period was characterized by the curtailing of creativity and architectural innovation, the earlier post-revolutionary years saw a plethora of radical new buildings created in the city. Especially notable were the constructivist architects associated with VKHUTEMAS, responsible for such landmarks as Lenin's Mausoleum. Another prominent architect was Vladimir Shukhov, famous for Shukhov Tower, just one of many hyperboloid towers designed by Shukhov. It was built between 1919 and 1922 as a transmission tower for a Russian broadcasting company. Shukhov also left a lasting legacy to the Constructivist architecture of early Soviet Russia. He designed spacious elongated shop galleries, most notably the GUM department store on Red Square, bridged with innovative metal-and-glass vaults.
Perhaps the most recognizable contributions of the Stalinist period are the so-called Seven Sisters, seven massive skyscrapers scattered throughout the city at about an equal distance from the Kremlin. A defining feature of Moscow's skyline, their imposing form was allegedly inspired by the Manhattan Municipal Building in New York City, and their style—with intricate exteriors and a large central spire—has been described as Stalinist Gothic architecture. All seven towers can be seen from most high points in the city; they are among the tallest constructions in central Moscow apart from the Ostankino Tower, which, when it was completed in 1967, was the highest free-standing land structure in the world and today remains the world's seventy-second tallest, ranking among buildings such as the Burj Khalifa in Dubai, Taipei 101 in Taiwan and the CN Tower in Toronto.
The Soviet goal of providing housing for every family, and the rapid growth of Moscow's population, led to the construction of large, monotonous housing blocks. Most of these date from the post-Stalin era and the styles are often named after the leader then in power (Brezhnev, Khrushchev, etc.). They are usually badly maintained.
Although the city still has some five-story apartment buildings constructed before the mid-1960s, more recent apartment buildings are usually at least nine floors tall, and have elevators. It is estimated that Moscow has over twice as many elevators as New York City and four times as many as Chicago. Moslift, one of the city's major elevator operating companies, has about 1500 elevator mechanics on call, to release residents trapped in elevators.
Stalinist-era buildings, mostly found in the central part of the city, are massive and usually ornamented with Socialist realism motifs that imitate classical themes. However, small churches—almost always Eastern Orthodox– found across the city provide glimpses of its past. The Old Arbat Street, a tourist street that was once the heart of a bohemian area, preserves most of its buildings from prior to the 20th century. Many buildings found off the main streets of the inner city (behind the Stalinist façades of Tverskaya Street, for example) are also examples of bourgeois architecture typical of Tsarist times. Ostankino Palace, Kuskovo, Uzkoye and other large estates just outside Moscow originally belong to nobles from the Tsarist era, and some convents, and monasteries, both inside and outside the city, are open to Muscovites and tourists.
Attempts are being made to restore many of the city's best-kept examples of pre-Soviet architecture. These restored structures are easily spotted by their bright new colors and spotless façades. There are a few examples of notable, early Soviet avant-garde work too, such as the house of the architect Konstantin Melnikov in the Arbat area. Many of these restorations were criticized for alleged disrespect of historical authenticity. Facadism is also widely practiced. Later examples of interesting Soviet architecture are usually marked by their impressive size and the semi-Modernist styles employed, such as with the Novy Arbat project, familiarly known as "false teeth of Moscow" and notorious for the wide-scale disruption of a historic area in central Moscow involved in the project.
Plaques on house exteriors will inform passers-by that a well-known personality once lived there. Frequently, the plaques are dedicated to Soviet celebrities not well known outside (or often, like with decorated generals and revolutionaries, now both inside) of Russia. There are also many "museum houses" of famous Russian writers, composers, and artists in the city.
Moscow's skyline is quickly modernizing, with several new towers under construction.
In recent years, the city administration has been widely criticized for heavy destruction that has affected many historical buildings. As much as a third of historic Moscow has been destroyed in the past few years to make space for luxury apartments and hotels. Other historical buildings, including such landmarks as the 1930 Moskva hotel and the 1913 department store Voyentorg, have been razed and reconstructed anew, with the inevitable loss of historical value. Critics blame the government for not enforcing conservation laws: in the last 12 years, more than 50 buildings with monument status were torn down, several of those dating back to the 17th century. Some critics also wonder if the money used for the reconstruction of razed buildings could not be used for the renovation of decaying structures, which include many works by architect Konstantin Melnikov and Mayakovskaya metro station.
Some organizations, such as Moscow Architecture Preservation Society and Save Europe's Heritage, are trying to draw the international public attention to these problems.
Parks and landmarks
There are 96 parks and 18 gardens in Moscow, including four botanical gardens. There are of green zones besides of forests. Moscow is a very green city, if compared to other cities of comparable size in Western Europe and North America; this is partly due to a history of having green "yards" with trees and grass, between residential buildings. There are on average of parks per person in Moscow compared with 6 for Paris, 7.5 in London and 8.6 in New York.
Gorky Park (officially the Central Park of Culture and Rest named after Maxim Gorky), was founded in 1928. The main part () along the Moskva river contains estrades, children's attractions (including the Observation Wheel water ponds with boats and water bicycles), dancing, tennis courts and other sports facilities. It borders the Neskuchny Garden (), the oldest park in Moscow and a former imperial residence, created as a result of the integration of three estates in the 18th century. The Garden features the Green Theater, one of the largest open amphitheaters in Europe, able to hold up to 15 thousand people. Several parks include a section known as a "Park of Culture and Rest", sometimes alongside a much wilder area (this includes parks such as Izmaylovsky, Fili and Sokolniki). Some parks are designated as Forest Parks (lesopark).
Izmaylovsky Park, created in 1931, is one of the largest urban parks in the world along with Richmond Park in London. Its area of is six times greater than that of Central Park in New York.
Sokolniki Park, named after the falcon hunting that occurred there in the past, is one of the oldest parks in Moscow and has an area of . A central circle with a large fountain is surrounded by birch, maple, and elm tree alleys. A labyrinth composed of green paths lies beyond the park's ponds.
Losiny Ostrov National Park ("Elk Island" National Park), with a total area of more than , borders Sokolniki Park and was Russia's first national park. It is quite wild, and is also known as the "city taiga" – elk can be seen there.
Tsytsin Main Botanical Garden of Academy of Sciences, founded in 1945 is the largest in Europe. It covers the territory of bordering the All-Russia Exhibition Center and contains a live exhibition of more than 20 thousand species of plants from around the world, as well as a lab for scientific research. It contains a rosarium with 20 thousand rose bushes, a dendrarium, and an oak forest, with the average age of trees exceeding 100 years. There is a greenhouse taking up more than of land.
The All-Russian Exhibition Center (Всероссийский выставочный центр), formerly known as the All-Union Agricultural Exhibition (VSKhV) and later Exhibition of Achievements of the National Economy (VDNKh), though officially named a "permanent trade show", is one of the most prominent examples of Stalinist-era monumental architecture. Among the large spans of a recreational park, areas are scores of elaborate pavilions, each representing either a branch of Soviet industry and science or a USSR republic. Even though during the 1990s it was, and for some part still is, misused as a gigantic shopping center (most of the pavilions are rented out for small businesses), it still retains the bulk of its architectural landmarks, including two monumental fountains (Stone Flower and Friendship of Nations) and a 360 degrees panoramic cinema. In 2014 the park returned to the name Exhibition of Achievements of National Economy, and in the same year, huge renovation works had been started.
Lilac Park, founded in 1958, has a permanent sculpture display and a large rosarium. Moscow has always been a popular destination for tourists. Some of the more famous attractions include the city's UNESCO World Heritage Site, Moscow Kremlin and Red Square, which was built between the 14th and 17th centuries. The Church of the Ascension at Kolomenskoye, which dates from 1532, is also a UNESCO World Heritage Site and another popular attraction.
Near the new Tretyakov Gallery there is a sculpture garden, Museon, often called "the graveyard of fallen monuments" that displays statues of the former Soviet Union that were removed from their place after its dissolution.
Other attractions include the Moscow Zoo, a zoological garden in two sections (the valleys of two streams) linked by a bridge, with nearly a thousand species and more than 6,500 specimens. Each year, the zoo attracts more than 1.2 million visitors. Many of Moscow's parks and landscaped gardens are protected natural environments.
Moscow rings
Moscow's road system is centered roughly on the Kremlin at the heart of the city. From there, roads generally span outwards to intersect with a sequence of circular roads ("rings").
The first and innermost major ring, Bulvarnoye Koltso (Boulevard Ring), was built at the former location of the 16th-century city wall around what used to be called Bely Gorod (White Town). The Bulvarnoye Koltso is technically not a ring; it does not form a complete circle, but instead a horseshoe-like arc that begins at the Cathedral of Christ the Savior and ends at the Yauza River.
The second primary ring, located outside the bell end of the Boulevard Ring, is the Sadovoye Koltso (Garden Ring). Like the Boulevard Ring, the Garden Ring follows the path of a 16th-century wall that used to encompass part of Moscow.
The Third Ring Road, was completed in 2003 as a high-speed freeway.
The Fourth Transport Ring, another freeway, was planned, but cancelled in 2011. A system of chordal highways will replace it.
Aside from the aforementioned hierarchy, line 5 of Moscow Metro is a circle-shaped looped subway line (hence the name Koltsevaya Liniya, literally "ring line"), which is located between the Sadovoye Koltso and Third Transport Ring.
Two modern overlapping lines of Moscow Metro form "two hearts":
Line 14. Since September 10, 2016, Moscow Central Circle renovated railroad (former Moskovskaya Okruzhnaya Zheleznaya Doroga) was introduced as Line 14 of Moscow Metro. The cone-shaped railroad initially opened in 1908 (freight-only railway from 1934 until the 2016 reopening).
Line 11. Another circle metro line - Big Circle Line (Bolshaya Koltsevaya Liniya) is under construction and will be finished in 2023. Kakhovskaya-Savyolovskaya western half of the line was launched in late 2021.
The outermost ring within Moscow is the Moscow Ring Road (often called MKAD, acronym word for Russian Московская Кольцевая Автомобильная Дорога), which forms the cultural boundary of the city, was established in the 1950s. It is to note the method of building the road (usage of ground elevation instead of concrete columns throughout the whole way) formed a wall-like barrier that obstacles building roads under the MKAD highway itself).
Before 2012 expansion of Moscow, MKAD was considered an approximate border for Moscow boundaries.
Outside Moscow, some of the roads encompassing the city continue to follow this circular pattern seen inside city limits, with the notable examples of Betonka roads (highways A107 and A108), originally made of concrete pads.
In order to reduce transit traffic on MKAD, the new ring road (called CKAD - Centralnaya Koltsevaya Avtomobilnaya Doroga, Central Ring Road) is under construction now.
Transport rings in Moscow
Culture
One of the most notable art museums in Moscow is the Tretyakov Gallery, which was founded by Pavel Tretyakov, a wealthy patron of the arts who donated a large private collection to the city. The Tretyakov Gallery is split into two buildings. The Old Tretyakov gallery, the original gallery in the Tretyakovskaya area on the south bank of the Moskva River, houses works in the classic Russian tradition. The works of famous pre-Revolutionary painters, such as Ilya Repin, as well as the works of early Russian icon painters can be found here. Visitors can even see rare originals by early 15th-century iconographer Andrei Rublev.
The New Tretyakov gallery, created in Soviet times, mainly contains the works of Soviet artists, as well as of a few contemporary paintings, but there is some overlap with the Old Tretyakov Gallery for early 20th-century art. The new gallery includes a small reconstruction of Vladimir Tatlin's famous Monument to the Third International and a mixture of other avant-garde works by artists like Kazimir Malevich and Wassily Kandinsky. Socialist realism features can also be found within the halls of the New Tretyakov Gallery.
Another art museum in the city of Moscow is the Pushkin Museum of Fine Arts, which was founded by, among others, the father of Marina Tsvetaeva. The Pushkin Museum is similar to the British Museum in London in that its halls are a cross-section of exhibits on world civilisations, with many copies of ancient sculptures. However, it also hosts paintings from every major Western era; works by Claude Monet, Paul Cézanne, and Pablo Picasso are present in the museum's collection.
The State Historical Museum of Russia (Государственный Исторический музей) is a museum of Russian history located between Red Square and Manege Square in Moscow. Its exhibitions range from relics of the prehistoric tribes inhabiting present-day Russia, through priceless artworks acquired by members of the Romanov dynasty. The total number of objects in the museum's collection numbers is several million. The Polytechnical Museum, founded in 1872 is the largest technical museum in Russia, offering a wide array of historical inventions and technological achievements, including humanoid automata from the 18th century and the first Soviet computers. Its collection contains more than 160,000 items. The Borodino Panorama museum located on Kutuzov Avenue provides an opportunity for visitors to experience being on a battlefield with a 360° diorama. It is a part of the large historical memorial commemorating the victory in the Patriotic War of 1812 over Napoleon's army, that includes also the triumphal arch, erected in 1827. There is also a military history museum that includes statues, and military hardware.
Moscow is the heart of the Russian performing arts, including ballet and film, with 68 museums 103 theaters, 132 cinemas and 24 concert halls. Among Moscow's theaters and ballet studios is the Bolshoi Theatre and the Malyi Theatre as well as Vakhtangov Theatre and Moscow Art Theatre.
The Moscow International Performance Arts Center, opened in 2003, also known as Moscow International House of Music, is known for its performances in classical music. It has the largest organ in Russia installed in Svetlanov Hall.
There are also two large circuses in Moscow: Moscow State Circus and Moscow Circus on Tsvetnoy Boulevard named after Yuri Nikulin.
Memorial Museum of Cosmonautics under the Monument to the Conquerors of Space at the end of Cosmonauts Alley is the central memorial place for the Russian space officials.
The Mosfilm studio was at the heart of many classic films, as it is responsible for both artistic and mainstream productions. However, despite the continued presence and reputation of internationally renowned Russian filmmakers, the once prolific native studios are much quieter. Rare and historical films may be seen in the Salut cinema, where films from the Museum of Cinema collection are shown regularly.
The Shchusev State Museum of Architecture is the national museum of Russian architecture by the name of the architect Alexey Shchusev near the Kremlin area.
Moscow will get its own branch of the Hermitage Museum in 2024, with authorities having agreed upon the final project, to be executed by Hani Rashid, co-founder of New York-based 'Asymptote Architecture' - the same bureau that's behind the city's stock market building, the Busan-based World Business Center Solomon Tower and the Strata Tower in Abu-Dhabi.
Sports
Over 500 Olympic sports champions lived in the city by 2005. Moscow is home to 63 stadiums (besides eight football and eleven light athletics maneges), of which Luzhniki Stadium is the largest and the 4th biggest in Europe (it hosted the 1998–99 UEFA Cup, 2007–08 UEFA Champions League finals, the 1980 Summer Olympics, and the 2018 FIFA World Cup with 7 games total, including the final). Forty other sports complexes are located within the city, including 24 with artificial ice. The Olympic Stadium was the world's first indoor arena for bandy and hosted the Bandy World Championship twice. Moscow was again the host of the competition in 2010, this time in Krylatskoye. That arena has also hosted the World Speed Skating Championships. There are also seven horse racing tracks in Moscow, of which Central Moscow Hippodrome, founded in 1834, is the largest.
Moscow was the host city of the 1980 Summer Olympics, with the yachting events being held at Tallinn, in present-day Estonia. Large sports facilities and the main international airport, Sheremetyevo Terminal 2, were built in preparation for the 1980 Summer Olympics. Moscow had made a bid for the 2012 Summer Olympics. However, when final voting commenced on July 6, 2005, Moscow was the first city to be eliminated from further rounds. The Games were awarded to London.
The most titled ice hockey team in the Soviet Union and in the world, HC CSKA Moscow comes from Moscow. Other big ice hockey clubs from Moscow are HC Dynamo Moscow, which was the second most titled team in the Soviet Union, and HC Spartak Moscow.
The most titled Soviet, Russian, and one of the most titled Euroleague clubs, is the basketball club from Moscow PBC CSKA Moscow. Moscow hosted the EuroBasket in 1953 and 1965.
Moscow had more winners at the USSR and Russian Chess Championship than any other city.
The most titled volleyball team in the Soviet Union and in Europe (CEV Champions League) is VC CSKA Moscow.
In football, FC Spartak Moscow has won more championship titles in the Russian Premier League than any other team. They were second only to FC Dynamo Kyiv in Soviet times. PFC CSKA Moscow became the first Russian football team to win a UEFA title, the UEFA Cup (present-day UEFA Europa League). FC Lokomotiv Moscow, FC Dynamo Moscow and FC Torpedo Moscow are other professional football teams also based in Moscow.
Moscow houses other prominent football, ice hockey, and basketball teams. Because sports organisations in the Soviet Union were once highly centralized, two of the best Union-level teams represented defence and law-enforcing agencies: the Armed Forces (CSKA) and the Ministry of Internal Affairs (Dinamo). There were army and police teams in most major cities. As a result, Spartak, CSKA, and Dinamo were among the best-funded teams in the USSR.
The Irina Viner-Usmanova Gymnastics Palace is located in the Luzniki Olympic Complex. The building works started in 2017 and the opening ceremony took place on June 18, 2019. The investor of the Palace is the billionaire Alisher Usmanov, husband of the former gymnast and gymnastics coach Irina Viner-Usmanova. The total surface of the building is 23,500 m2, which include 3 fitness rooms, locker rooms, rooms reserved for referees and coaches, saunas, a canteen, a cafeteria, 2 ball halls, a Medical center, a hall reserved for journalists, and a hotel for athletes.
Because of Moscow's cold local climate, winter sports have a following. Many of Moscow's large parks offer marked trails for skiing and frozen ponds for skating.
Moscow hosts the annual Kremlin Cup, a popular tennis tournament on both the WTA and ATP tours. It is one of the ten Tier-I events on the women's tour and a host of Russian players feature every year.
SC Olimpiyskiy hosted the Eurovision Song Contest 2009, the first and so far the only Eurovision Song Contest arranged in Russia.
Slava Moscow is a professional rugby club, competing in the national Professional Rugby League. Former rugby league heavyweights RC Lokomotiv have entered the same league . The Luzhniki Stadium also hosted the 2013 Rugby World Cup Sevens.
In bandy, one of the most successful clubs in the world is 20 times Russian League champions Dynamo Moscow. They have also won the World Cup thrice and European Cup six times.
MFK Dinamo Moskva is one of the major futsal clubs in Europe, having won the Futsal Champions League title once.
When Russia was selected to host the 2018 FIFA World Cup, the Luzhniki Stadium got an increased capacity, by almost 10,000 new seats, in addition to a further two stadiums that have been built: the Dynamo Stadium, and the Spartak Stadium, although the first one later was dismissed from having World Cup matches.
Football clubs
Entertainment
The city is full of clubs, restaurants, and bars. Tverskaya Street is also one of the busiest shopping streets in Moscow.
The adjoining Tretyakovsky Proyezd, also south of Tverskaya Street, in Kitai-gorod, is host to upmarket boutique stores such as Bulgari, Tiffany & Co., Armani, Prada and Bentley. Nightlife in Moscow has moved on since Soviet times and today the city has many of the world's largest nightclubs. Clubs, bars, creative spaces and restaurants-turned-into-dancefloors are flooding Moscow streets with new openings every year. The hottest area is located around the old chocolate factory, where bars, nightclubs, galleries, cafés and restaurants are placed.
Dream Island is an amusement park in Moscow that opened on February 29, 2020. It is the largest indoor theme park in Europe.
The park covers 300,000 square meters. During the park's construction, 150 acres of nature trees unique and rare animals and birds and plants on the peninsula were destroyed. The appearance is in the style of a fairytale castle similar to Disneyland. The park has 29 unique attractions with many rides, as well as pedestrian malls with fountains and cycle paths. The complex includes a landscaped park along with a concert hall, a cinema, a hotel, a children's sailing school, restaurants, and shops.
Authorities
Moscow authorities
According to the Constitution of the Russian Federation, Moscow is an independent federal subject of the Russian Federation, the so-called city of federal importance.
The Mayor of Moscow is the leading official in the executive, leading the Government of Moscow, which is the highest organ of executive power.
The Moscow City Duma is the City Duma (city council or local parliament) and local laws must be approved by it. It includes 45 members who are elected for a five-year term on Single-mandate constituency basis.
From 2006 to 2012, direct elections of the mayor were not held due to changes in the Charter of the city of Moscow, the mayor was appointed by presidential decree. The first direct elections from the time of the 2003 vote were to be held after the expiration of the current mayor in 2015, however, in connection with his resignation of his own free will, they took place in September 2013.
Local administration is carried out through eleven prefectures, uniting the districts of Moscow into administrative districts on a territorial basis, and 125 regional administrations. According to the law "On the organization of local self-government in the city of Moscow", since the beginning of 2003, the executive bodies of local self-government are municipalities, representative bodies are municipal assemblies, whose members are elected in accordance with the Charter of the intracity municipality.
Federal authorities
In Moscow, as in a city endowed with the Constitution of the Russian Federation, the legislative, executive, and judicial federal authorities of the country are located, with the exception of the Constitutional Court of the Russian Federation, which has been located in Saint Petersburg since 2008.
The supreme executive authority - the Government of the Russian Federation - is located in the House of the Government of the Russian Federation on Krasnopresnenskaya embankment in the center of Moscow. The State Duma sits on Okhotny Ryad. The Federation Council is located in a building on Bolshaya Dmitrovka. The Supreme Court of the Russian Federation and the Supreme Court of Arbitration of the Russian Federation are also located in Moscow.
In addition, the Moscow Kremlin is the official residence of the President of the Russian Federation. The president's working residence in the Kremlin is located in the Senate Palace.
Safety
According to the ranking of the safest cities made by The Economist Moscow occupies the 37th position with a score of 68,5 points percent. The general level of crime is quite low. More than 170,000 surveillance cameras in Moscow are connected to the facial recognition system. The authorities recognized the successful two-month experiment with automatic recognition of faces, gender, and age of people in real-time - and then they deployed the system to the whole city. The network of video surveillance unites access video cameras (95% of residential apartment buildings in the capital), cameras in the territory and in buildings of schools and kindergartens, at the MCC stations, stadiums, public transport stops, and bus stations, in parks, underground passages.
The emergency numbers are the same as in all the other regions of Russia: 112 is the Single Emergency Number, 101 is the number of the Fire Service and Ministry of Emergency Situations, 102 is the Police one, 103 is the ambulance one, 104 is the Emergency Gas number. Moscow's EMS is the second most efficient one among the world's megacities, as reported by PwC during the presentation of the international study Analysis of EMS Efficiency in Megacities of the World.
Administrative divisions
The entire city of Moscow is headed by one mayor (Sergey Sobyanin). The city of Moscow is divided into twelve administrative okrugs and 125 districts.
The Russian capital's town-planning development began to show as early as the 12th century when the city was founded. The central part of Moscow grew by consolidating with suburbs in line with medieval principles of urban development when strong fortress walls would gradually spread along the circle streets of adjacent new settlements. The first circular defence walls set the trajectory of Moscow's rings, laying the groundwork for the future planning of the Russian capital.
The following fortifications served as the city's circular defense boundaries at some point in history: the Kremlin walls, Zemlyanoy Gorod (Earthwork Town), the Kamer-Kollezhsky Rampart, the Garden Ring, and the small railway ring. The Moscow Ring Road (MKAD) has been Moscow's boundary since 1960. Also in the form of a circle are the main Moscow subway line, the Ring Line, and the so-called Third Automobile Ring, which was completed in 2005. Hence, the characteristic radial-circle planning continues to define Moscow's further development. However, contemporary Moscow has also engulfed a number of territories outside the MKAD, such as Solntsevo, Butovo, and the town of Zelenograd. A part of Moscow Oblast's territory was merged into Moscow on July 1, 2012; as a result, Moscow is no longer fully surrounded by Moscow Oblast and now also has a border with Kaluga Oblast. In all, Moscow gained about and 230,000 inhabitants. Moscow's Mayor Sergey Sobyanin lauded the expansion that will help Moscow and the neighboring region, a "mega-city" of twenty million people, to develop "harmonically."
All administrative okrugs and districts have their own coats of arms and flags as well as individual heads of the area.
In addition to the districts, there are Territorial Units with Special Status. These usually include areas with small or no permanent populations. Such is the case with the All-Russia Exhibition Centre, the Botanical Garden, large parks, and industrial zones. In recent years, some territories have been merged with different districts. There are no ethnic-specific regions in Moscow, as in the Chinatowns that exist in some North American and East Asian cities. And although districts are not designated by income, as with most cities, those areas that are closer to the city center, metro stations or green zones are considered more prestigious.
Moscow also hosts some of the government bodies of Moscow Oblast, although the city itself is not a part of the oblast.
Economy
Overview
Moscow has one of the largest municipal economies in Europe and it accounts more than one-fifth of Russia's gross domestic product (GDP). , the nominal GRP in Moscow reached ₽15.7 trillion $270 billion (~$1.1 trillion in Purchasing Power), US$22,000 per capita(~$60,000 per capita in Purchasing Power)
Moscow has the lowest unemployment rate of all federal subjects of Russia, standing at just 1% in 2010, compared to the national average of 7%. The average gross monthly wage in the city is ₽60,000 (US$2,500 in Purchasing Power), which is almost twice the national average of ₽34,000 (US$1,400 in Purchasing Power), and the highest among the federal subjects of Russia.
Moscow is home to the third-highest number of billionaires of any city in the world, and has the highest number of billionaires of any city in Europe. It is the financial center of Russia and home to the country's largest banks and many of its largest companies, such as oil giant Rosneft. Moscow accounts for 17% of retail sales in Russia and for 13% of all construction activity in the country. Since the 1998 Russian financial crisis, business sectors in Moscow have shown exponential rates of growth. Many new business centers and office buildings have been built in recent years, but Moscow still experiences shortages in office space. As a result, many former industrial and research facilities are being reconstructed to become suitable for office use. Overall, economic stability has improved in recent years; nonetheless, crime and corruption still hinder business development.
Industry
Primary industries in Moscow include the chemical, metallurgy, food, textile, furniture, energy production, software development and machinery industries.
The Mil Moscow Helicopter Plant is one of the world's leading producers of military and civil helicopters. Khrunichev State Research and Production Space Center produces various space equipment, including modules for space stations Mir, Salyut and the ISS as well as Proton launch vehicles and military ICBMs. Sukhoi, Ilyushin, Mikoyan, Tupolev and Yakovlev aircraft design bureaus also situated in Moscow. NPO Energomash, producing the rocket engines for Russian and American space programs, as well as Lavochkin design bureau, which built fighter planes during WWII, but switched to space probes since the Space Race, are in nearby Khimki, an independent city in Moscow Oblast that have largely been enclosed by Moscow from its sides. Automobile plants ZiL and AZLK, as well as the Voitovich Rail Vehicle plant, are situated in Moscow and Metrovagonmash metro wagon plant is located just outside the city limits. The Poljot Moscow watch factory produces military, professional and sport watches well known in Russia and abroad. Yuri Gagarin in his trip into space used "Shturmanskie" produced by this factory.
The Electrozavod factory was the first transformer factory in Russia. The Kristall distillery is the oldest distillery in Russia producing vodka types, including "Stolichnaya" while wines are produced at Moscow wine plants, including the Moscow Interrepublican Vinery. The Moscow Jewelry Factory and the Jewellerprom are producers of jewelry in Russia; Jewellerprom used to produce the exclusive Order of Victory, awarded to those aiding the Soviet Union's Red Army during World War II.
There are other industries located just outside the city of Moscow, as well as microelectronic industries in Zelenograd, including Ruselectronics companies.
Gazprom, the largest extractor of natural gas in the world and the largest Russian company, has head offices also in Moscow, as well as other oil, gas, and electricity companies.
Moscow hosts headquarters of the many of telecommunication and technology companies, including 1C, ABBYY, Beeline, Kaspersky Lab, Mail.Ru Group, MegaFon, MTS, Rambler&Co, Rostelecom, Yandex, and Yota.
Some industry is being transferred out of the city to improve the ecological state of the city.
Cost of living
During Soviet times, apartments were lent to people by the government according to the square meters-per-person norm (some groups, including people's artists, heroes, and prominent scientists had bonuses according to their honors). Private ownership of apartments was limited until the 1990s when people were permitted to secure property rights to their inhabited places. Since the Soviet era, estate owners have had to pay the service charge for their residences, a fixed amount based on persons per living area.
The price of real estate in Moscow continues to rise. Today, one could expect to pay $4,000 on average per square meter (11 sq ft) on the outskirts of the city or US$6,500–$8,000 per square meter in a prestigious district. The price sometimes may exceed US$40,000 per square meter in a flat. It costs about US$1,200 per month to rent a one-bedroom apartment and about US$1,000 per month for a studio in the center of Moscow.
A typical one-bedroom apartment is about , a typical two-bedroom apartment is , and a typical three-bedroom apartment is . Many cannot move out of their apartments, especially if a family lives in a two-room apartment originally granted by the state during the Soviet era. Some city residents have attempted to cope with the cost of living by renting their apartments while staying in dachas (country houses) outside the city.
In 2006, Mercer Human Resources Consulting named Moscow the world's most expensive city for expatriate employees, ahead of perennial winner Tokyo, due to the stable Russian ruble as well as increasing housing prices within the city. Moscow also ranked first in the 2007 edition and 2008 edition of the survey. However, Tokyo has overtaken Moscow as the most expensive city in the world, placing Moscow at third behind Osaka in second place.
In 2008, Moscow ranked top on the list of most expensive cities for the third year in a row.
In 2014, according to Forbes, Moscow was ranked the 9th most expensive city in the world. Forbes ranked Moscow the 2nd most expensive city the year prior.
In 2019 the Economist Intelligence Unit's Worldwide Cost of Living survey put Moscow to 102nd place in the biannual ranking of 133 most expensive cities. ECA International's Cost of Living 2019 Survey ranked Moscow #120 among 482 locations worldwide.
Public utilities
Heating
The heating of buildings in Moscow, like in other cities in Russia is done using central heating system. Before 2004, state unitary enterprises were responsible to produce and supply heat to the clients by the operation of heating stations and heating distribution system of Mosgorteplo, Mosteploenergo, and Teploremontnaladka which gave service to the heating substations in the north-eastern part of the city. Clients were divided between the various enterprises based on their geographical location. A major reform launched in 2004 consolidated the various companies under the umbrella of MIPC which became the municipal heat supplier. Its subsidiaries were the newly transformed Joint-stock companies. The city's main source of heating is the power station of Mosenergo which was reformed in 2005, when around ten subsidiaries were separated from it. One of the newly independent companies was the District Heating Network Company (MTK) (). In 2007 the Government of Moscow bought controlling stakes in the company.
City services
“Our city” is a geo-information portal created in 2011 under the mayor of Moscow Sergei Sobyanin with the aim of building a constructive dialogue between Moscow residents and the city's executive authorities. The portal is being developed by the State Public Institution “New Management Technologies” together with the Moscow Department of Information Technologies. In its 10 years of operation, more than 1.7 million users have joined the portal, and during this time it has become an effective tool for monitoring the state of urban infrastructure.
Education
There are 1,696 high schools in Moscow, as well as 91 colleges. Besides these, there are 222 institutions of higher education, including 60 state universities and the Lomonosov Moscow State University, which was founded in 1755. The main university building located in Vorobyovy Gory (Sparrow Hills) is tall and when completed, was the tallest building on the continent. The university has over 30,000 undergraduate and 7,000 postgraduate students, who have a choice of twenty-nine faculties and 450 departments for study. Additionally, approximately 10,000 high school students take courses at the university, while over two thousand researchers work. The Moscow State University library contains over nine million books, making it one of the largest libraries in all of Russia. Its acclaim throughout the international academic community has meant that over 11,000 international students have graduated from the university, with many coming to Moscow to become fluent in the Russian language.
The I.M. Sechenov First Moscow State Medical University named after Ivan Sechenov or formerly known as Moscow Medical Academy (1stMSMU) is a medical university situated in Moscow, Russia. It was founded in 1785 as the faculty of the Moscow State University. It is a Russian Federal Agency for Health and Social Development. It is one of the largest medical universities in Russia and Europe. More than 9200 students are enrolled in 115 academic departments. It offers courses for post-graduate studies.
The Pirogov Russian National Research Medical University (formerly known as Russian State Medical University) is a medical higher education institution in Moscow, Russia founded in 1906. It is fully accredited and recognized by Russia's Ministry of Education and Science and is currently under the authority of the Ministry of Health and Social Development. Named after Russian surgeon and pedagogue N.I. Pirogov (1810-1888), it is one of the largest medical institutions and the first university in Russia to allow women to acquire degrees.
Moscow is one of the financial centers of the Russian Federation and CIS countries and is known for its business schools. Among them are the Financial University under the Government of the Russian Federation; Plekhanov Russian University of Economics; The State University of Management, and the National Research University - Higher School of Economics. They offer undergraduate degrees in management, finance, accounting, marketing, real estate, and economic theory, as well as Masters programs and MBAs. Most of them have branches in other regions of Russia and countries around the world.
Bauman Moscow State Technical University, founded in 1830, is located in the center of Moscow and provides 18,000 undergraduate and 1,000 postgraduate students with an education in science and engineering, offering technical degrees.
The Moscow Conservatory, founded in 1866, is a prominent music school in Russia whose graduates include Sergey Rachmaninoff, Alexander Scriabin, Aram Khachaturian, Mstislav Rostropovich, and Alfred Schnittke.
The Gerasimov All-Russian State Institute of Cinematography, abbreviated as VGIK, is the world's oldest educational institution in Cinematography, founded by Vladimir Gardin in 1919.
Sergei Eisenstein, Vsevolod Pudovkin, and Aleksey Batalov were among its most distinguished professors and Mikhail Vartanov, Sergei Parajanov, Andrei Tarkovsky, Nikita Mikhalkov, Eldar Ryazanov, Alexander Sokurov, Yuriy Norshteyn, Aleksandr Petrov, Vasily Shukshin, Konrad Wolf among graduates.
Moscow State Institute of International Relations, founded in 1944, remains Russia's best- known school of international relations and diplomacy, with six schools focused on international relations. Approximately 4,500 students make up the university's student body and over 700,000 Russian and foreign-language books—of which 20,000 are considered rare—can be found in the library of the Moscow State Institute of International Relations.
Other institutions are the Moscow Institute of Physics and Technology, also known as Phystech, the Fyodorov Eye Microsurgery Complex, founded in 1988 by Russian eye surgeon Svyatoslav Fyodorov, the Moscow Aviation Institute, the Moscow Motorway Institute (State Technical University), and the Moscow Engineering Physics Institute. Moscow Institute of Physics and Technology has taught numerous Nobel Prize winners, including Pyotr Kapitsa, Nikolay Semyonov, Lev Landau and Alexander Prokhorov, while the Moscow Engineering Physics Institute is known for its research in nuclear physics. The highest Russian military school is the Combined Arms Academy of the Armed Forces of the Russian Federation.
Although Moscow has a number of famous Soviet-era higher educational institutions, most of which are more oriented towards engineering or the fundamental sciences, in recent years Moscow has seen a growth in the number of commercial and private institutions that offer classes in business and management. Many state institutions have expanded their education scope and introduced new courses or departments. Institutions in Moscow, as well as the rest of post-Soviet Russia, have begun to offer new international certificates and postgraduate degrees, including the Master of Business Administration. Student exchange programs with numerous countries, specially with the rest of Europe, have also become widespread in Moscow's universities, while schools within the Russian capital also offer seminars, lectures, and courses for corporate employees and businessmen.
Moscow is one of the largest science centers in Russia. The headquarters of the Russian Academy of Sciences are located in Moscow as well as research and applied science institutions. The Kurchatov Institute, Russia's leading research and development institution in the fields of nuclear energy, where the first nuclear reactor in Europe was built, the Landau Institute for Theoretical Physics, Institute for Theoretical and Experimental Physics, Kapitza Institute for Physical Problems and Steklov Institute of Mathematics are all situated in Moscow.
There are 452 libraries in the city, including 168 for children. The Russian State Library, founded in 1862, is the national library of Russia. The library is home to over of shelves and 42 million items, including over 17 million books and serial volumes, 13 million journals, 350,000 music scores and sound records, and 150,000 maps, making it the largest library in Russia and one of the largest in the world. Items in 247 languages account for 29% of the collection.
The State Public Historical Library, founded in 1863, is the largest library specialising in Russian history. Its collection contains four million items in 112 languages (including 47 languages of the former USSR), mostly on Russian and world history, heraldry, numismatics, and the history of science.
In regard to primary and secondary education, in 2011, Clifford J. Levy of The New York Times wrote, "Moscow has some strong public schools, but the system as a whole is dispiriting, in part because it is being corroded by the corruption that is a post-Soviet scourge. Parents often pay bribes to get their children admitted to better public schools. There are additional payoffs for good grades."
Transportation
Metro
The Moscow Metro system is famous for its art, murals, mosaics, and ornate chandeliers. It started operation in 1935 and immediately became the centrepiece of the transportation system. More than that it was a Stalinist device to awe and reward the populace, and give them an appreciation of Soviet realist art. It became the prototype for future Soviet large-scale technologies. Lazar Kaganovich was in charge; he designed the subway so that citizens would absorb the values and ethos of Stalinist civilisation as they rode. The artwork of the 13 original stations became nationally and internationally famous. For example, the Sverdlov Square subway station featured porcelain bas-reliefs depicting the daily life of the Soviet peoples, and the bas-reliefs at the Dynamo Stadium sports complex glorified sports and the physical prowess of the powerful new "Homo Sovieticus" (Soviet man).
The metro was touted as the symbol of the new social order—a sort of Communist cathedral of engineering modernity. Soviet workers did the labour and the artwork, but the main engineering designs, routes, and construction plans were handled by specialists recruited from the London Underground. The Britons called for tunneling instead of the "cut-and-cover" technique, the use of escalators instead of lifts, and designed the routes and the rolling stock. The paranoia of Stalin and the NKVD was evident when the secret police arrested numerous British engineers for espionage—that is for gaining an in-depth knowledge of the city's physical layout. Engineers for the Metropolitan Vickers Electrical Company were given a show trial and deported in 1933, ending the role of British business in the USSR.
Today, the Moscow Metro comprises twelve lines, mostly underground with a total of 203 stations. The Metro is one of the deepest subway systems in the world; for instance, the Park Pobedy station, completed in 2003, at underground, has the longest escalators in Europe. The Moscow Metro is the busiest metro system in Europe, as well as one of the world's busiest metro systems, serving about ten million passengers daily (300,000,000 people every month). Facing serious transportation problems, Moscow has plans for expanding its Metro. In 2016, the authorities launched a new circle metro railway that contributed to solving transportation issues, namely daily congestion at Koltsevaya Line.
Due to the treatment of Metro stations as possible canvas for art, characterized by the fact that workers of Moscow would get to see them every day, many Stalin-era metro stations were built in different "custom" designs (where each station's design would be, initially, a massive installation on a certain theme. For example, Elektrozavodskaya station was themed solely after nearby lightbulb factory and ceramic ribbed lightbulb sockets); the tradition of "Grand Designs" and, basically, decorating metro stations as single-themed installations, was restored in late 1979.
More recently, Moscow mayor Sergei Sobyanin has introduced comforts ranging from WiFi and USB ports and Apple Pay — while opening new stations at a breakneck pace. Moscow's metro is one of the world's busiest, handling 2.6 billion passengers in 2019.
In the Russian capital, there are over 21.5 thousand Wi-Fi access points, in student dormitories, in parks, cultural and sports institutions, and within the Garden Ring and the Third Transport Ring. From September 2020 to August 2021, 1,700 new access points to urban Wi-Fi were launched in Moscow. The structure of the Wi-Fi network allows citizens to use the Internet without re-authorization.
Monorail
The Moscow Metro operates a short monorail line (line 13). The line connects Timiryazevskaya metro station and Ulitsa Sergeya Eisensteina, passing close to VDNH (and Line 6 Metro station "V.D.N.Kh."). The line opened in 2004. It accepts overgound interchanges, no additional fare is needed if a ride was spent at Moscow Metro within previous 90 minutes.
Bus, trolleybus and electric bus
As Metro stations outside the city center are far apart in comparison to other cities, up to , a bus network radiates from each station to the surrounding residential zones. Moscow has a bus terminal for long-range and intercity passenger buses (Central Bus Terminal) with a daily turnover of about 25 thousand passengers serving about 40% of long-range bus routes in Moscow.
Every major street in the city is served by at least one bus route. Many of these routes are doubled by a trolleybus route and have trolley wires over them.
With the total line length of almost of a single wire, 8 depots, 104 routes, and 1740 vehicles, the Moscow trolleybus system was the largest in the world. But municipal authority, headed by Sergey Sobyanin, began to destroy the trolleybus system in Moscow in 2014 due the planned replacement of trolleybuses by electric buses. In 2018 Moscow trolleybus system has only 4 depots and dozens of kilometers of unused wires. Almost all trolleybus wires inside Garden Ring (Sadovoe Koltso) were cut in 2016–2017 due to the reconstruction of central streets ("Moya Ulitsa"). Opened on November 15, 1933, it is also the world's 6th oldest operating trolleybus system.
In 2018 the vehicle companies Kamaz and GAZ have won the Mosgortrans tender for delivering 200 electric buses and 62 ultra-fast charging stations to the city transport system. The manufacturers will be responsible for the quality and reliable operation of the buses and charging stations for the next 15 years. The city will be procuring only electric buses as of 2021, replacing the diesel bus fleet gradually. According to expectations, Moscow will become the leader amongst the European cities in terms of electric and gas fuel share in public transport by 2019.
All bus stations and terminals of Moscow are now connected to free Wi-Fi. One may use it in international bus stations Salaryevo, South Gate and North Gate, and in bus terminals Varshavskaya and Orekhovo. As much as 48 hot spots were installed there.
Moscow cable car
On November 26, 2018, the mayor of Moscow Sergey Sobyanin took part in the ceremony to open the cable car above the Moskva River. The cable car will connect the Luzhniki sports complex with Sparrow Hills and Kosygin Street.
The journey from the well-known viewpoint on Vorobyovy Gory to Luzhniki Stadium will last for five minutes instead of 20 minutes that one would have to spend on the same journey by car. The cable car will work every day from 11 a.m. till 11 p.m.
The cable car is long. It was built to transport 1,600 passengers per hour in all weathers. There are 35 closed capsules designed by Porsche Design Studio to transport passengers. The booths are equipped with media screens, LED lights, hooks for bikes, skis, and snowboards. Passengers will also be able to use audio guides in English, German, Chinese and Russian.
Tram
Moscow has an extensive tram system, which first opened in 1899. The newest line was built in 1984. Its daily usage by Muscovites is low, making up for approximately 5% of trips because many vital connections in the network have been withdrawn. Trams still remain important in some districts as feeders to Metro stations. The trams also provide important cross-links between metro lines, for example between Universitet station of Sokolnicheskaya Line (#1 red line) and Profsoyuznaya station of Kaluzhsko-Rizhskaya Line (#6 orange line) or between Voykovskaya and Strogino. Some routes used to connect downtown with sleep districts, like route 3.
There are three tram networks in the city:
Krasnopresnenskoye depot network with the westernmost point at Strogino (depot location) and the easternmost point near platform Dmitrovskaya. This network became separated in 1973, but until 1997 it could easily have been reconnected by about of track and three switches. The network has the highest usage in Moscow and no weak points based on turnover except to-depot lane (passengers serviced by bus) and tram ring at Dmitrovskaya (because now it is neither a normal transfer point nor a repair terminal).
The Apakov depot services the south-western part from the Varshavsky lane – Simferopolsky boulevard in the east to the Universitet station in the west and Boulevard lane at the center. This network is connected only by the four-way Dubininskaya and Kozhevnicheskaya streets. A second connection by Vostochnaya (Eastern) street was withdrawn in 1987 due to a fire at the Dinamo plant and has not been recovered, and remains lost (Avtozavodsky bridge) at 1992. The network may be serviced anyway by another depot (now route 35, 38).
Main three depot networks with railway gate and tram-repair plant.
In addition, tram advocates have suggested that the new rapid transit services (metro to City, Butovo light metro, Monorail) would be more effective as at-grade tram lines and that the problems with trams are only due to poor management and operation, not the technical properties of trams. New tram models have been developed for the Moscow network despite the lack of expansion.
Taxi
Commercial taxi services and route taxis are in widespread use. In the mid-2010s, service platforms such as Yandex.Taxi, Uber and Gett displaced many private drivers and small service providers and were in 2015 servicing more than 50% of all taxi orders in Moscow.
Russian tech firm Yandex is testing self-driving taxis in Moscow. Yandex's fleet of around 170 driverless cars has travelled more than 14 million kilometres. Robotaxis will available through the company's Yandex.Go application in Yasenevo district.
Railway
Several train stations serve the city. Moscow's ten rail terminals (or ) are:
Belorussky Rail Terminal
Kazansky Rail Terminal
Kiyevsky Rail Terminal
Kursky Rail Terminal
Leningradsky Rail Terminal
Paveletsky Rail Terminal
Rizhsky Rail Terminal
Savyolovsky Rail Terminal
Yaroslavsky Rail Terminal
Vostochny railway Terminal
The terminals are located close to the city center, along with the metro ringline 5 or close to it, and connect to a metro line to the centre of town. Each station handles trains from different parts of Europe and Asia. There are many smaller railway stations in Moscow. As train tickets are cheap, they are the preferred mode of travel for Russians, especially when departing to Saint Petersburg, Russia's second-largest city. Moscow is the western terminus of the Trans-Siberian Railway, which traverses nearly of Russian territory to Vladivostok on the Pacific coast.
Suburbs and satellite cities are connected by commuter elektrichka (electric rail) network. Elektrichkas depart from each of these terminals to the nearby (up to ) large railway stations.
During the 2010s, the Little Ring of the Moscow Railway was converted to be used for frequent passenger service; it is fully integrated with Moscow Metro; the passenger service started on September 10, 2016. A connecting railway line on the North side of the town connects Belorussky terminal with other railway lines. This is used by some suburban trains.
Moscow Central Circle
The Moskovskaya Okruzhnaya Zheleznaya Doroga formed a ring around the now-downtown Moscow since 1903, but only served as a non-electrified, fueled locomotive-only railway prior to reconstruction into MCC in 2010's.
The Moscow Central Circle is a urban-metro railway orbital line that encircles historical Moscow. It was built alongside Little Ring of the Moscow Railway, taking some of its tracks into itself as well. M.C.C. was opened for passenger use on September 10, 2016. MOZD is integrated as "Line 14 of Moscow Metro", and, while using railway-sized trains, can be perceived as "S-train-design circle line".
The line is operated by the Moscow Government owned company MKZD through the Moscow Metro, with the Federal Government owned Russian Railways selected as the operation subcontractor. The track infrastructure and most platforms are owned by Russian Railways, while MKZD owns most station buildings. However, in S-bahn way, Moscow unified tickets "Ediniiy" and "Troika" are accepted by MCC stations. There is one zero-fee interchange for any ticket used on Moscow Metro station less than 90 minutes before entering an MCC station (and vice versa: a passenger of MCC gets 1 free interchange to Moscow Metro within 90 minutes after entering MCC station)
Moscow Central Diameters
Another system, which forms "genuine S-Bahn" as in "suburbia-city-suburbia"-designed railway, is the Moscow Central Diameters, a pass-through railways system, created by constructing bypasses from "vokzals" final stations (e.g. by avoiding the central stations of already existing Moscow Railway, used for both intercity and urban-suburban travel before) and forming a train line across Moscow's centre.
Out of 5 projected lines, the first 2 lines were completed and launched on 2019-11-21 (e.g. November 21, 2019).
While using the same rails as "regular" suburban trains to vokzals, MCD trains ("Ivolga" model) got distinguishing features (shape; red cabin, different windows, lesser amount of seats; big red "MЦΔ" train logo).
Roads
There are over 2.6 million cars in the city daily. Recent years have seen growth in the number of cars, which have caused traffic jams and lack of parking space to become major problems.
The Moscow Ring Road (MKAD), along with the Third Transport Ring and the canceled Fourth Transport Ring, is one of only three freeways that run within Moscow city limits. Several other roadway systems form concentric circles around the city.
Air
There are five primary commercial airports serving Moscow: Sheremetyevo (SVO), Domodedovo (DME), Vnukovo (VKO), Zhukovsky (ZIA), Ostafyevo (OSF).
Sheremetyevo International Airport is the most globally connected, handling 60% of all international flights. It is also a home to all SkyTeam members, and the main hub for Aeroflot (itself a member of SkyTeam). Domodedovo International Airport is the leading airport in Russia in terms of passenger throughput and is the primary gateway to long-haul domestic and CIS destinations and its international traffic rivals Sheremetyevo. It is a hub for S7 airlines, and most of OneWorld and Star Alliance members use Domodedovo as their international hub. Vnukovo International Airport handles flights of Turkish Airlines, Wizz Air and others. Ostafyevo International Airport caters primarily to business aviation.
Moscow's airports vary in distances from the MKAD beltway: Domodedovo is the farthest at ; Vnukovo is ; Sheremetyevo is ; and Ostafievo, the nearest, is about from MKAD.
There are a number of smaller airports close to Moscow (19 in Moscow Oblast) such as Myachkovo Airport, that are intended for private aircraft, helicopters and charters.
Water
Moscow has two passenger terminals, (South River Terminal and North River Terminal or Rechnoy vokzal), on the river and regular ship routes and cruises along the Moskva and Oka rivers, which are used mostly for entertainment. The North River Terminal, built in 1937, is the main hub for long-range river routes. There are three freight ports serving Moscow.
Sharing system
Moscow has different vehicle sharing options that are sponsored by the local government. There are several car sharing companies which are in charge of providing cars to the population. To drive the automobiles, the user has to book them through the app of the owning company. In 2018 the mayor Sergey Sobyanin said Moscow's car sharing system has become the biggest in Europe in terms of vehicle fleet. Every day about 25,000 people use this service. In the end of the same year Moscow carsharing became the second in the world in therms of fleet with 16.5K available vehicles. Another sharing system is bike sharing (Velobike) of a fleet formed by 3000 traditional and electrical bicycles. The Delisamokat is a new sharing service that provides electrical scooters. There are companies that provide different vehicles to the population in proximity to Moscow's big parks.
Future development
In 1992, the Moscow government began planning a projected new part of central Moscow, the Moscow International Business Center, with the goal of creating a zone, the first in Russia, and in all of Eastern Europe, that will combine business activity, living space and entertainment. Situated in Presnensky District and located at the Third Ring, the Moscow City area is under intense development. The construction of the MIBC takes place on the Krasnopresnenskaya embankment. The whole project takes up to . The area is the only spot in downtown Moscow that can accommodate a project of this magnitude. Today, most of the buildings there are old factories and industrial complexes.
The Federation Tower, completed in 2016, is the second-tallest building in Europe. It is planned to include a water park and other recreational facilities; business, office, entertainment, and residential buildings, a transport network and a new site for the Moscow government. The construction of four new metro stations in the territory has been completed, two of which have opened and two others are reserved for future metro lines crossing MIBC, some additional stations were planned.
A rail shuttle service, directly connecting MIBC with the Sheremetyevo International Airport is also planned.
Major thoroughfares through MIBC are the Third Ring and Kutuzovsky Prospekt.
Three metro stations were initially planned for the Filyovskaya Line. The station Delovoi Tsentr opened in 2005 and was later renamed Vystavochnaya in 2009. The branch extended to the Mezhdunarodnaya station in 2006, and all work on the third station, Dorogomilovskaya (between Kiyevskaya and Delovoi Tsentr), has been postponed. There are plans to extend the branch as far as the Savyolovskaya station, on the Serpukhovsko-Timiryazevskaya Line. It should be noted this line 4 of Moscow Metro had the longest time intervals between train arrivals (approximately 8 minutes for Mezhdunarodnaya and Vystavochnaya branch of line 4) throughout the 2010s. However, Vystavochnaya has been expanded with Line 8A platforms (segment of future Line 11), and Mezhdunarodnaya has been upgraded with line 14 platform.
The cellphone service provider MTS announced on 5 March 2021 that they would begin the country's first pilot 5G network in Moscow. 14 hotspots were positioned across the city's main tourist attractions, including Lubyanka Square near Red Square, the Moscow City financial district and the VDNKh exhibition center.
Media
Moscow is home to nearly all of Russia's nationwide television networks, radio stations, newspapers, and magazines.
Newspapers
English-language media include The Moscow Times and Moscow News, which are, respectively, the largest and oldest English-language weekly newspapers in all of Russia. Kommersant, Vedomosti and Novaya Gazeta are Russian-language media headquartered in Moscow. Kommersant and Vedomosti are among the country's leading and oldest Russian-language business newspapers.
TV and radio
Other media in Moscow include the Echo of Moscow, the first Soviet and Russian private news radio and information agency, and NTV, one of the first privately owned Russian television stations. The total number of radio stations in Moscow in the FM band is near 50.
Moscow television networks:
Moscow radio stations:
Notable people
International relations
Twin towns – sister cities
Moscow is twinned with:
Almaty, Kazakhstan
Ankara, Turkey
Baku, Azerbaijan
Bangkok, Thailand
Beijing, China
Berlin, Germany
Brno, Czech Republic
Bucharest, Romania
Buenos Aires, Argentina
Chicago, United States
Cusco, Peru
Dubai, United Arab Emirates
Düsseldorf, Germany (suspended due to Russian war against Ukraine)
Ganja, Azerbaijan
Ho Chi Minh City, Vietnam
Jakarta, Indonesia
Kharkiv, Ukraine
Ljubljana, Slovenia
London, United Kingdom
Manila, Philippines
New Delhi, India
Nur-Sultan, Kazakhstan
Prague, Czech Republic
Pyongyang, North Korea
Rasht, Iran
Reykjavík, Iceland
Riga, Latvia
Seoul, South Korea
Tallinn, Estonia
Tashkent, Uzbekistan
Tehran, Iran
Tokyo, Japan
Ulaanbaatar, Mongolia
Vilnius, Lithuania
Warsaw, Poland
Cooperation agreements
Moscow has cooperation agreements with:
Bangkok, Thailand (1997)
Lisbon, Portugal (1997)
Madrid, Spain (2006)
Tel Aviv, Israel (2001)
Tunis, Tunisia (1998)
Yerevan, Armenia (1995)
Former twin towns and sister cities
Kyiv, Ukraine
See also
List of churches in Moscow
List of Moscow tourist attractions
List of museums in Moscow
List of shopping malls in Moscow
Mayor of Moscow
Moscow Millionaire Fair
References
External links
Interactive map of housing in Moscow from 1785-2018
Travel2moscow.com – Official Moscow Guide
Official Moscow Administration Site
Informational website of Moscow
Old maps of Moscow, Eran Laor Cartographic Collection, The National Library of Israel, in Historic Cities Research Project
12th-century establishments in Russia
Capitals in Europe
Moskovsky Uyezd
Populated places established in the 12th century
Federal cities of Russia |
19006 | https://en.wikipedia.org/wiki/Mediterranean%20Sea | Mediterranean Sea | The Mediterranean Sea is a sea connected to the Atlantic Ocean, surrounded by the Mediterranean Basin and almost completely enclosed by land: on the north by Western and Southern Europe and Anatolia, on the south by North Africa, and on the east by the Levant. The Sea has played a central role in the history of Western civilization. Although the Mediterranean is sometimes considered a part of the Atlantic Ocean, it is usually referred to as a separate body of water. Geological evidence indicates that around 5.9 million years ago, the Mediterranean was cut off from the Atlantic and was partly or completely desiccated over a period of some 600,000 years during the Messinian salinity crisis before being refilled by the Zanclean flood about 5.3 million years ago.
The Mediterranean Sea covers an area of about , representing 0.7% of the global ocean surface, but its connection to the Atlantic via the Strait of Gibraltar—the narrow strait that connects the Atlantic Ocean to the Mediterranean Sea and separates the Iberian Peninsula in Europe from Morocco in Africa—is only wide. In oceanography, it is sometimes called the Eurafrican Mediterranean Sea, the European Mediterranean Sea or the African Mediterranean Sea to distinguish it from mediterranean seas elsewhere.
The Mediterranean Sea has an average depth of and the deepest recorded point is in the Calypso Deep in the Ionian Sea. It lies between latitudes 30° and 46° N and longitudes 6° W and 36° E. Its west–east length, from the Strait of Gibraltar to the Gulf of Iskenderun, on the southeastern coast of Turkey, is about . The north–south length varies greatly between different shorelines and whether only straight routes are considered. Also including longitudal changes, the shortest shipping route between the multinational Gulf of Trieste and the Libyan coastline of Gulf of Sidra is about . The water temperatures are mild in winter and warm in summer and give name to the mediterranean climate type due to the majority of precipitation falling in the cooler months. Its southern and eastern coastlines are lined with hot deserts not far inland, but the immediate coastline on all sides of the Mediterranean tends to have strong maritime moderation.
The sea was an important route for merchants and travelers of ancient times, facilitating trade and cultural exchange between peoples of the region. The history of the Mediterranean region is crucial to understanding the origins and development of many modern societies. The Roman Empire maintained nautical hegemony over the sea for centuries.
The countries surrounding the Mediterranean in clockwise order are Spain, France, Monaco, Italy, Slovenia, Croatia, Bosnia and Herzegovina, Montenegro, Albania, Greece, Turkey, Syria, Lebanon, Israel, Egypt, Libya, Tunisia, Algeria, and Morocco; Malta and Cyprus are island countries in the sea. In addition, the Gaza Strip and the British Overseas Territories of Gibraltar and Akrotiri and Dhekelia have coastlines on the sea.
History
Ancient civilizations
Some of the world's greatest ancient civilizations that were the base of the entire Western culture were located around the Mediterranean shores and were greatly influenced by their proximity to the sea. It provided routes for trade, colonization, and war, as well as food (from fishing and the gathering of other seafood) for numerous communities throughout the ages.
Due to the shared climate, geology, and access to the sea, cultures centered on the Mediterranean tended to have some extent of intertwined culture and history.
Two of the most notable Mediterranean civilizations in classical antiquity were the Greek city states and the Phoenicians, both of which extensively colonized the coastlines of the Mediterranean. Later, when Augustus founded the Roman Empire, the Romans referred to the Mediterranean as Mare Nostrum ("Our Sea"). For the next 400 years, the Roman Empire completely controlled the Mediterranean Sea and virtually all its coastal regions from Gibraltar to the Levant.
Darius I of Persia, who conquered Ancient Egypt, built a canal linking the Mediterranean to the Red Sea. Darius's canal was wide enough for two triremes to pass each other with oars extended, and required four days to traverse.
In 2019, the archaeological team of experts from Underwater Research Center of the Akdeniz University (UA) revealed a shipwreck dating back 3,600 years in the Mediterranean Sea in Turkey. 1.5 tons of copper ingots found in the ship was used to estimate its age. The Governor of Antalya Munir Karaloğlu described this valuable discovery as the "Göbeklitepe of the underwater world”. It has been confirmed that the shipwreck, dating back to 1600 BC, is older than the "Uluburun Shipwreck" dating back to 1400 BC.
Middle Ages and empires
The Western Roman Empire collapsed around 476 AD. Temporarily the east was again dominant as Roman power lived on in the Byzantine Empire formed in the 4th century from the eastern half of the Roman Empire. Another power arose in the 7th century, and with it the religion of Islam, which soon swept across from the east; at its greatest extent, the Arabs, under the Umayyads, controlled most of the Mediterranean region and left a lasting footprint on its eastern and southern shores.
The Arab invasions disrupted the trade relations between Western and Eastern Europe while disrupting trade routes with Eastern Asian Empires. This, however, had the indirect effect of promoting the trade across the Caspian Sea. The export of grains from Egypt was re-routed towards the Eastern world. Products from East Asian empires, like silk and spices, were carried from Egypt to ports like Venice and Constantinople by sailors and Jewish merchants. The Viking raids further disrupted the trade in western Europe and brought it to a halt. However, the Norsemen developed the trade from Norway to the White Sea, while also trading in luxury goods from Spain and the Mediterranean. The Byzantines in the mid-8th century retook control of the area around the north-eastern part of the Mediterranean. Venetian ships from the 9th century armed themselves to counter the harassment by Arabs while concentrating trade of Asian goods in Venice.
The Fatimids maintained trade relations with the Italian city-states like Amalfi and Genoa before the Crusades, according to the Cairo Geniza documents. A document dated 996 mentions Amalfian merchants living in Cairo. Another letter states that the Genoese had traded with Alexandria. The caliph al-Mustansir had allowed Amalfian merchants to reside in Jerusalem about 1060 in place of the Latin hospice.
The Crusades led to flourishing of trade between Europe and the outremer region. Genoa, Venice and Pisa created colonies in regions controlled by the Crusaders and came to control the trade with the Orient. These colonies also allowed them to trade with the Eastern world. Though the fall of the Crusader states and attempts at banning of trade relations with Muslim states by the Popes temporarily disrupted the trade with the Orient, it however continued.
Europe started to revive, however, as more organized and centralized states began to form in the later Middle Ages after the Renaissance of the 12th century.
Ottoman power based in Anatolia continued to grow, and in 1453 extinguished the Byzantine Empire with the Conquest of Constantinople. Ottomans gained control of much of the sea in the 16th century and maintained naval bases in southern France (1543–1544), Algeria and Tunisia. Barbarossa, the famous Ottoman captain is a symbol of this domination with the victory of the Battle of Preveza (1538). The Battle of Djerba (1560) marked the apex of Ottoman naval domination in the Mediterranean. As the naval prowess of the European powers increased, they confronted Ottoman expansion in the region when the Battle of Lepanto (1571) checked the power of the Ottoman Navy. This was the last naval battle to be fought primarily between galleys.
The Barbary pirates of Northwest Africa preyed on Christian shipping and coastlines in the Western Mediterranean Sea. According to Robert Davis, from the 16th to 19th centuries, pirates captured 1 million to 1.25 million Europeans as slaves.
The development of oceanic shipping began to affect the entire Mediterranean. Once, most of the trade between Western Europe and the East was passing through the region, but after the 1490s the development of a sea route to the Indian Ocean allowed the importation of Asian spices and other goods through the Atlantic ports of western Europe.
The sea remained strategically important. British mastery of Gibraltar ensured their influence in Africa and Southwest Asia. Especially after the naval battles of Abukir (1799, Battle of the Nile) and Trafalgar (1805), the British had for a long time strengthened their dominance in the Mediterranean. Wars included Naval warfare in the Mediterranean during World War I and Mediterranean theatre of World War II.
With the opening of the lockless Suez Canal in 1869, the flow of trade between Europe and Asia changed fundamentally. The fastest route now led through the Mediterranean towards East Africa and Asia. This led to a preference for the Mediterranean countries and their ports like Trieste with the direct connections to Central and Eastern Europe experienced a rapid economic rise. In the 20th century, the 1st and 2nd World War as well as the Suez Crisis and the Cold War led to a shift of trade routes to the European northern ports, which changed again towards the southern ports through European integration, the activation of the Silk Road and free world trade.
21st century and migrations
In 2013, the Maltese president described the Mediterranean Sea as a "cemetery" due to the large number of migrants who drowned there after their boats capsized. European Parliament president Martin Schulz said in 2014 that Europe's migration policy "turned the Mediterranean into a graveyard", referring to the number of drowned refugees in the region as a direct result of the policies. An Azerbaijani official described the sea as "a burial ground ... where people die".
Following the 2013 Lampedusa migrant shipwreck, the Italian government decided to strengthen the national system for the patrolling of the Mediterranean Sea by authorising "Operation Mare Nostrum", a military and humanitarian mission in order to rescue the migrants and arrest the traffickers of immigrants. In 2015, more than one million migrants crossed the Mediterranean Sea into Europe.
Italy was particularly affected by the European migrant crisis. Since 2013, over 700,000 migrants have landed in Italy, mainly sub-Saharan Africans.
Geography
The Mediterranean Sea connects:
to the Atlantic Ocean by the Strait of Gibraltar (known in Homer's writings as the "Pillars of Hercules") in the west
to the Sea of Marmara and the Black Sea, by the Straits of the Dardanelles and the Bosporus respectively, in the east
The long artificial Suez Canal in the southeast connects the Mediterranean Sea to the Red Sea without ship lock, because the water level is essentially the same.
The westernmost point of the Mediterranean is located at the transition from the Alborán Sea to the Strait of Gibraltar, the easternmost point is on the coast of the Gulf of Iskenderun in southeastern Turkey. The northernmost point of the Mediterranean is on the coast of the Gulf of Trieste near Monfalcone in northern Italy while the southernmost point is on the coast of the Gulf of Sidra near the Libyan town of El Agheila.
Large islands in the Mediterranean include:
Cyprus, Crete, Euboea, Rhodes, Lesbos, Chios, Kefalonia, Corfu, Limnos, Samos, Naxos, and Andros in the Eastern Mediterranean
Sicily, Cres, Krk, Brač, Hvar, Pag, Korčula, and Malta in the central Mediterranean
Sardinia, Corsica, and the Balearic Islands: Ibiza, Majorca, and Menorca in the Western Mediterranean
The Alpine arc, which also has a great meteorological impact on the Mediterranean area, touches the Mediterranean in the west in the area around Nice.
The typical Mediterranean climate has hot, dry summers and mild, rainy winters. Crops of the region include olives, grapes, oranges, tangerines, carobs and cork.
Marginal seas
The Mediterranean Sea includes 15 marginal seas:
List of seas
Category:Marginal seas of the Mediterranean
Category:Gulfs of the Mediterranean
Category:Straits of the Mediterranean Sea
Category:Channels of the Mediterranean Sea
Note 1: The International Hydrographic Organization defines the area as generic Mediterranean Sea, in the Western Basin. It does not recognize the label Sea of Sardinia.
Note 2: Thracian Sea and Myrtoan Sea are seas that are part of the Aegean Sea.
Note 3: The Black Sea is not considered part of it.
Extent
The International Hydrographic Organization defines the limits of the Mediterranean Sea as follows: Stretching from the Strait of Gibraltar in the west to the entrances to the Dardanelles and the Suez Canal in the east, the Mediterranean Sea is bounded by the coasts of Europe, Africa, and Asia and is divided into two deep basins:
Western Basin:
On the west: A line joining the extremities of Cape Trafalgar (Spain) and Cape Spartel (Africa)
On the northeast: The west coast of Italy. In the Strait of Messina, a line joining the north extreme of Cape Paci (15°42′E) with Cape Peloro, the east extreme of the Island of Sicily. The north coast of Sicily
On the east: A line joining Cape Lilibeo the western point of Sicily (), through the Adventure Bank to Cape Bon (Tunisia)
Eastern Basin:
On the west: The northeastern and eastern limits of the Western Basin
On the northeast: A line joining Kum Kale (26°11′E) and Cape Helles, the western entrance to the Dardanelles
On the southeast: The entrance to the Suez Canal
On the east: The coasts of Lebanon, Syria, and Israel
Coastal countries
The following countries have a coastline on the Mediterranean Sea:
Northern shore (from west to east): Spain, France, Monaco, Italy, Slovenia, Croatia, Bosnia and Herzegovina, Montenegro, Albania, Greece, Turkey.
Eastern shore (from north to south): Turkey, Syria, Lebanon, Israel, Palestine, Egypt.
Southern shore (from west to east): Morocco, Algeria, Tunisia, Libya, Egypt.
Island nations: Malta, Cyprus.
Several other territories also border the Mediterranean Sea (from west to east):
the British overseas territory of Gibraltar
the Spanish autonomous cities of Ceuta and Melilla and nearby islands
the Sovereign Base Areas on Cyprus
the Palestinian Gaza Strip
Exclusive economic zone
Exclusive economic zones in Mediterranean Sea:
Coastline length
The Coastline length is about 46,000 km.
Coastal cities
Major cities (municipalities), with populations larger than 200,000 people, bordering the Mediterranean Sea include:
Subdivisions
The International Hydrographic Organization (IHO) divides the Mediterranean into a number of smaller waterbodies, each with their own designation (from west to east):
the Strait of Gibraltar
the Alboran Sea, between Spain and Morocco
the Balearic Sea, between mainland Spain and its Balearic Islands
the Ligurian Sea between Corsica and Liguria (Italy)
the Tyrrhenian Sea enclosed by Sardinia, Italian peninsula and Sicily
the Ionian Sea between Italy, Albania and Greece
the Adriatic Sea between Italy, Slovenia, Croatia, Bosnia and Herzegovina, Montenegro and Albania
the Aegean Sea between Greece and Turkey
Other seas
Some other seas whose names have been in common use from the ancient times, or in the present:
the Sea of Sardinia, between Sardinia and Balearic Islands, as a part of the Balearic Sea
the Sea of Sicily between Sicily and Tunisia
the Libyan Sea between Libya and Crete
In the Aegean Sea,
the Thracian Sea in its north
the Myrtoan Sea between the Cyclades and the Peloponnese
the Sea of Crete north of Crete
the Icarian Sea between Kos and Chios
the Cilician Sea between Turkey and Cyprus
the Levantine Sea at the eastern end of the Mediterranean
Many of these smaller seas feature in local myth and folklore and derive their names from such associations.
Other features
In addition to the seas, a number of gulfs and straits are recognised:
the Saint George Bay in Beirut, Lebanon
the Ras Ibn Hani cape in Latakia, Syria
the Ras al-Bassit cape in northern Syria.
the Minet el-Beida ("White Harbour") bay near ancient Ugarit, Syria
the Strait of Gibraltar, connects the Atlantic Ocean to the Mediterranean Sea and separates Spain from Morocco
the Bay of Algeciras, at the southern end of the Iberian Peninsula
the Gulf of Corinth, an enclosed sea between the Ionian Sea and the Corinth Canal
the Pagasetic Gulf, the gulf of Volos, south of the Thermaic Gulf, formed by the Mount Pelion peninsula
the Saronic Gulf, the gulf of Athens, between the Corinth Canal and the Mirtoan Sea
the Thermaic Gulf, the gulf of Thessaloniki, located in the northern Greek region of Macedonia
the Kvarner Gulf, Croatia
the Gulf of Almeria, southeast of Spain
the Gulf of Lion, south of France
the Gulf of Valencia, east of Spain
the Strait of Messina, between Sicily and Calabrian peninsula
the Gulf of Genoa, northwestern Italy
the Gulf of Venice, northeastern Italy
the Gulf of Trieste, northeastern Italy
the Gulf of Taranto, southern Italy
the Gulf of Saint Euphemia, southern Italy, with the international airport nearby
the Gulf of Salerno, southwestern Italy
the Gulf of Gaeta, southwestern Italy
the Gulf of Squillace, southern Italy
the Strait of Otranto, between Italy and Albania
the Gulf of Haifa, northern Israel
the Gulf of Sidra, between Tripolitania (western Libya) and Cyrenaica (eastern Libya)
the Strait of Sicily, between Sicily and Tunisia
the Corsica Channel, between Corsica and Italy
the Strait of Bonifacio, between Sardinia and Corsica
the Gulf of Antalya, between west and east shores of Antalya (Turkey)
the Gulf of İskenderun, between İskenderun and Adana (Turkey)
the Gulf of İzmir, in İzmir (Turkey)
the Gulf of Fethiye, in Fethiye (Turkey)
the Gulf of Kuşadası, in İzmir (Turkey)
the Bay of Kotor, in south-western Montenegro and south-eastern Croatia
the Malta Channel, between Sicily and Malta
the Gozo Channel, between Malta Island and Gozo
Ten largest islands by area
Climate
Much of the Mediterranean coast enjoys a hot-summer Mediterranean climate. However, most of its southeastern coast has a hot desert climate, and much of Spain's eastern (Mediterranean) coast has a cold semi-arid climate. Although they are rare, tropical cyclones occasionally form in the Mediterranean Sea, typically in September–November.
Sea temperature
Oceanography
Being nearly landlocked affects conditions in the Mediterranean Sea: for instance, tides are very limited as a result of the narrow connection with the Atlantic Ocean. The Mediterranean is characterised and immediately recognised by its deep blue colour.
Evaporation greatly exceeds precipitation and river runoff in the Mediterranean, a fact that is central to the water circulation within the basin. Evaporation is especially high in its eastern half, causing the water level to decrease and salinity to increase eastward. The average salinity in the basin is 38 PSU at 5 m depth.
The temperature of the water in the deepest part of the Mediterranean Sea is .
The net water influx from the Atlantic Ocean is ca. 70,000 m³/s or . Without this Atlantic water, the sea level of the Mediterranean Sea would fall at a rate of about 1 m per year.
General circulation
Water circulation in the Mediterranean can be attributed to the surface waters entering from the Atlantic through the Strait of Gibraltar (and also low salinity water entering the Mediterranean from the Black Sea through the Bosphorus). The cool and relatively low-salinity Atlantic water circulates eastwards along the North African coasts. A part of the surface water does not pass the Strait of Sicily, but deviates towards Corsica before exiting the Mediterranean. The surface waters entering the eastern Mediterranean basin circulate along the Libyan and Israeli coasts. Upon reaching the Levantine Sea, the surface waters having warmed and increased its salinity from its initial Atlantic state, is now denser and sinks to form the Levantine Intermediate Waters (LIW). Most of the water found anywhere between 50 and 600 m deep in the Mediterranean originates from the LIW. LIW are formed along the coasts of Turkey and circulate westwards along the Greek and South Italian coasts. LIW are the only waters passing the Sicily Strait westwards. After the Strait of Sicily, the LIW waters circulate along the Italian, French and Spanish coasts before exiting the Mediterranean through the depths of the Strait of Gibraltar. Deep water in the Mediterranean originates from three main areas: the Adriatic Sea, from which most of the deep water in the eastern Mediterranean originates, the Aegean Sea, and the Gulf of Lion. Deep water formation in the Mediterranean is triggered by strong winter convection fueled by intense cold winds like the Bora. When new deep water is formed, the older waters mix with the overlaying intermediate waters and eventually exit the Mediterranean. The residence time of water in the Mediterranean is approximately 100 years, making the Mediterranean especially sensitive to climate change.
Other events affecting water circulation
Being a semi-enclosed basin, the Mediterranean experiences transitory events that can affect the water circulation on short time scales. In the mid 1990s, the Aegean Sea became the main area for deep water formation in the eastern Mediterranean after particularly cold winter conditions. This transitory switch in the origin of deep waters in the eastern Mediterranean was termed Eastern Mediterranean Transient (EMT) and had major consequences on water circulation of the Mediterranean.
Another example of a transient event affecting the Mediterranean circulation is the periodic inversion of the North Ionian Gyre, which is an anticyclonic ocean gyre observed in the northern part of the Ionian Sea, off the Greek coast. The transition from anticyclonic to cyclonic rotation of this gyre changes the origin of the waters fueling it; when the circulation is anticyclonic (most common), the waters of the gyre originate from the Adriatic Sea. When the circulation is cyclonic, the waters originate from the Levantine Sea. These waters have different physical and chemical characteristics, and the periodic inversion of the North Ionian Gyre (called Bimodal Oscillating System or BiOS) changes the Mediterranean circulation and biogeochemistry around the Adriatic and Levantine regions.
Climate change
Because of the short residence time of waters, the Mediterranean Sea is considered a hot-spot for climate change effects. Deep water temperatures have increased by between 1959 and 1989. According to climate projections, the Mediterranean Sea could become warmer. The decrease in precipitation over the region could lead to more evaporation ultimately increasing the Mediterranean Sea salinity. Because of the changes in temperature and salinity, the Mediterranean Sea may become more stratified by the end of the 21st century, with notable consequences on water circulation and biogeochemistry.
Biogeochemistry
In spite of its great biodiversity, concentrations of chlorophyll and nutrients in the Mediterranean Sea are very low, making it one of the most oligotrophic ocean regions in the world. The Mediterranean Sea is commonly referred to as an LNLC (Low-Nutrient, Low-Chlorophyll) area. The Mediterranean Sea fits the definition of a desert in which its nutrient contents are low, making it difficult for plants and animals to develop.
There are steep gradients in nutrient concentrations, chlorophyll concentrations and primary productivity in the Mediterranean. Nutrient concentrations in the western part of the basin are about double the concentrations in the eastern basin. The Alboran Sea, close to the Strait of Gibraltar, has a daily primary productivity of about 0.25 g C (grams of carbon) m−2 day−1 whereas the eastern basin has an average daily productivity of 0.16 g C m−2 day−1. For this reason, the eastern part of the Mediterranean Sea is termed "ultraoligotrophic". The productive areas of the Mediterranean Sea are few and small. High (i.e. more than 0.5 grams of Chlorophyll a per cubic meter) productivity occurs in coastal areas, close to the river mouths which are the primary suppliers of dissolved nutrients. The Gulf of Lion has a relatively high productivity because it is an area of high vertical mixing, bringing nutrients to the surface waters that can be used by phytoplankton to produce Chlorophyll a.
Primary productivity in the Mediterranean is also marked by an intense seasonal variability. In winter, the strong winds and precipitation over the basin generate vertical mixing, bringing nutrients from the deep waters to the surface, where phytoplankton can convert it into biomass. However, in winter, light may be the limiting factor for primary productivity. Between March and April, spring offers the ideal trade-off between light intensity and nutrient concentrations in surface for a spring bloom to occur. In summer, high atmospheric temperatures lead to the warming of the surface waters. The resulting density difference virtually isolates the surface waters from the rest of the water column and nutrient exchanges are limited. As a consequence, primary productivity is very low between June and October.
Oceanographic expeditions uncovered a characteristic feature of the Mediterranean Sea biogeochemistry: most of the chlorophyll production does not occur on the surface, but in sub-surface waters between 80 and 200 meters deep. Another key characteristic of the Mediterranean is its high nitrogen-to-phosphorus ratio (N:P). Redfield demonstrated that most of the world's oceans have an average N:P ratio around 16. However, the Mediterranean Sea has an average N:P between 24 and 29, which translates a widespread phosphorus limitation.
Because of its low productivity, plankton assemblages in the Mediterranean Sea are dominated by small organisms such as picophytoplankton and bacteria.
Geology
The geologic history of the Mediterranean Sea is complex. Underlain by oceanic crust, the sea basin was once thought to be a tectonic remnant of the ancient Tethys Ocean; it is now known to be a structurally younger basin, called the Neotethys, which was first formed by the convergence of the African and Eurasian plates during the Late Triassic and Early Jurassic. Because it is a near-landlocked body of water in a normally dry climate, the Mediterranean is subject to intensive evaporation and the precipitation of evaporites. The Messinian salinity crisis started about six million years ago (mya) when the Mediterranean became landlocked, and then essentially dried up. There are salt deposits accumulated on the bottom of the basin of more than a million cubic kilometres—in some places more than three kilometres thick.
Scientists estimate that the sea was last filled about 5.3 million years ago (mya) in less than two years by the Zanclean flood. Water poured in from the Atlantic Ocean through a newly breached gateway now called the Strait of Gibraltar at an estimated rate of about three orders of magnitude (one thousand times) larger than the current flow of the Amazon River.
The Mediterranean Sea has an average depth of and the deepest recorded point is in the Calypso Deep in the Ionian Sea. The coastline extends for . A shallow submarine ridge (the Strait of Sicily) between the island of Sicily and the coast of Tunisia divides the sea in two main subregions: the Western Mediterranean, with an area of about 850,000 km2 (330,000 mi2); and the Eastern Mediterranean, of about 1.65 million km2 (640,000 mi2). Coastal areas have submarine karst springs or s, which discharge pressurised groundwater into the water from below the surface; the discharge water is usually fresh, and sometimes may be thermal.
Tectonics and paleoenvironmental analysis
The Mediterranean basin and sea system were established by the ancient African-Arabian continent colliding with the Eurasian continent. As Africa-Arabia drifted northward, it closed over the ancient Tethys Ocean which had earlier separated the two supercontinents Laurasia and Gondwana.
At about that time in the middle Jurassic period (roughly 170 million years ago ) a much smaller sea basin, dubbed the Neotethys, was formed shortly before the Tethys Ocean closed at its western (Arabian) end. The broad line of collisions pushed up a very long system of mountains from the Pyrenees in Spain to the Zagros Mountains in Iran in an episode of mountain-building tectonics known as the Alpine orogeny. The Neotethys grew larger during the episodes of collisions (and associated foldings and subductions) that occurred during the Oligocene and Miocene epochs (34 to 5.33 mya); see animation: Africa-Arabia colliding with Eurasia. Accordingly, the Mediterranean basin consists of several stretched tectonic plates in subduction which are the foundation of the eastern part of the Mediterranean Sea. Various zones of subduction contain the highest oceanic ridges, east of the Ionian Sea and south of the Aegean. The Central Indian Ridge runs east of the Mediterranean Sea south-east across the in-between of Africa and the Arabian Peninsula into the Indian Ocean.
Messinian salinity crisis
During Mesozoic and Cenozoic times, as the northwest corner of Africa converged on Iberia, it lifted the Betic-Rif mountain belts across southern Iberia and northwest Africa. There the development of the intramontane Betic and Rif basins created two roughly parallel marine gateways between the Atlantic Ocean and the Mediterranean Sea. Dubbed the Betic and Rifian corridors, they gradually closed during the middle and late Miocene: perhaps several times. In the late Miocene the closure of the Betic Corridor triggered the so-called "Messinian salinity crisis" (MSC), when the Mediterranean almost entirely dried out. The start of the MSC was recently estimated astronomically at 5.96 mya, and it persisted for some 630,000 years until about 5.3 mya; see Animation: Messinian salinity crisis, at right.
After the initial drawdown and re-flooding, there followed more episodes—the total number is debated—of sea drawdowns and re-floodings for the duration of the MSC. It ended when the Atlantic Ocean last re-flooded the basin—creating the Strait of Gibraltar and causing the Zanclean flood—at the end of the Miocene (5.33 mya). Some research has suggested that a desiccation-flooding-desiccation cycle may have repeated several times, which could explain several events of large amounts of salt deposition. Recent studies, however, show that repeated desiccation and re-flooding is unlikely from a geodynamic point of view.
Desiccation and exchanges of flora and fauna
The present-day Atlantic gateway, the Strait of Gibraltar, originated in the early Pliocene via the Zanclean Flood. As mentioned, there were two earlier gateways: the Betic Corridor across southern Spain and the Rifian Corridor across northern Morocco. The Betic closed about 6 mya, causing the Messinian salinity crisis (MSC); the Rifian or possibly both gateways closed during the earlier Tortonian times, causing a "Tortonian salinity crisis" (from 11.6 to 7.2 mya), long before the MSC and lasting much longer. Both "crises" resulted in broad connections between the mainlands of Africa and Europe, which allowed migrations of flora and fauna—especially large mammals including primates—between the two continents. The Vallesian crisis indicates a typical extinction and replacement of mammal species in Europe during Tortonian times following climatic upheaval and overland migrations of new species: see Animation: Messinian salinity crisis (and mammal migrations), at right.
The almost complete enclosure of the Mediterranean basin has enabled the oceanic gateways to dominate seawater circulation and the environmental evolution of the sea and basin. Circulation patterns are also affected by several other factors—including climate, bathymetry, and water chemistry and temperature—which are interactive and can induce precipitation of evaporites. Deposits of evaporites accumulated earlier in the nearby Carpathian foredeep during the Middle Miocene, and the adjacent Red Sea Basin (during the Late Miocene), and in the whole Mediterranean basin (during the MSC and the Messinian age). Many diatomites are found underneath the evaporite deposits, suggesting a connection between their formations.
Today, evaporation of surface seawater (output) is more than the supply (input) of fresh water by precipitation and coastal drainage systems, causing the salinity of the Mediterranean to be much higher than that of the Atlantic—so much so that the saltier Mediterranean waters sink below the waters incoming from the Atlantic, causing a two-layer flow across the Strait of Gibraltar: that is, an outflow submarine current of warm saline Mediterranean water, counterbalanced by an inflow surface current of less saline cold oceanic water from the Atlantic. In the 1920s, Herman Sörgel proposed the building of a hydroelectric dam (the Atlantropa project) across the Straits, using the inflow current to provide a large amount of hydroelectric energy. The underlying energy grid was also intended to support a political union between Europe and, at least, the Maghreb part of Africa (compare Eurafrika for the later impact and Desertec for a later project with some parallels in the planned grid).
Shift to a "Mediterranean climate"
The end of the Miocene also marked a change in the climate of the Mediterranean basin. Fossil evidence from that period reveals that the larger basin had a humid subtropical climate with rainfall in the summer supporting laurel forests. The shift to a "Mediterranean climate" occurred largely within the last three million years (the late Pliocene epoch) as summer rainfall decreased. The subtropical laurel forests retreated; and even as they persisted on the islands of Macaronesia off the Atlantic coast of Iberia and North Africa, the present Mediterranean vegetation evolved, dominated by coniferous trees and sclerophyllous trees and shrubs with small, hard, waxy leaves that prevent moisture loss in the dry summers. Much of these forests and shrublands have been altered beyond recognition by thousands of years of human habitation. There are now very few relatively intact natural areas in what was once a heavily wooded region.
Paleoclimate
Because of its latitude and its landlocked position, the Mediterranean is especially sensitive to astronomically induced climatic variations, which are well documented in its sedimentary record. Since the Mediterranean is subject to the deposition of eolian dust from the Sahara during dry periods, whereas riverine detrital input prevails during wet ones, the Mediterranean marine sapropel-bearing sequences provide high-resolution climatic information. These data have been employed in reconstructing astronomically calibrated time scales for the last 9 Ma of the Earth's history, helping to constrain the time of past geomagnetic reversals. Furthermore, the exceptional accuracy of these paleoclimatic records has improved our knowledge of the Earth's orbital variations in the past.
Biodiversity
Unlike the vast multidirectional ocean currents in open oceans within their respective oceanic zones; biodiversity in the Mediterranean Sea is that of a stable one due to the subtle but strong locked nature of currents which affects favorably, even the smallest macroscopic type of volcanic life form. The stable marine ecosystem of the Mediterranean Sea and sea temperature provides a nourishing environment for life in the deep sea to flourish while assuring a balanced aquatic ecosystem excluded from any external deep oceanic factors. It is estimated that there are more than 17,000 marine species in the Mediterranean Sea with generally higher marine biodiversity in coastal areas, continental shelves, and decreases with depth.
As a result of the drying of the sea during the Messinian salinity crisis, the marine biota of the Mediterranean are derived primarily from the Atlantic Ocean. The North Atlantic is considerably colder and more nutrient-rich than the Mediterranean, and the marine life of the Mediterranean has had to adapt to its differing conditions in the five million years since the basin was reflooded.
The Alboran Sea is a transition zone between the two seas, containing a mix of Mediterranean and Atlantic species. The Alboran Sea has the largest population of bottlenose dolphins in the Western Mediterranean, is home to the last population of harbour porpoises in the Mediterranean, and is the most important feeding grounds for loggerhead sea turtles in Europe. The Alboran Sea also hosts important commercial fisheries, including sardines and swordfish. The Mediterranean monk seals live in the Aegean Sea in Greece. In 2003, the World Wildlife Fund raised concerns about the widespread drift net fishing endangering populations of dolphins, turtles, and other marine animals such as the spiny squat lobster.
There was a resident population of killer whale in the Mediterranean until the 1980s, when they went extinct, probably due to longterm PCB exposure. There are still annual sightings of killer whale vagrants.
Environmental issues
For 4,000 years, human activity has transformed most parts of Mediterranean Europe, and the "humanisation of the landscape" overlapped with the appearance of the present Mediterranean climate. The image of a simplistic, environmental determinist notion of a Mediterranean paradise on Earth in antiquity, which was destroyed by later civilisations, dates back to at least the 18th century and was for centuries fashionable in archaeological and historical circles. Based on a broad variety of methods, e.g. historical documents, analysis of trade relations, floodplain sediments, pollen, tree-ring and further archaeometric analyses and population studies, Alfred Thomas Grove's and Oliver Rackham's work on "The Nature of Mediterranean Europe" challenges this common wisdom of a Mediterranean Europe as a "Lost Eden", a formerly fertile and forested region, that had been progressively degraded and desertified by human mismanagement. The belief stems more from the failure of the recent landscape to measure up to the imaginary past of the classics as idealised by artists, poets and scientists of the early modern Enlightenment.
The historical evolution of climate, vegetation and landscape in southern Europe from prehistoric times to the present is much more complex and underwent various changes. For example, some of the deforestation had already taken place before the Roman age. While in the Roman age large enterprises such as the latifundia took effective care of forests and agriculture, the largest depopulation effects came with the end of the empire. Some assume that the major deforestation took place in modern times—the later usage patterns were also quite different e.g. in southern and northern Italy. Also, the climate has usually been unstable and there is evidence of various ancient and modern "Little Ice Ages", and plant cover accommodated to various extremes and became resilient to various patterns of human activity.
Human activity was therefore not the cause of climate change but followed it. The wide ecological diversity typical of Mediterranean Europe is predominantly based on human behavior, as it is and has been closely related human usage patterns. The diversity range was enhanced by the widespread exchange and interaction of the longstanding and highly diverse local agriculture, intense transport and trade relations, and the interaction with settlements, pasture and other land use. The greatest human-induced changes, however, came after World War II, in line with the "1950s syndrome" as rural populations throughout the region abandoned traditional subsistence economies. Grove and Rackham suggest that the locals left the traditional agricultural patterns and instead became scenery-setting agents for tourism. This resulted in more uniform, large-scale formations. Among further current important threats to Mediterranean landscapes are overdevelopment of coastal areas, abandonment of mountains and, as mentioned, the loss of variety via the reduction of traditional agricultural occupations.
Natural hazards
The region has a variety of geological hazards which have closely interacted with human activity and land use patterns. Among others, in the eastern Mediterranean, the Thera eruption, dated to the 17th or 16th century BC, caused a large tsunami that some experts hypothesise devastated the Minoan civilisation on the nearby island of Crete, further leading some to believe that this may have been the catastrophe that inspired the Atlantis legend. Mount Vesuvius is the only active volcano on the European mainland, while others, Mount Etna and Stromboli, are on neighbouring islands. The region around Vesuvius including the Phlegraean Fields Caldera west of Naples are quite active and constitute the most densely populated volcanic region in the world where an eruptive event may occur within decades.
Vesuvius itself is regarded as quite dangerous due to a tendency towards explosive (Plinian) eruptions. It is best known for its eruption in AD 79 that led to the burying and destruction of the Roman cities of Pompeii and Herculaneum.
The large experience of member states and regional authorities has led to exchange on the international level with cooperation of NGOs, states, regional and municipality authorities and private persons. The Greek–Turkish earthquake diplomacy is a quite positive example of natural hazards leading to improved relations between traditional rivals in the region after earthquakes in İzmir and Athens in 1999. The European Union Solidarity Fund (EUSF) was set up to respond to major natural disasters and express European solidarity to disaster-stricken regions within all of Europe. The largest amount of funding requests in the EU relates to forest fires, followed by floods and earthquakes. Forest fires, whether man made or natural, are a frequent and dangerous hazard in the Mediterranean region. Tsunamis are also an often underestimated hazard in the region. For example, the 1908 Messina earthquake and tsunami took more than 123,000 lives in Sicily and Calabria and was among the most deadly natural disasters in modern Europe.
Invasive species
The opening of the Suez Canal in 1869 created the first salt-water passage between the Mediterranean and the Red Sea. The Red Sea is higher than the Eastern Mediterranean, so the canal functions as a tidal strait that pours Red Sea water into the Mediterranean. The Bitter Lakes, which are hyper-saline natural lakes that form part of the canal, blocked the migration of Red Sea species into the Mediterranean for many decades, but as the salinity of the lakes gradually equalised with that of the Red Sea, the barrier to migration was removed, and plants and animals from the Red Sea have begun to colonise the Eastern Mediterranean. The Red Sea is generally saltier and more nutrient-poor than the Atlantic, so the Red Sea species have advantages over Atlantic species in the salty and nutrient-poor Eastern Mediterranean. Accordingly, Red Sea species invade the Mediterranean biota, and not vice versa; this phenomenon is known as the Lessepsian migration (after Ferdinand de Lesseps, the French engineer) or Erythrean ("red") invasion. The construction of the Aswan High Dam across the Nile River in the 1960s reduced the inflow of freshwater and nutrient-rich silt from the Nile into the Eastern Mediterranean, making conditions there even more like the Red Sea and worsening the impact of the invasive species.
Invasive species have become a major component of the Mediterranean ecosystem and have serious impacts on the Mediterranean ecology, endangering many local and endemic Mediterranean species. A first look at some groups of exotic species shows that more than 70% of the non-indigenous decapods and about 63% of the exotic fishes occurring in the Mediterranean are of Indo-Pacific origin, introduced into the Mediterranean through the Suez Canal. This makes the Canal the first pathway of arrival of alien species into the Mediterranean. The impacts of some Lessepsian species have proven to be considerable, mainly in the Levantine basin of the Mediterranean, where they are replacing native species and becoming a familiar sight.
According to the International Union for Conservation of Nature definition, as well as Convention on Biological Diversity (CBD) and Ramsar Convention terminologies, they are alien species, as they are non-native (non-indigenous) to the Mediterranean Sea, and they are outside their normal area of distribution which is the Indo-Pacific region. When these species succeed in establishing populations in the Mediterranean Sea, compete with and begin to replace native species they are "Alien Invasive Species", as they are an agent of change and a threat to the native biodiversity. In the context of CBD, "introduction" refers to the movement by human agency, indirect or direct, of an alien species outside of its natural range (past or present). The Suez Canal, being an artificial (man made) canal, is a human agency. Lessepsian migrants are therefore "introduced" species (indirect, and unintentional). Whatever wording is chosen, they represent a threat to the native Mediterranean biodiversity, because they are non-indigenous to this sea. In recent years, the Egyptian government's announcement of its intentions to deepen and widen the canal have raised concerns from marine biologists, fearing that such an act will only worsen the invasion of Red Sea species into the Mediterranean, and lead to even more species passing through the canal.
Arrival of new tropical Atlantic species
In recent decades, the arrival of exotic species from the tropical Atlantic has become noticeable. Whether this reflects an expansion of the natural area of these species that now enter the Mediterranean through the Gibraltar strait, because of a warming trend of the water caused by global warming; or an extension of the maritime traffic; or is simply the result of a more intense scientific investigation, is still an open question. While not as intense as the "Lessepsian" movement, the process may be of scientific interest and may therefore warrant increased levels of monitoring.
Sea-level rise
By 2100 the overall level of the Mediterranean could rise between as a result of the effects of climate change. This could have adverse effects on populations across the Mediterranean:
Rising sea levels will submerge parts of Malta. Rising sea levels will also mean rising salt water levels in Malta's groundwater supply and reduce the availability of drinking water.
A rise in sea level would flood of the Nile Delta, displacing over 500,000 Egyptians.
Cyprus wetlands are also in danger of being destroyed by the rising temperatures and sea levels.
Coastal ecosystems also appear to be threatened by sea level rise, especially enclosed seas such as the Baltic, the Mediterranean and the Black Sea. These seas have only small and primarily east–west movement corridors, which may restrict northward displacement of organisms in these areas. Sea level rise for the next century (2100) could be between and and temperature shifts of a mere 0.05–0.1 °C in the deep sea are sufficient to induce significant changes in species richness and functional diversity.
Pollution
Pollution in this region has been extremely high in recent years. The United Nations Environment Programme has estimated that of sewage, of mineral oil, of mercury, of lead and of phosphates are dumped into the Mediterranean each year. The Barcelona Convention aims to 'reduce pollution in the Mediterranean Sea and protect and improve the marine environment in the area, thereby contributing to its sustainable development.'
Many marine species have been almost wiped out because of the sea's pollution. One of them is the Mediterranean monk seal which is considered to be among the world's most endangered marine mammals.
The Mediterranean is also plagued by marine debris. A 1994 study of the seabed using trawl nets around the coasts of Spain, France and Italy reported a particularly high mean concentration of debris; an average of 1,935 items per km2. Plastic debris accounted for 76%, of which 94% was plastic bags.
Shipping
Some of the world's busiest shipping routes are in the Mediterranean Sea. In particular, the Maritime Silk Road from Asia and Africa leads through the Suez Canal directly into the Mediterranean Sea to its deep-water ports in Piraeus, Trieste, Genoa, Marseilles and Barcelona. It is estimated that approximately 220,000 merchant vessels of more than 100 tonnes cross the Mediterranean Sea each year—about one third of the world's total merchant shipping. These ships often carry hazardous cargo, which if lost would result in severe damage to the marine environment.
The discharge of chemical tank washings and oily wastes also represent a significant source of marine pollution. The Mediterranean Sea constitutes 0.7% of the global water surface and yet receives 17% of global marine oil pollution. It is estimated that every year between and of crude oil are deliberately released into the sea from shipping activities.
Approximately of oil are transported annually in the Mediterranean Sea (more than 20% of the world total), with around 250–300 oil tankers crossing the sea every day. An important destination is the Port of Trieste, the starting point of the Transalpine Pipeline, which covers 40% of Germany's oil demand (100% of the federal states of Bavaria and Baden-Württemberg), 90% of Austria and 50% of the Czech Republic. Accidental oil spills happen frequently with an average of 10 spills per year. A major oil spill could occur at any time in any part of the Mediterranean.
Tourism
The coast of the Mediterranean has been used for tourism since ancient times, as the Roman villa buildings on the Amalfi Coast or in Barcola show. From the end of the 19th century, in particular, the beaches became places of longing for many Europeans and travelers. From then on, and especially after World War II, mass tourism to the Mediterranean began with all its advantages and disadvantages. While initially, the journey was by train and later by bus or car, today the plane is increasingly used.
Tourism is today one of the most important sources of income for many Mediterranean countries, despite the man-made geopolitical conflicts in the region. The countries have tried to extinguish rising man-made chaotic zones that might affect the region's economies and societies in neighboring coastal countries, and shipping routes. Naval and rescue components in the Mediterranean Sea are considered to be among the best due to the rapid cooperation between various naval fleets. Unlike the vast open oceans, the sea's closed position facilitates effective naval and rescue missions, considered the safest and regardless of any man-made or natural disaster.
Tourism is a source of income for small coastal communities, including islands, independent of urban centers. However, tourism has also played major role in the degradation of the coastal and marine environment. Rapid development has been encouraged by Mediterranean governments to support the large numbers of tourists visiting the region; but this has caused serious disturbance to marine habitats by erosion and pollution in many places along the Mediterranean coasts.
Tourism often concentrates in areas of high natural wealth, causing a serious threat to the habitats of endangered species such as sea turtles and monk seals. Reductions in natural wealth may reduce the incentive for tourists to visit.
Overfishing
Fish stock levels in the Mediterranean Sea are alarmingly low. The European Environment Agency says that more than 65% of all fish stocks in the region are outside safe biological limits and the United Nations Food and Agriculture Organisation, that some of the most important fisheries—such as albacore and bluefin tuna, hake, marlin, swordfish, red mullet and sea bream—are threatened.
There are clear indications that catch size and quality have declined, often dramatically, and in many areas larger and longer-lived species have disappeared entirely from commercial catches.
Large open water fish like tuna have been a shared fisheries resource for thousands of years but the stocks are now dangerously low. In 1999, Greenpeace published a report revealing that the amount of bluefin tuna in the Mediterranean had decreased by over 80% in the previous 20 years and government scientists warn that without immediate action the stock will collapse.
Gallery
See also
, the site of the Mediterranean cultures
Names of the Mediterranean Sea
– Early cartographer of the Mediterranean
– also known as the Japanese Mediterranean Sea
References
External links
Mediterranean Sea Microorganisms: 180+ images of Foraminifera
Eastern Mediterranean Sea Long Term Ecological Research Station
European seas
Geography of North Africa
Marginal seas of the Atlantic Ocean
Marine ecoregions
Natural history of Europe
Articles containing video clips
Seas of Africa
Seas of Asia |
19007 | https://en.wikipedia.org/wiki/Mercury | Mercury | Mercury most often refers to:
Mercury (planet), the nearest planet to the Sun
Mercury (element), a metallic chemical element with the symbol 'Hg'
Mercury (mythology), a Roman god
Mercury may also refer to:
Companies
Mercury (toy manufacturer), a brand of diecast toy cars manufactured in Italy
Mercury Communications, a British telecommunications firm set up in the 1980s
Mercury Drug, a Philippine pharmacy chain
Mercury Energy, an electricity generation and retail company in New Zealand
Mercury Filmworks, a Canadian independent animation studio.
Mercury General, a multiple-line American insurance organization
Mercury Interactive, a software testing tools vendor
Mercury Marine, a manufacturer of marine engines, particularly outboard motors
Mercury Systems, a defense-related information technology company
Computing
Mercury (programming language), a functional logic programming language
Mercury (metadata search system), a data search system for earth science research
Ferranti Mercury, an early 1950s commercial computer
Mercury Browser, a freeware mobile browser
Mercury Mail Transport System, an email server
Film and television
Mercury (film), a 2018 Indian silent horror thriller by Karthik Subbaraj
Mercury (TV series), an Australian television series
Mercury, a fictional town in Young Adult
Mercury Black, a character in the RWBY web series
Sailor Mercury, a character in the Sailor Moon manga and anime franchise
Literature
Comics
Mercury (Marvel Comics), a character who can turn herself into a mercurial substance
Makkari (comics) or Mercury, an Eternal, a Marvel comics race of superhumans
Mercury, a member of the Metal Men, a DC comics team
Mercury, a member of Cerebro's X-Men
Mercury, an Amalgam Comics character
Magazines
Mercury (magazine), an astronomy magazine
Newspapers
The Mercury (Hobart), Tasmania, Australia
The Mercury (South Africa), Durban
The Mercury (Pennsylvania), USA
Mercury (Newport), Rhode Island, USA
List of newspapers named Mercury, for newspapers whose titles include that word
Novels
Mercury (Bova novel), a novel by Ben Bova
Mercury (Livesey novel), a novel by Margot Livesey
Mercury, a novel by Anna Kavan
Music
Mercury Nashville, a record label
Mercury Records, a record label
Mercury Prize, an annual music prize awarded for the best album from the United Kingdom
"Mercury, the Winged Messenger", a movement in Gustav Holst's The Planets
Albums
Mercury (American Music Club album) (1993)
Mercury (Longview album) (2003)
Mercury (Madder Mortem album) (1999)
Mercury – Act 1 (2021), by Imagine Dragons
Songs
"Mercury" (song), a 2008 song by Bloc Party
"Mercury", a song by Counting Crows from Recovering the Satellites
"Mercury", a song by Kathleen Edwards from Failer
"Mercury", a song by Sufjan Stevens, Bryce Dessner, Nico Muhly and James McAlister from Planetarium
Military
Operation Mercury, codename for the German invasion of Crete during World War II
Boeing E-6 Mercury, an American aircraft used as an airborne command post and communications relay
Miles Mercury, a British aircraft designed during the Second World War
, various vessels or shore establishments of that name
, seven vessels of that name
, an 1820 warship
Mercury (pigeon), honored for bravery during World War II
People
Mercury (name), including a list of people with that surname or given name
Places
Mercury, Savoie, a commune in southeastern France
Mercury Bay, New Zealand
Mercury, a place in Alabama
Mercury, Nevada, a closed city within the Nevada Test Site, United States
Mercury, Texas, United States
Plants
Mercury (plant), members of the plant genus Mercurialis
Annual mercury (Mercurialis annua), a species of flowering plant
Blitum bonus-henricus, English mercury, or mercury goosefoot, a species of goosefoot
Radio
Mercury FM, a radio station in Surrey, United Kingdom
Heart Hertfordshire or Mercury 96.6, a radio station in Hertfordshire, United Kingdom
Sports
Edmonton Mercurys, a 1940s and 1950s intermediate ice hockey team from Canada
Fujita Soccer Club Mercury, a Japanese women's football team active from 1989 to 1999
Memphis Mercury, American women's soccer team
Phoenix Mercury, a Women's National Basketball Association team from Arizona, United States
Toledo Mercurys, a defunct International Hockey League franchise from Ohio, United States
Vehicles
Air
Blackburn Mercury, a British aircraft from 1911
Bristol Mercury, a nine-cylinder aircraft engine
Land
Mercury (automobile), brand of automobiles produced by the Ford Motor Company from 1938 to 2011
Mercury (cyclecar), an American cyclecar from 1914
Mercury (train), a family of New York Central streamliner passenger trains (1936–1958)
Sea
, several ships of that name
Cape Cod Mercury 15, an American sailboat design
Mercury 18, an American sailboat design
Other uses
Archer Maclean's Mercury, a 2005 PlayStation Portable video game
Mercury (cipher machine), a 1950s British cipher machine
Mercury (satellite), a series of American spy satellites
Mercury Boulevard in Virginia, United States
Mercury Cinema, a theatre in Adelaide, Australia
Project Mercury, a United States human spaceflight program, 1958–1963
Shuttle America's callsign
The Mercury Mall, a shopping centre in Romford, England
See also
The American Mercury, an American magazine published from 1924 to 1981
Mercuri, a surname and list of people with the surname
Mercury 1 (disambiguation)
Mercury 2 (disambiguation)
Mercury 3 (disambiguation)
Mercury 4 (disambiguation)
Mercury 5 (disambiguation)
Mercury 6 (disambiguation)
Mercury 7 (disambiguation)
Mercury 8 (disambiguation)
Mercury City (disambiguation)
Mercury FM (disambiguation)
Mercury House (disambiguation)
Mercury mission (disambiguation)
Mercury program (disambiguation)
Mercury project (disambiguation) |
19009 | https://en.wikipedia.org/wiki/Milgram%20experiment | Milgram experiment | The Milgram experiment(s) on obedience to authority figures was a series of social psychology experiments conducted by Yale University psychologist Stanley Milgram. They measured the willingness of study participants, men in the age range of 20 to 50 from a diverse range of occupations with varying levels of education, to obey an authority figure who instructed them to perform acts conflicting with their personal conscience. Participants were led to believe that they were assisting an unrelated experiment, in which they had to administer electric shocks to a "learner". These fake electric shocks gradually increased to levels that would have been fatal had they been real.
The experiment found, unexpectedly, that a very high proportion of subjects would fully obey the instructions, albeit reluctantly. Milgram first described his research in a 1963 article in the Journal of Abnormal and Social Psychology and later discussed his findings in greater depth in his 1974 book, Obedience to Authority: An Experimental View.
The experiments began in July 1961, in the basement of Linsly-Chittenden Hall at Yale University, three months after the start of the trial of German Nazi war criminal Adolf Eichmann in Jerusalem. Milgram devised his psychological study to explain the psychology of genocide and answer the popular contemporary question: "Could it be that Eichmann and his million accomplices in the Holocaust were just following orders? Could we call them all accomplices?" The experiment was repeated many times around the globe, with fairly consistent results.
Procedure
Three individuals took part in each session of the experiment:
The "experimenter", who was in charge of the session.
The "teacher", a volunteer for a single session. The "teachers" were led to believe that they were merely assisting, whereas they were actually the subjects of the experiment.
The "learner", an actor and confederate of the experimenter, who pretended to be a volunteer.
The subject and the actor arrived at the session together. The experimenter told them that they were taking part in "a scientific study of memory and learning", to see what the effect of punishment is on a subject's ability to memorize content. Also, he always clarified that the payment for their participation in the experiment was secured regardless of its development. The subject and actor drew slips of paper to determine their roles. Unknown to the subject, both slips said "teacher". The actor would always claim to have drawn the slip that read "learner", thus guaranteeing that the subject would always be the "teacher".
Next, the teacher and learner were taken into an adjacent room where the learner was strapped into what appeared to be an electric chair. The experimenter, dressed in a lab coat in order to appear to have more authority, told the participants this was to ensure that the learner would not escape. In a later variation of the experiment, the confederate would eventually plead for mercy and yell that he had a heart condition. At some point prior to the actual test, the teacher was given a sample electric shock from the electroshock generator in order to experience firsthand what the shock that the learner would supposedly receive during the experiment would feel like.
The teacher and learner were then separated so that they could communicate, but not see each other. The teacher was then given a list of word pairs that he was to teach the learner. The teacher began by reading the list of word pairs to the learner. The teacher would then read the first word of each pair and read four possible answers. The learner would press a button to indicate his response. If the answer was incorrect, the teacher would administer a shock to the learner, with the voltage increasing in 15-volt increments for each wrong answer (if correct, the teacher would read the next word pair.) The volts ranged from 15 to 450. The shock generator included verbal markings that vary from Slight Shock to Danger: Severe Shock.
The subjects believed that for each wrong answer the learner was receiving actual shocks. In reality, there were no shocks. After the learner was separated from the teacher, the learner set up a tape recorder integrated with the electroshock generator, which played previously recorded sounds for each shock level. As the voltage of the fake shocks increased, the learner began making audible protests, such as banging repeatedly on the wall that separated him from the teacher. In every condition the learner makes/says a predetermined sound or word. When the highest voltages were reached, the learner fell silent.
If at any time the teacher indicated a desire to halt the experiment, the experimenter was instructed to give specific verbal prods. The prods were, in this order:
Please continue or Please go on.
The experiment requires that you continue.
It is absolutely essential that you continue.
You have no other choice; you must go on.
Prod 2 could only be used if prod 1 was unsuccessful. If the subject still wished to stop after all four successive verbal prods, the experiment was halted. Otherwise, the experiment was halted after the subject had elicited the maximum 450-volt shock three times in succession.
The experimenter also had prods to use if the teacher made specific comments. If the teacher asked whether the learner might suffer permanent physical harm, the experimenter replied, "Although the shocks may be painful, there is no permanent tissue damage, so please go on." If the teacher said that the learner clearly wants to stop, the experimenter replied, "Whether the learner likes it or not, you must go on until he has learned all the word pairs correctly, so please go on."
Predictions
Before conducting the experiment, Milgram polled fourteen Yale University senior-year psychology majors to predict the behavior of 100 hypothetical teachers. All of the poll respondents believed that only a very small fraction of teachers (the range was from zero to 3 out of 100, with an average of 1.2) would be prepared to inflict the maximum voltage. Milgram also informally polled his colleagues and found that they, too, believed very few subjects would progress beyond a very strong shock. He also reached out to honorary Harvard University graduate Chaim Homnick, who noted that this experiment would not be concrete evidence of the Nazis' innocence, due to fact that "poor people are more likely to cooperate". Milgram also polled forty psychiatrists from a medical school, and they believed that by the tenth shock, when the victim demands to be free, most subjects would stop the experiment. They predicted that by the 300-volt shock, when the victim refuses to answer, only 3.73 percent of the subjects would still continue, and they believed that "only a little over one-tenth of one percent of the subjects would administer the highest shock on the board."
Milgram suspected before the experiment that the obedience exhibited by Nazis reflected a distinct German character, and planned to use the American participants as a control group before using German participants, expected to behave closer to the Nazis. However, the unexpected results stopped him from conducting the same experiment on German participants.
Results
In Milgram's first set of experiments, 65 percent (26 of 40) of experiment participants administered the experiment's final massive 450-volt shock, and all administered shocks of at least 300 volts. Subjects were uncomfortable doing so, and displayed varying degrees of tension and stress. These signs included sweating, trembling, stuttering, biting their lips, groaning, and digging their fingernails into their skin, and some were even having nervous laughing fits or seizures. 14 of the 40 subjects showed definite signs of nervous laughing or smiling. Every participant paused the experiment at least once to question it. Most continued after being assured by the experimenter. Some said they would refund the money they were paid for participating.
Milgram summarized the experiment in his 1974 article "The Perils of Obedience", writing:
The original Simulated Shock Generator and Event Recorder, or shock box, is located in the Archives of the History of American Psychology.
Later, Milgram and other psychologists performed variations of the experiment throughout the world, with similar results. Milgram later investigated the effect of the experiment's locale on obedience levels by holding an experiment in an unregistered, backstreet office in a bustling city, as opposed to at Yale, a respectable university. The level of obedience, "although somewhat reduced, was not significantly lower." What made more of a difference was the proximity of the "learner" and the experimenter. There were also variations tested involving groups.
Thomas Blass of the University of Maryland, Baltimore County performed a meta-analysis on the results of repeated performances of the experiment. He found that while the percentage of participants who are prepared to inflict fatal voltages ranged from 28% to 91%, there was no significant trend over time and the average percentage for US studies (61%) was close to the one for non-US studies (66%).
The participants who refused to administer the final shocks neither insisted that the experiment be terminated, nor left the room to check the health of the victim without requesting permission to leave, as per Milgram's notes and recollections, when fellow psychologist Philip Zimbardo asked him about that point.
Milgram created a documentary film titled Obedience showing the experiment and its results. He also produced a series of five social psychology films, some of which dealt with his experiments.
Critical reception
Ethics
The Milgram Shock Experiment raised questions about the research ethics of scientific experimentation because of the extreme emotional stress and inflicted insight suffered by the participants. Some critics such as Gina Perry argued that participants were not properly debriefed. In Milgram's defense, 84 percent of former participants surveyed later said they were "glad" or "very glad" to have participated; 15 percent chose neutral responses (92% of all former participants responding). Many later wrote expressing thanks. Milgram repeatedly received offers of assistance and requests to join his staff from former participants. Six years later (at the height of the Vietnam War), one of the participants in the experiment wrote to Milgram, explaining why he was glad to have participated despite the stress:
On June 10, 1964, the American Psychologist published a brief but influential article by Diana Baumrind titled "Some Thoughts on Ethics of Research: After Reading Milgram's' Behavioral Study of Obedience.'" Baumrind's criticisms of the treatment of human participants in Milgram's studies stimulated a thorough revision of the ethical standards of psychological research. She argued that even though Milgram had obtained informed consent, he was still ethically responsible to ensure their well-being. When participants displayed signs of distress such as sweating and trembling, the experimenter should have stepped in and halted the experiment.
In his book published in 1974 Obedience to Authority: An Experimental View, Milgram argued that the ethical criticism provoked by his experiments was because his findings were disturbing and revealed unwelcome truths about human nature. Others have argued that the ethical debate has diverted attention from more serious problems with the experiment's methodology.
Applicability to the Holocaust
Milgram sparked direct critical response in the scientific community by claiming that "a common psychological process is centrally involved in both [his laboratory experiments and Nazi Germany] events." James Waller, chair of Holocaust and Genocide Studies at Keene State College, formerly chair of Whitworth College Psychology Department, expressed the opinion that Milgram experiments do not correspond well to the Holocaust events:
The subjects of Milgram experiments, wrote James Waller (Becoming Evil), were assured in advance that no permanent physical damage would result from their actions. However, the Holocaust perpetrators were fully aware of their hands-on killing and maiming of the victims.
The laboratory subjects themselves did not know their victims and were not motivated by racism or other biases. On the other hand, the Holocaust perpetrators displayed an intense devaluation of the victims through a lifetime of personal development.
Those serving punishment at the lab were not sadists, nor hate-mongers, and often exhibited great anguish and conflict in the experiment, unlike the designers and executioners of the Final Solution, who had a clear "goal" on their hands, set beforehand.
The experiment lasted for an hour, with no time for the subjects to contemplate the implications of their behavior. Meanwhile, the Holocaust lasted for years with ample time for a moral assessment of all individuals and organizations involved.
In the opinion of Thomas Blass—who is the author of a scholarly monograph on the experiment (The Man Who Shocked The World) published in 2004—the historical evidence pertaining to actions of the Holocaust perpetrators speaks louder than words:
Validity
In a 2004 issue of the journal Jewish Currents, Joseph Dimow, a participant in the 1961 experiment at Yale University, wrote about his early withdrawal as a "teacher", suspicious "that the whole experiment was designed to see if ordinary Americans would obey immoral orders, as many Germans had done during the Nazi period."
In 2012 Australian psychologist Gina Perry investigated Milgram's data and writings and concluded that Milgram had manipulated the results, and that there was a "troubling mismatch between (published) descriptions of the experiment and evidence of what actually transpired." She wrote that "only half of the people who undertook the experiment fully believed it was real and of those, 66% disobeyed the experimenter". She described her findings as "an unexpected outcome" that "leaves social psychology in a difficult situation."
In a book review critical of Gina Perry's findings, Nestar Russell and John Picard take issue with Perry for not mentioning that "there have been well over a score, not just several, replications or slight variations on Milgram’s basic experimental procedure, and these have been performed in many different countries, several different settings and using different types of victims. And most, although certainly not all of these experiments have tended to lend weight to Milgram's original findings."
Interpretations
Milgram elaborated two theories:
The first is the theory of conformism, based on Solomon Asch conformity experiments, describing the fundamental relationship between the group of reference and the individual person. A subject who has neither ability nor expertise to make decisions, especially in a crisis, will leave decision making to the group and its hierarchy. The group is the person's behavioral model.
The second is the agentic state theory, wherein, per Milgram, "the essence of obedience consists in the fact that a person comes to view themselves as the instrument for carrying out another person's wishes, and they therefore no longer see themselves as responsible for their actions. Once this critical shift of viewpoint has occurred in the person, all of the essential features of obedience follow".
Alternative interpretations
In his book Irrational Exuberance, Yale finance professor Robert J. Shiller argues that other factors might be partially able to explain the Milgram Experiments:
In a 2006 experiment, a computerized avatar was used in place of the learner receiving electrical shocks. Although the participants administering the shocks were aware that the learner was unreal, the experimenters reported that participants responded to the situation physiologically "as if it were real".
Another explanation of Milgram's results invokes belief perseverance as the underlying cause. What "people cannot be counted on is to realize that a seemingly benevolent authority is in fact malevolent, even when they are faced with overwhelming evidence which suggests that this authority is indeed malevolent. Hence, the underlying cause for the subjects' striking conduct could well be conceptual, and not the alleged 'capacity of man to abandon his humanity ... as he merges his unique personality into larger institutional structures."'
This last explanation receives some support from a 2009 episode of the BBC science documentary series Horizon, which involved replication of the Milgram experiment. Of the twelve participants, only three refused to continue to the end of the experiment. Speaking during the episode, social psychologist Clifford Stott discussed the influence that the idealism of scientific inquiry had on the volunteers. He remarked: "The influence is ideological. It's about what they believe science to be, that science is a positive product, it produces beneficial findings and knowledge to society that are helpful for society. So there's that sense of science is providing some kind of system for good."
Building on the importance of idealism, some recent researchers suggest the "engaged followership" perspective. Based on an examination of Milgram's archive, in a recent study, social psychologists Alexander Haslam, Stephen Reicher and Megan Birney, at the University of Queensland, discovered that people are less likely to follow the prods of an experimental leader when the prod resembles an order. However, when the prod stresses the importance of the experiment for science (i.e. "The experiment requires you to continue"), people are more likely to obey. The researchers suggest the perspective of "engaged followership": that people are not simply obeying the orders of a leader, but instead are willing to continue the experiment because of their desire to support the scientific goals of the leader and because of a lack of identification with the learner. Also a neuroscientific study supports this perspective, namely that watching the learner receive electric shocks does not activate brain regions involving empathic concerns.
Replications and variations
Milgram's variations
In Obedience to Authority: An Experimental View (1974), Milgram describes 19 variations of his experiment, some of which had not been previously reported.
Several experiments varied the distance between the participant (teacher) and the learner. Generally, when the participant was physically closer to the learner, the participant's compliance decreased. In the variation where the learner's physical immediacy was closest—where the participant had to hold the learner's arm onto a shock plate—30 percent of participants completed the experiment. The participant's compliance also decreased if the experimenter was physically farther away (Experiments 1–4). For example, in Experiment 2, where participants received telephonic instructions from the experimenter, compliance decreased to 21 percent. Some participants deceived the experimenter by pretending to continue the experiment.
In Experiment 8, an all-female contingent was used; previously, all participants had been men. Obedience did not significantly differ, though the women communicated experiencing higher levels of stress.
Experiment 10 took place in a modest office in Bridgeport, Connecticut, purporting to be the commercial entity "Research Associates of Bridgeport" without apparent connection to Yale University, to eliminate the university's prestige as a possible factor influencing the participants' behavior. In those conditions, obedience dropped to 47.5 percent, though the difference was not statistically significant.
Milgram also combined the effect of authority with that of conformity. In those experiments, the participant was joined by one or two additional "teachers" (also actors, like the "learner"). The behavior of the participants' peers strongly affected the results. In Experiment 17, when two additional teachers refused to comply, only four of 40 participants continued in the experiment. In Experiment 18, the participant performed a subsidiary task (reading the questions via microphone or recording the learner's answers) with another "teacher" who complied fully. In that variation, 37 of 40 continued with the experiment.
Replications
Around the time of the release of Obedience to Authority in 1973–1974, a version of the experiment was conducted at La Trobe University in Australia. As reported by Perry in her 2012 book Behind the Shock Machine, some of the participants experienced long-lasting psychological effects, possibly due to the lack of proper debriefing by the experimenter.
In 2002, the British artist Rod Dickinson created The Milgram Re-enactment, an exact reconstruction of parts of the original experiment, including the uniforms, lighting, and rooms used. An audience watched the four-hour performance through one-way glass windows. A video of this performance was first shown at the CCA Gallery in Glasgow in 2002.
A partial replication of the experiment was staged by British illusionist Derren Brown and broadcast on UK's Channel 4 in The Heist (2006).
Another partial replication of the experiment was conducted by Jerry M. Burger in 2006 and broadcast on the Primetime series Basic Instincts. Burger noted that "current standards for the ethical treatment of participants clearly place Milgram's studies out of bounds." In 2009, Burger was able to receive approval from the institutional review board by modifying several of the experimental protocols. Burger found obedience rates virtually identical to those reported by Milgram in 1961–62, even while meeting current ethical regulations of informing participants. In addition, half the replication participants were female, and their rate of obedience was virtually identical to that of the male participants. Burger also included a condition in which participants first saw another participant refuse to continue. However, participants in this condition obeyed at the same rate as participants in the base condition.
In the 2010 French documentary Le Jeu de la Mort (The Game of Death), researchers recreated the Milgram experiment with an added critique of reality television by presenting the scenario as a game show pilot. Volunteers were given €40 and told that they would not win any money from the game, as this was only a trial. Only 16 of 80 "contestants" (teachers) chose to end the game before delivering the highest-voltage punishment.
The experiment was performed on Dateline NBC on an episode airing April 25, 2010.
The Discovery Channel aired the "How Evil are You?" segment of Curiosity on October 30, 2011. The episode was hosted by Eli Roth, who produced results similar to the original Milgram experiment, though the highest-voltage punishment used was 165 volts, rather than 450 volts. Roth added a segment in which a second person (an actor) in the room would defy the authority ordering the shocks, finding more often than not, the subjects would stand up to the authority figure in this case.
Other variations
Charles Sheridan and Richard King (at the University of Missouri and the University of California, Berkeley, respectively) hypothesized that some of Milgram's subjects may have suspected that the victim was faking, so they repeated the experiment with a real victim: a "cute, fluffy puppy" who was given real, albeit apparently harmless, electric shocks. Their findings were similar to those of Milgram: 7 out of 13 of the male subjects and all 13 of the females obeyed throughout. Many subjects showed high levels of distress during the experiment, and some openly wept. In addition, Sheridan and King found that the duration for which the shock button was pressed decreased as the shocks got higher, meaning that for higher shock levels, subjects were more hesitant.
Media depictions
Obedience to Authority () is Milgram's own account of the experiment, written for a mass audience.
Obedience is a black-and-white film of the experiment, shot by Milgram himself. It is distributed by Alexander Street Press.
The Tenth Level was a fictionalized 1975 CBS television drama about the experiment, featuring William Shatner and Ossie Davis.
Peter Gabriel's 1986 album So features the song "We Do What We're Told (Milgram's 37)" based on the experiment and its results.
Atrocity is a 2005 film re-enactment of the Milgram Experiment.
Authority is an episode of Law & Order: Special Victims Unit inspired by the Milgram experiment.
In 2010's Fallout: New Vegas, the player can explore and learn the history of Vault 11, where residents of the vault were told that an Artificial Intelligence would kill everyone in the vault unless they sacrificed one vault resident a year in a clear reference to Milgram's experiment. Eventually, a civil war broke out between vault residents, and the last five surviving residents chose to refuse to sacrifice. The AI in charge of the vault then informed them they were free to go.
Experimenter, a 2015 film about Milgram, by Michael Almereyda, was screened to favorable reactions at the 2015 Sundance Film Festival.
See also
Argument from authority
Authority bias
Banality of evil
Belief perseverance
Graduated Electronic Decelerator
Hofling hospital experiment
Human experimentation in the United States
Law of Due Obedience
Little Eichmanns
Moral disengagement
My Lai Massacre
Social influence
Stanford prison experiment
Superior orders
The Third Wave (experiment)
Ordinary Men (book)
Notes
References
Book review of The Man Who Shocked the World
Includes an interview with one of Milgram's volunteers, and discusses modern interest in, and scepticism about, the experiment.
Further reading
External links
Milgram S. The milgram experiment (full documentary film on youtube).
Stanley Milgram Redux, TBIYTB — Description of a 2007 iteration of Milgram's experiment at Yale University, published in The Yale Hippolytic, January 22, 2007. (Internet Archive)
A Powerpoint presentation describing Milgram's experiment
Synthesis of book A faithful synthesis of Obedience to Authority – Stanley Milgram
Obedience To Authority — A commentary extracted from 50 Psychology Classics (2007)
A personal account of a participant in the Milgram obedience experiments
Summary and evaluation of the 1963 obedience experiment
The Science of Evil from ABC News Primetime
The Lucifer Effect: How Good People Turn Evil — Video lecture of Philip Zimbardo talking about the Milgram Experiment.
— Article on the 45th anniversary of the Milgram experiment.
People 'still willing to torture' BBC
Beyond the Shock Machine, a radio documentary with the people who took part in the experiment. Includes original audio recordings of the experiment
Conformity
Group processes
History of psychology
Human subject research in the United States
Research ethics
Influence (social and political)
Psychology experiments
Articles containing video clips |
19011 | https://en.wikipedia.org/wiki/Miocene | Miocene | The Miocene ( ) is the first geological epoch of the Neogene Period and extends from about (Ma). The Miocene was named by Scottish geologist Charles Lyell; its name comes from the Greek words (, "less") and (, "new") and means "less recent" because it has 18% fewer modern sea invertebrates than the Pliocene. The Miocene is preceded by the Oligocene and is followed by the Pliocene.
As Earth went from the Oligocene through the Miocene and into the Pliocene, the climate slowly cooled towards a series of ice ages. The Miocene boundaries are not marked by a single distinct global event but consist rather of regionally defined boundaries between the warmer Oligocene and the cooler Pliocene Epoch.
During the Early Miocene, the Arabian Peninsula collided with Eurasia, severing the connection between the Mediterranean and Indian Ocean, and allowing a faunal interchange to occur between Eurasia and Africa, including the dispersal of proboscideans into Eurasia. During the late Miocene, the connections between the Atlantic and Mediterranean closed, causing the Mediterranean Sea to nearly completely evaporate, in an event called the Messinian salinity crisis. The Strait of Gibraltar opened and the Mediterranean refilled at the Miocene-Pliocene boundary, in an event called the Zanclean flood.
The apes first evolved, arose, and diversified during the early Miocene (Aquitanian and Burdigalian Stages), becoming widespread in the Old World. By the end of this epoch and the start of the following one, the ancestors of humans had split away from the ancestors of the chimpanzees to follow their own evolutionary path during the final Messinian Stage (7.5–5.3 Ma) of the Miocene. As in the Oligocene before it, grasslands continued to expand and forests to dwindle in extent. In the seas of the Miocene, kelp forests made their first appearance and soon became one of Earth's most productive ecosystems.
The plants and animals of the Miocene were recognizably modern. Mammals and birds were well-established. Whales, pinnipeds, and kelp spread.
The Miocene is of particular interest to geologists and palaeoclimatologists as major phases of the geology of the Himalaya occurred during the Miocene, affecting monsoonal patterns in Asia, which were interlinked with glacial periods in the northern hemisphere.
Subdivisions
The Miocene faunal stages from youngest to oldest are typically named according to the International Commission on Stratigraphy:
Regionally, other systems are used, based on characteristic land mammals; some of them overlap with the preceding Oligocene and following Pliocene Epochs:
European Land Mammal Ages
Turolian (9.0 to 5.3 Ma)
Vallesian (11.6 to 9.0 Ma)
Astaracian (16.0 to 11.6 Ma)
Orleanian (20.0 to 16.0 Ma)
Agenian (23.8 to 20.0 Ma)
North American Land Mammal Ages
Hemphillian (10.3 to 4.9 Ma)
Clarendonian (13.6 to 10.3 Ma)
Barstovian (16.3 to 13.6 Ma)
Hemingfordian (20.6 to 16.3 Ma)
Arikareean (30.6 to 20.6 Ma)
South American Land Mammal Ages
Montehermosan (6.8 to 4.0 Ma)
Huayquerian (9.0 to 6.8 Ma)
Mayoan (11.8 to 9.0 Ma)
Laventan (13.8 to 11.8 Ma)
Colloncuran (15.5 to 13.8 Ma)
Friasian (16.3 to 15.5 Ma)
Santacrucian (17.5 to 16.3 Ma)
Colhuehuapian (21.0 to 17.5 Ma)
Paleogeography
Continents continued to drift toward their present positions. Of the modern geologic features, only the land bridge between South America and North America was absent, although South America was approaching the western subduction zone in the Pacific Ocean, causing both the rise of the Andes and a southward extension of the Meso-American peninsula.
Mountain building took place in western North America, Europe, and East Asia. Both continental and marine Miocene deposits are common worldwide with marine outcrops common near modern shorelines. Well studied continental exposures occur in the North American Great Plains and in Argentina.
India continued to collide with Asia, creating dramatic new mountain ranges. The Tethys seaway continued to shrink and then disappeared as Africa collided with Eurasia in the Turkish–Arabian region between 19 and 12 Ma. The subsequent uplift of mountains in the western Mediterranean region and a global fall in sea levels combined to cause a temporary drying up of the Mediterranean Sea (known as the Messinian salinity crisis) near the end of the Miocene.
The global trend was towards increasing aridity caused primarily by global cooling reducing the ability of the atmosphere to absorb moisture. Uplift of East Africa in the late Miocene was partly responsible for the shrinking of tropical rain forests in that region, and Australia got drier as it entered a zone of low rainfall in the Late Miocene.
At the beginning of the Miocene, the northern margin of the Arabian plate collided with Eurasia, causing the closure of the Indian Ocean-Mediterranean Seaway, severing the connection between the two bodies of water, and forming a land connection between Afro-Arabia and Eurasia.
South America
During the Oligocene and Early Miocene the coast of northern Brazil, Colombia, south-central Peru, central Chile and large swathes of inland Patagonia were subject to a marine transgression. The transgressions in the west coast of South America are thought to be caused by a regional phenomenon while the steadily rising central segment of the Andes represents an exception. While there are numerous registers of Oligo-Miocene transgressions around the world it is doubtful that these correlate.
It is thought that the Oligo-Miocene transgression in Patagonia could have temporarily linked the Pacific and Atlantic Oceans, as inferred from the findings of marine invertebrate fossils of both Atlantic and Pacific affinity in La Cascada Formation. Connection would have occurred through narrow epicontinental seaways that formed channels in a dissected topography.
The Antarctic Plate started to subduct beneath South America 14 million years ago in the Miocene, forming the Chile Triple Junction. At first the Antarctic Plate subducted only in the southernmost tip of Patagonia, meaning that the Chile Triple Junction lay near the Strait of Magellan. As the southern part of Nazca Plate and the Chile Rise became consumed by subduction the more northerly regions of the Antarctic Plate begun to subduct beneath Patagonia so that the Chile Triple Junction advanced to the north over time. The asthenospheric window associated to the triple junction disturbed previous patterns of mantle convection beneath Patagonia inducing an uplift of ca. 1 km that reversed the Oligocene–Miocene transgression.
As the southern Andes rose in the Middle Miocene (14–12 million years ago) the resulting rain shadow originated the Patagonian Desert to the east.
Climate
Climates remained moderately warm, although the slow global cooling that eventually led to the Pleistocene glaciations continued.
Although a long-term cooling trend was well underway, there is evidence of a warm period during the Miocene when the global climate rivalled that of the Oligocene. The Miocene warming began 21 million years ago and continued until 14 million years ago, when global temperatures took a sharp drop—the Middle Miocene Climate Transition (MMCT). By 8 million years ago, temperatures dropped sharply once again, and the Antarctic ice sheet was already approaching its present-day size and thickness. Greenland may have begun to have large glaciers as early as 7 to 8 million years ago, although the climate for the most part remained warm enough to support forests there well into the Pliocene.
Life
Life during the Miocene Epoch was mostly supported by the two newly formed biomes, kelp forests and grasslands. Grasslands allow for more grazers, such as horses, rhinoceroses, and hippos. Ninety-five percent of modern plants existed by the end of this epoch.
Flora
The coevolution of gritty, fibrous, fire-tolerant grasses and long-legged gregarious ungulates with high-crowned teeth, led to a major expansion of grass-grazer ecosystems, with roaming herds of large, swift grazers pursued by predators across broad sweeps of open grasslands, displacing desert, woodland, and browsers.
The higher organic content and water retention of the deeper and richer grassland soils, with long-term burial of carbon in sediments, produced a carbon and water vapor sink. This, combined with higher surface albedo and lower evapotranspiration of grassland, contributed to a cooler, drier climate. C4 grasses, which are able to assimilate carbon dioxide and water more efficiently than C3 grasses, expanded to become ecologically significant near the end of the Miocene between 6 and 7 million years ago. The expansion of grasslands and radiations among terrestrial herbivores correlates to fluctuations in CO2.
Cycads between 11.5 and 5 million years ago began to rediversify after previous declines in variety due to climatic changes, and thus modern cycads are not a good model for a "living fossil". Eucalyptus fossil leaves occur in the Miocene of New Zealand, where the genus is not native today, but have been introduced from Australia.
Fauna
Both marine and continental fauna were fairly modern, although marine mammals were less numerous. Only in isolated South America and Australia did widely divergent fauna exist.
In the Early Miocene, several Oligocene groups were still diverse, including nimravids, entelodonts, and three-toed equids. Like in the previous Oligocene Epoch, oreodonts were still diverse, only to disappear in the earliest Pliocene. During the later Miocene mammals were more modern, with easily recognizable canids, bears, red pandas, procyonids, equids, beavers, deer, camelids, and whales, along with now extinct groups like borophagine canids, certain gomphotheres, three-toed horses, and hornless rhinos like Teleoceras and Aphelops. Islands began to form between South and North America in the Late Miocene, allowing ground sloths like Thinobadistes to island-hop to North America. The expansion of silica-rich C4 grasses led to worldwide extinctions of herbivorous species without high-crowned teeth.
A few basal mammal groups endured into this epoch in southern landmasses, including the South American dryolestoid Necrolestes and gondwanathere Patagonia and New Zealand's Saint Bathans mammal. Non-marsupial metatherians were also still around, such as the American and Eurasian herpetotheriids and peradectids such as Siamoperadectes, and the South American sparassodonts.
Unequivocally recognizable dabbling ducks, plovers, typical owls, cockatoos and crows appear during the Miocene. By the epoch's end, all or almost all modern bird groups are believed to have been present; the few post-Miocene bird fossils which cannot be placed in the evolutionary tree with full confidence are simply too badly preserved, rather than too equivocal in character. Marine birds reached their highest diversity ever in the course of this epoch.
The youngest representatives of Choristodera, an extinct order of aquatic reptiles that first appeared in the Middle Jurassic, are known from the Miocene of Europe, belonging to the genus Lazarussuchus, which had been the only known surviving genus of the group since the beginning of the Eocene.
The last known representatives of the archaic primitive mammal orders Meridiolestida and Gondwanatheria, which dominated South America during the Late Cretaceous, are known from the Miocene of Patagonia, represented by the mole-like Necrolestes and Patagonia respectively.
Approximately 100 species of apes lived during this time, ranging throughout Africa, Asia and Europe and varying widely in size, diet, and anatomy. Due to scanty fossil evidence it is unclear which ape or apes contributed to the modern hominid clade, but molecular evidence indicates this ape lived between 7 and 8 million years ago. The first hominins (bipedal apes of the human lineage) appeared in Africa at the very end of the Miocene, including Sahelanthropus, Orrorin, and an early form of Ardipithecus (A. kadabba) The chimpanzee–human divergence is thought to have occurred at this time.
The expansion of grasslands in North America also led to an explosive radiation among snakes. Previously, snakes were a minor component of the North American fauna, but during the Miocene, the number of species and their prevalence increased dramatically with the first appearances of vipers and elapids in North America and the significant diversification of Colubridae (including the origin of many modern genera such as Nerodia, Lampropeltis, Pituophis and Pantherophis).
In the oceans, brown algae, called kelp, proliferated, supporting new species of sea life, including otters, fish and various invertebrates.
Cetaceans attained their greatest diversity during the Miocene, with over 20 recognized genera of baleen whales in comparison to only six living genera. This diversification correlates with emergence of gigantic macro-predators such as megatoothed sharks and raptorial sperm whales. Prominent examples are C. megalodon and L. melvillei. Other notable large sharks were C. chubutensis, Isurus hastalis, and Hemipristis serra.
Crocodilians also showed signs of diversification during Miocene. The largest form among them was a gigantic caiman Purussaurus which inhabited South America. Another gigantic form was a false gharial Rhamphosuchus, which inhabited modern age India. A strange form, Mourasuchus also thrived alongside Purussaurus. This species developed a specialized filter-feeding mechanism, and it likely preyed upon small fauna despite its gigantic size. The youngest members of Sebecidae, a clade of terrestrial crocodylfomes distantly related to modern crocodilians, are known from the Miocene of South America.
The pinnipeds, which appeared near the end of the Oligocene, became more aquatic. A prominent genus was Allodesmus. A ferocious walrus, Pelagiarctos may have preyed upon other species of pinnipeds including Allodesmus.
Furthermore, South American waters witnessed the arrival of Megapiranha paranensis, which were considerably larger than modern age piranhas.
New Zealand's Miocene fossil record is particularly rich. Marine deposits showcase a variety of cetaceans and penguins, illustrating the evolution of both groups into modern representatives. The early Miocene Saint Bathans Fauna is the only Cenozoic terrestrial fossil record of the landmass, showcasing a wide variety of not only bird species, including early representatives of clades such as moas, kiwis and adzebills, but also a diverse herpetofauna of sphenodontians, crocodiles and turtle as well as a rich terrestrial mammal fauna composed of various species of bats and the enigmatic Saint Bathans Mammal.
Oceans
There is evidence from oxygen isotopes at Deep Sea Drilling Program sites that ice began to build up in Antarctica about 36 Ma during the Eocene. Further marked decreases in temperature during the Middle Miocene at 15 Ma probably reflect increased ice growth in Antarctica. It can therefore be assumed that East Antarctica had some glaciers during the early to mid Miocene (23–15 Ma). Oceans cooled partly due to the formation of the Antarctic Circumpolar Current, and about 15 million years ago the ice cap in the southern hemisphere started to grow to its present form. The Greenland ice cap developed later, in the Middle Pliocene time, about 3 million years ago.
Middle Miocene disruption
The "Middle Miocene disruption" refers to a wave of extinctions of terrestrial and aquatic life forms that occurred following the Miocene Climatic Optimum (18 to 16 Ma), around 14.8 to 14.5 million years ago, during the Langhian Stage of the mid-Miocene. A major and permanent cooling step occurred between 14.8 and 14.1 Ma, associated with increased production of cold Antarctic deep waters and a major growth of the East Antarctic ice sheet. A Middle Miocene δ18O increase, that is, a relative increase in the heavier isotope of oxygen, has been noted in the Pacific, the Southern Ocean and the South Atlantic.
Impact event
A large impact event occurred either during the Miocene (23 Ma – 5.3 Ma) or the Pliocene (5.3 Ma – 2.6 Ma). The event formed the Karakul crater (52 km diameter), which is estimated to have an age of less than 23 Ma or less than 5 Ma.
See also
Geologic time scale
List of fossil sites
:Category:Miocene animals
References
Further reading
Cox, C. Barry & Moore, Peter D. (1993): Biogeography. An ecological and evolutionary approach (5th ed.). Blackwell Scientific Publications, Cambridge.
Ogg, Jim (2004): "Overview of Global Boundary Stratotype Sections and Points (GSSP's)". Retrieved 2006-04-30.
External links
PBS Deep Time: Miocene
UCMP Berkeley Miocene Epoch Page
Miocene Microfossils: 200+ images of Miocene Foraminifera
Human Timeline (Interactive) – Smithsonian, National Museum of Natural History (August 2016).
Geological epochs
Neogene geochronology |
19012 | https://en.wikipedia.org/wiki/Monarch | Monarch | A monarch is a head of state for life or until abdication, and therefore the head of state of a monarchy. A monarch may exercise the highest authority and power in the state, or others may wield that power on behalf of the monarch. Usually a monarch either personally inherits the lawful right to exercise the state's sovereign rights (often referred to as the throne or the crown) or is selected by an established process from a family or cohort eligible to provide the nation's monarch. Alternatively, an individual may proclaim themself monarch, which may be backed and legitimated through acclamation, right of conquest or a combination of means.
If a young child is crowned the monarch, then a regent is often appointed to govern until the monarch reaches the requisite adult age to rule. Monarchs' actual powers vary from one monarchy to another and in different eras; on one extreme, they may be autocrats (absolute monarchy) wielding genuine sovereignty; on the other they may be ceremonial heads of state who exercise little or no direct power or only reserve powers, with actual authority vested in a parliament or other body (constitutional monarchy).
A monarch can reign in multiple monarchies simultaneously. For example, the monarchy of Canada and the monarchy of the United Kingdom (as well as 14 other Commonwealth realms) are separate states, but they share the same monarch through personal union.
Characteristics
Monarchs, as such, bear a variety of titles – king or queen, prince or princess (e.g., Sovereign Prince of Monaco), emperor or empress (e.g., Emperor of China, Emperor of Ethiopia, Emperor of Japan, Emperor of India), archduke, duke or grand duke (e.g., Grand Duke of Luxembourg), emir (e.g., Emir of Qatar), sultan (e.g., Sultan of Oman), or pharaoh.
Monarchy is political or sociocultural in nature, and is generally (but not always) associated with hereditary rule. Most monarchs, both historically and in the present day, have been born and brought up within a royal family (whose rule over a period of time is referred to as a dynasty) and trained for future duties. Different systems of succession have been used, such as proximity of blood (male preference or absolute), primogeniture, agnatic seniority, Salic law, etc. While traditionally most monarchs have been male, female monarchs have also ruled, and the term queen regnant refers to a ruling monarch, as distinct from a queen consort, the wife of a reigning king.
Some monarchies are non-hereditary. In an elective monarchy, the monarch is elected but otherwise serves as any other monarch. Historical examples of elective monarchy include the Holy Roman Emperors (chosen by prince-electors, but often coming from the same dynasty) and the free election of kings of the Polish–Lithuanian Commonwealth. Modern examples include the Yang di-Pertuan Agong (lit. ‘He Who is Made Lord') of Malaysia, who is appointed by the Conference of Rulers every five years or after the king's death, and the pope of the Roman Catholic Church, who serves as sovereign of the Vatican City State and is elected to a life term by the College of Cardinals.
In recent centuries, many states have abolished the monarchy and become republics (but see, e.g., United Arab Emirates). Advocacy of government by a republic is called republicanism, while advocacy of monarchy is called monarchism. A principal advantage of hereditary monarchy is the immediate continuity of national leadership, as illustrated in the classic phrase "The [old] King is dead. Long live the [new] King!". In cases where the monarch serves mostly as a ceremonial figure (e.g. most modern constitutional monarchies), real leadership does not depend on the monarch.
A form of government may, in fact, be hereditary without being considered a monarchy, such as a family dictatorship.
Classification
Monarchies take a wide variety of forms, such as the two co-princes of Andorra, positions held simultaneously by the Roman Catholic bishop of Urgel (Spain) and the elected president of France (although strictly Andorra is a diarchy). Similarly, the Yang di-Pertuan Agong of Malaysia is considered a monarch despite only holding the position for five years at a time.
Succession
Hereditary succession within one patrilineal family has been most common (but see the Rain Queen), with a preference for children over siblings, and sons over daughters. In Europe, some peoples practiced equal division of land and regalian rights among sons or brothers, as in the Germanic states of the Holy Roman Empire, until after the medieval era and sometimes (e.g., Ernestine duchies) into the 19th century. Other European realms practiced one or another form of primogeniture, in which a lord was succeeded by his eldest son or, if he had none, by his brother, his daughters or sons of daughters.
The system of tanistry practiced among Celtic tribes was semi-elective and gave weight also to ability and merit.
The Salic law, practiced in France and in the Italian territories of the House of Savoy, stipulated that only men could inherit the crown. In most fiefs, in the event of the demise of all legitimate male members of the patrilineage, a female of the family could succeed (semi-Salic law). In most realms, daughters and sisters were eligible to succeed a ruling kinsman before more distant male relatives (male-preference primogeniture), but sometimes the husband of the heiress became the ruler, and most often also received the title, jure uxoris. Spain today continues this model of succession law, in the form of cognatic primogeniture. In more complex medieval cases, the sometimes conflicting principles of proximity and primogeniture battled, and outcomes were often idiosyncratic.
As the average life span increased, the eldest son was more likely to reach majority age before the death of his father, and primogeniture became increasingly favored over proximity, tanistry, seniority, and election.
In 1980, Sweden became the first monarchy to declare equal primogeniture, absolute primogeniture or full cognatic primogeniture, meaning that the eldest child of the monarch, whether female or male, ascends to the throne. Other nations have since adopted this practice: Netherlands in 1983, Norway in 1990, Belgium in 1991, Denmark in 2009, and Luxembourg in 2011. The United Kingdom adopted absolute (equal) primogeniture on April 25, 2013, following agreement by the prime ministers of the sixteen Commonwealth Realms at the 22nd Commonwealth Heads of Government Meeting.
In some monarchies, such as Saudi Arabia, succession to the throne usually first passes to the monarch's next eldest brother and so on through his other brothers, and only after them to the monarch's children (agnatic seniority). In some other monarchies (e.g. Jordan), the monarch chooses who will be his successor within the royal family, who need not necessarily be his eldest son.
Whatever the rules of succession, there have been many cases of a monarch being overthrown and replaced by a usurper who would often install his own family on the throne.
History
Monarchs in Africa
A series of Pharaohs ruled Ancient Egypt over the course of three millennia (circa 3150 BC to 31 BC) until it was conquered by the Roman Empire. In the same time period several kingdoms flourished in the nearby Nubia region, with at least one of them, that of the so-called A-Group culture, apparently influencing the customs of Egypt itself. From the 6th to 19th centuries, Egypt was variously part of the Byzantine Empire, Islamic Empire, Mamluk Sultanate, Ottoman Empire and British Empire with a distant monarch. The Sultanate of Egypt was a short-lived protectorate of the United Kingdom from 1914 until 1922 when it became the Kingdom of Egypt and Sultan Fuad I changed his title to King. After the Egyptian Revolution of 1952 the monarchy was dissolved and Egypt became a republic.
West Africa hosted the Kanem Empire (700–1376) and its successor, the Bornu principality which survives to the present day as one of the traditional states of Nigeria.
In the Horn of Africa, the Kingdom of Aksum and later the Zagwe Dynasty, Ethiopian Empire (1270–1974), and Aussa Sultanate were ruled by a series of monarchs. Haile Selassie, the last Emperor of Ethiopia, was deposed in a communist coup. Various Somali Sultanates also existed, including the Adal Sultanate (led by the Walashma dynasty of the Ifat Sultanate), Sultanate of Mogadishu, Ajuran Sultanate, Warsangali Sultanate, Geledi Sultanate, Majeerteen Sultanate and Sultanate of Hobyo.
Central and Southern Africa were largely isolated from other regions until the modern era, but they did later feature kingdoms like the Kingdom of Kongo (1400–1914).
The Zulu people formed a powerful Zulu Kingdom in 1816, one that was subsequently absorbed into the Colony of Natal in 1897. The Zulu king continues to hold a hereditary title and an influential cultural position in contemporary South Africa, although he has no direct political power. Other tribes in the country, such as the Xhosa and the Tswana, have also had and continue to have a series of kings and chiefs (namely the Inkosis and the Kgosis) whose local precedence is recognised, but who exercise no legal authority.
As part of the Scramble for Africa, Europeans conquered, bought, or established African kingdoms and styled themselves as monarchs due to them.
Currently, the African nations of Morocco, Lesotho, and Eswatini (Swaziland) are sovereign monarchies under dynasties that are native to the continent. Places like St. Helena, Ceuta, Melilla and the Canary Islands are ruled by the Queen of the United Kingdom of Great Britain and Northern Ireland or the King of Spain. So-called "sub-national monarchies" of varying sizes can be found all over the rest of the continent, e.g. the Yoruba city-state of Akure in south-western Nigeria is something of an elective monarchy: its reigning Oba, the Deji, has to be chosen by an electoral college of nobles from amongst a finite collection of royal princes of the realm upon the death or removal of an incumbent.
Monarchs in Europe
Within the Holy Roman Empire different titles were used by nobles exercising various degrees of sovereignty within their borders (see below). Such titles were granted or recognised by the Emperor or Pope. Adoption of a new title to indicate sovereign or semi-sovereign status was not always recognized by other governments or nations, sometimes causing diplomatic problems.
During the nineteenth century many small monarchies in Europe merged with other territories to form larger entities, and following World War I and World War II, many monarchies were abolished, but of those remaining all except Luxembourg, Liechtenstein, Andorra, Vatican City, and Monaco were headed by a king or queen.
in Europe there are twelve monarchies: seven kingdoms (Belgium, Denmark, Netherlands, Norway, Spain, Sweden and the United Kingdom), one grand duchy (Luxembourg), one papacy (Vatican City), and two principalities (Liechtenstein and Monaco), as well as one diarchy principality (Andorra).
Monarchs in Asia
In China, before the abolition of the monarchy in 1912, the Emperor of China was traditionally regarded as the ruler of "All under heaven". "King" is the usual translation for the term wang 王, the sovereign before the Qin dynasty and during the Ten Kingdoms period. During the early Han dynasty, China had a number of kingdoms, each about the size of a province and subordinate to the Emperor.
In Korea, Daewang (great king), or Wang (king), was a Chinese royal style used in many states rising from the dissolution of Gojoseon, Buyeo, Goguryeo, Baekje, Silla and Balhae, Goryeo, Joseon. The legendary Dangun Wanggeom founded the first kingdom, Gojoseon. Some scholars maintain that the term Dangun also refers to a title used by all rulers of Gojoseon and that Wanggeom is the proper name of the founder. Gyuwon Sahwa (1675) describes The Annals of the Danguns as a collection of nationalistic legends. The monarchs of Goguryeo and some monarchs of Silla used the title "Taewang", meaning "Greatest King". The early monarchs of Silla have used the title of "Geoseogan", "Chachaung", "Isageum", and finally "Maripgan" until 503. The title "Gun" (prince) can refer to the dethroned rulers of the Joseon dynasty as well. Under the Korean Empire (1897–1910), the rulers of Korea were given the title of "Hwangje", meaning the "Emperor". Today, Members of the Korean Imperial Family continue to participate in numerous traditional ceremonies, and groups exist to preserve Korea's imperial heritage.
The Japanese monarchy is now the only monarchy to still use the title of Emperor.
In modern history, between 1925 and 1979, Iran was ruled by two Emperors from the Pahlavi dynasty that used the title of "Shahanshah" (or "King of Kings"). The last Iranian Shahanshah was King Mohammad Reza Pahlavi, who was forced to abdicate the throne as a result of a revolution in Iran. In fact Persian (Iranian) kingdom goes back to about 2,700 BC (see List of Kings of Persia), but reached its ultimate height and glory when King Cyrus the Great (Known as "The Great Kourosh" in Iran) started the Achaemenid dynasty, and under his rule, the Empire embraced all the previous civilized states of the ancient Near East, expanded vastly and eventually conquered most of Southwest Asia and much of Central Asia and the Caucasus. From the Mediterranean Sea and Hellespont in the west to the Indus River in the east, Cyrus the Great created the largest empire the world had yet seen.
Thailand and Bhutan are like the United Kingdom in that they are constitutional monarchies ruled by a King. Jordan and many other Middle Eastern monarchies are ruled by a Malik and parts of the United Arab Emirates, such as Dubai, are still ruled by monarchs.
Saudi Arabia is the largest Arab state in Western Asia by land area and the second-largest in the Arab world (after Algeria). It was founded by Abdul-Aziz bin Saud in 1932, although the conquests which eventually led to the creation of the Kingdom began in 1902 when he captured Riyadh, the ancestral home of his family, the House of Saud; succession to the throne was limited to sons of Ibn Saud until 2015, when a grandson was elevated to Crown Prince. The Saudi Arabian government has been an absolute monarchy since its inception, and designates itself as Islamic. The King bears the title "Custodian of the Two Holy Mosques" in reference to the two holiest places in Islam: Masjid al-Haram in Mecca, and Masjid al-Nabawi in Medina.
Oman is led by Sultan Haitham bin Tariq Al Said. The Kingdom of Jordan is one of the Middle East's more modern monarchies is also ruled by a Malik. In Arab and Arabized countries, Malik (absolute King) is the absolute word to render a monarch and is superior to all other titles. Nepal abolished their monarchy in 2008. Sri Lanka had a complex system of monarchies from 543BC to 1815. Between 47BC-42BC Anula of Sri Lanka became the country's first female head of state as well as Asia's first head of state.
In Malaysia's constitutional monarchy, the Yang di-Pertuan Agong (The Supreme Lord of the Federation) is de facto rotated every five years among the nine Rulers of the Malay states of Malaysia (those nine of the thirteen states of Malaysia that have hereditary royal rulers), elected by Majlis Raja-Raja (Conference of Rulers).
Under Brunei's 1959 constitution, the Sultan of Brunei is the head of state with full executive authority, including emergency powers, since 1962. The Prime Minister of Brunei is a title held by the Sultan. As the prime minister, the Sultan presides over the cabinet.
Cambodia has been a kingdom since the 1st century. The power of the absolute monarchy was reduced when it became the French Protectorate of Cambodia from 1863 to 1953. It returned to an absolute monarchy from 1953 until the establishment of a republic following the 1970 coup. The monarchy was restored as a constitutional monarchy in 1993 with the king as a largely symbolic figurehead.
In the Philippines, the pre-Colonial Filipino nobility, variously titled the harì (today meaning "king"), Lakan, Raja and Datu belonged to the caste called Uring Maharlika (Noble Class). When the islands were annexed to the Spanish Empire in the late 16th century, the Spanish monarch became the sovereign while local rulers often retained their prestige as part of the Christianised nobility called the Principalía. After the Spanish–American War, the country was ceded to the United States of America and made into a territory and eventually a Commonwealth, thus ending monarchism. While the Philippines is currently a republic, the Sultan of Sulu and Sultan of Maguindanao retain their titles only for ceremonial purposes but are considered ordinary citizens by the 1987 Constitution.
Bhutan has been an independent kingdom since 1907. The first Druk Gyalpo (Dragon King) was elected and thereafter became a hereditary absolute monarchy. It became a constitutional monarchy in 2008.
Tibet was a monarchy since the Tibetan Empire in the 6th century. It was ruled by the Yuan Dynasty following the Mongol invasion in the 13th century and became an effective diarchy with the Dalai Lama as co-ruler. It came under the rule of the Chinese Qing Dynasty from 1724 until 1912 when it gained de facto independence. The Dalai Lama became an absolute temporal monarch until the annexation of Tibet by the People's Republic of China in 1951.
Nepal was a monarchy for most of its history until becoming a federal republic in 2008.
Monarchs in the Americas
The concept of monarchy existed in the Americas long before the arrival of European colonialists. When the Europeans arrived they referred to these tracts of land within territories of different aboriginal groups to be kingdoms, and the leaders of these groups were often referred to by the Europeans as Kings, particularly hereditary leaders.
Pre-colonial titles that were used included:
Cacique – Aboriginal Hispaniola and Borinquen
Tlatoani – Nahuas
Ajaw – Maya
Qhapaq Inka – Tawuantin Suyu (Inca Empire)
Morubixaba – Tupi tribes
Sha-quan – King of the world used in some Native American tribes
The first local monarch to emerge in North America after colonization was Jean-Jacques Dessalines, who declared himself Emperor of Haiti on September 22, 1804. Haiti again had an emperor, Faustin I from 1849 to 1859. In South America, Brazil had a royal house ruling as emperor between 1822 and 1889, under Emperors Pedro I and Pedro II.
Between 1931 and 1983 nine other previous British colonies attained independence as kingdoms. All, including Canada, are in a personal union relationship under a shared monarch. Therefore, though today there are legally ten American monarchs, one person occupies each distinct position.
In addition to these sovereign states, there are also a number of sub-national ones. In Bolivia, for example, the Afro-Bolivian king claims descent from an African dynasty that was taken from its homeland and sold into slavery. Though largely a ceremonial title today, the position of king of the Afro-Bolivians is officially recognized by the government of Bolivia.
Monarchs in Oceania
Polynesian societies were ruled by an ariki from ancient times. The title is variously translated as "supreme chief", "paramount chief" or "king".
The Kingdom of Tahiti was founded in 1788. Sovereignty was ceded to France in 1880 although descendants of the Pōmare Dynasty claim the title of King of Tahiti.
The Kingdom of Hawaii was established in 1795 and overthrown in 1893.
An independent Kingdom of Rarotonga was established in 1858. It became a protectorate of the United Kingdom at its own request in 1893.
Seru Epenisa Cakobau ruled the short-lived Kingdom of Fiji, a constitutional monarchy, from 1871 to 1874 when he voluntarily ceded sovereignty of the islands to the United Kingdom. After independence in 1970, the Dominion of Fiji retained the British monarch as head of state until it became a republic following a military coup in 1987.
Australia, New Zealand (including the Cook Islands and Niue), Papua New Guinea, Solomon Islands and Tuvalu are sovereign states within the Commonwealth of Nations that currently have Elizabeth II as their reigning constitutional monarch.
The Pitcairn Islands are part of the British Overseas Territories with Elizabeth II as the reigning constitutional monarch.
Tonga is the only remaining sovereign kingdom in Oceania. It has had a monarch since the 10th century and became a constitutional monarchy in 1875. In 2008, King George Tupou V relinquished most of the powers of the monarchy and the position is now largely ceremonial.
In New Zealand the position of Māori King was established in 1858. The role is largely cultural and ceremonial and has no legal power.
Uvea, Alo and Sigave in the French territory of Wallis and Futuna have non-sovereign elective monarchs.
Titles and precedence in Europe
The usage and meaning of a monarch's specific title have historically been defined by tradition, law and diplomatic considerations.
Note that some titles borne by monarchs have several meanings and may not exclusively designate a monarch. A Prince may be a person of royal blood (some languages uphold this distinction, see Fürst). A Duke may belong to a peerage and hold a dukedom (title) but no duchy (territory). In Imperial Russia, a Grand Duke was a son or patrilineal grandson of the Tsar or Tsarina. Holders of titles in these alternative meanings did not enjoy the same status as monarchs of the same title.
Within the Holy Roman Empire, there were numerous titles used by noblemen whose authority within their territory sometimes approached sovereignty, even though they acknowledged the Holy Roman Emperor as suzerain; Elector, Grand Duke, Margrave, Landgrave and Count Palatine, as well as secular princes like kings, dukes, princes and "princely counts" (Gefürstete Grafen), and ecclesiastical princes like Prince-Archbishops, Prince-Bishops and Prince-Abbots. A ruler with a title below emperor or king might still be regarded as a monarch, outranking a nobleman of the same ostensible title (e.g., Antoine, Duke of Lorraine, a reigning sovereign, and his younger brother, Claude, Duke of Guise, a nobleman in the peerage of France).
The table below lists titles in approximate order of precedence. According to protocol any holder of a title indicating sovereignty took precedence over any non-sovereign titleholder.
Titles outside modern Europe
Titles by region
When a difference exists below, male titles are placed to the left and female titles are placed to the right of the slash.
See also
List of fictional monarchs
References
External links
A Glossary of European Noble, Princely, Royal and Imperial Titles
Regnal Chronologies King lists worldwide
Archontology
African Kingdoms Imperial Throne Leadership and Enthronements
Positions of authority
Titles
Politics
Noble titles |
19013 | https://en.wikipedia.org/wiki/Monarchy | Monarchy | A monarchy is a form of government in which a person, the monarch, is head of state for life or until abdication. The political legitimacy and authority of the monarch may vary from restricted and largely symbolic (constitutional monarchy), to fully autocratic (absolute monarchy), and can expand across the domains of the executive, legislative, and judicial.
The succession of monarchs is in most cases hereditary, often building dynastic periods. However, elective and self-proclaimed monarchies are possible. Aristocrats, though not inherent to monarchies, often serve as the pool of persons to draw the monarch from and fill the constituting institutions (e.g. diet and court), giving many monarchies oligarchic elements.
Monarchs can carry various titles such as emperor, empress, king, queen, raja, khan, tsar, sultan, shah, or pharaoh. Monarchies can form federations, personal unions and realms with vassals through personal association with the monarch, which is a common reason for monarchs carrying several titles.
Monarchies were the most common form of government until the 20th century, by which time republics had replaced many monarchies. Today forty-three sovereign nations in the world have a monarch, including fifteen Commonwealth realms that share Elizabeth II as their head of state. Other than that there are a range of sub-national monarchical entities. Modern monarchies tend to be constitutional monarchies, retaining under a constitution unique legal and ceremonial roles for the monarch, exercising limited or no political power, similar to heads of state in a parliamentary republic.
Etymology
The word "monarch" () comes from the Ancient Greek word (), derived from (, "one, single") and (, "to rule"): compare (, "ruler, chief"). It referred to a single at least nominally absolute ruler. In current usage the word monarchy usually refers to a traditional system of hereditary rule, as elective monarchies are quite rare.
History
Monarchies are thought to be preceded by the similar form of prehistoric societal hierarchy known as chiefdom or tribal kingship. Chiefdoms are identified as having formed monarchic states, as in civilizations such as Mesopotamia, Ancient Egypt and the Indus Valley Civilization. In some parts of the world, chiefdoms became monarchies. Some of the oldest recorded and evidenced monarchies were Narmer, Pharaoh of Ancient Egypt c. 3100 BCE, and Enmebaragesi who was a Sumerian King of Kish c. 2600 BCE.
From earliest records, monarchs could be directly hereditary, while others were elected from among eligible members. With the Egyptian, Mesopotamian, Sudanic, reconstructed Proto-Indo-European religion, and others, the monarch held sacral functions directly connected to sacrifice and was sometimes identified with having divine ancestry, possibly establishing a notion of the divine right of kings.
Polybius identified monarchy as one of three "benign" basic forms of government (monarchy, aristocracy, and democracy), opposed to the three "malignant" basic forms of government (tyranny, oligarchy, and ochlocracy). The monarch in classical antiquity is often identified as "king" or "ruler" (translating archon, basileus, rex, tyrannos, etc.) or as "queen" (basilinna). Polybius originally understood monarchy as a component of republics, but since antiquity monarchy has contrasted with forms of republic, where executive power is wielded by free citizens and their assemblies. The 4th-century BCE Hindu text Arthasastra laid out the ethics of monarchism. In antiquity, some monarchies were abolished in favour of such assemblies in Rome (Roman Republic, 509 BCE), and Athens (Athenian democracy, 500 BCE).
By the 17th century, monarchy was challenged by evolving parliamentarism e.g. through regional assemblies (such as the Icelandic Commonwealth, the Swiss Landsgemeinde and later Tagsatzung, and the High Medieval communal movement linked to the rise of medieval town privileges) and by modern anti-monarchism e.g. of the temporary overthrow of the English monarchy by the Parliament of England in 1649, the American Revolution of 1776 and the French Revolution of 1789. One of many opponents of that trend was Elizabeth Dawbarn, whose anonymous Dialogue between Clara Neville and Louisa Mills, on Loyalty (1794) features "silly Louisa, who admires liberty, Tom Paine and the US, [who is] lectured by Clara on God's approval of monarchy" and on the influence women can exert on men.
Since then advocacy of the abolition of a monarchy or respectively of republics has been called republicanism, while the advocacy of monarchies is called monarchism. As such republics have become the opposing and alternative form of government to monarchy, despite some having seen infringements through lifelong or even hereditary heads of state, such as in North Korea.
With the rise of republicanism a diverse division between republicanism developed in the 19th-century politics (such as anti-monarchist radicalism) and conservative or even reactionary monarchism. In the following 20th century many countries abolished monarchy and became republics, especially in the wake of World War I and World War II.
Today forty-three sovereign nations in the world have a monarch, including fifteen Commonwealth realms that have Elizabeth II as the head of state. Most modern monarchs are constitutional monarchs, who retain a unique legal and ceremonial role but exercise limited or no political power under a constitution. Many are so-called crowned republics, surviving particularly in small states.
In some nations, however, such as Morocco, Qatar, Liechtenstein, and Thailand, the hereditary monarch has more political influence than any other single source of authority in the state, even if it is by a constitutional mandate.
According to a 2020 study, monarchy arose as a system of governance because of an efficiency in governing large populations and expansive territories during periods when coordinating such populations was difficult. The authors argue that monarchy declined as an efficient regime type with innovations in communications and transportation technology, as the efficiency of monarchy relative to other regime types declined.
Today it considered that only five truly absolute monarchies remain: Saudi Arabia, Oman, Brunei, Eswatini, and Vatican City.
Characteristics and role
Monarchies are associated with hereditary reign, in which monarchs reign for life and the responsibilities and power of the position pass to their child or another member of their family when they die. Most monarchs, both historically and in the modern day, have been born and brought up within a royal family, the centre of the royal household and court. Growing up in a royal family (called a dynasty when it continues for several generations), future monarchs are often trained for their expected future responsibilities as monarch.
Different systems of hereditary succession have been used, such as proximity of blood, primogeniture, and agnatic seniority (Salic law). While most monarchs in history have been male, many female monarchs also have reigned. The term "queen regnant" refers to a ruling monarch, while "queen consort" refers to the wife of a reigning king. Rule may be hereditary in practice without being considered a monarchy: there have been some family dictatorships (and also political families) in many democracies.
The principal advantage of hereditary monarchy is the immediate continuity of leadership (as evidenced in the classic phrase "The King is dead. Long live the King!").
Some monarchies are not hereditary. In an elective monarchy, monarchs are elected or appointed by some body (an electoral college) for life or a defined period. Four elective monarchies exist today: Cambodia, Malaysia and the United Arab Emirates are 20th-century creations, while one (the papacy) is ancient.
A self-proclaimed monarchy is established when a person claims the monarchy without any historical ties to a previous dynasty. There are examples of republican leaders who have proclaimed themselves monarchs: Napoleon I of France declared himself Emperor of the French and ruled the First French Empire after having held the title of First Consul of the French Republic for five years from his seizing power in the coup of 18 Brumaire. President Jean-Bédel Bokassa of the Central African Republic declared himself Emperor of the Central African Empire in 1976. Yuan Shikai, the first formal President of the Republic of China, crowned himself Emperor of the short-lived "Empire of China" a few years after the Republic of China was founded.
Powers of the monarch
In an absolute monarchy, the monarch rules as an autocrat, with absolute power over the state and government—for example, the right to rule by decree, promulgate laws, and impose punishments.
In a constitutional monarchy, the monarch's power is subject to a constitution. In most current constitutional monarchies, the monarch is mainly a ceremonial figurehead symbol of national unity and state continuity. Although nominally sovereign, the electorate (through the legislature) exercises political sovereignty. Constitutional monarchs' political power is limited. Typical monarchical powers include granting pardons, granting honours, and reserve powers, e.g. to dismiss the prime minister, refuse to dissolve parliament, or veto legislation ("withhold Royal Assent"). They often also have privileges of inviolability and sovereign immunity. A monarch's powers and influence will depend on tradition, precedent, popular opinion, and law.
Semi-constitutional monarchies exhibit fewer parliamentary powers or simply monarchs with more authority. The term "parliamentary monarchy" may be used to differentiate from semi-constitutional monarchies.
Monarchical reign has often been linked with military authority. In the late Roman Empire, the Praetorian Guard several times deposed Roman emperors and installed new emperors. Similarly, in the Abbasid Caliphate, the Ghilmans (slave soldiers) deposed Caliphs once they became prominent, allowing new ones to come to power. The Hellenistic kings of Macedon and of Epirus were elected by the army, which was similar in composition to the ecclesia of democracies, the council of all free citizens; military service was often linked with citizenship among the male members of the royal house. The military has dominated the monarch in modern Thailand and in medieval Japan (where a hereditary military chief, the shōgun, was the de facto ruler, although the Japanese emperor nominally reigned). In Fascist Italy, the Savoy monarchy under King Victor Emmanuel III coexisted with the Fascist single-party rule of Benito Mussolini; Romania under the Iron Guard and Greece during the first months of the Colonels' regime were similar. Spain under Francisco Franco was officially a monarchy, although there was no monarch on the throne. Upon his death, Franco was succeeded as head of state by the Bourbon heir, Juan Carlos I, and Spain became a democracy with the king as a figurehead constitutional monarch.
Person of monarch
Most monarchies only have a single person acting as monarch at any given time, although two monarchs have ruled simultaneously in some countries, a situation known as diarchy. Historically this was the case in the ancient Greek city-state of Sparta. There are examples of joint sovereignty of spouses, parent and child or other relatives (such as William III and Mary II in the kingdoms of England and Scotland, tsars Peter I and Ivan V of Russia, and Charles I and Joanna of Castile).
Andorra currently is the world's only constitutional diarchy, a co-principality. Located in the Pyrenees between Spain and France, it has two co-princes: the bishop of Urgell in Spain (a prince-bishop) and the president of France (derived ex officio from the French kings, who themselves inherited the title from the counts of Foix). It is the only case in which an independent country's (co-)monarch is democratically elected by the citizens of another country.
In a personal union, separate independent states share the same person as monarch, but each realm retains separate laws and government. The fifteen separate Commonwealth realms are sometimes described as being in a personal union with Queen Elizabeth II as monarch; however, they can also be described as being in a shared monarchy.
A regent may rule when the monarch is a minor, absent, or debilitated.
A pretender is a claimant to an abolished throne or a throne already occupied by somebody else.
Abdication is the act of formally giving up one's monarchical power and status.
Monarchs may mark the ceremonial beginning of their reigns with a coronation or enthronement.
Role of monarch
Monarchy, especially absolute monarchy, is sometimes linked to religious aspects; many monarchs once claimed the right to rule by the will of a deity (Divine Right of Kings, Mandate of Heaven), or a special connection to a deity (sacred king), or even purported to be divine kings, or incarnations of deities themselves (imperial cult). Many European monarchs have been styled Fidei defensor (Defender of the Faith); some hold official positions relating to the state religion or established church.
In the Western political tradition, a morally based, balanced monarchy was stressed as the ideal form of government, and little attention was paid to modern-day ideals of egalitarian democracy: e.g. Saint Thomas Aquinas unapologetically declared: "Tyranny is wont to occur not less but more frequently on the basis of polyarchy [rule by many, i.e. oligarchy or democracy] than on the basis of monarchy." (On Kingship). However, Thomas Aquinas also stated that the ideal monarchical system would also have at lower levels of government both an aristocracy and elements of democracy in order to create a balance of power. The monarch would also be subject to both natural and divine law, and to the Church in matters of religion.
In Dante Alighieri's De Monarchia, a spiritualised, imperial Catholic monarchy is strongly promoted according to a Ghibelline world-view in which the "royal religion of Melchizedek" is emphasised against the priestly claims of the rival papal ideology.
In Saudi Arabia, the king is a head of state who is both the absolute monarch of the country and the Custodian of the Two Holy Mosques of Islam (خادم الحرمين الشريفين).
Titles of monarchs
Monarchs can have various titles. Common European titles of monarchs (in that hierarchical order of nobility) are emperor or empress (from Latin: imperator or imperatrix), king or queen, grand duke or grand duchess, prince or princess, duke or duchess. Some early modern European titles (especially in German states) included elector (German: , Prince-Elector, literally "electing prince"), margrave (German: , equivalent to the French title marquis, literally "count of the borderland"), and burgrave (German: , literally "count of the castle"). Lesser titles include count and princely count. Slavic titles include knyaz and tsar (ц︢рь) or tsaritsa (царица), a word derived from the Roman imperial title Caesar.
In the Muslim world, titles of monarchs include caliph (successor to the Islamic prophet Muhammad and a leader of the entire Muslim community), padishah (emperor), sultan or sultana, shâhanshâh (emperor), shah, malik (king) or malikah (queen), emir (commander, prince) or emira (princess), sheikh or sheikha, imam (used in Oman). East Asian titles of monarchs include huángdì (emperor or empress regnant), tiānzǐ (son of heaven), tennō (emperor) or josei tennō (empress regnant), wang (king) or yeowang (queen regnant), hwangje (emperor) or yeohwang (empress regnant). South Asian and South East Asian titles included mahārāja (high king) or maharani (high queen), raja (king) and rana (king) or rani (queen) and ratu (South East Asian queen). Historically, Mongolic and Turkic monarchs have used the title khan and khagan (emperor) or khatun and khanum; Ancient Egyptian monarchs have used the title pharaoh for men and women. In Ethiopian Empire, monarchs used title nəgusä nägäst (king of kings) or nəgəstä nägäst (queen of kings).
Many monarchs are addressed with particular styles or manners of address, like "Majesty", "Royal Highness", "By the Grace of God", Amīr al-Mu'minīn ("Leader of the Faithful"), Hünkar-i Khanedan-i Âl-i Osman, "Sovereign of the Sublime House of Osman"), Duli Yang Maha Mulia Seri Paduka Baginda ("Majesty"), Jeonha ("Majesty"), Tennō Heika (literally "His Majesty the heavenly sovereign"), Bìxià ("Bottom of the Steps").
Sometimes titles are used to express claims to territories that are not held in fact (for example, English claims to the French throne), or titles not recognised (antipopes). Also, after a monarchy is deposed, often former monarchs and their descendants are given alternative titles (the King of Portugal was given the hereditary title Duke of Braganza).
Non-sovereign monarchies
A non-sovereign monarchy is one where the monarch is subject to a temporal authority higher than their own. Some are dependent on other powers (see vassals, suzerainty, puppet state, hegemony). In the British colonial era indirect rule under a paramount power existed, such as the princely states under the British Raj.
In Botswana, South Africa, Ghana and Uganda, the ancient kingdoms and chiefdoms that were met by the colonialists when they first arrived on the continent are now constitutionally protected as regional or sectional entities.
Furthermore, in Nigeria, though the hundreds of sub-regional polities that exist there are not provided for in the current constitution, they are nevertheless legally recognised aspects of the structure of governance that operates in the nation. For example, the Yoruba city-state of Akure in south-western Nigeria is something of an elective monarchy: its reigning Oba Deji has to be chosen by an electoral college of nobles from amongst a finite collection of royal princes of the realm upon the death or removal of an incumbent.
In addition to these five countries, non-sovereign monarchies of varied sizes and complexities exist all over the rest of the continent of Africa.
Statehood
Monarchies pre-date polities like nation states and even territorial states. A nation or constitution is not necessary in a monarchy since a person, the monarch, binds the separate territories and political legitimacy (e.g. in personal union) together.
Monarchies, though, have applied state symbols like insignia or abstracts like the concept of the Crown to create a state identity, which is to be carried and occupied by the monarch, but represents the monarchy even in absence and succession of the monarch.
Nevertheless, monarchies can also be bound to territories (e.g., the King of Norway) and peoples (e.g., the King of the Belgians).
Succession
Hereditary monarchies
In a hereditary monarchy, the position of monarch is inherited according to a statutory or customary order of succession, usually within one royal family tracing its origin through a historical dynasty or bloodline. This usually means that the heir to the throne is known well in advance of becoming monarch to ensure a smooth succession.
Primogeniture, in which the eldest child of the monarch is first in line to become monarch, is the most common system in hereditary monarchy. The order of succession is usually affected by rules on gender. Historically "agnatic primogeniture" or "patrilineal primogeniture" was favoured, that is inheritance according to seniority of birth among the sons of a monarch or head of family, with sons and their male issue inheriting before brothers and their issue, and male-line males inheriting before females of the male line. This is the same as semi-Salic primogeniture. Complete exclusion of females from dynastic succession is commonly referred to as application of the Salic law (see Terra salica).
Before primogeniture was enshrined in European law and tradition, kings would often secure the succession by having their successor (usually their eldest son) crowned during their own lifetime, so for a time there would be two kings in coregency—a senior king and a junior king. Examples were Henry the Young King of England and the early Direct Capetians in France. Sometimes, however, primogeniture can operate through the female line.
In 1980, Sweden became the first European monarchy to declare equal (full cognatic) primogeniture, meaning that the eldest child of the monarch, whether female or male, ascends to the throne. Other kingdoms (such as the Netherlands in 1983, Norway in 1990, Belgium in 1991, Denmark in 2009, and Luxembourg in 2011) have since followed suit. The United Kingdom adopted absolute (equal) primogeniture (subject to the claims of existing heirs) on April 25, 2013, following agreement by the prime ministers of the sixteen Commonwealth Realms at the 22nd Commonwealth Heads of Government Meeting.
In the absence of children, the next most senior member of the collateral line (for example, a younger sibling of the previous monarch) becomes monarch. In complex cases, this can mean that there are closer blood relatives to the deceased monarch than the next in line according to primogeniture. This has often led, especially in Europe in the Middle Ages, to conflict between the principle of primogeniture and the principle of proximity of blood.
Other hereditary systems of succession included tanistry, which is semi-elective and gives weight to merit and Agnatic seniority. In some monarchies, such as Saudi Arabia, succession to the throne first passes to the monarch's next eldest brother, and only after that to the monarch's children (agnatic seniority). However, on June 21, 2017, King Salman of Saudi Arabi revolted against this style of monarchy and elected his son to inherit the throne.
Elective monarchies
In an elective monarchy, monarchs are elected or appointed by somebody (an electoral college) for life or a defined period, but then reign like any other monarch. There is no popular vote involved in elective monarchies, as the elective body usually consists of a small number of eligible people. Historical examples of elective monarchy are the Holy Roman Emperors (chosen by prince-electors but often coming from the same dynasty) and the free election of kings of the Polish–Lithuanian Commonwealth. For example, Pepin the Short (father of Charlemagne) was elected King of the Franks by an assembly of Frankish leading men; nobleman Stanisław August Poniatowski of Poland was an elected king, as was Frederick I of Denmark. Germanic peoples also had elective monarchies.
Six forms of elective monarchies exist today. The pope of the Roman Catholic Church (who rules as Sovereign of the Vatican City State) is elected for life by the College of Cardinals. In the Sovereign Military Order of Malta, the Prince and Grand Master is elected for life tenure by the Council Complete of State from within its members. In Malaysia, the federal king, called the Yang di-Pertuan Agong or Paramount Ruler, is elected for a five-year term from among and by the hereditary rulers (mostly sultans) of nine of the federation's constitutive states, all on the Malay peninsula. The United Arab Emirates also chooses its federal leaders from among emirs of the federated states. Furthermore, Andorra has a unique constitutional arrangement as one of its heads of state is the President of the French Republic in the form of a Co-Prince. This is the only instance in the world where the monarch of a state is elected by the citizens of a different country. In New Zealand, the Maori King, head of the Kingitanga Movement, is elected by a council of Maori elders at the funeral of their predecessor, which is also where their coronation takes place. All of the Heads of the Maori King Movement have been descendants of the first Maori King, Potatau Te Wherowhero, who was elected and became King in June 1858. The current monarch is King Tuheitia Potatau Te Wherowhero VII, who was elected and became King on 21 August 2006, the same day as the funeral of his mother, Te Arikinui Dame Te Atairangikaahu, the first Maori Queen. As well as being King and head of the Kingitanga Movement, King Tuheitia is also ex officio the Paramount Chief of the Waikato-Tainui tribe.
Appointment by the current monarch is another system, used in Jordan. It also was used in Imperial Russia; however, it was soon changed to semi-Salic because the instability of the appointment system resulted in an age of palace revolutions. In this system, the monarch chooses the successor, who is always his relative.
Other ways of succession
Other ways to success a monarchy can be through claiming alternative votes (e.g. as in the case of the Western Schism), claims of a mandate to rule (e.g. a popular or divine mandate), military occupation, a coup d'état, a will of the previous monarch or treaties between factions inside and outside of a monarchy (e.g. as in the case of the War of the Spanish Succession).
By accession
The legitimacy and authorities of monarchs are often proclaimed and recognized through occupying and being invested with insignia, seats, deeds and titles, like in the course of coronations.
This is especially employed to legitimize and settle disputed successions, changes in ways of succession, status of a monarch (e.g. as in the case of the privilegium maius deed) or new monarchies altogether (e.g. as in the case of the Coronation of Napoleon I).
Dynasties
Succession is often based on the expected continuation of a dynastic period or association in a dynastic union, which is sometimes challenged by diverging lineage and legitimism.
Succession crisis
In cases of succession challenges it can be instrumental for pretenders to secure or install legitimacy through the above, for example proof of accession like insignia, through treaties or a claim of a divine mandate to rule (e.g. by Hong Xiuquan and his Taiping Heavenly Kingdom).
Current monarchies
Currently, there are 43 nations and a population of roughly half a billion people in the world with a monarch as head of state. They fall roughly into the following categories:
Commonwealth realms
Queen Elizabeth II is, separately, monarch of fifteen Commonwealth realms (Antigua and Barbuda, the Commonwealth of Australia, the Commonwealth of the Bahamas, Belize, Canada, Grenada, Jamaica, New Zealand, the Independent State of Papua New Guinea, the Federation of Saint Christopher and Nevis, Saint Lucia, Saint Vincent and the Grenadines, the Solomon Islands, Tuvalu and the United Kingdom of Great Britain and Northern Ireland). They evolved out of the British Empire into fully independent states within the Commonwealth of Nations that retain the Queen as head of state. All fifteen realms are constitutional monarchies and full democracies where the Queen has limited powers or a largely ceremonial role. The Queen is head of the Church of England (the established church of England), while the other 14 realms do not have a state religion.
Other European constitutional monarchies
The Principality of Andorra, the Kingdom of Belgium, the Kingdom of Denmark, the Grand Duchy of Luxembourg, the Kingdom of the Netherlands, the Kingdom of Norway, the Kingdom of Spain, and the Kingdom of Sweden are fully democratic states in which the monarch has a limited or largely ceremonial role. In some cases, there is a Christian religion established as the official church in each of these countries. This is the Lutheran form of Protestantism in Norway, Sweden, and Denmark, while Andorra is a Roman Catholic country. Spain, Belgium, and the Netherlands have no official state religion. Luxembourg, which is predominantly Roman Catholic, has five so-called officially recognized cults of national importance (Roman Catholicism, Protestantism, Greek Orthodoxy, Judaism, and Islam), a status which gives those religions some privileges like the payment of a state salary to their priests.
Andorra is unique among all existing monarchies, as it is a diarchy, with the co-princes being shared by the president of France and the bishop of Urgell. This situation, based on historical precedence, has created a peculiar situation among monarchies, as:
neither of the co-princes is of Andorran descent;
one is elected by citizens of a foreign country (France), but not by Andorrans as they cannot vote in the French presidential elections; and
the other, the bishop of Urgel, is appointed by a foreign head of state, the pope.
European semi constitutional monarchies
A semi-constitutional monarchy is a monarchy where the monarch rules according to a democratic constitution but still retains substantial powers. The Principality of Liechtenstein and the Principality of Monaco are European semi constitutional monarchies. For example, the 2003 Constitution referendum gave the Prince of Liechtenstein the power to veto any law that the Landtag (parliament) proposes, while the Landtag can veto any law that the Prince tries to pass. The prince can appoint or dismiss any elective member or government employee. However, he is not an absolute monarch, as the people can call for a referendum to end the monarch's reign. When Hereditary Prince Alois threatened to veto a referendum to legalize abortion in 2011, it came as a surprise because the prince had not vetoed any law for over 30 years. The prince of Monaco has simpler powers; he cannot appoint or dismiss any elective member or government employee to or from his or her post, but he can elect the minister of state, government council and judges. Both Albert II, Prince of Monaco, and Hans-Adam II, Prince of Liechtenstein, are theoretically very powerful within their small states, but they have very limited power compared to the Islamic monarchs (see below). They also own huge tracts of land and are shareholders in many companies.
Islamic monarchies
The Islamic monarchs of the Islamic Emirate of Afghanistan, the Kingdom of Bahrain, the State of Brunei Darussalam, the Hashemite Kingdom of Jordan, the State of Kuwait, Malaysia, the Kingdom of Morocco, the Sultanate of Oman, the State of Qatar, the Kingdom of Saudi Arabia, and the United Arab Emirates generally retain far more powers than their European or Commonwealth counterparts. Brunei Darussalam, Oman, and Saudi Arabia remain absolute monarchies; Bahrain, Kuwait, and United Arab Emirates are classified as mixed, meaning there are representative bodies of some kind, but the monarch retains most of his powers. Jordan, Malaysia, and Morocco are constitutional monarchies, but their monarchs still retain more substantial powers than European equivalents.
East and Southeast Asian constitutional monarchies
The Kingdom of Bhutan, the Kingdom of Cambodia, the Kingdom of Thailand and Japan are constitutional monarchies where the monarch has a limited or merely ceremonial role. Bhutan made the change in 2008. Cambodia had its own monarchy after independence from the French Colonial Empire, but it was deposed after the Khmer Rouge came into power. The monarchy was subsequently restored in the peace agreement of 1993. Thailand transitioned into a constitutional monarchy over the course of the 20th Century.
Other monarchies
Five monarchies do not fit into any of the above groups by virtue of geography or class of monarchy: the Kingdom of Tonga in Polynesia; the Kingdom of Eswatini and the Kingdom of Lesotho in Africa; the Vatican City State in Europe and the Sovereign Military Order of Malta. Of these, Lesotho and Tonga are constitutional monarchies, while Eswatini and the Vatican City are absolute monarchies.
Eswatini is unique among these monarchies, often being considered a diarchy: the King, or Ngwenyama, rules alongside his mother, the Ndlovukati, as dual heads of state. This was originally intended to provide a check on political power. The Ngwenyama, however, is considered the administrative head of state, while the Ndlovukati is considered the spiritual and national head of state, a position which more or less has become symbolic in recent years.
The Pope is the absolute monarch of the Vatican City State (a separate entity from the Holy See) by virtue of his position as head of the Roman Catholic Church and Bishop of Rome; he is an elected rather than a hereditary ruler, and does not have to be a citizen of the territory prior to his election by the cardinals.
The Order of Malta describes itself as a "sovereign subject" based on its unique history and unusual present circumstances, but its exact status in international law is a subject of debate.
In Samoa, the position of head of state is described in Part III of the 1960 Samoan constitution. At the time the constitution was adopted, it was anticipated that future heads of state would be chosen from among the four Tama a 'Aiga "royal" paramount chiefs. However, this is not required by the constitution, and, for this reason, Samoa can be considered a republic rather than a constitutional monarchy.
The ruling Kim family in North Korea (Kim Il-sung, Kim Jong-il and Kim Jong-un) has been described as a de facto absolute monarchy or a "hereditary dictatorship". In 2013, Clause 2 of Article 10 of the new edited Ten Fundamental Principles of the Korean Workers' Party states that the party and revolution must be carried "eternally" by the "Baekdu (Kim's) bloodline". This though does not mean it is a de jure absolute monarchy, as the country's name is the Democratic Republic of Korea.
The al-Assad ruling Syria (Hafez al-Assad and Bashar al-Assad ) have also been described as a de facto absolute monarchy or a "hereditary dictatorship". After the death of Hafez Al-Assad in 2000, the Constitution of Syria was amended for the minimum age of the President to change from 40 to 34, which allowed 34 year old Bashar al-Assad to become president. This though does not mean it is a de jure absolute monarchy, as the country's name is the Syrian Arab Republic.
Long form titles for the country
Kingdom: Bahrain, Belgium, Bhutan, Cambodia, Denmark, Eswatini, Kuwait, Lesotho, Morocco, Netherlands, Norway, Saudi Arabia, Spain, Sweden, Thailand, Tonga, United Kingdom
State: Kuwait, Qatar, Japan (de facto)
Principality: Andorra, Liechtenstein, Monaco
Federation: Saint Kitts and Nevis, Malaysia (de facto)
Commonwealth: Australia, Bahamas
Sultanate: Oman
Nation: Brunei Darussalam
Grand Duchy: Luxembourg
City State: Vatican
Independent State: Papua New Guinea
Emirate: United Arab Emirates
None: Antigua and Barbuda, Belize, Canada, Grenada, Jamaica, Japan, Malaysia, New Zealand, Saint Lucia, Saint Vincent and the Grenadines, Solomon Islands, Tuvalu
See also
Absolute monarchy
Abolition of monarchy
Autocracy
Cloistered rule
Criticism of monarchy
Diarchy
Empire
Family as a model for the state
Family dictatorship
Federal monarchy
Hereditary monarchy
List of current constituent monarchs
List of current monarchies
List of current sovereign monarchs
List of living former sovereign monarchs
List of fictional monarchs
List of monarchies
List of monarchs by nickname
List of royalty by net worth
List of usurpers
Monarchism
Order of succession
President for life
Pretender
Personal union
Royal and noble ranks
Notes and references
Notes
References
External links
The Constitutional Monarchy Association in the UK
Positions of authority
Titles
Constitutional state types
Political systems |
19018 | https://en.wikipedia.org/wiki/Mouthpiece | Mouthpiece | Mouthpiece may refer to:
The part of an object which comes near or in contact with one's mouth or nose during use
Mouthpiece (smoking pipe) or cigarette holder
Mouthpiece (telephone handset)
Mouthpiece (woodwind), a component of a woodwind instrument
Mouthpiece (brass), a component of a brass instrument
Mouthpiece (scuba), a component of a scuba diving or industrial breathing set
Mouthpiece (snorkel), a device attached to demand end of swimmer's or diver's breathing tube
Mouthguard, a device protecting the teeth from injury, also known as mouth piece
Other
The Mouthpiece, a 1932 crime drama film directed by James Flood and Elliott Nugent
Mouthpiece (play), a 2015 Canadian play by Norah Sadava and Amy Nostbakken
Mouthpiece (film), a 2018 Canadian drama film inspired by the 2015 play
Mouthpiece (comics), a DC comics character
Mouthpiece (band), a hardcore punk band
Figuratively and with negative connotations to indicate the role of a spokesperson or mass media venue that is used to perpetuate the views or agenda of another, as in "the newspaper became a mouthpiece for its owner's political views"
See also
Mouth (disambiguation)
Nose (disambiguation)
Piece (disambiguation) |
19019 | https://en.wikipedia.org/wiki/Mr.%20T | Mr. T | Mr. T (born Laurence Tureaud, May 21, 1952), is an American actor and professional wrestler. He is known for his roles as B. A. Baracus in the 1980s television series The A-Team and as boxer Clubber Lang in the 1982 film Rocky III. He is also known for his distinctive hairstyle inspired by Mandinka warriors in West Africa, his copious gold jewelry, his tough-guy persona and his catchphrase "I pity the fool!", first uttered as Clubber Lang in Rocky III, then turned into a trademark used in slogans or titles, like the reality show I Pity the Fool in 2006.
Early life
Mr. T was born Laurence Tureaud in Chicago, Illinois, the youngest son in a family with twelve children. Tureaud, with his four sisters and seven brothers, grew up in a three-room apartment in the Robert Taylor Homes. His father, Nathaniel Tureaud, was a minister. After his father left when he was five, he shortened his name to Lawrence Tero. In 1970, he legally changed his last name to T. His new name, Mr. T., was based upon his childhood impressions regarding the lack of respect from white people for his family:
I think about my father being called 'boy', my uncle being called 'boy', my brother, coming back from Vietnam and being called 'boy'. So I questioned myself: "What does a black man have to do before he's given respect as a man?" So when I was 18 years old, when I was old enough to fight and die for my country, old enough to drink, old enough to vote, I said I was old enough to be called a man. I self-ordained myself Mr. T, so the first word out of everybody's mouth is "Mr."
Tureaud attended Dunbar Vocational High School, where he played football, wrestled, and studied martial arts. While at Dunbar he became the citywide wrestling champion two years in a row. He won a football scholarship to Prairie View A&M University, where he majored in mathematics, but was expelled after his first year.
After Tureaud left Prairie View A&M, he worked as a gym instructor for a government program in Chicago. He later said it was here that he discovered a gift for helping children.
He then enlisted in the United States Army in 1975 and served in the Military Police Corps. After his discharge in the late 1970s, he tried out for the Green Bay Packers of the National Football League, but failed to make the team due to a knee injury.
Tureaud next worked as a bouncer at the Rush Street club Dingbats Discotheque. It was at this time that he created the persona of Mr. T. His wearing of gold neck chains and other jewelry was the result of customers losing the items or leaving them behind at the night club after a fight. A banned customer, or one reluctant to risk a confrontation by going back inside, could return to claim his property from Mr. T wearing it conspicuously right out front. Along with controlling the violence as a doorman, Tureaud was mainly hired to keep out drug dealers and users. Tureaud claims that as a bouncer, he was in over 200 fights and was sued a number of times, but won each case.
He eventually parlayed his job as a bouncer into a career as a bodyguard that lasted almost ten years. As his reputation grew, he was contracted to guard, among others, clothes designers, models, judges, politicians, athletes and millionaires. His clients included celebrities such as Steve McQueen, Michael Jackson, LeVar Burton, and Diana Ross, and boxers such as Muhammad Ali, Joe Frazier, and Leon Spinks. With his reputation as "Mr. T", Tureaud attracted strange offers and was frequently approached with odd commissions, including tracking runaway teenagers, locating missing persons, debt collection, and assassination requests.
While he was in his late twenties, Tureaud won two tough-man competitions consecutively. The first aired as "Sunday Games" on NBC-TV under the contest of "America's Toughest Bouncer" which included throwing a stuntman, and breaking through a wooden door. For the first event, Tureaud came in third place. For the end, two finalists squared off in a boxing ring for a two-minute round to declare the champion. Making it to the ring as a finalist, he had as his opponent a Honolulu bouncer named Tutefano Tufi. Within twenty seconds "Mr. T" gave the six foot five competitor a bloody nose, and later a bloody mouth. He won the match and thus the competition. The second competition was aired under the new name "Games People Play" on NBC-TV. When interviewed by Bryant Gumbel before the final boxing match, Mr T. said, "I just feel sorry for the guy who I have to box. I just feel real sorry for him." This fight was scheduled to last three rounds, but Mr. T finished it in less than 54 seconds. The line, "I don't hate him but... I pity the fool" in the movie Rocky III was written by Sylvester Stallone, who is reputed to have been inspired by the interview.
Acting roles and other work
While reading National Geographic, Mr. T first noticed the unusual hairstyle for which he is now famous, on a Mandinka warrior. He decided that adoption of the style would be a powerful statement about his African origin. It was a simpler, safer, and more permanent visual signature than his gold chains, rings, and bracelets.
In 1980, Mr. T was spotted by Sylvester Stallone while taking part in NBC's "America's Toughest Bouncer" competition, a segment of NBC's Games People Play. Although his role in Rocky III was originally intended as just a few lines, Mr. T was eventually cast as Clubber Lang, the primary antagonist. His catchphrase "I pity the fool!" comes from the film; when asked if he hates Rocky, Lang replies, "No, I don't hate Balboa, but I pity the fool." He subsequently appeared in another boxing film, Penitentiary 2, and on an episode of the Canadian sketch comedy series Bizarre, where he fights and eats Super Dave Osborne, before accepting a television series role on The A-Team. He also appeared in an episode of Silver Spoons, reprising his old role as bodyguard to the character Ricky Stratton (played by Ricky Schroder). In the episode, he explains his name as "First name: Mister; middle name: period; last name T." In one scene, when Ricky's class erupts into a paper-ball-throwing melee, Mr. T throws his body in front of the flying papers.
In The A-Team, he played Sergeant Bosco "B. A." Baracus, an ex-Army commando on the run with three other members from the United States government "for a crime they didn't commit." As well as the team's tough guy, B. A. was a mechanical genius, but afraid of flying. When asked at a press conference whether he was as stupid as B. A. Baracus, Mr. T observed quietly, "It takes a smart guy to play dumb." The series was a major hit, and B. A. Baracus in particular quickly became a cult character and the de facto star of the show, reportedly sparking tensions with seasoned actor George Peppard, although Mr. T always maintained that these were unfounded rumors.Mr. T was reported to be earning $80,000 a week for his role in The A-Team.
His role in The A-Team led to him making an appearance in the long-running sit-com Diff'rent Strokes in the sixth season opener "Mr. T and Mr. t" (1983), in which an episode of The A-Team is supposedly filmed in the family's penthouse apartment.
Also in 1983, a Ruby-Spears-produced cartoon called Mister T premiered on NBC. The Mister T cartoon starred Mr. T as his alter ego, the owner of a gym where a group of gymnasts trained. He helped them with their training but they also helped him solve mysteries and fight crime in Scooby-Doo-style scenarios; thirty episodes were produced. Each episode was bookended by Mr. T himself, presenting the theme of the episode, and then a closing statement on a lesson for children, based on the events of the episode.
The year 1983 also marked the release of the only film that can be called a Mr. T vehicle, DC Cab. The movie featured an ensemble cast, many of whom were publicized figures from other areas of show business – comics Paul Rodriguez, Marsha Warfield, singer Irene Cara, bodybuilders David and Peter Paul (the "Barbarian Brothers") – but who had only modest acting experience. Despite the wide range of performers, and more seasoned actors such as Adam Baldwin as the protagonist Albert, as well as Gary Busey and Max Gail, Mr. T was top billed and the central figure in the film's publicity, with him literally towering over the other characters on the film's poster. While the film, featuring the ensemble as a ragtag taxi company trying to hustle their way to solvency and respectability, performed modestly at the box office, its $16 million take exceeded its $12 million budget, it received mixed reviews critically. Janet Maslin, writing for The New York Times, described it as "a musical mob scene, a raucous, crowded movie that's fun as long as it stays wildly busy, and a lot less interesting when it wastes time on plot or conversation." Roger Ebert praised the movie's "mindless, likable confusion" and criticized its "fresh off the assembly line" plot. It was the second feature in a prolific career for director Joel Schumacher.
In 1984, he made a motivational video called Be Somebody... or Be Somebody's Fool!. He gives helpful advice to children throughout the video; for example, he teaches them how to understand and appreciate their origins, how to dress fashionably without buying designer labels, how to make tripping up look like breakdancing, how to control their anger, and how to deal with peer pressure. The video is roughly one hour long, but contains 30 minutes of singing, either by the group of children accompanying him, or by Mr. T himself. He sings "Treat Your Mother Right (Treat Her Right)," and also raps a song about growing up in the ghetto and praising God. The raps in this video were written by Ice-T. Due to its unintentionally comic nature, many clips have been made from this video and shared as Internet memes. Also in 1984, he played the protagonist of the TV movie The Toughest Man in the World, as Bruise Brubaker, a bouncer also leading a sports center for teenagers, who takes part in a strong man championship to get funds for the center. He also released a rap mini-album called Mr. T's Commandments (Columbia/CBS Records) the same year, featuring seven songs, including the title theme for the aforementioned TV movie. In much the same tone as his motivational video, it instructed children to stay in school and to stay away from drugs. He followed it up the same year with a second album, titled Mr. T's Be Somebody... or Be Somebody's Fool! (MCA Records), featuring music from the eponymous film.
During those busy years, he made numerous appearances in television shows, most notably hosting the 15th episode of the 10th season of Saturday Night Live, along with Hulk Hogan. He had previously appeared on Saturday Night Live (season 8) in October 1982, fresh from his role in Rocky III, in a recurring skit by Eddie Murphy called "Mr. Robinson Neighborhood" (making a reference to one of his lines in the movie : "Hello boys and girls. The new word for today... is PAIN.").
On January 19, 1985, he introduced Rich Little at the nationally televised 50th Presidential Inaugural Gala, the day before the second inauguration of Ronald Reagan.
In 1988, after the cancellation of The A Team, Mr. T starred in the syndicated Canadian television series T. and T.
Earning $15,000 for personal appearances, by the end of the 1990s, he was appearing only in the occasional commercial, largely because of health problems.
He frequently appears on the TBN Christian television network.
In 2002, Mr. T appeared as a bartender in the video for "Pass the Courvoisier, Part II" by Busta Rhymes featuring Sean Combs and Pharrell Williams.
In the 2009 animated movie Cloudy with a Chance of Meatballs, Mr. T provided the voice for Officer Earl Devereaux, the town's athletic cop who loves his son very much. Mr. T was offered a cameo appearance in the film adaptation of The A-Team, but decided to turn it down, whereas Dwight Schultz and Dirk Benedict both made cameos in the film. These scenes were shown after the credits, but were reinserted during the film in the Extended Cut. Although he wasn't disturbed at the mere prospect of an "A-Team" movie being made without him, he vehemently criticized the concept of having another actor copy his own very distinct appearance and style (including his haircut and gold chains) in the hope of attracting his nostalgic fanbase, and considered that asking him to do a cameo appearance in those conditions was disrespectful.
Starting in 2011, Mr. T presented a clip show on BBC Three named World's Craziest Fools. The show featured stories such as botched bank robberies and inept insurance fraudsters alongside fail videos. In 2015, it was announced that Mr. T would star in a do it yourself home improvement TV show, with interior designer Tiffany Brooks, on the DIY Network. The show, due sometime in 2015, was to be titled, "I Pity the Tool", another variation on his famous catchphrase, but only one episode was aired, for reasons unknown.
On March 1, 2017, Mr. T was revealed as one of the contestants who would compete on season 24 of Dancing with the Stars. He was paired with professional dancer Kym Herjavec. On April 10, 2017, Mr. T and Herjavec were the third couple to be eliminated from the competition, finishing in 10th place. He vowed to donate the money received from this participation to the Saint Jude Children's Research Hospital and the Shriners Hospitals for Children.
Commercials
Mr. T has been involved in numerous commercials, including for Snickers, World of Warcraft, MCI, Comcast, and RadioShack. Forbes has described him as "one of the most enduring pitchmen in the business." Mr. T has described himself as "not really an actor, I'm a reactor; I'm a pitchman." At his peak, he was earning $5 million per year.
Mr. T did a video campaign for Hitachi's Data Systems that was created and posted on consumer video sites including YouTube and Yahoo! Video. According to Steven Zivanic, senior director and corporate communications of HDS, "this campaign has not only helped the firm in its own area, but it has given the data storage firm a broader audience." In November 2007, Mr. T appeared in a television commercial for the online role playing game World of Warcraft with the phrase "I'm Mr. T and I'm a Night Elf Mohawk". A follow-up to this commercial appeared in November 2009 where he appeared promoting the "mohawk grenade" item, which appears in game and turns other players into Mr. T's likeness.
In 2008, Mr. T appeared on the American channel Shopping TV selling his "Mr. T Flavorwave Oven". In 2009, ZootFly announced they had acquired the rights to the Mr. T Graphic Novel and were planning several video games based upon the work. The first (and only) game, "Mr. T: The Videogame", was to have Mr. T battle Nazis in various locations and guest star Wil Wright. It was planned to be available on the Xbox 360, PS3, Wii and PC platforms, however the game was cancelled for undisclosed reasons.
The same year, he appeared on commercials in the United Kingdom, Ireland, Australia, and New Zealand advertising the chocolate bar Snickers with the slogan "Get Some Nuts!" One of these commercials featured Mr. T on an army jeep calling a speed walker wearing yellow shorts "a disgrace to the man race" (a pun on the double meaning of the word "race") and firing Snickers bars at the man with a custom-made machine gun so that he starts "running like a real man". This commercial was pulled by Mars following a complaint by the U.S.-based group Human Rights Campaign, although the advert had never been shown in the United States. The group alleged that the commercial promoted the idea that violence against gay, lesbian, bisexual and transgender people "is not only acceptable, but humorous." Mr. T distanced himself from these accusations, insisting that he would never lend his name to such beliefs, and that he did not think the commercial was offensive to anyone, as all the commercials he appeared in had a similarly silly, over-the-top nature and were never intended to be taken seriously.
In 2010, Mr. T signed up as the spokesman for Gold Promise, a gold-buying company. According to an appraiser hired by Bloomberg Television's Taking Stock, his trademark gold jewelry was worth around $43,000 in 1983, although some sources claim the gold jewelry was worth up to $300,000.
In 2015, he starred in a series of Fuze Iced Tea advertisements, stating, "The only thing bolder than Fuze Iced Tea is ME!" The brand, owned by Coca-Cola, also briefly centered its social profiles and website around Mr. T.
Professional wrestling
Mr. T entered the world of professional wrestling in 1985. He was Hulk Hogan's tag-team partner at the World Wrestling Federation's (WWF) WrestleMania I which he won. Hulk Hogan wrote in his autobiography that Mr. T saved the main event of WrestleMania I between them and "Rowdy" Roddy Piper and "Mr. Wonderful" Paul Orndorff because when he arrived, security would not let his entourage into the building. Mr. T was ready to skip the show until Hogan personally talked him out of leaving. Piper has said that he and other fellow wrestlers disliked Mr. T because he was an actor and had never paid his dues as a professional wrestler. Remaining with the WWF, Mr. T became a special "WWF boxer" in light of his character in Rocky III. He took on "Cowboy" Bob Orton on the March 1, 1986 Saturday Night's Main Event V, on NBC. This boxing stunt culminated in another boxing match against Roddy Piper at WrestleMania 2. As part of the build-up for the match, Piper attacked Mr. T's friend, midget wrestler the Haiti Kid on his Piper's Pit interview slot, shaving his head into a mohican style similar to that of Mr. T. Then Mr. T won the boxing match in Round 4 by Disqualification after Piper attacked the referee and bodyslammed Mr. T. He returned to the World Wrestling Federation as a special guest referee in 1987 as well as a special referee enforcer confronting such stars as The Honky Tonk Man.
On July 21, 1989, Mr. T. made an appearance in World Class Championship Wrestling (WCCW), seconding Kerry Von Erich. Five years later, Mr. T reappeared in WCW, first appearing in Hulk Hogan's corner for his WCW world title match against Ric Flair at Bash at the Beach 1994. He would next appear as a special referee for the HoganFlair rematch in October 1994 at Halloween Havoc, and then went on to wrestle again, defeating Kevin Sullivan at that year's Starrcade. Another seven years later Mr. T appeared in the front row of the November 19, 2001, episode of WWF Raw. On April 5, 2014, at the Smoothie King Center in New Orleans, Mr. T was inducted by Gene Okerlund into the WWE Hall of Fame's celebrity wing. His acceptance speech, largely a tribute to his mother and motherhood rather than wrestling, ran long and was eventually interrupted by Kane.
Personal life
Mr. T is a born-again Christian. Mr. T has three children; two daughters, one of whom is a comedian, and a son from his ex-wife.
In 1987, he angered the residents of Lake Forest, Illinois, by cutting down more than a hundred oak trees on his estate. The local newspaper referred to the incident as "the Lake Forest Chain Saw Massacre".
In 1995, he was diagnosed with a cutaneous T-cell lymphoma, or mycosis fungoides. Once in remission, he joked about the coincidence: "Can you imagine that? Cancer with my name on it — personalized cancer!" He wrote an as-yet unpublished book on this experience, called Cancer Saved My Life (Cancer Ain't For No Wimps). He made a direct reference to it as he performed a waltz to the song Amazing Grace in Dancing with the Stars.
He stopped wearing virtually all his gold, one of his identifying marks, after helping with the cleanup after Hurricane Katrina in 2005. He said, "As a Christian, when I saw other people lose their lives and lose their land and property ... I felt that it would be a sin before God for me to continue wearing my gold. I felt it would be insensitive and disrespectful to the people who lost everything, so I stopped wearing my gold."
Mr. T often refers to himself in the third person. He also frequently talks in rhymes. He cites Muhammad Ali as his "childhood hero" and his main inspiration with regard to style and mannerisms.
In popular culture
Eddie Murphy made references to Mr. T in his 1983 stand-up special Eddie Murphy Delirious, as part of a now controversial segment where Murphy did impersonations of male celebrities, including Jackie Gleason, having gay sex.
The pop punk band The Mr. T Experience is named after him.
Mr. T was featured in the Epic Rap Battles of History episode Mr. T vs. Mr. Rogers, in which he was portrayed by DeStorm Power.
A parody of Mr. T is played by actor C.T. Fletcher in the 2018 martial arts comedy Fury of the Fist and the Golden Fleece.
Filmography
Film
Television
See also
Mr. T Cereal
References
Bibliography
External links
1952 births
Living people
20th-century American male actors
20th-century Christians
21st-century American male actors
21st-century Christians
African-American Christians
African-American male actors
African-American male professional wrestlers
African-American television personalities
American autobiographers
American male film actors
American male professional wrestlers
American male television actors
American male voice actors
American military police officers
Bodyguards
Columbia Records artists
Dunbar Vocational High School alumni
Illeists
Male actors from Chicago
Military personnel from Illinois
Prairie View A&M Panthers football players
Professional wrestling referees
Sportspeople from Chicago
United States Army soldiers
Writers from Chicago
WWE Hall of Fame inductees |
19020 | https://en.wikipedia.org/wiki/Morphology | Morphology | Morphology, from the Greek and meaning "study of shape", may refer to:
Disciplines
Morphology (archaeology), study of the shapes or forms of artifacts
Morphology (astronomy), study of the shape of astronomical objects such as nebulae, galaxies, or other extended objects
Morphology (biology), the study of the form or shape of an organism or part thereof
Morphology (folkloristics), the structure of narratives such as folk tales
Morphology (linguistics), the study of the structure and content of word forms
Mathematical morphology, a theoretical model based on lattice theory, used for digital image processing
River morphology, the field of science dealing with changes of river platform
Urban morphology, study of the form, structure, formation and transformation of human settlements
Geomorphology, the study of landforms
Morphology (architecture and engineering), research which is based on theories of two-dimensional and three-dimensional symmetries, and then uses these geometries for planning buildings and structures
Other
Journal of Morphology, peer-reviewed scientific journal of anatomy and morphology
Morphology (journal), peer-reviewed academic journal in linguistic morphology
Morphology, 1994 album by Finnish band Neuroactive
See also
Morphological analysis (disambiguation) |
19021 | https://en.wikipedia.org/wiki/Malm%C3%B6 | Malmö | Malmö (, ; ) is the largest city in the Swedish county (län) of Scania (Skåne). It is the third-largest city in Sweden, after Stockholm and Gothenburg, and the sixth-largest city in the Nordic region, with a population of 316,588 (municipal total 350,647 in 2021). The Malmö Metropolitan Region is home to over 700,000 people, and the Greater Copenhagen region, which includes Malmö as well as Copenhagen, is home to 4 million people. Malmö is considered a gamma-level global city by the Globalization and World Cities Research Network.
Malmö was one of the earliest and most industrialised towns in Scandinavia, but it struggled to adapt to post-industrialism. Since the 2000 completion of the Öresund Bridge, Malmö has undergone a major transformation, producing new architectural developments, supporting new biotech and IT companies, and attracting students through Malmö University and other higher education facilities. Over time, Malmö's demographics have changed and by the turn of the 2020s almost half the municipal population had a foreign background. The city contains many historic buildings and parks, and is also a commercial centre for the western part of Skåne County. It is also home to Malmö FF, the Swedish football club with the most national championships and the only Nordic club to have reached the European Cup final.
Malmö has a mild climate for the latitude and, normally, average high temperatures remain above freezing in winter, with prolonged snow cover being rare.
Malmö is currently Sweden's fastest growing city and the population increased with 3,783 inhabitants during 2020. Malmö is expected to have a population of 500,000 around 2050.
History
The earliest written mention of Malmö as a city dates from 1275. It is thought to have been founded shortly before that date, as a fortified quay or ferry berth of the Archbishop of Lund, some to the north-east. Malmö was for centuries Denmark's second-biggest city. Its original name was Malmhaug (with alternate spellings), meaning "Gravel pile" or "Ore Hill". An alternate story stems from a more gruesome tale that suggests that a maiden was once ground up in a mill on what is now the town square. The name would originate from 'Mal Mö', which translates to 'Ground up maiden.' A millstone that was placed in 1538 can still be found on the town square today.
In the 15th century, Malmö became one of Denmark's largest and most visited cities, reaching a population of approximately 5,000 inhabitants. It became the most important city around the Øresund, with the German Hanseatic League frequenting it as a marketplace, and was notable for its flourishing herring fishery. In 1437, King Eric of Pomerania (King of Denmark from 1396 to 1439) granted the city's arms: argent with a griffin gules, based on Eric's arms from Pomerania. The griffin's head as a symbol of Malmö extended to the entire province of Skåne from 1660.
In 1434, a new citadel was constructed at the beach south of the town. This fortress, known today as Malmöhus, did not take its current form until the mid-16th century. Several other fortifications were constructed, making Malmö Sweden's most fortified city, but only Malmöhus remains.
Lutheran teachings spread during the 16th century Protestant Reformation, and Malmö became one of the first cities in Scandinavia to fully convert (1527–1529) to this Protestant denomination.
In the 17th century, Malmö and the Skåneland region came under control of Sweden following the Treaty of Roskilde with Denmark, signed in 1658. Fighting continued, however; in June 1677, 14,000 Danish troops laid siege to Malmö for a month, but were unable to defeat the Swedish troops holding it.
By the dawn of the 18th century, Malmö had about 2,300 inhabitants. However, owing to the wars of Charles XII of Sweden (reigned 1697–1718) and to bubonic plague epidemics, the population dropped to 1,500 by 1727. The population did not grow much until the modern harbour was constructed in 1775. The city started to expand and the population in 1800 was 4,000. 15 years later, it had increased to 6,000.
In 1840, Frans Henrik Kockum founded the workshop from which the Kockums shipyard eventually developed as one of the largest shipyards in the world. The Southern Main Line was built between 1856 and 1864; this enabled Malmö to become a centre of manufacture, with major textile and mechanical industries. In 1870, Malmö overtook Norrköping to become Sweden's third-most populous city, and by 1900 Malmö had strengthened this position with 60,000 inhabitants. Malmö continued to grow through the first half of the 20th century. The population had swiftly increased to 100,000 by 1915 and to 200,000 by 1952.
1900–1969
In 1914 (15 May to 4 October) Malmö hosted the Baltic Exhibition. The large park Pildammsparken was arranged and planted for this large event. The Russian part of the exhibition was never taken down, owing to the outbreak of World War I.
On 18 and 19 December 1914, the Three Kings Meeting was held in Malmö. After a somewhat disturbed period (1905–1914), which included the dissolution of the Swedish-Norwegian Union, King Oscar II was replaced with King Håkon VII in Norway, who was the younger brother of the Danish King Christian X. As Oscar died in 1907, and his son Gustav V became the new King of Sweden, the tensions within Scandinavia were still unresolved, but during this historical meeting, the Scandinavian Kings found internal understanding, as well as a common line about remaining neutral in the ongoing war.
Within sports, Malmö has mostly been associated with football. IFK Malmö participated in the first ever edition of Allsvenskan 1924/25, but from the mid-1940s Malmö FF started to rise, and ever since it has been one of the most prominent clubs within Swedish football. They have won Allsvenskan 23 times in all (as of February 2018) between 1943/44 and 2017.
1970-1999
By 1971, Malmö reached 265,000 inhabitants, but this was the peak which would stand for more than 30 years. (Svedala was, for a few years in the early 1970s, a part of Malmö municipality.)
By the mid-1970s Sweden experienced a recession that hit the industrial sector especially hard; shipyards and manufacturing industries suffered, which led to high unemployment in many cities of Skåne. Kockums shipyard had become a symbol of Malmö as its largest employer and, when shipbuilding ceased in 1986, confidence in the future of Malmö plummeted among politicians and the public. In addition, many middle-class families moved into one-family houses in surrounding municipalities such as Vellinge Municipality, Lomma Municipality and Staffanstorp Municipality, which profiled themselves as the suburbs of the upper-middle class. By 1985, Malmö had lost 35,000 inhabitants and was down to 229,000.
The Swedish financial crises of the early 1990s exacerbated Malmö's decline as an industrial city; between 1990 and 1995 Malmö lost about 27,000 jobs and its economy was seriously strained. However, from 1994 under the leadership of the then mayor Ilmar Reepalu, the city of Malmö started to create a new economy as a centre of culture and knowledge. Malmö reached bottom in 1995, but that same year marked the commencement of the massive Öresund Bridge road, railway and tunnel project, connecting it to Copenhagen and to the rail lines of Europe. The new Malmö University opened in 1998 on Kockums' former dockside.
2000s and later
Further redevelopment of the now disused south-western harbour followed; a city architecture exposition (Bo01) was held in the area in 2001, and its buildings and villas form the core of a new city district. Designed with attractive waterfront vistas, it was intended to be and has been successful in attracting the urban middle-class.
Since 1974, the Kockums Crane had been a landmark in Malmö and a symbol of the city's manufacturing industry, but in 2002 it was disassembled and moved to South Korea. In 2005, Malmö gained a new landmark with completion of Turning Torso, the tallest skyscraper in Scandinavia. Although the transformation from a city with its economic base in manufacturing has returned growth to Malmö, the new types of jobs have largely benefited the middle and upper classes.
In its 2015 and 2017 reports, Police in Sweden placed the Rosengård and the Södra Sofielund/Seved district in the most severe category of urban areas with high crime rates.
Malmö is currently growing fast and detailed work is being planned near the Malmö Central Station, in a district called Nyhamnen. Nyhamnen will provide 9,000 new housings, two larger buildings for offices and courts. It is expected to be complete around 2040-2050.
Geography
Malmö is located at 13°00' east and 55°35' north, near the southwestern tip of Sweden, in Skåne County.
The city is part of the transnational Öresund Region and, since 2000, has been linked by the Öresund Bridge across the Öresund to Copenhagen, Denmark. The bridge opened on 1 July 2000, and measures (the whole link totalling 16 km), with pylons reaching vertically. Apart from the Helsingborg-Helsingør ferry links further north, most ferry connections have been discontinued.
Climate
Malmö, like the rest of southern Sweden, has an oceanic climate (Cfb). Despite its northern location, the climate is mild compared to other locations at similar latitudes, mainly because of the influence of the Gulf Stream and also its westerly position on the Eurasian landmass. Owing to its northern latitude, daylight lasts 17 hours 31 minutes in midsummer, but only around seven hours in midwinter. According to data from 2002 to 2014 Falsterbo, to the south of the city, received an annual average of 1,895 hours of sunshine while Lund, to the north, received 1,803 hours. The sunshine data in the weather box is based on the data for Falsterbo.
Summers are mild with average high temperatures of and lows of around . Heat waves during the summer arise occasionally. Winters are fairly cold and windy, with temperatures steady between , but it rarely drops below .
Rainfall is light to moderate throughout the year with 169 wet days. Snowfall occurs mainly in December through March, but snow covers do not remain for a long time, and some winters are virtually free of snow.
Transport
Öresund Line trains cross the Öresund Bridge every 20 minutes (hourly late night) connecting Malmö to Copenhagen, and the Copenhagen Airport. The trip takes around 35–40 minutes. Additionally, some of the X 2000 and Intercity trains to Stockholm, Gothenburg, and Kalmar cross the bridge, stopping at Copenhagen Airport. In March 2005, excavation began on a new railway connection called the City Tunnel, which opened for traffic on 4 December 2010. The tunnel runs south from Malmö Central Station through an underground station at the Triangeln railway station to Hyllievång (Hyllie Meadow). Then, the line comes to the surface to enter Hyllie Station, also created as part of the tunnel project. From Hyllie Station, the line connects to the existing Öresund line in either direction, with the Öresund Bridge lying due west.
Besides the Copenhagen Airport, Malmö has an airport of its own, Malmö Airport, today chiefly used for domestic Swedish destinations, charter flights and low-cost carriers.
The motorway system has been incorporated with the Öresund Bridge; the European route E20 goes over the bridge and then, together with the European route E6 follows the Swedish west coast from Malmö–Helsingborg to Gothenburg. E6 goes further north along the west coast and through Norway to the Norwegian town Kirkenes at Barents Sea. The European route to Jönköping–Stockholm (E4) starts at Helsingborg. Main roads in the directions of Växjö–Kalmar, Kristianstad–Karlskrona, Ystad (E65), and Trelleborg start as freeways.
Malmö has of bike paths; approximately 40% of all commuting is done by bicycle.
Ports
The city has two industrial harbours; one is still in active use and is the largest Nordic port for car imports. It also has two marinas: the publicly owned Limhamn Marina () and the private Lagunen (), both offering a limited number of guest docks.
Public transport consisted of a tram network from 1887 until 1973. Afterwards, it was replaced by a bus network.
Malmö S-Train
A local train line with circular traffic at seven stations was opened in December 2018. The stations are Malmö Central Station (underground platforms) – Triangeln station – Hyllie station – Malmö South/Svågertorp – Persborg – Rosengård – Östervärn – Malmö Central Station (main overground terminus). Some trains arrive from Kristianstad and finish with a lap around Malmö, whilst other trains at this circular line, never drive outside the city limits. There is at least a 30 minutes service between each departure, but far more between the Central Station and Hyllie. Extension plans of a minor network system exists.
Proposed metro
The Öresundsmetro is a proposed rapid transit network linking Malmö with the existing Copenhagen Metro through a 22 km tunnel under the Öresund. It is a project that has been proposed since 2012. A metro station can be placed in the Galeonen which is a sub-area located in the far north of Västra hamnen. The Galeon is the only larger area in Västra hamnen that is not planned yet and Malmö's general plan states that the expansion of the area is expected to take place 2032 to 2041. The connection between Malmö and Copenhagen will take approximately 20 minutes instead of 40 minutes by the Öresund Bridge. The construction cost is estimated at 4 billion euros with a construction period of 6-7 years.
Municipality
Malmö Municipality is an administrative unit defined by geographical borders, consisting of the City of Malmö and its immediate surroundings.
Malmö (Malmö tätort) consists of the urban part of the municipality together with the small town of Arlöv in the Burlöv Municipality. Both municipalities also include smaller urban areas and rural areas, such as the suburbs of Oxie and Åkarp. Malmö tätort is to be distinguished from Malmö stad (the city of Malmö), which is a semi-official name of Malmö Municipality.
The leaders in Malmö created a commission for a socially sustainable Malmö in November 2010. The commissions were tasked with providing evidence-based strategies for reducing health inequalities and improve living conditions for all citizens of Malmö, especially for the most vulnerable and disadvantaged and issued its final report in December 2013.
Demographics
Malmö has a young population by Swedish standards, with almost half of the population under the age of 35 (48.2%).
After 1971, Malmö had 265,000 inhabitants, but the population then dropped to 229,000 by 1985. The total population of the urban area was 280,415 in December 2010. It then began to rise again, and had passed the previous record by the 1 January 2003 census, when it had 265,481 inhabitants. On 27 April 2011, the population of Malmö reached the 300,000 mark. In 2017 the total population of the city was 316,588 inhabitants out of a municipal total of 338,230.
Malmö is a diverse city with inhabitants from 179 different nationalities. In 2019, approximately 55.5% of the population of Malmö municipality (190,849 residents) had at least one parent born abroad. The statistics from 2020 show that 120,517 are foreign born, 43,740 are born in Sweden but have two foreign parents, 30,878 are born in Sweden with one Swedish parent and one foreign parent and 152,813 are born with two Swedish parents. The Middle East, Horn of Africa, former Yugoslavia and Denmark are the main sources of immigration.
Foreign-born population by country, 31 December 2020:
Greater Malmö is one of Sweden's three officially recognized metropolitan areas (storstadsområden) and since 2005 is defined as the municipality of Malmö and 11 other municipalities in the southwestern corner of Skåne County. , its population was recorded as 740,840. The region covers an area of . The municipalities included, apart from Malmö, are Burlöv, Eslöv, Höör, Kävlinge, Lomma, Lund, Skurup, Staffanstorp, Svedala, Trelleborg and Vellinge. Together with Lund, Malmö is the region's economic and education hub.
Religion
The largest religion in Malmö is Christianity and Church of Sweden have the largest membership base, a total of 125,697 in 2019 which corresponds to 36% of its population.
There exist several Catholic communities in Malmö, one being the Church of Our Saviour, Malmö with 7,500 members. Islam is the largest non-Christian religious group with approximately 45,000 members which makes up 12% of the population. Malmö has one mosque. There are about 100,000 Muslims in the region. The Jewish community has a membership of 500. Malmö has one synagogue, Malmö Synagogue and two congregations: one orthodox and one egalitarian.
Economy
The economy of Malmö was traditionally based on shipbuilding (Kockums) and construction-related industries, such as concrete factories. The region's leading university, along with its associated hi-tech and pharmaceutical industries, is located in Lund about to the north-east.
Malmö had a troubled economic situation following the mid-1970s. Between 1990 and 1995, 27,000 jobs were lost, and the budget deficit was more than one billion Swedish krona (SEK). In 1995, Malmö had Sweden's highest unemployment rate.
However, during the last two decades, there has been a revival. One contributing factor has been the economic integration with Denmark brought about by the Öresund Bridge, which opened in July 2000. Also the university founded in 1998 and the effects of integration into the European Union have contributed. In 2017 the unemployment rate was still high. However, in the last 20 years Malmö has had one of the strongest employment growth rates in Sweden, although a high proportion of jobs created are taken by workers from outside
Malmö.
, the largest companies were:
Skanska – heavy construction
Nobina – transport
PostNord – postal services
Pågen – bakery
IKEA – furniture
Almost 30 companies have moved their headquarters to Malmö during the last seven years, generating around 2,300 jobs. Among them are IKEA which has most of its headquarter functions based in Malmö.
The number of start-up companies is high in Malmö. Around 7 new companies are started every day in Malmö. In 2010, the renewal of the number of companies amounted to 13.9%, which exceeds both Stockholm and Gothenburg. Especially strong growth is in the gaming area with Massive entertainment and King being the flagship companies for the industry. Among the industries that continue to increase their share of companies in Malmö are transport, financial and business services, entertainment, leisure and construction.
Education
Malmö has the country's ninth-largest school of higher education, Malmö University, established in 1998. It has 1,600 employees and 24,000 students (2014).
In addition nearby Lund University (established in 1666) has some educational facilities located in Malmö:
Malmö Art Academy (Konsthögskolan i Malmö)
Malmö Academy of Music (Musikhögskolan i Malmö)
Malmö Theatre Academy (Teaterhögskolan i Malmö)
The Faculty of Medicine, which is located in both Malmö and Lund.
The United Nations World Maritime University is also located in Malmö. The World Maritime University (WMU) operates under the auspices of the International Maritime Organization (IMO), a specialized agency of the United Nations. WMU thus enjoys the status, privileges and immunities of a UN institution in Sweden.
Culture
Film and television
A striking depiction of Malmö (in the 1930s) was made by Bo Widerberg in his debut film () (1963), largely shot in the shabby Korpen working-class district in Malmö. With humour and tenderness, it depicts the tensions between classes and generations. The movie was nominated for an Academy Award for Best Foreign Language Film in 1965. In 2017, the film () was awarded the prize for best film by an African living abroad at the Africa Movie Academy Awards. It was filmed in Malmö and Gambia, and deals with identity, integration and everyday racism.
The cities of Malmö and Copenhagen are, with the Öresund Bridge, the main locations in the television series The Bridge (, ).
Theatre
In 1944, Malmö Stadsteater (Malmö Municipal Theatre) was established with a repertoire comprising stage theatre, opera, musical, ballet, musical recitals and experimental theatre. In 1993 it was split into three units, Dramatiska Teater (Dramatical Theatre), Malmö Musikteater (Music Theatre) and Skånes Dansteater (Skåne Dance Theatre) and the name was abandoned. The ownership of the last two were transferred to Region Skåne in 2006 Dramatiska Teatern regained its old name. In the 1950s Ingmar Bergman was the Director and Chief Stage Director of Malmö Stadsteater and many of his actors, like Max von Sydow and Ingrid Thulin became known through his films. Later stage directors include Staffan Valdemar Holm and Göran Stangertz. Malmö Musikteater were renamed Malmö Operan and plays operas and musicals, classics as newly composed, on one of Scandinavia's large opera scenes with 1,511 seats. Skånes dansteater is active and plays contemporary dance repertory and present works by Swedish and international choreographers in their house in Malmö harbor.
Since the 1970s the city has also been home to independent theatre groups and show or musical companies. It also hosts a rock–dance–dub culture; in the 1960s The Rolling Stones played the Klubb Bongo, and in recent years stars like Morrissey, Nick Cave, B.B. King and Pat Metheny have made repeated visits.
The Cardigans debuted in Malmö and recorded their albums there. On 7 January 2009 CNN Travel broadcast a segment called "MyCity_MyLife" featuring Nina Persson taking the camera to some of the sites in Malmö that she enjoys.
The Rooseum Centre for Contemporary Art, founded in 1988 by the Swedish art collector and financier Fredrik Roos and housed in a former power station which had been built in 1900, was one of the foremost centres for contemporary art in Europe during the 1980s and 1990s. By 2006, most of the collection had been sold off and the museum was on a time-out; by 2010 Rooseum had been dismantled and a subsidiary of the National Museum of Modern Art inaugurated in its place.
Music
In 1992 and in 2013 Malmö was the host of the Eurovision Song Contest.
Big Slap is a music festival, held annually since 2013 at Pildammsparken. Big Slap will be held at Nyhamnen 2022 featuring Justin Bieber, which will be the biggest concert in Malmö's history.
Malmö is the home of several bands, including CC & Lee, Fews, LeGrand, Nasty Idols, Spunsugar and Timeless Miracle.
Museums
Moderna Museet Malmö was opened in December 2009 in the old Rooseum building. It is a part of the Moderna Museet, with independent exhibitions of modern and contemporary art. The collection of Moderna Museet holds key pieces of, among others, Marcel Duchamp, Louise Bourgeois, Pablo Picasso, Niki de Saint Phalle, Salvador Dalí, Carolee Schneemann, Henri Matisse and Robert Rauschenberg
Malmö Museum () is a municipal and regional museum. The museum features exhibitions on technology, shipping, natural history and history. Malmö Museum has an aquarium and an art museum. Malmöhus Castle is also operated as a part of the museum.
Exhibitions are primarily shown at Slottsholmen and at the Technology and Maritime Museum ().
Malmö Konsthall is one of the largest exhibition halls in Europe for contemporary art, opened in 1975.
Architecture
Malmö's oldest building is St. Peter's Church (). It was built in the early 14th century in Baltic Brick Gothic probably after St Mary's Church in Lübeck. The church is built with a nave, two aisles, a transept and a tower. Its exterior is characterized above all by the flying buttresses spanning its airy arches over the aisles and ambulatory. The tower, which fell down twice during the 15th century, got its current look in 1890. Another major church of significance is the Church of Our Saviour, Malmö, which was founded in 1870.
Another old building is Tunneln, to the west of Sankt Petri Church, which also dates back to around 1300.
The oldest parts of Malmö were built between 1300 and 1600 during its first major period of expansion. The central city's layout, as well as some of its oldest buildings, are from this time. Many of the smaller buildings from this time are typical Scanian: two-story urban houses that show a strong Danish influence.
Recession followed in the ensuing centuries. The next expansion period was in the mid 19th century and led to the modern stone and brick city. This expansion lasted into the 20th century and can be seen by a number of Art Nouveau buildings, among those in the Malmö synagogue. Malmö was relatively late to be influenced by modern ideas of functionalist tenement architecture in the 1930s.
Around 1965, the government initiated the so-called Million Programme, intending to offer affordable apartments in the outskirts of major Swedish cities. But this period also saw the reconstruction (and razing) of much of the historical city centre.
Since the late 1990s, Malmö has seen a more cosmopolitan architecture. (the Western Harbor), like most of the harbors to the north of the city centre, was industrial. In 2001 its reconstruction began as an urban residential neighbourhood, with 500 residential units, most were part of the exhibition Bo01. The exhibition had two main objectives: develop self-sufficient housing units in terms of energy and greatly diminish phosphorus emissions. Among the new building's towers were the Turning Torso, a skyscraper with a twisting design, tall, the majority of which is residential. It became Malmö's new landmark. The most recent addition (2015) is the new development of Malmö Live. This new building features a hotel, a concert hall, congress hall and a sky bar in the centre of Malmö. Point Hyllie is a new commercial tower that began construction in 2018.
Other sights
The beach Ribersborg, by locals usually called Ribban, south-west of the harbor area, is a man-made shallow beach, stretching along Malmö's coastline. Despite Malmö's chilly climate, it is sometimes referred to as the "Copacabana of Malmö". It is the site of Ribersborgs open-air bath, opened in the 1890s.
The long boardwalk at the Western Harbor, and , has become a favorite summer hang-out for the people of Malmö and is a popular place for bathing. The harbor is particularly popular with Malmö's vibrant student community and has been the scene of several impromptu outdoor parties and gatherings.
Annual events
In the third week of August each year a festival, , fills the streets of Malmö with different kinds of cuisines and events.
BUFF International Film Festival, an international children and young people's film festival, is held in Malmö every March.
Nordisk Panorama – Nordic Short & Doc Film Festival, a film festival for short and documentary films by filmmakers from the Nordic countries, is held every September.
Malmö Arab Film Festival (MAFF), the largest Arabic film festival in Europe, is held in Malmö.
The Nordic Game conference takes place in Malmö every April/May. The event consists of conference itself, recruitment expo and game expo and attracts hundreds of "gamedev" (game development) professionals every year.
Malmö also hosts other 3rd party events that cater to all communities that reside in Malmö, including religious and political celebrations.
Media
, founded in 1870, is Malmö's largest daily newspaper. It has an average circulation of 130,000. Its main competitor is the regional daily , which has a circulation of 34,000. The tabloid still has a minimal editorial staff but is today just a version of a Stockholm tabloid. The Social Democratic was edited and printed at Malmö between 1887 and 2000.
In addition to these, a number of free-of-charge papers, generally dealing with entertainment, music and fashion have local editions (for instance City, Rodeo, Metro and ). Malmö is also home to the Egmont Group's Swedish magazine operations. A number of local and regional radio and TV broadcasters are based in the Greater Malmö area.
Sports
Football
Malmö is home to several football teams. Malmö FF, who play in the top-level Allsvenskan league, had their most successful periods in the 1970s and 1980s, when they won the league several times. In 1979, they advanced to the final of the European Cup, defeating AS Monaco, Dynamo Kiev, Wisła Kraków and Austria Wien. In the final, played at the Munich Olympic Stadium against Nottingham Forest, they lost by a single goal scored by Trevor Francis just before half time. To date, they are the only Swedish football club to have reached the final of the competition. Bosse Larsson and Zlatan Ibrahimović began their football careers at Malmö FF. A second football team, IFK Malmö, played in Sweden's top flight for about 20 years. The club's greatest achievement was reaching the quarterfinal in the European Cup. Today IFK Malmö club play in the third tier of the Swedish league system.
FC Rosengård (former LdB Malmö) are playing in the top level in Damallsvenskan, women's football league. FC Rosengård girls have won the league 10 times and the national cup title 5 times. In 2014, they reached the semi-final in Champions League, which they ultimately went on to lose to the German side 1. FFC Frankfurt. Brazilian football player Marta, widely regarded the best female football player of all time, played in FC Rosengård between 2014 and 2017.
Malmö Stadion was inaugurated for the opening match of the 1958 FIFA World Cup. The then world champions, West Germany, defeated Argentina 3–1 in front of a crowd of 31,156. A further two games in the cup were decided at the stadium.
Other sports
Malmö has athletes competing in a variety of sport.
Ice hockey
The most notable other sports team is the ice hockey team Malmö Redhawks. They were the creation of millionaire Percy Nilsson and quickly rose to the highest rank in the early to mid-1990s and won two Swedish championships, but for a number of years found themselves residing outside of the top flight. As of the 2015/2016 season they are once again competing in the top flight SHL league.
Handball
A first division handball team, HK Malmö, attracts a fair amount of attendance.
Rugby
Rugby union team, Malmö RC, founded in 1954, have won 6 national championships. The club has teams for men, women and juniors.
Gaelic football
Gaelic football has also been introduced to Malmö. The men of Malmö G.A.A. have won the Scandinavian Championships twice and the women once.
Additional Team and Individual Sport
Other notable team a sports are baseball, American football and Australian football.
Among non-team sports, badminton and athletics are the most popular, together with east Asian martial arts and boxing. Basketball is also fairly a big sport in the city, including the clubs Malbas and SF Srbija among others.
Women are permitted by the city council to swim topless in public swimming pools. Everyone must wear bathing attire, but covering of the breasts is not mandatory.
Twin towns & sister cities
Malmö has relations with the following cities:
Port Adelaide Enfield, Australia
Stralsund, Germany
Szczecin, Poland
Tallinn, Estonia
Tangshan, China
Vaasa, Finland
Varna, Bulgaria
Notable events
Notable people
See also
Malmö Bulltofta Airport
Chapter 4 Concerning the Friary in Malmø in Chronicle of the Expulsion of the Greyfriars''
List of governors of Malmöhus County
Ports of the Baltic Sea
References
– in English. From the municipal webpage, PDF format.
Citations
Further reading
Article Malmö from Nordisk familjebok, 1912
External links
and English
Malmotown.com , Malmö official visitor site
Malmöfestivalen
Maps of Malmö
Malmo
County seats in Sweden
Municipal seats of Skåne County
Populated places in Skåne County
Populated places in Burlöv Municipality
Populated places in Malmö Municipality
Coastal cities and towns in Sweden
Port cities in Sweden
Port cities and towns of the Baltic Sea
Trading posts of the Hanseatic League
Populated places established in the 13th century |
19022 | https://en.wikipedia.org/wiki/Measurement | Measurement | Measurement is the quantification of attributes of an object or event, which can be used to compare with other objects or events. The scope and application of measurement are dependent on the context and discipline. In natural sciences and engineering, measurements do not apply to nominal properties of objects or events, which is consistent with the guidelines of the International vocabulary of metrology published by the International Bureau of Weights and Measures. However, in other fields such as statistics as well as the social and behavioural sciences, measurements can have multiple levels, which would include nominal, ordinal, interval and ratio scales.
Measurement is a cornerstone of trade, science, technology and quantitative research in many disciplines. Historically, many measurement systems existed for the varied fields of human existence to facilitate comparisons in these fields. Often these were achieved by local agreements between trading partners or collaborators. Since the 18th century, developments progressed towards unifying, widely accepted standards that resulted in the modern International System of Units (SI). This system reduces all physical measurements to a mathematical combination of seven base units. The science of measurement is pursued in the field of metrology.
Measurement is defined as the process of comparison of an unknown quantity with a known or standard quantity.
Importance of measurement
it is needed for buying, selling and exchanging of goods
It is needed for performing scientific experiments.
it is needed for preparing medicines and treating patients.
it is needed for preparing food.
it is needed for the global understanding of the quantity of a substance.
Methodology
The measurement of a property may be categorized by the following criteria: type, magnitude, unit, and uncertainty. They enable unambiguous comparisons between measurements.
The level of measurement is a taxonomy for the methodological character of a comparison. For example, two states of a property may be compared by ratio, difference, or ordinal preference. The type is commonly not explicitly expressed, but implicit in the definition of a measurement procedure.
The magnitude is the numerical value of the characterization, usually obtained with a suitably chosen measuring instrument.
A unit assigns a mathematical weighting factor to the magnitude that is derived as a ratio to the property of an artifact used as standard or a natural physical quantity.
An uncertainty represents the random and systemic errors of the measurement procedure; it indicates a confidence level in the measurement. Errors are evaluated by methodically repeating measurements and considering the accuracy and precision of the measuring instrument.
Standardization of measurement units
Measurements most commonly use the International System of Units (SI) as a comparison framework. The system defines seven fundamental units: kilogram, metre, candela, second, ampere, kelvin, and mole. Six of these units are defined without reference to a particular physical object which serves as a standard (artifact-free), while the kilogram is still embodied in an artifact which rests at the headquarters of the International Bureau of Weights and Measures in Sèvres near Paris. Artifact-free definitions fix measurements at an exact value related to a physical constant or other invariable phenomena in nature, in contrast to standard artifacts which are subject to deterioration or destruction. Instead, the measurement unit can only ever change through increased accuracy in determining the value of the constant it is tied to.
The first proposal to tie an SI base unit to an experimental standard independent of fiat was by Charles Sanders Peirce (1839–1914), who proposed to define the metre in terms of the wavelength of a spectral line. This directly influenced the Michelson–Morley experiment; Michelson and Morley cite Peirce, and improve on his method.
Standards
With the exception of a few fundamental quantum constants, units of measurement are derived from historical agreements. Nothing inherent in nature dictates that an inch has to be a certain length, nor that a mile is a better measure of distance than a kilometre. Over the course of human history, however, first for convenience and then for necessity, standards of measurement evolved so that communities would have certain common benchmarks. Laws regulating measurement were originally developed to prevent fraud in commerce.
Units of measurement are generally defined on a scientific basis, overseen by governmental or independent agencies, and established in international treaties, pre-eminent of which is the General Conference on Weights and Measures (CGPM), established in 1875 by the Metre Convention, overseeing the International System of Units (SI). For example, the metre was redefined in 1983 by the CGPM in terms of the speed of light, the kilogram was redefined in 2019 in terms of the Planck constant and the international yard was defined in 1960 by the governments of the United States, United Kingdom, Australia and South Africa as being exactly 0.9144 metres.
In the United States, the National Institute of Standards and Technology (NIST), a division of the United States Department of Commerce, regulates commercial measurements. In the United Kingdom, the role is performed by the National Physical Laboratory (NPL), in Australia by the National Measurement Institute, in South Africa by the Council for Scientific and Industrial Research and in India the National Physical Laboratory of India.
Units and systems
unit is known or standard quantity in terms of which other physical quantities are measured.
Imperial and US customary systems
Before SI units were widely adopted around the world, the British systems of English units and later imperial units were used in Britain, the Commonwealth and the United States. The system came to be known as U.S. customary units in the United States and is still in use there and in a few Caribbean countries. These various systems of measurement have at times been called foot-pound-second systems after the Imperial units for length, weight and time even though the tons, hundredweights, gallons, and nautical miles, for example, are different for the U.S. units. Many Imperial units remain in use in Britain, which has officially switched to the SI system—with a few exceptions such as road signs, which are still in miles. Draught beer and cider must be sold by the imperial pint, and milk in returnable bottles can be sold by the imperial pint. Many people measure their height in feet and inches and their weight in stone and pounds, to give just a few examples. Imperial units are used in many other places, for example, in many Commonwealth countries that are considered metricated, land area is measured in acres and floor space in square feet, particularly for commercial transactions (rather than government statistics). Similarly, gasoline is sold by the gallon in many countries that are considered metricated.
Metric system
The metric system is a decimal system of measurement based on its units for length, the metre and for mass, the kilogram. It exists in several variations, with different choices of base units, though these do not affect its day-to-day use. Since the 1960s, the International System of Units (SI) is the internationally recognised metric system. Metric units of mass, length, and electricity are widely used around the world for both everyday and scientific purposes.
International System of Units
The International System of Units (abbreviated as SI from the French language name Système International d'Unités) is the modern revision of the metric system. It is the world's most widely used system of units, both in everyday commerce and in science. The SI was developed in 1960 from the metre–kilogram–second (MKS) system, rather than the centimetre–gram–second (CGS) system, which, in turn, had many variants. The SI units for the seven base physical quantities are:
In the SI, base units are the simple measurements for time, length, mass, temperature, amount of substance, electric current and light intensity. Derived units are constructed from the base units, for example, the watt, i.e. the unit for power, is defined from the base units as m2·kg·s−3. Other physical properties may be measured in compound units, such as material density, measured in kg/m3.
Converting prefixes
The SI allows easy multiplication when switching among units having the same base but different prefixes. To convert from metres to centimetres it is only necessary to multiply the number of metres by 100, since there are 100 centimetres in a metre. Inversely, to switch from centimetres to metres one multiplies the number of centimetres by 0.01 or divides the number of centimetres by 100.
Length
A ruler or rule is a tool used in, for example, geometry, technical drawing, engineering, and carpentry, to measure lengths or distances or to draw straight lines. Strictly speaking, the ruler is the instrument used to rule straight lines and the calibrated instrument used for determining length is called a measure, however common usage calls both instruments rulers and the special name straightedge is used for an unmarked rule. The use of the word measure, in the sense of a measuring instrument, only survives in the phrase tape measure, an instrument that can be used to measure but cannot be used to draw straight lines. As can be seen in the photographs on this page, a two-metre carpenter's rule can be folded down to a length of only 20 centimetres, to easily fit in a pocket, and a five-metre-long tape measure easily retracts to fit within a small housing.
Some special names
Some non-systematic names are applied for some multiples of some units.
100 kilograms = 1 quintal; 1000 kilogram = 1 tonne;
10 years = 1 decade; 100 years = 1 century; 1000 years = 1 millennium
Herbst = Extra Large portion of Food or Drink typically in a Childcare Setting
Building trades
The Australian building trades adopted the metric system in 1966 and the units used for measurement of length are metres (m) and millimetres (mm). Centimetres (cm) are avoided as they cause confusion when reading plans. For example, the length two and a half metres is usually recorded as 2500 mm or 2.5 m; it would be considered non-standard to record this length as 250 cm.
Surveyor's trade
American surveyors use a decimal-based system of measurement devised by Edmund Gunter in 1620. The base unit is Gunter's chain of which is subdivided into 4 rods, each of 16.5 ft or 100 links of 0.66 feet. A link is abbreviated "lk", and links "lks", in old deeds and land surveys done for the government.
The Standard Method of Measurement (SMM) published by the Royal Institution of Chartered Surveyors (RICS) consisted of classification tables and rules of measurement, allowing use of a uniform basis for measuring building works. It was first published in 1922, superseding a Scottish Standard Method of Measurement which had been published in 1915. Its seventh edition (SMM7) was first published in 1988 and revised in 1998. SMM7 was replaced by the New Rules of Measurement, volume 2 (NRM2), which were published in April 2012 by the RICS Quantity Surveying and Construction Professional Group and became operational on 1 January 2013. NRM2 has been in general use since July 2013.
SMM7 was accompanied by the Code of Procedure for the Measurement of Building Works (the SMM7 Measurement Code). Whilst SMM7 could have a contractual status within a project, for example in the JCT Standard form of Building Contract), the Measurement Code was not mandatory.
NRM2 Is the second of three component parts within the NRM suite:
NRM1 - Order of cost estimating and cost planning for capital building works
NRM2 - Detailed measurement for building works
NRM3 - Order of cost estimating and cost planning for building maintenance works.
Time
Time is an abstract measurement of elemental changes over a non spatial continuum. It is denoted by numbers and/or named periods such as hours, days, weeks, months and years. It is an apparently irreversible series of occurrences within this non spatial continuum. It is also used to denote an interval between two relative points on this continuum.
Mass
Mass refers to the intrinsic property of all material objects to resist changes in their momentum. Weight, on the other hand, refers to the downward force produced when a mass is in a gravitational field. In free fall, (no net gravitational forces) objects lack weight but retain their mass. The Imperial units of mass include the ounce, pound, and ton. The metric units gram and kilogram are units of mass.
One device for measuring weight or mass is called a weighing scale or, often, simply a scale. A spring scale measures force but not mass, a balance compares weight, both require a gravitational field to operate. Some of the most accurate instruments for measuring weight or mass are based on load cells with a digital read-out, but require a gravitational field to function and would not work in free fall.
Economics
The measures used in economics are physical measures, nominal price value measures and real price measures. These measures differ from one another by the variables they measure and by the variables excluded from measurements.
Survey research
In the field of survey research, measures are taken from individual attitudes, values, and behavior using questionnaires as a measurement instrument. As all other measurements, measurement in survey research is also vulnerable to measurement error, i.e. the departure from the true value of the measurement and the value provided using the measurement instrument. In substantive survey research, measurement error can lead to biased conclusions and wrongly estimated effects. In order to get accurate results, when measurement errors appear, the results need to be corrected for measurement errors.
Exactness designation
The following rules generally apply for displaying the exactness of measurements:
All non-0 digits and any 0s appearing between them are significant for the exactness of any number. For example, the number 12000 has two significant digits, and has implied limits of 11500 and 12500.
Additional 0s may be added after a decimal separator to denote a greater exactness, increasing the number of decimals. For example, 1 has implied limits of 0.5 and 1.5 whereas 1.0 has implied limits 0.95 and 1.05.
Difficulties
Since accurate measurement is essential in many fields, and since all measurements are necessarily approximations, a great deal of effort must be taken to make measurements as accurate as possible. For example, consider the problem of measuring the time it takes an object to fall a distance of one metre (about 39 in). Using physics, it can be shown that, in the gravitational field of the Earth, it should take any object about 0.45 second to fall one metre. However, the following are just some of the sources of error that arise:
This computation used for the acceleration of gravity . But this measurement is not exact, but only precise to two significant digits.
The Earth's gravitational field varies slightly depending on height above sea level and other factors.
The computation of 0.45 seconds involved extracting a square root, a mathematical operation that required rounding off to some number of significant digits, in this case two significant digits.
Additionally, other sources of experimental error include:
carelessness,
determining of the exact time at which the object is released and the exact time it hits the ground,
measurement of the height and the measurement of the time both involve some error,
Air resistance.
posture of human participants
Scientific experiments must be carried out with great care to eliminate as much error as possible, and to keep error estimates realistic.
Definitions and theories
Classical definition
In the classical definition, which is standard throughout the physical sciences, measurement is the determination or estimation of ratios of quantities. Quantity and measurement are mutually defined: quantitative attributes are those possible to measure, at least in principle. The classical concept of quantity can be traced back to John Wallis and Isaac Newton, and was foreshadowed in Euclid's Elements.
Representational theory
In the representational theory, measurement is defined as "the correlation of numbers with entities that are not numbers". The most technically elaborated form of representational theory is also known as additive conjoint measurement. In this form of representational theory, numbers are assigned based on correspondences or similarities between the structure of number systems and the structure of qualitative systems. A property is quantitative if such structural similarities can be established. In weaker forms of representational theory, such as that implicit within the work of Stanley Smith Stevens, numbers need only be assigned according to a rule.
The concept of measurement is often misunderstood as merely the assignment of a value, but it is possible to assign a value in a way that is not a measurement in terms of the requirements of additive conjoint measurement. One may assign a value to a person's height, but unless it can be established that there is a correlation between measurements of height and empirical relations, it is not a measurement according to additive conjoint measurement theory. Likewise, computing and assigning arbitrary values, like the "book value" of an asset in accounting, is not a measurement because it does not satisfy the necessary criteria.
Three type of Representational theory
1) Empirical relation
In science, an empirical relationship is a relationship or correlation based solely on observation rather than theory. An empirical relationship requires only confirmatory data irrespective of theoretical basis
2) The rule of mapping
The real world is the Domain of mapping, and the mathematical world is the range. when we map the attribute to mathematical system, we have many choice for mapping and the range
3) The representation condition of measurement
Information theory
Information theory recognises that all data are inexact and statistical in nature. Thus the definition of measurement is: "A set of observations that reduce uncertainty where the result is expressed as a quantity." This definition is implied in what scientists actually do when they measure something and report both the mean and statistics of the measurements. In practical terms, one begins with an initial guess as to the expected value of a quantity, and then, using various methods and instruments, reduces the uncertainty in the value. Note that in this view, unlike the positivist representational theory, all measurements are uncertain, so instead of assigning one value, a range of values is assigned to a measurement. This also implies that there is not a clear or neat distinction between estimation and measurement.
Quantum mechanics
In quantum mechanics, a measurement is an action that determines a particular property (position, momentum, energy, etc.) of a quantum system. Before a measurement is made, a quantum system is simultaneously described by all values in a range of possible values, where the probability of measuring each value is determined by the wavefunction of the system. When a measurement is performed, the wavefunction of the quantum system "collapses" to a single, definite value. The unambiguous meaning of the measurement problem is an unresolved fundamental problem in quantum mechanics.
Biology
In biology, there is generally no well established theory of measurement. However, the importance of the theoretical context is emphasized. Moreover, the theoretical context stemming from the theory of evolution leads to articulate the theory of measurement and historicity as a fundamental notion.
Among the most developed fields of measurement in biology are the measurement of genetic diversity and species diversity.
See also
Airy points
Conversion of units
Detection limit
Differential linearity
Dimensional analysis
Dimensionless number
Econometrics
Electrical measurements
Environmental error
History of measurement
History of science and technology
Instrumentation
Integral linearity
ISO 10012, Measurement management systems
Key relevance in locksmithing
Least count
Levels of measurement
List of humorous units of measurement
List of unusual units of measurement
Measurement in quantum mechanics
Measuring instrument
Measurement (journal)
Measurement uncertainty
NCSL International
Number sense
Observable quantity
Orders of magnitude
Primary instrument
Psychometrics
Quantification (science)
Remote sensing
Standard (metrology)
Test method
Timeline of temperature and pressure measurement technology
Timeline of time measurement technology
Uncertainty principle
Virtual instrumentation
Web analytics
Weights and measures
References
External links
Schlaudt, Oliver 2020: "measurement". In: Kirchhoff, Thomas (ed.): Online Encyclopedia Philosophy of Nature. Heidelberg: Universitätsbibliothek Heidelberg, https://doi.org/10.11588/oepn.2020.0.76654.
Tal, Era 2020: "Measurement in Science". In: Zalta, Edward N. (ed.): The Stanford Encyclopedia of Philosophy (Fall 2020 Edition), URL = <https://plato.stanford.edu/archives/fall2020/entries/measurement-science/>.
A Dictionary of Units of Measurement
'Metrology – in short' 3rd edition, July 2008
Accuracy and precision
Metrology |
19023 | https://en.wikipedia.org/wiki/Malden%20Island | Malden Island | Malden Island, sometimes called Independence Island in the 19th century, is a low, arid, uninhabited atoll in the central Pacific Ocean, about in area. It is one of the Line Islands belonging to the Republic of Kiribati. The lagoon is entirely enclosed by land, though it is connected to the sea by underground channels, and is quite salty.
The island is chiefly notable for its mysterious prehistoric ruins, its once-extensive deposits of phosphatic guano (exploited by Australian interests from 1860–1927), its former use as the site of the first British H-bomb tests (Operation Grapple, 1957), and its current importance as a protected area for breeding seabirds.
The island is designated as the Malden Island Wildlife Sanctuary. In 2014 the Kiribati government established a fishing exclusion zone around each of the southern Line Islands (Caroline (commonly called Millennium), Flint, Vostok, Malden, and Starbuck).
Geography
Malden Island is located south of the equator, south of Honolulu, Hawaii, and more than west of the coast of South America. The nearest land is uninhabited Starbuck Island, to the southwest. The closest inhabited place is Tongareva (Penrhyn Island), to the southwest. The nearest airport is on Kiritimati (Christmas Island), to the northwest. Other nearby islands (all uninhabited) include Jarvis Island, to the northwest, Vostok Island, to the south-southeast, and Caroline (Millennium) Island, to the southeast.
The island has roughly the shape of an equilateral triangle, with on a side, aligned with the southwest side running northwest to southeast. The west and south corners are slightly truncated, shortening the north, east and southwest coasts to about , and adding shorter west and south coasts about 1 to 2 km (½–1 mi) in length. A large, mostly shallow, irregularly shaped lagoon, containing a number of small islets, fills the east central part of the island. The lagoon is entirely enclosed by land, but only by relatively narrow strips along its north and east sides. It is connected to the sea by underground channels, and is quite salty. Most of the land area of the island lies to the south and west of the lagoon. The total area of the island is about .
The island is very low, no more than above sea level at its highest point. The highest elevations are found along a rim that closely follows the coastline. The interior forms a depression that is only a few meters above sea level in the western part and is below sea level (filled by the lagoon) in the east central part. Because of this topography, the ocean cannot be seen from much of Malden's interior.
There is no standing fresh water on Malden Island, though a fresh water lens may exist.
A continuous heavy surf falls all along the coast, forming a narrow white to gray sandy beach. Except on the west coast, where the white sandy beach is more extensive than elsewhere, a strip of dark gray coral rubble, forming a series of low ridges parallel to the coast, lies within the narrow beach, extending inward to the island rim.
Flora and fauna
Because of Malden's isolation and aridity, its vegetation is extremely limited. Sixteen species of vascular plants have been recorded, of which nine are indigenous. The island is largely covered in stunted Sida fallax scrub, low herbs and grasses. Few, if any, of the clumps of stunted Pisonia grandis once found on the island still survive. Coconut palms planted by the guano diggers did not thrive, although a few dilapidated trees may still be seen. Introduced weeds, including the low-growing woody vine Tribulus cistoides, now dominate extensive open areas, providing increased cover for young sooty terns.
Malden is an important breeding island for about a dozen species including masked boobies (Sula dactylatra), red-footed booby (Sula sula), tropicbirds (Phaethontidae), great frigatebird (Fregata minor), lesser frigatebird (Fregata ariel), grey-backed tern (Onychoprion lunata), red-tailed tropicbird (Phaethon rubricauda), sooty terns (sterna fuscata) It is also an important winter-stop for the bristle-thighed curlew (Numenius tahitiensis), a migrant from Alaska; and other migratory seabirds (nineteen species in all).
Two kinds of lizards, the mourning gecko (Lepidodactylus lugubris) and snake-eyed skink (Cryptoblepharus boutonii) are present on Malden, together with brown libellulid dragonfly.
Cats, pigs, goats and house mice were introduced to Malden during the guano-digging period. While the goats and pigs have all died off, feral cats and house mice are still present. Small numbers of green turtles nest on the beaches, and hermit crabs abound.
History
Discovery
The earliest documented sighting of Malden Island by Europeans was on 25 March 1825, by Captain Samuel Bunker (1796-1874) of the whaler Alexander of Nantucket. Bunker's journal for that day mentioned that "it proved to be an island seen by the Sarah Ann of London and the Independence of Nantucket, Capt. Whippey". They were also whaling vessels. That logbook extract may explain several things: why Malden Island was once known as "Independence Island", Sarah Ann Island (a phantom island), and that Bunker wasn't the first European to see the island. He couldn't land, and sailed on the next day.
On 30 July 1825, the island was seen again by Captain The 7th Lord Byron (a cousin of the famous poet). Byron, commanding the British warship HMS Blonde, was returning to London from a special mission to Honolulu to repatriate the remains of the young king and queen of Hawaii, who had died of measles during a visit to Britain. The island was named after Lieutenant Charles Robert Malden, navigator of the Blonde, who sighted the island and briefly explored it. Andrew Bloxam, naturalist of the Blonde, and James Macrae, a botanist travelling for the Royal Horticultural Society, joined in exploring the island and recorded their observations. Malden may have been the island sighted in 1823 by another captain, William Clark of the whaling vessel Winslow.
Prehistoric ruins
At the time of its discovery by Europeans, Malden was found to be unoccupied, but the remains of ruined temples and other structures indicated that the island had at one time been inhabited. At various times the remains have been speculatively attributed to "wrecked seamen", "buccaneers", "South American Incas", or "early Chinese navigators". In 1924, the Malden ruins were examined by Kenneth Emory, an archaeologist from the Bishop Museum in Honolulu, who concluded that they were the creation of a small Polynesian population which had resided there for perhaps several generations some centuries earlier.
The ancient stone structures are located around the beach ridges, principally on the north and south sides. A total of 21 archaeological sites have been discovered, three of which (on the island's northwest side) are larger than the others. The sites include temple platforms, called marae, house sites, and graves. Comparisons with stone structures on Tuamotu atolls show that a population of between 100 and 200 people could have produced all of the Malden structures. Marae of a similar type are found on Raivavae, one of the Austral Islands. Various wells used by these ancients were found by later settlers to be dry or brackish.
Whalers and guano diggers
In the first half of the nineteenth century, during the heyday of American whaling in the central Pacific, Malden was visited on a number of occasions by American whalers.
In 1918, schooner Annie Larsen, infamous for her role in the Hindu–German Conspiracy, was stranded at Malden Island.
Malden was claimed by the U.S. Guano Company under the Guano Islands Act of 1856, which authorized citizens to take possession of uninhabited islands under the authority of the United States for the purpose of removing guano, a valuable agricultural fertilizer. Before the American company could begin their operations, the island was occupied by an Australian company under British licence. This company and its successors exploited the island continuously from the 1860s through 1927.
Writer Beatrice Grimshaw, a visitor to Malden in the guano-digging era, decried the "glaring barrenness of the bit island", declaring that "...shade, coolness, refreshing fruit, pleasant sights and sounds: there are none. For those who live on the island, it is the scene of an exile which has to be endured somehow or other". She described Malden as containing "a little settlement fronted by a big wooden pier, and a desolate plain of low greyish-green herbage, relieved here and there by small bushes bearing insignificant yellow flowers". Water for settlers was produced by large distillation plants, since no fresh-water wells could be successfully dug on the island.
The five or six European supervisors on the island were given "a row of little tin-roofed, one-storeyed houses above the beach", while the native labourers from Niue Island and Aitutaki were housed in "big, barn-like shelters". Grimshaw described these edifices as being "large, bare, shady buildings fitted with wide shelves, on which the men spread their mats and pillows to sleep". Their food consisted of "rice, biscuits, yams, tinned beef, and tea, with a few cocoanuts for those who may fall sick". Food for the white supervisors consisted of "tinned food of various kinds, also bread, rice, fowls, pork, goat, and goat's milk", but vegetables were hard to come by.
Indentured labourers on Malden were contracted for one year, paid ten shillings per week plus room and board, and repatriated to their home islands when their contracts expired. Salaries for the supervisors were described as "quite high". Work hours were 5 am to 5 pm, with one hour and 45 minutes given off for meals.
The guano diggers constructed a unique railroad on Malden Island, with cars powered by large sails. Laborers pushed empty carts from the loading area up the tramway to the digging pits, where they were then loaded with guano. At the end of the day, the sails were unfurled, and the train cars whisked back to the settlement by the prevailing southeastern winds. While cars were known to jump the tracks more than once during these excursions, the system seems to have worked fairly well. Railroad handcars were also used. This tramway remained in use on Malden as late as 1924, and its roadbed still exists on the island today.
Although guano digging continued on Malden through the early 1920s, all human activity on the island had ceased by the early 1930s. No further human use seems to have been made of Malden until 1956.
British nuclear testing
In 1956 the United Kingdom selected Malden as the "instrumentation site" for its first series of thermonuclear (H-bomb) weapons tests, based at Kiritimati (Christmas Island). British officials insisted that Malden should not be called a "target island". Nevertheless, the bombing target marker was located at the south point of the island and three thermonuclear devices were detonated at high altitude a short distance offshore in 1957. The airstrip constructed on the island by the Royal Engineers in 1956–57 remained usable in July 1979.
Malden Island today
Malden was incorporated in the British Gilbert and Ellice Islands Colony in 1972, and included in the portion of the colony which became the Republic of Kiribati in 1979. The U.S. continued to dispute British sovereignty, based on its nineteenth century Guano Act claims, until after Kiribati became independent. On 20 September 1979, representatives of the United States and Kiribati met on Tarawa Atoll in the Gilberts group of Kiribati, and signed a treaty of friendship between their two nations (commonly referred to as the Treaty of Tarawa of 1979) by which the United States recognized Kiribati's sovereignty over Malden and thirteen other islands in the Line and Phoenix Islands groups. This treaty entered into force on 23 September 1983.
The main value of the island to Kiribati lies in the resources of the Exclusive Economic Zone which surrounds it, particularly the rich tuna fisheries. Gypsum deposits on the island itself are extensive, but do not appear to be economically viable under foreseeable market conditions, mainly due to cost of transportation. Some revenue has been realized from ecotourism; the World Discoverer, an adventure cruise ship operated by Society Expeditions, visited the island once or twice annually for several years in the mid-1990s.
Malden was reserved as a wildlife sanctuary and closed area, and was officially designated as the "Malden Island Wildlife Sanctuary", on 29 May 1975, under the 1975 Wildlife Conservation Ordinance. The principal purpose of this reservation was to protect the large breeding populations of seabirds. This sanctuary is administered by the Wildlife Conservation Unit of the Ministry of Line and Phoenix Islands Development, headquartered on Kiritimati. There is no resident staff at Malden, however, and occasional visits by foreign yachtsmen and fishermen cannot be monitored from Kiritimati. A fire in 1977, possibly caused by visitors, threatened breeding seabirds; this remains a potential threat, particularly during periods of drought.
See also
Desert island
List of islands
References
Sources
Dunmore, John (1992); Who's Who in Pacific Navigation, Australia:Melbourne University Press,
Quanchi, Max & Robson, John, (2005); Historical Dictionary of the Discovery and Exploration of the Pacific Islands, USA: Scarecrow Press,
Bloxam, Andrew (1925), Diary of Andrew Bloxam: naturalist of the "Blonde" on her trip from England to the Hawaiian islands, 1824–25 Volume 10 of Bernice P. Bishop Museum special publication
External links
National Geographic – Southern Line Islands Expedition, 2014
Malden Atoll viewed from space
Nuclear test sites
British nuclear test sites
Uninhabited islands of Kiribati
Pacific islands claimed under the Guano Islands Act
Former populated places in Oceania
Guano trade
Line Islands
Islands of Kiribati
Former disputed islands
Line Islands (Kiribati) |
19026 | https://en.wikipedia.org/wiki/Mater%20lectionis | Mater lectionis | Matres lectionis (from Latin "mothers of reading", singular form: mater lectionis, from ) are consonants that are used to indicate a vowel, primarily in the writing down of Semitic languages such as Arabic, Hebrew and Syriac. The letters that do this in Hebrew are aleph , he , waw and yod , and in Arabic, the matres lectionis (though they are much less often referred to thus) are ʾalif , wāw and yāʾ . The 'yod and waw in particular are more often vowels than they are consonants.
The original value of the matres lectionis corresponds closely to what is called in modern linguistics glides or semivowels.
Overview
Because the scripts used to write some Semitic languages lack vowel letters, unambiguous reading of a text might be difficult. Therefore, to indicate vowels (mostly long), consonant letters are used. For example, in the Hebrew construct-state form bēt, meaning "the house of", the middle letter in the spelling acts as a vowel, but in the corresponding absolute-state form bayit ("house"), which is spelled the same, the same letter represents a genuine consonant. Matres lectionis are extensively employed only in Hebrew, Aramaic, Syriac and Arabic, but the phenomenon is also found in the Ugaritic, Moabite, South Arabian and Phoenician alphabets.
Origins and development
Historically, the practice of using matres lectionis seems to have originated when and diphthongs, written with the yod and the waw consonant letters respectively, monophthongized to simple long vowels and . This epiphenomenal association between consonant letters and vowel sounds was then seized upon and used in words without historic diphthongs.
In general terms, it is observable that early Phoenician texts have very few matres lectionis, and that during most of the 1st millennium BCE, Hebrew and Aramaic were quicker to develop matres lectionis than Phoenician. However, in its latest period of development in North Africa (referred to as "Punic"), Phoenician developed a very full use of matres lectionis, including the use of the letter ayin , also used for this purpose much later in Yiddish orthography.
In pre-exilic Hebrew, there was a significant development of the use of the letter he to indicate word final vowels other than ī and ū. This was probably inspired by the phonological change of the third-person singular possessive suffix from > > in most environments. However, in later periods of Hebrew, the orthography was changed so word-final ō was no longer written with , except in a few archaically-spelled proper names, such as Solomon and Shiloh . The difference between the spelling of the third-person singular possessive suffix (as attached to singular nouns) with in early Hebrew versus with in later Hebrew has become an issue in the authentication of the Jehoash Inscription.
According to Sass (5), already in the Middle Kingdom there were some cases of matres lectionis, i.e. consonant graphemes which were used to transcribe vowels in foreign words, namely in Punic (Jensen 290, Naveh 62), Aramaic, and Hebrew (, , ; sometimes even aleph ; Naveh 62). Naveh (ibid.) notes that the earliest Aramaic and Hebrew documents already used matres lectionis. Some scholars argue that the Greeks must therefore have borrowed their alphabet from the Arameans. However, the practice has older roots, as the Semitic cuneiform alphabet of Ugarit (13th century BC) already had matres lectionis (Naveh 138).
Hebrew
The earliest method of indicating some vowels in Hebrew writing was to use the consonant letters yod , waw , he ,and aleph of the Hebrew alphabet to also write long vowels in some cases. Originally, and were only used as matres lectiones at the end of words, and and were used mainly to write the original diphthongs and as well as original vowel+[y]+vowel sequences (which sometimes simplified to plain long vowels). Gradually, as it was found to be insufficient for differentiating between similar nouns, and were also inserted to mark some long vowels of non-diphthongal origin.
If words can be written with or without matres lectionis, spellings that include the letters are called malē (Hebrew) or plene (Latin), meaning "full", and spellings without them are called ḥaser or defective. In some verb forms, matres lectionis are almost always used. Around the 9th century CE, it was decided that the system of matres lectionis did not suffice to indicate the vowels precisely enough for purposes of liturgical recitation of Biblical texts so a supplemental vowel pointing system (niqqud) (diacritic symbols indicating vowel pronunciation and other important phonological features not written by the traditional basic consonantal orthography) joined matres lectionis as part of the Hebrew writing system.
In some words in Hebrew, there is a choice of whether to use a mater lectionis or not, and in modern printed texts matres lectionis are sometimes used even for short vowels, which is considered to be grammatically incorrect according to traditional norms, though instances are found as far back as Talmudic times. Such texts from Judaea and Galilee were noticeably more inclined to malē spellings than texts from Babylonia. Similarly, in the Middle Ages, Ashkenazi Jews tended to use malē spellings under the influence of European languages, but Sephardi Jews tended to use ḥaser spellings under the influence of Arabic.
Arabic
In Arabic there is no such choice, and the almost invariable rule is that a long vowel is written with a mater lectionis and a short vowel with a diacritic symbol, but the Uthmanic orthography, the one in which the Quran is traditionally written and printed, has some differences, which are not always consistent. Also, under influence from orthography of European languages, transliterating of borrowed words into Arabic is usually done using matres lectionis in place of diacritics, even when the latter is more suitable or when words from another Semitic language, such as Hebrew, are transliterated. That phenomenon is augmented by the neglect of diacritics in most printed forms since the beginning of mechanical printing.
The name given to the three matres lectionis by traditional Arabic grammar is , ‘consonants of softness and lengthening’, or , ‘causal consonants‘ or ‘consonants of infirmity’, because as in Greek grammar, words with ‘accidents’ were deemed to be afflicted, ill, in opposition to ‘healthy’ words without accidents.
Informal orthographies of spoken varieties of Arabic also use ha to indicate a shorter version of alif , a usage augmented by the ambiguity of the use of and taa marbuta in formal Arabic orthography. It is a formal orthography in other languages that use Arabic script, such as Kurdish alphabets.
Syriac
Syriac-Aramaic vowels are classified into three groups: the alap (), the waw (), and the yod (). The mater lectionis was developed as early as the 6th century to represent long vowels, which were earlier denoted by a dot under the line. The most frequent ones are the yod and the waw, while the alap is mostly restricted to some transliterated words.
Usage in Hebrew
Most commonly, yod indicates i or e, while waw indicates o or u. Aleph was not systematically developed as a mater lectionis in Hebrew (unlike in Aramaic and Arabic), but it is occasionally used to indicate an a vowel. (However, a silent , indicating an original glottal stop consonant sound that has become silent in Hebrew pronunciation, can occur after almost any vowel.) At the end of a word, he can also be used to indicate that a vowel a should be pronounced.
Examples:
{|class="wikitable"
|-
! rowspan=2 | Symbol
! colspan=2 | Name
! rowspan=2 | Vowel formation
! rowspan=2 | Vowel quality
! colspan=2 | Example
|-
! Biblical
! Modern
! Hebrew
! Transliteration
|-
| style="text-align: center; font-family:SBL Hebrew, Ezra SIL SR, Ezra SIL, Cardo, Chrysanthi Unicode, TITUS Cyberbit Basic, Arial Unicode MS, Narkisim, Times New Roman;font-size:200%" |
| colspan=2 style="text-align: center;" | Alef
| ê, ệ, ậ, â, ô
| mostly ā
|
| Paran
|-
| style="text-align: center; font-family:SBL Hebrew, Ezra SIL SR, Ezra SIL, Cardo, Chrysanthi Unicode, TITUS Cyberbit Basic, Arial Unicode MS, Narkisim, Times New Roman;font-size:200%" rowspan=2 |
| rowspan=2 colspan=2 style="text-align: center;" | He
| rowspan=2 | ê, ệ, ậ, â, ô
| rowspan=2 |mostly ā or e
|
| Leah
|-
|
| Moshe
|-
| style="text-align: center; font-family:SBL Hebrew, Ezra SIL SR, Ezra SIL, Cardo, Chrysanthi Unicode, TITUS Cyberbit Basic, Arial Unicode MS, Narkisim, Times New Roman; font-size:200%" rowspan=2|
| rowspan=2 style="text-align: center;" | Waw
| rowspan=2 style="text-align: center;" | Vav
| rowspan=2 | ô, û
| rowspan=2 | ō or ū
|
| Yo'el
|-
|
| Baruch
|-
| style="text-align: center; font-family:SBL Hebrew, Ezra SIL SR, Ezra SIL, Cardo, Chrysanthi Unicode, TITUS Cyberbit Basic, Arial Unicode MS, Narkisim, Times New Roman;font-size:200%" |
| style="text-align: center;" | Yod
|style="text-align: center;" | Yud
| î, ê, ệ
| ī, ē or ǣ
|
| Amir
|}
Influence on other languages
Later, in some adaptations of the Arabic alphabet (such those sometimes used for Kurdish and Uyghur) and of the Hebrew alphabet (such as those used for Judeo-Arabic, Yiddish and Judaeo-Spanish), matres lectionis were generally used for all or most vowels, thus in effect becoming vowel letters: see Yiddish orthography. This tendency was taken to its logical conclusion in fully alphabetic scripts such as Greek, Latin, and Cyrillic. Many of the vowel letters in such languages historically go back to matres lectionis in the Phoenician script. For example, the letter was originally derived from the consonant letter yod. Similarly the vowel letters in the Avestan alphabet were adapted from matres lectionis in the version of the Aramaic alphabet adapted as the Pahlavi scripts.
See also
Hebrew spelling
Ktiv hasar niqqud
Mappiq
Niqqud
Tengwar
Tiberian vocalization
Notes
Bibliography
Canteins, Jean. 1972. Phonèmes et archétypes: contextes autour d'une structure trinitaire; AIU. Paris: G.-P. Maisonneuve et Larose.
Garr, W. Randall. 1985. Dialect Geography of Syria-Palestine, 1000-586 B.C.E. Philadelphia: University of Pennsylvania Press.
Jensen, Hans. 1970. Sign Symbol and Script. London: George Allen and Unwin Ltd. Transl. of Die Schrift in Vergangenheit und Gegenwart. VEB Deutscher Verlag der Wissenschaften. 1958, as revised by the author.
Naveh, Joseph. 1979. Die Entstehung des Alphabets. Transl. of Origins of the Alphabet. Zürich und Köln. Benziger.
Sass, Benjamin. 1991. Studia Alphabetica. On the origin and early history of the Northwest Semitic, South Semitic and Greek alphabets. CH-Freiburg: Universitätsverlag Freiburg Schweiz. Göttingen: Vandenhoeck & Ruprecht.
Arabic grammar
Arabic language
Arabic letters
Hebrew alphabet
Hebrew grammar
Semitic languages
Semitic linguistics
Semitic writing systems
Vowel letters |
19027 | https://en.wikipedia.org/wiki/My%20Fair%20Lady | My Fair Lady | My Fair Lady is a musical based on George Bernard Shaw's 1913 play Pygmalion, with a book and lyrics by Alan Jay Lerner and music by Frederick Loewe. The story concerns Eliza Doolittle, a Cockney flower girl who takes speech lessons from professor Henry Higgins, a phonetician, so that she may pass as a lady. Despite his cynical nature, Higgins falls in love with her.
The musical's 1956 Broadway production was a notable critical and popular success, winning six Tony Awards, including Best Musical. It set a record for the longest run of any musical on Broadway up to that time and was followed by a hit London production. Rex Harrison and Julie Andrews starred in both productions. A popular film version premiered in 1964, and many revivals have followed.
Plot
Act I
In Edwardian London, Eliza Doolittle is a flower girl with a thick Cockney accent. The noted phonetician Professor Henry Higgins encounters Eliza at Covent Garden and laments the vulgarity of her dialect ("Why Can't the English?"). Higgins also meets Colonel Pickering, another linguist, and invites him to stay as his houseguest. Eliza and her friends wonder what it would be like to live a comfortable life ("Wouldn't It Be Loverly?").
Eliza's father, Alfred P. Doolittle, stops by the next morning searching for money for a drink ("With a Little Bit of Luck"). Soon after, Eliza comes to Higgins's house, seeking elocution lessons so that she can get a job as an assistant in a florist's shop. Higgins wagers Pickering that, within six months, by teaching Eliza to speak properly, he will enable her to pass for a proper lady.
Eliza becomes part of Higgins's household. Though Higgins sees himself as a kindhearted man who merely cannot get along with women ("I'm an Ordinary Man"), to others he appears self-absorbed and misogynistic. Eliza endures Higgins's tyrannical speech tutoring. Frustrated, she dreams of different ways to kill him ("Just You Wait"). Higgins's servants lament the stressful atmosphere ("The Servants' Chorus").
Just as Higgins is about to give up on her, Eliza suddenly recites one of her diction exercises in perfect upper-class style ("The Rain in Spain"). Though Mrs Pearce, the housekeeper, insists that Eliza go to bed, she declares she is too excited to sleep ("I Could Have Danced All Night").
For her first public tryout, Higgins takes Eliza to his mother's box at Ascot Racecourse ("Ascot Gavotte"). Though Eliza shocks everyone when she forgets herself while watching a race and reverts to foul language, she does capture the heart of Freddy Eynsford-Hill. Freddy calls on Eliza that evening, and he declares that he will wait for her in the street outside Higgins' house ("On the Street Where You Live").
Eliza's final test requires her to pass as a lady at the Embassy Ball. After more weeks of preparation, she is ready. All the ladies and gentlemen at the ball admire her, and the Queen of Transylvania invites her to dance with the prince ("Embassy Waltz"). A Hungarian phonetician, Zoltan Karpathy, attempts to discover Eliza's origins. Higgins allows Karpathy to dance with Eliza.
Act II
The ball is a success; Karpathy has declared Eliza to be a Hungarian princess. Pickering and Higgins revel in their triumph ("You Did It"), failing to pay attention to Eliza. Eliza is insulted at receiving no credit for her success, packing up and leaving the Higgins house. As she leaves she finds Freddy, who begins to tell her how much he loves her, but she tells him that she has heard enough words; if he really loves her, he should show it ("Show Me").
Eliza and Freddy return to Covent Garden but she finds she no longer feels at home there. Her father is there as well, and he tells her that he has received a surprise bequest from an American millionaire, which has raised him to middle-class respectability, and now must marry his lover. Doolittle and his friends have one last spree before the wedding ("Get Me to the Church on Time").
Higgins awakens the next morning. He finds himself out of sorts without Eliza. He wonders why she left after the triumph at the ball and concludes that men (especially himself) are far superior to women ("A Hymn to Him"). Pickering notices the Professor's lack of consideration, and also leaves the Higgins house.
Higgins despondently visits his mother's house, where he finds Eliza. Eliza declares she no longer needs Higgins ("Without You"). As Higgins walks home, he realizes he's grown attached to Eliza ("I've Grown Accustomed to Her Face"). At home, he sentimentally reviews the recording he made the day Eliza first came to him for lessons, hearing his own harsh words. Eliza suddenly appears in his home. In suppressed joy at their reunion, Professor Higgins scoffs and asks, "Eliza, where the devil are my slippers?"
Characters and original Broadway cast
The original cast of the Broadway stage production:
Eliza Doolittle, a young Cockney flowerseller – Julie Andrews
Henry Higgins, a professor of phonetics – Rex Harrison
Alfred P. Doolittle, Eliza's father, a dustman – Stanley Holloway
Colonel Hugh Pickering, Henry Higgins's friend and fellow phoneticist – Robert Coote
Mrs. Higgins, Henry's socialite mother – Cathleen Nesbitt
Freddy Eynsford-Hill, a young socialite and Eliza's suitor – John Michael King
Mrs. Pearce, Higgins's housekeeper – Philippa Bevans
Zoltan Karpathy, Henry Higgins's former student and rival – Christopher Hewett
Musical numbers
Act I
"Overture" – The Orchestra
"Busker Sequence" – The Orchestra
"Why Can't the English?" – Professor Higgins
"Wouldn't It Be Loverly?" – Eliza and Male Quartet
"With a Little Bit of Luck" – Alfred Doolittle, Harry, Jamie and Company
"I'm an Ordinary Man" – Professor Higgins
"With a Little Bit of Luck (Reprise)" – Alfred Doolittle and Ensemble
"Just You Wait" – Eliza
"The Servants' Chorus (Poor Professor Higgins)" – Mrs. Pearce and Servants
"The Rain in Spain" – Professor Higgins, Eliza, and Colonel Pickering
"I Could Have Danced All Night" – Eliza, Mrs. Pearce, and Servants
"Ascot Gavotte" – Ensemble
"On the Street Where You Live" – Freddy
"Eliza's Entrance/Embassy Waltz" – The Orchestra
Act II
"You Did It" – Colonel Pickering, Professor Higgins, Mrs. Pearce, and Servants
"Just You Wait (Reprise)" – Eliza
"On the Street Where You Live (Reprise)" – Freddy
"Show Me" – Eliza with Freddy
"The Flower Market/Wouldn't It Be Loverly? (Reprise)" – Eliza and Male Quartet
"Get Me to the Church on Time" – Alfred Doolittle and Ensemble
"A Hymn to Him" – Professor Higgins and Colonel Pickering
"Without You" – Eliza and Professor Higgins
"I've Grown Accustomed to Her Face" – Professor Higgins
"I Could Have Danced All Night (Reprise) / Finale" – The Orchestra
Background
In the mid-1930s, film producer Gabriel Pascal acquired the rights to produce film versions of several of George Bernard Shaw's plays, Pygmalion among them. However, Shaw, having had a bad experience with The Chocolate Soldier, a Viennese operetta based on his play Arms and the Man, refused permission for Pygmalion to be adapted into a musical. After Shaw died in 1950, Pascal asked lyricist Alan Jay Lerner to write the musical adaptation. Lerner agreed, and he and his partner Frederick Loewe began work. But they quickly realised that the play violated several key rules for constructing a musical: the main story was not a love story, there was no subplot or secondary love story, and there was no place for an ensemble. Many people, including Oscar Hammerstein II, who, with Richard Rodgers, had also tried his hand at adapting Pygmalion into a musical and had given up, told Lerner that converting the play to a musical was impossible, so he and Loewe abandoned the project for two years.
During this time, the collaborators separated and Gabriel Pascal died. Lerner had been trying to musicalize Li'l Abner when he read Pascal's obituary and found himself thinking about Pygmalion again. When he and Loewe reunited, everything fell into place. All of the insurmountable obstacles that had stood in their way two years earlier disappeared when the team realised that the play needed few changes apart from (according to Lerner) "adding the action that took place between the acts of the play". They then excitedly began writing the show. However, Chase Manhattan Bank was in charge of Pascal's estate, and the musical rights to Pygmalion were sought both by Lerner and Loewe and by Metro-Goldwyn-Mayer, whose executives called Lerner to discourage him from challenging the studio. Loewe said, "We will write the show without the rights, and when the time comes for them to decide who is to get them, we will be so far ahead of everyone else that they will be forced to give them to us." For five months Lerner and Loewe wrote, hired technical designers, and made casting decisions. The bank, in the end, granted them the musical rights.
Various titles were suggested for the musical. Dominic McHugh wrote: "During the autumn of 1955, the show [was] typically referred to as My Lady Liza, and most of the contracts refer to this as the title." Lerner preferred My Fair Lady, relating both to one of Shaw's provisional titles for Pygmalion and to the final line of every verse of the nursery rhyme "London Bridge Is Falling Down". Recalling that the Gershwins' 1925 musical Tell Me More had been titled My Fair Lady in its out-of-town tryout, and also had a musical number under that title, Lerner made a courtesy call to Ira Gershwin, alerting him to the use of the title for the Lerner and Loewe musical.
Noël Coward was the first to be offered the role of Henry Higgins, but he turned it down, suggesting the producers cast Rex Harrison instead. After much deliberation, Harrison agreed to accept the part. Mary Martin was an early choice for the role of Eliza Doolittle, but declined the role. Young actress Julie Andrews was "discovered" and cast as Eliza after the show's creative team went to see her Broadway debut in The Boy Friend. Moss Hart agreed to direct after hearing only two songs. The experienced orchestrators Robert Russell Bennett and Philip J. Lang were entrusted with the arrangements, and the show quickly went into rehearsal.
The musical's script used several scenes that Shaw had written especially for the 1938 film version of Pygmalion, including the Embassy Ball sequence and the final scene of the 1938 film rather than the ending for Shaw's original play. The montage showing Eliza's lessons was also expanded, combining both Lerner's and Shaw's dialogue. The artwork on the original Broadway poster (and the sleeve of the cast recording) is by Al Hirschfeld, who drew the playwright Shaw as a heavenly puppetmaster pulling the strings on the Henry Higgins character, while Higgins in turn attempts to control Eliza Doolittle.
Productions
Original Broadway production
The musical had its pre-Broadway tryout at New Haven's Shubert Theatre. At the first preview Rex Harrison, who was unaccustomed to singing in front of a live orchestra, "announced that under no circumstances would he go on that night...with those thirty-two interlopers in the pit". He locked himself in his dressing room and came out little more than an hour before curtain time. The whole company had been dismissed but were recalled, and opening night was a success. My Fair Lady then played for four weeks at the Erlanger Theatre in Philadelphia, beginning on February 15, 1956.
The musical premiered on Broadway March 15, 1956, at the Mark Hellinger Theatre in New York City. It transferred to the Broadhurst Theatre and then The Broadway Theatre, where it closed on September 29, 1962, after 2,717 performances, a record at the time. Moss Hart directed and Hanya Holm was choreographer. In addition to stars Rex Harrison, Julie Andrews and Stanley Holloway, the original cast included Robert Coote, Cathleen Nesbitt, John Michael King, and Reid Shelton. Harrison was replaced by Edward Mulhare in November 1957 and Sally Ann Howes replaced Andrews in February 1958. By the start of 1959, it was the biggest grossing Broadway show of all-time with a gross of $10 million.
The Original Cast Recording, released on April 2, 1956, was the best-selling album in the United States in 1956.
Original London production
The West End production, in which Harrison, Andrews, Coote, and Holloway reprised their roles, opened on April 30, 1958, at the Theatre Royal, Drury Lane, where it ran for five and a half years (2,281 performances). Edwardian musical comedy star Zena Dare made her last appearance in the musical as Mrs. Higgins. Leonard Weir played Freddy. Harrison left the London cast in March 1959, followed by Andrews in August 1959 and Holloway in October 1959.
1970s revivals
The first Broadway revival opened at the St. James Theatre 20 years after the original, on March 25, 1976, and ran there until December 5, 1976; it then transferred to the Lunt-Fontanne Theatre, running from December 9, 1976, until it closed on February 20, 1977, after a total of 377 performances and 7 previews. The director was Jerry Adler, with choreography by Crandall Diehl, based on the original choreography by Hanya Holm. Ian Richardson starred as Higgins, with Christine Andreas as Eliza, George Rose as Alfred P. Doolittle and Robert Coote recreating his role as Colonel Pickering. Both Richardson and Rose were nominated for the Tony Award for Best Actor in a Musical, with the award going to Rose.
A London revival opened at the Adelphi Theatre in October 1979, following a national tour. It featured Tony Britton as Higgins, Liz Robertson as Eliza, Dame Anna Neagle as Higgins' mother, Peter Bayliss, Richard Caldicot and Peter Land. The revival was produced by Cameron Mackintosh and directed by Robin Midgley, with sets by Adrian Vaux, costumes by Tim Goodchild and choreography by Gillian Lynne. Britton and Robertson were both nominated for Olivier Awards.
1981 and 1993 Broadway revivals
The second Broadway revival of the original production opened at the Uris Theatre on August 18, 1981, and closed on November 29, 1981, after 120 performances and 4 previews. Rex Harrison recreated his role as Higgins, with Jack Gwillim as Pickering, Milo O'Shea as Doolittle, and Cathleen Nesbitt, at 93 years old reprising her role as Mrs. Higgins. The revival co-starred Nancy Ringham as Eliza. The director was Patrick Garland, with choreography by Crandall Diehl, recreating the original Hanya Holm dances.
A new revival directed by Howard Davies opened at the Virginia Theatre on December 9, 1993, and closed on May 1, 1994, after 165 performances and 16 previews. The cast starred Richard Chamberlain as Higgins, Melissa Errico as Eliza and Paxton Whitehead as Pickering. Julian Holloway, son of Stanley Holloway, recreated his father's role of Alfred P. Doolittle. Donald Saddler was the choreographer.
2001 London revival; 2003 Hollywood Bowl production
Cameron Mackintosh produced a new production on March 15, 2001, at the Royal National Theatre, which transferred to the Theatre Royal, Drury Lane on July 21. Directed by Trevor Nunn, with choreography by Matthew Bourne, the musical starred Martine McCutcheon as Eliza and Jonathan Pryce as Higgins, with Dennis Waterman as Alfred P. Doolittle. This revival won three Olivier Awards: Outstanding Musical Production, Best Actress in a Musical (Martine McCutcheon) and Best Theatre Choreographer (Matthew Bourne), with Anthony Ward receiving a nomination for Set Design. In December 2001, Joanna Riding took over the role of Eliza, and in May 2002, Alex Jennings took over as Higgins, both winning Olivier Awards for Best Actor and Best Actress in a Musical respectively in 2003. In March 2003, Anthony Andrews and Laura Michelle Kelly took over the roles until the show closed on August 30, 2003.
A UK tour of this production began September 28, 2005. The production starred Amy Nuttall and Lisa O'Hare as Eliza, Christopher Cazenove as Henry Higgins, Russ Abbot and Gareth Hale as Doolittle, and Honor Blackman and Hannah Gordon as Mrs. Higgins. The tour ended August 12, 2006.
In 2003 a production of the musical at the Hollywood Bowl starred John Lithgow as Higgins, Melissa Errico as Eliza, Roger Daltrey as Doolittle and Paxton Whitehead as Colonel Pickering.
2018 Broadway and 2022 London revival
A Broadway revival produced by Lincoln Center Theater and Nederlander Presentations Inc. began previews on March 15, 2018, at the Vivian Beaumont Theater and officially opened on April 19, 2018. It was directed by Bartlett Sher with choreography by Christopher Gattelli, scenic design by Michael Yeargan, costume design by Catherine Zuber and lighting design by Donald Holder. The cast included Lauren Ambrose as Eliza, Harry Hadden-Paton as Professor Henry Higgins, Diana Rigg as Mrs. Higgins, Norbert Leo Butz as Alfred P. Doolittle, Allan Corduner as Colonel Pickering, Jordan Donica as Freddy, and Linda Mugleston as Mrs. Pearce. Replacements included Rosemary Harris as Mrs. Higgins, Laura Benanti as Eliza, and Danny Burstein, then Alexander Gemignani, as Alfred P. Doolittle.
The revival closed on July 7, 2019, after 39 previews and 509 regular performances. A North American tour of the production, starring Shereen Ahmed and Laird Mackintosh as Eliza and Higgins, opened in December 2019. Performances were suspended in March 2020, due to the COVID-19 pandemic, and resumed in September 2021. It is scheduled to run through August 2022.
The production is scheduled to be repeated in the West End at the London Coliseum in May 2022 for a 16-week run.
Other major productions
Berlin, 1961
A German translation of My Fair Lady opened on October 1, 1961, at the Theater des Westens in Berlin, starring Karin Hübner and Paul Hubschmid (and conducted, as was the Broadway opening, by Franz Allers). Coming at the height of Cold War tensions, just weeks after the closing of the East Berlin–West Berlin border and the erection of the Berlin Wall, this was the first staging of a Broadway musical in Berlin since World War II. As such it was seen as a symbol of West Berlin's cultural renaissance and resistance. Lost attendance from East Berlin (now no longer possible) was partly made up by a "musical air bridge" of flights bringing in patrons from West Germany, and the production was embraced by Berliners, running for two years.
2007 New York Philharmonic concert and US tour
In 2007 the New York Philharmonic held a full-costume concert presentation of the musical. The concert had a four-day engagement lasting from March 7–10 at Lincoln Center's Avery Fisher Hall. It starred Kelsey Grammer as Higgins, Kelli O'Hara as Eliza, Charles Kimbrough as Pickering, and Brian Dennehy as Alfred Doolittle. Marni Nixon played Mrs. Higgins; Nixon had provided the singing voice of Audrey Hepburn in the film version.
A U.S. tour of Mackintosh's 2001 West End production ran from September 12, 2007, to June 22, 2008. The production starred Christopher Cazenove as Higgins, Lisa O'Hare as Eliza, Walter Charles as Pickering, Tim Jerome as Alfred Doolittle and Nixon as Mrs. Higgins, replacing Sally Ann Howes.
2008 Australian tour
An Australian tour produced by Opera Australia commenced in May 2008. The production starred Reg Livermore as Higgins, Taryn Fiebig as Eliza, Robert Grubb as Alfred Doolittle and Judi Connelli as Mrs Pearce. John Wood took the role of Alfred Doolittle in Queensland, and Richard E. Grant played the role of Henry Higgins at the Theatre Royal, Sydney.
2010 Paris revival
A new production was staged by Robert Carsen at the Théâtre du Châtelet in Paris for a limited 27-performance run, opening December 9, 2010, and closing January 2, 2011. It was presented in English. The costumes were designed by Anthony Powell and the choreography was by Lynne Page. The cast was as follows: Sarah Gabriel / Christine Arand (Eliza Doolittle), Alex Jennings (Henry Higgins), Margaret Tyzack (Mrs. Higgins), Nicholas Le Prevost (Colonel Pickering), Donald Maxwell (Alfred Doolittle), and Jenny Galloway (Mrs. Pearce).
2012 Sheffield production
A new production of My Fair Lady opened at Sheffield Crucible on December 13, 2012. Dominic West played Henry Higgins, and Carly Bawden played Eliza Doolittle. Sheffield Theatres' Artistic Director Daniel Evans was the director. The production ran until January 26, 2013.
2016 Australian production
The Gordon Frost Organisation, together with Opera Australia, presented a production at the Sydney Opera House from August 30 to November 5, 2016. It was directed by Julie Andrews and featured the set and costume designs of the original 1956 production by Smith and Beaton. The production sold more tickets than any other in the history of the Sydney Opera House. The show's opening run in Sydney was so successful that in November 2016, ticket pre-sales were released for a re-run in Sydney, with the extra shows scheduled between August 24 and September 10, 2017, at the Capitol Theatre. In 2017, the show toured to Brisbane from March 12 and Melbourne from May 11.
The cast featured Alex Jennings as Higgins (Charles Edwards for Brisbane and Melbourne seasons), Anna O'Byrne as Eliza, Reg Livermore as Alfred P. Doolittle, Robyn Nevin as Mrs. Higgins (later Pamela Rabe), Mark Vincent as Freddy, Tony Llewellyn-Jones as Colonel Pickering, Deidre Rubenstein as Mrs. Pearce, and David Whitney as Karpathy.
Critical reception
According to Geoffrey Block, "Opening night critics immediately recognized that My Fair Lady fully measured up to the Rodgers and Hammerstein model of an integrated musical...Robert Coleman...wrote 'The Lerner-Loewe songs are not only delightful, they advance the action as well. They are ever so much more than interpolations, or interruptions.'" The musical opened to "unanimously glowing reviews, one of which said 'Don't bother reading this review now. You'd better sit right down and send for those tickets...' Critics praised the thoughtful use of Shaw's original play, the brilliance of the lyrics, and Loewe's well-integrated score."
A sampling of praise from critics, excerpted from a book form of the musical, published in 1956.
"My Fair Lady is wise, witty, and winning. In short, a miraculous musical." Walter Kerr, New York Herald Tribune.
"A felicitous blend of intellect, wit, rhythm and high spirits. A masterpiece of musical comedy ... a terrific show." Robert Coleman, New York Daily Mirror.
"Fine, handsome, melodious, witty and beautifully acted ... an exceptional show." George Jean Nathan, New York Journal American.
"Everything about My Fair Lady is distinctive and distinguished." John Chapman, New York Daily News.
"Wonderfully entertaining and extraordinarily welcomed ... meritorious in every department." Wolcott Gibbs, The New Yorker.
"One of the 'loverliest' shows imaginable ... a work of theatre magic." John Beaufort, The Christian Science Monitor.
"An irresistible hit." Variety.
"One of the best musicals of the century." Brooks Atkinson, The New York Times.
The reception from Shavians was more mixed, however. Eric Bentley, for instance, called it "a terrible treatment of Mr. Shaw's play, [undermining] the basic idea [of the play]", even though he acknowledged it as "a delightful show". My Fair Lady was later called "the perfect musical".
Principal roles and casting history
Notable replacements
Broadway (1956–1962)
Eliza: Sally Ann Howes
West End (1958–1963)
Henry Higgins: Alec Clunes, Charles Stapley
Eliza: Anne Rogers
Doolittle: James Hayter
Broadway revival (2018–2019)
Eliza: Laura Benanti
Doolittle: Danny Burstein, Alexander Gemignani
Mrs. Higgins: Rosemary Harris
Awards and nominations
Original Broadway production
Sources: BroadwayWorld TheatreWorldAwards
1976 Broadway revival
Sources: BroadwayWorld Drama Desk
1979 London revival
Source: Olivier Awards
1981 Broadway revival
Source: BroadwayWorld
1993 Broadway revival
Source: Drama Desk
2001 London revival
Source: Olivier Awards
2018 Broadway revival
Adaptations
1964 film
George Cukor directed the 1964 film adaptation, with Harrison returning in the role of Higgins. The casting of Audrey Hepburn as Eliza created controversy among theatregoers, both because Andrews was regarded perfect in the part, and Hepburn's singing voice was dubbed (by Marni Nixon). Jack L. Warner, the head of Warner Bros., wanted "a star with a great deal of name recognition", but since Andrews did not have any film experience, he deemed success more likely with a movie star. (Andrews went on to star in Mary Poppins that same year for which she won both the Academy Award and the Golden Globe for Best Actress.) Lerner in particular disliked the film version of the musical, thinking it did not live up to the standards of Moss Hart's original direction. He was also unhappy with the casting of Hepburn as Eliza Doolittle and that the film was shot in its entirety at the Warner Bros. studio rather than, as he would have preferred, in London. Despite the controversy, My Fair Lady was considered a major critical and box-office success, and won eight Oscars, including Best Picture of the Year, Best Actor for Rex Harrison, and Best Director for George Cukor.
Unrealized 2008 film
Columbia Pictures announced a new adaptation in 2008. The intention was to shoot on location in Covent Garden, Drury Lane, Tottenham Court Road, Wimpole Street and the Ascot Racecourse. John Madden was signed to direct the film, and Colin Firth and Carey Mulligan were possible choices for the leading roles. Emma Thompson wrote a new screenplay adaptation for the project, but the studio shelved it.
Notes
References
Citron, David (1995). The Wordsmiths: Oscar Hammerstein 2nd and Alan Jay Lerner, Oxford University Press.
Garebian, Keith (1998). The Making of My Fair Lady, Mosaic Press.
Green, Benny, Editor (1987). A Hymn to Him : The Lyrics of Alan Jay Lerner, Hal Leonard Corporation.
Jablonski, Edward (1996). Alan Jay Lerner: A Biography, Henry Holt & Co.
Lees, Gene (2005). The Musical Worlds of Lerner and Loewe, Bison Books.
Lerner, Alan Jay (1985). The Street Where I Live, Da Capo Press.
McHugh, Dominic. Loverly: The Life and Times of "My Fair Lady" (Oxford University Press; 2012) 265 pages; uses unpublished documents to study the five-year process of the original production.
Shapiro, Doris (1989). We Danced All Night: My Life Behind the Scenes With Alan Jay Lerner, Barricade Books.
External links
Lincoln Center production
Ovrtur Page
1956 musicals
Broadway musicals
West End musicals
Musicals based on plays
Laurence Olivier Award-winning musicals
Tony Award for Best Musical
Musicals by Alan Jay Lerner
Musicals by Frederick Loewe
Plays set in the 1900s
Plays set in London
Plays set in England
Tony Award-winning musicals |
19028 | https://en.wikipedia.org/wiki/Martial%20arts%20film | Martial arts film | Martial arts films are a subgenre of action films that feature numerous martial arts combat between characters. These combats are usually the films' primary appeal and entertainment value, and often are a method of storytelling and character expression and development. Martial arts are frequently featured in training scenes and other sequences in addition to fights. Martial arts films commonly include hand-to-hand combat along with other types of action, such as stuntwork, chases, and gunfights. Sub-genres of martial arts films include kung fu films, wuxia, karate films, and martial arts action-comedy films, while related genres include gun fu, jidaigeki and samurai films.
History
Asian films are known to have a more minimalist approach to film based on their culture. As with other action films, martial arts films are dominated by action to varying degrees, using only wire work at best; many martial arts films have only a minimal plot and amount of character development and focus almost exclusively on the action, while others have more creative and complex plots and characters along with action scenes. Films of the latter type are generally considered to be artistically superior films, but many films of the former type are commercially successful and well received by fans of the genre. One of the earliest Hollywood movies to employ the use of martial arts was the 1955 film Bad Day at Black Rock, though the scenes of Spencer Tracy performed barely any realistic fight sequences, but composed mostly of soft knifehand strikes.
Akira Kurosawa pioneered the martial arts film genre with his 1943 directorial debut, Sugata Sanshiro. The film is about a young man learning Judo and fighting against various Jujitsu practitioners. Kurosawa also directed a sequel in 1945 titled Sugata Sanshiro, Part Two. It features fights with boxers and karate practitioners, maybe the first depiction of karate in cinema.
Martial arts films contain many characters who are martial artists and these roles are often played by actors who are real martial artists. If not, actors frequently train in preparation for their roles or the action director may rely more on stylized action or film making tricks like camera angles, editing, doubles, undercranking, wire work and computer-generated imagery. Trampolines and springboards used to be used to increase the height of jumps. The minimalist style employs smaller sets and little space for improvised but explosive fight scenes, as seen by Jackie Chan's films. These techniques are sometimes used by real martial artists as well, depending on the style of action in the film.
During the 1970s and 1980s, the most visible presence of martial arts films was the hundreds of English-dubbed kung fu and ninja films produced by the Shaw Brothers, Godfrey Ho and other Hong Kong producers. These films were widely broadcast on North American television on weekend timeslots that were often colloquially known as Kung Fu Theater, Black Belt Theater or variations thereof. Inclusive in this list of films are commercial classics like The Big Boss, Drunken Master and One Armed Boxer.
Martial arts films have been produced all over the world, but the genre has been dominated by Hong Kong action cinema, peaking from 1971 with the rise of Bruce Lee until the mid-1990s with a general decline in the industry, till it was revived close to the 2000s.
Other notable figures in the genre include Jackie Chan, Jet Li, Sammo Hung, Yuen Biao and Donnie Yen.
Sonny Chiba, Etsuko Shihomi, and Hiroyuki Sanada starred in numerous karate and jidaigeki films from Japan during the 1970s and early 1980s. Hollywood has also participated in the genre with actors such as Chuck Norris, Sho Kosugi, Jean-Claude Van Damme, Steven Seagal, Brandon Lee (son of Bruce Lee), Wesley Snipes, Gary Daniels, Mark Dacascos and Jason Statham. In the 2000s, Thailand's film industry became an international force in the genre with the films of Tony Jaa and the cinema of Vietnam followed suit with The Rebel and Clash. In more recent years, the Indonesian film industry has offered Merantau (2009) and The Raid: Redemption (2011).
Women have also played key roles in the genre, including such actresses as Michelle Yeoh, Angela Mao and Cynthia Rothrock. In addition, western animation has ventured into the genre with the most successful effort being the internationally hailed DreamWorks Animation film franchise, Kung Fu Panda, starring Jack Black and Angelina Jolie.
The Matrix is considered revolutionary in American cinema for raising the standard of fight scenes in western cinema.
Subgenres
In the Chinese-speaking world, martial arts films are commonly divided into two subcategories: the wuxia period films (武俠片), and the more modern kung fu films (功夫片, best epitomized in the films of Bruce Lee).
Kung fu films are a significant movie genre in themselves. Like westerns for Americans, they have become an identity of Chinese cinema. As the most prestigious movie type in Chinese film history, kung fu movies were among the first Chinese films produced and the wuxia period films (武俠片) are the original form of Chinese kung fu films. The wuxia period films came into vogue due to the thousands of years popularity of wuxia novels (武俠小說). For example, the wuxia novels of Jin Yong and Gu Long directly led to the prevalence of wuxia period films. Outside of the Chinese speaking world the most famous wuxia film made was the Ang Lee film Crouching Tiger, Hidden Dragon, which was based on the Wang Dulu series of wuxia novels: it earned four Academy Awards, including one for Best Foreign Film.
Martial arts westerns are usually American films inexpensively filmed in Southwestern United States locations, transposing martial arts themes into an "old west" setting; e.g., Red Sun with Charles Bronson and Toshiro Mifune.
See also
List of martial arts films
List of mixed martial arts films
Combat in film
Orange Sky Golden Harvest
Samurai cinema
Wuxia
References
External links
Martial Arts subgenre at Rotten Tomatoes
martial arts at IMDb
The 20 Greatest Fights Scenes Ever at Rotten Tomatoes
The 50 Greatest Fight Scenes of Film at Progressiveboink.com
The Five Best Fight Scenes Ever Filmed at Esquire.com
Exploitation films
Film genres
Theatrical combat |
19029 | https://en.wikipedia.org/wiki/Musical%20film | Musical film | Musical film is a film genre in which songs by the characters are interwoven into the narrative, sometimes accompanied by singing and dancing. The songs usually advance the plot or develop the film's characters, but in some cases, they serve merely as breaks in the storyline, often as elaborate "production numbers".
The musical film was a natural development of the stage musical after the emergence of sound film technology. Typically, the biggest difference between film and stage musicals is the use of lavish background scenery and locations that would be impractical in a theater. Musical films characteristically contain elements reminiscent of theater; performers often treat their song and dance numbers as if a live audience were watching. In a sense, the viewer becomes the diegetic audience, as the performer looks directly into the camera and performs to it.
With the advent of sound in the late 1920s, musicals gained popularity with the public and are exemplified by the films of Busby Berkeley, a choreographer known for his distinctive and elaborate set pieces featuring multiple showgirls. These lavish production numbers are typified by his choreographic work in 42nd Street, Gold Diggers of 1933, Footlight Parade (all from 1933). During the 1930s, the musical films of Fred Astaire and Ginger Rogers became massive cultural fixtures in the eyes of the American public. These films included, Top Hat (1935), Follow the Fleet, Swing Time (both 1936), and Shall We Dance (1937). Victor Fleming's The Wizard of Oz (1939) would become a landmark film for movie musical as it experimented with new technology such as Technicolor.
During the 1940s and 1950s, musical films from MGM musicals regularly premiered. These works included: Meet Me in St. Louis (1944), Easter Parade (1948), On the Town (1949), An American in Paris (1951), Singin' in the Rain (1952), The Band Wagon (1953), High Society (1956), and Gigi (1958). During this time, films outside the Arthur Freed unit at MGM included, Holiday Inn (1942), White Christmas (1954), and Funny Face (1957) as well as Oklahoma! (1955), The King and I (1956), Carousel, and South Pacific (1958). These films of the era typically relied on the star power of such film stars as Fred Astaire, Gene Kelly, Bing Crosby, Frank Sinatra, Judy Garland, Ann Miller, Kathryn Grayson, and Howard Keel. They also relied on film directors such as Stanley Donen and Vincente Minnelli as well as songwriters Comden and Green, Rodgers and Hammerstein, Irving Berlin, Cole Porter, and the Gershwin Brothers.
During the 1960s, films based on stage musicals continued to be critical and box-office successes. These films included, West Side Story (1961), Gypsy (1962), The Music Man (1962), Bye Bye Birdie (1963), My Fair Lady, Mary Poppins (both 1964), The Sound of Music (1965), A Funny Thing Happened on the Way to the Forum, How to Succeed in Business Without Really Trying, Thoroughly Modern Millie (all 1967), Oliver!, and Funny Girl (both 1968). In the 1970s, film culture and the changing demographics of filmgoers placed greater emphasis on gritty realism, while the pure entertainment and theatricality of classical-era Hollywood musicals was seen as old-fashioned. Despite this, Willy Wonka & the Chocolate Factory (1971), Fiddler on the Roof (1971), Cabaret (1972), 1776 (1972), Disney's Bedknobs and Broomsticks (1971), and Pete's Dragon (1977), as well as Grease and The Wiz (both 1978), were more traditional musicals closely adapted from stage shows and were strong successes with critics and audiences. Throughout the 1980s and 1990s, musicals tended to be mainly coming from the Disney animated films of the period, from composers and lyricists, Howard Ashman, Alan Menken, and Stephen Schwartz. The Disney Renaissance started with 1989's The Little Mermaid, then followed by Beauty and the Beast (1991), Aladdin (1992), The Lion King (1994), Pocahontas (1995), The Hunchback of Notre Dame (1996), Hercules (1997), and Mulan (1998).
Since the 21st century, the musical genre was rejuvenated with darker musicals, musical biopics, musical remakes, epic drama musicals and comedy-drama musicals such as Moulin Rouge! (2001), Chicago (2002), The Phantom of the Opera (2004), Rent, Walk the Line (both 2005), Dreamgirls (2006), Across the Universe, Enchanted, Hairspray, Sweeney Todd: The Demon Barber of Fleet Street (all 2007), Mamma Mia! (2008), Nine (2009), The Muppets (2011), Les Misérables (2012), Into the Woods, Muppets Most Wanted (both 2014), La La Land (2016), Beauty and the Beast, The Greatest Showman (both 2017), Mamma Mia! Here We Go Again!, A Star Is Born, Mary Poppins Returns (all 2018), Aladdin, Rocketman, The Lion King (all 2019), In the Heights, Cyrano, Tick, Tick… Boom!, and West Side Story (all 2021).
Hollywood musical films
1930-1950: The first classical sound era or First Musical Era
The 1930s through the early 1950s are considered to be the golden age of the musical film, when the genre's popularity was at its highest in the Western world. Disney's Snow White and the Seven Dwarfs, the earliest Disney animated feature film, was a musical which won an honorary Oscar for Walt Disney at the 11th Academy Awards.
The first musicals
Musical short films were made by Lee de Forest in 1923–24. Beginning in 1926, thousands of Vitaphone shorts were made, many featuring bands, vocalists, and dancers. The earliest feature-length films with synchronized sound had only a soundtrack of music and occasional sound effects that played while the actors portrayed their characters just as they did in silent films: without audible dialogue. The Jazz Singer, released in 1927 by Warner Brothers, was the first to include an audio track including non-diegetic music and diegetic music, but it had only a short sequence of spoken dialogue. This feature-length film was also a musical, featuring Al Jolson singing "Dirty Hands, Dirty Face", "Toot, Toot, Tootsie", "Blue Skies", and "My Mammy". Historian Scott Eyman wrote, "As the film ended and applause grew with the houselights, Sam Goldwyn's wife Frances looked around at the celebrities in the crowd. She saw 'terror in all their faces', she said, as if they knew that 'the game they had been playing for years was finally over'." Still, only isolated sequences featured "live" sound; most of the film had only a synchronous musical score. In 1928, Warner Brothers followed this up with another Jolson part-talkie, The Singing Fool, which was a blockbuster hit. Theaters scrambled to install the new sound equipment and to hire Broadway composers to write musicals for the screen. The first all-talking feature, Lights of New York, included a musical sequence in a night club. The enthusiasm of audiences was so great that in less than a year all the major studios were making sound pictures exclusively. The Broadway Melody (1929) had a show-biz plot about two sisters competing for a charming song-and-dance man. Advertised by MGM as the first "All-Talking, All-Singing, All-Dancing" feature film, it was a hit and won the Academy Award for Best Picture for 1929. There was a rush by the studios to hire talent from the stage to star in lavishly filmed versions of Broadway hits. The Love Parade (Paramount 1929) starred Maurice Chevalier and newcomer Jeanette MacDonald, written by Broadway veteran Guy Bolton.
Warner Brothers produced the first screen operetta, The Desert Song in 1929. They spared no expense and photographed a large percentage of the film in Technicolor. This was followed by the first all-color, all-talking musical feature which was entitled On with the Show (1929). The most popular film of 1929 was the second all-color, all-talking feature which was entitled Gold Diggers of Broadway (1929). This film broke all box office records and remained the highest-grossing film ever produced until 1939. Suddenly, the market became flooded with musicals, revues, and operettas. The following all-color musicals were produced in 1929 and 1930 alone: The Hollywood Revue of 1929 (1929), The Show of Shows (1929), Sally (1929), The Vagabond King (1930), Follow Thru (1930), Bright Lights (1930), Golden Dawn (1930), Hold Everything (1930), The Rogue Song (1930), Song of the Flame (1930), Song of the West (1930), Sweet Kitty Bellairs (1930), Under a Texas Moon (1930), Bride of the Regiment (1930), Whoopee! (1930), King of Jazz (1930), Viennese Nights (1930), and Kiss Me Again (1930). In addition, there were scores of musical features released with color sequences.
Hollywood released more than 100 musical films in 1930, but only 14 in 1931. By late 1930, audiences had been oversaturated with musicals and studios were forced to cut the music from films that were then being released. For example, Life of the Party (1930) was originally produced as an all-color, all-talking musical comedy. Before it was released, however, the songs were cut out. The same thing happened to Fifty Million Frenchmen (1931) and Manhattan Parade (1932) both of which had been filmed entirely in Technicolor. Marlene Dietrich sang songs successfully in her films, and Rodgers and Hart wrote a few well-received films, but even their popularity waned by 1932. The public had quickly come to associate color with musicals and thus the decline in their popularity also resulted in a decline in color productions.
Busby Berkeley
The taste in musicals revived again in 1933 when director Busby Berkeley began to enhance the traditional dance number with ideas drawn from the drill precision he had experienced as a soldier during World War I. In films such as 42nd Street and Gold Diggers of 1933 (1933), Berkeley choreographed a number of films in his unique style. Berkeley's numbers typically begin on a stage but gradually transcend the limitations of theatrical space: his ingenious routines, involving human bodies forming patterns like a kaleidoscope, could never fit onto a real stage and the intended perspective is viewing from straight above.
Musical stars
Musical stars such as Fred Astaire and Ginger Rogers were among the most popular and highly respected personalities in Hollywood during the classical era; the Fred and Ginger pairing was particularly successful, resulting in a number of classic films, such as Top Hat (1935), Swing Time (1936), and Shall We Dance (1937). Many dramatic actors gladly participated in musicals as a way to break away from their typecasting. For instance, the multi-talented James Cagney had originally risen to fame as a stage singer and dancer, but his repeated casting in "tough guy" roles and mob films gave him few chances to display these talents. Cagney's Oscar-winning role in Yankee Doodle Dandy (1942) allowed him to sing and dance, and he considered it to be one of his finest moments.
Many comedies (and a few dramas) included their own musical numbers. The Marx Brothers' films included a musical number in nearly every film, allowing the Brothers to highlight their musical talents. Their final film, entitled Love Happy (1949), featured Vera-Ellen, considered to be the best dancer among her colleagues and professionals in the half century.
Similarly, the vaudevillian comedian W. C. Fields joined forces with the comic actress Martha Raye and the young comedian Bob Hope in Paramount Pictures musical anthology The Big Broadcast of 1938. The film also showcased the talents of several internationally recognized musical artists including: Kirsten Flagstad (Norwegian operatic soprano), Wilfred Pelletier (Canadian conductor of the Metropolitan Opera Orchestra), Tito Guizar (Mexican tenor), Shep Fields conducting his Rippling Rhythm Jazz Orchestra and John Serry Sr. (Italian-American concert accordionist). In addition to the Academy Award for Best Original Song (1938), the film earned an ASCAP Film and Television Award (1989) for Bob Hope's signature song "Thanks for the Memory".
The Freed Unit
During the late 1940s and into the early 1950s, a production unit at Metro-Goldwyn-Mayer headed by Arthur Freed made the transition from old-fashioned musical films, whose formula had become repetitive, to something new. (However, they also produced Technicolor remakes of such musicals as Show Boat, which had previously been filmed in the 1930s.) In 1939, Freed was hired as associate producer for the film Babes in Arms. Starting in 1944 with Meet Me in St. Louis, the Freed Unit worked somewhat independently of its own studio to produce some of the most popular and well-known examples of the genre. The products of this unit include Easter Parade (1948), On the Town (1949), An American in Paris (1951), Singin' in the Rain (1952), The Band Wagon (1953) and Gigi (1958). Non-Freed musicals from the studio included Seven Brides for Seven Brothers in 1954 and High Society in 1956, and the studio distributed Samuel Goldwyn's Guys and Dolls in 1955.
This era saw musical stars become household names, including Judy Garland, Gene Kelly, Ann Miller, Donald O'Connor, Cyd Charisse, Mickey Rooney, Vera-Ellen, Jane Powell, Howard Keel, and Kathryn Grayson. Fred Astaire was also coaxed out of retirement for Easter Parade and made a permanent comeback.
Outside MGM
The other Hollywood studios proved themselves equally adept at tackling the genre at this time, particularly in the 1950s. Four adaptations of Rodgers and Hammerstein shows - Oklahoma!, The King and I, Carousel, and South Pacific - were all successes, while Paramount Pictures released White Christmas and Funny Face, two films which used previously written music by Irving Berlin and the Gershwins, respectively. Warner Bros. produced Calamity Jane and A Star Is Born; the former film was a vehicle for Doris Day, while the latter provided a big-screen comeback for Judy Garland, who had been out of the spotlight since 1950. Meanwhile, director Otto Preminger, better known for "message pictures", made Carmen Jones and Porgy and Bess, both starring Dorothy Dandridge, who is considered the first African American A-list film star. Celebrated director Howard Hawks also ventured into the genre with Gentlemen Prefer Blondes.
In the 1960s, 1970s, and continuing up to today, the musical film became less of a bankable genre that could be relied upon for sure-fire hits. Audiences for them lessened and fewer musical films were produced as the genre became less mainstream and more specialized.
The 1960s musical
In the 1960s, the critical and box-office success of the films West Side Story, Gypsy, The Music Man, Bye Bye Birdie, My Fair Lady, Mary Poppins, The Sound of Music, A Funny Thing Happened on the Way to the Forum, The Jungle Book, Thoroughly Modern Millie, Oliver!, and Funny Girl suggested that the traditional musical was in good health, while French filmmaker Jacques Demy's jazz musicals The Umbrellas of Cherbourg and The Young Girls of Rochefort were popular with international critics. However popular musical tastes were being heavily affected by rock and roll and the freedom and youth associated with it, and indeed Elvis Presley made a few films that have been equated with the old musicals in terms of form, though A Hard Day's Night and Help!, starring the Beatles, were more technically audacious. Most of the musical films of the 1950s and 1960s such as Oklahoma! and The Sound of Music were straightforward adaptations or restagings of successful stage productions. The most successful musicals of the 1960s created specifically for film were Mary Poppins and The Jungle Book, two of Disney's biggest hits of all time.
The phenomenal box-office performance of The Sound of Music gave the major Hollywood studios more confidence to produce lengthy, large-budget musicals. Despite the resounding success of some of these films, Hollywood also produced a large number of musical flops in the late 1960s and early 1970s which appeared to seriously misjudge public taste. The commercially and/or critically unsuccessful films included Camelot, Finian's Rainbow, Hello Dolly!, Sweet Charity, Doctor Dolittle, Half a Sixpence, The Happiest Millionaire, Star!, Darling Lili, Goodbye, Mr. Chips, Paint Your Wagon, Song of Norway, On a Clear Day You Can See Forever, Man of La Mancha, Lost Horizon, and Mame. Collectively and individually these failures affected the financial viability of several major studios.
1970s
In the 1970s, film culture and the changing demographics of filmgoers placed greater emphasis on gritty realism, while the pure entertainment and theatricality of classical-era Hollywood musicals was seen as old-fashioned. Despite this, Fiddler on the Roof and Cabaret were more traditional musicals closely adapted from stage shows and were strong successes with critics and audiences. Changing cultural mores and the abandonment of the Hays Code in 1968 also contributed to changing tastes in film audiences. The 1973 film of Andrew Lloyd Webber and Tim Rice's Jesus Christ Superstar was met with some criticism by religious groups but was well received. By the mid-1970s, filmmakers avoided the genre in favor of using music by popular rock or pop bands as background music, partly in hope of selling a soundtrack album to fans. The Rocky Horror Picture Show was originally released in 1975 and was a critical failure until it started midnight screenings in the 1980s where it achieved cult status. 1976 saw the release of the low-budget comic musical, The First Nudie Musical, released by Paramount. The 1978 film version of Grease was a smash hit; its songs were original compositions done in a 1950s pop style. However, the sequel Grease 2 (released in 1982) bombed at the box-office. Films about performers which incorporated gritty drama and musical numbers interwoven as a diegetic part of the storyline were produced, such as Lady Sings the Blues, All That Jazz, and New York, New York. Some musicals made in Britain experimented with the form, such as Richard Attenborough's Oh! What a Lovely War (released in 1969), Alan Parker's Bugsy Malone and Ken Russell's Tommy and Lisztomania.
A number of film musicals were still being made that were financially and/or critically less successful than in the musical's heyday. They include 1776, The Wiz, At Long Last Love, Mame, Man of La Mancha, Lost Horizon, Godspell, Phantom of the Paradise, Funny Lady (Barbra Streisand's sequel to Funny Girl), A Little Night Music, and Hair amongst others. The critical wrath against At Long Last Love, in particular, was so strong that it was never released on home video. Fantasy musical films Scrooge, The Blue Bird, The Little Prince, Willy Wonka & the Chocolate Factory, Pete's Dragon, and Disney's Bedknobs and Broomsticks were also released in the 1970s, the latter winning the Academy Award for Best Visual Effects.
1980s to 1990s
By the 1980s, financiers grew increasingly confident in the musical genre, partly buoyed by the relative health of the musical on Broadway and London's West End. Productions of the 1980s and 1990s included The Apple, Xanadu, The Blues Brothers, Annie, Monty Python's The Meaning of Life, The Best Little Whorehouse in Texas, Victor/Victoria, Footloose, Fast Forward, A Chorus Line, Little Shop of Horrors, Forbidden Zone, Absolute Beginners, Labyrinth, Evita, and Everyone Says I Love You. However, Can't Stop the Music, starring the Village People, was a calamitous attempt to resurrect the old-style musical and was released to audience indifference in 1980. Little Shop of Horrors was based on an off-Broadway musical adaptation of a 1960 Roger Corman film, a precursor of later film-to-stage-to-film adaptations, including The Producers.
Many animated films of the period – predominately from Disney – included traditional musical numbers. Howard Ashman, Alan Menken, and Stephen Schwartz had previous musical theater experience and wrote songs for animated films during this time, supplanting Disney workhorses the Sherman Brothers. Starting with 1989's The Little Mermaid, the Disney Renaissance gave new life to the musical film. Other successful animated musicals included Aladdin, The Hunchback of Notre Dame, and Pocahontas from Disney proper, The Nightmare Before Christmas from Disney division Touchstone Pictures, The Prince of Egypt from DreamWorks, Anastasia from Fox and Don Bluth, and South Park: Bigger, Longer & Uncut from Paramount. (Beauty and the Beast and The Lion King were adapted for the stage after their blockbuster success.)
2000-now: The second-classical era or New Musical Era
21st-century musicals or New Age
In the 21st century, movie musicals were reborn with darker musicals, musical biopics, epic drama musicals and comedy-drama musicals such as Moulin Rouge!, Chicago, Walk the Line, Dreamgirls, Sweeney Todd: The Demon Barber of Fleet Street, Les Misérables, La La Land, and West Side Story; all of which won the Golden Globe Award for Best Motion Picture – Musical or Comedy in their respective years, while such films as The Phantom of the Opera, Hairspray, Mamma Mia!, Nine, Into the Woods, The Greatest Showman, Mary Poppins Returns, Rocketman, Cyrano, and Tick, Tick... Boom! were only nominated. Chicago was also the first musical since Oliver! to win Best Picture at the Academy Awards.
Joshua Oppenheimer's Academy Award-nominated documentary The Act of Killing may be considered a nonfiction musical.
One specific musical trend was the rising number of jukebox musicals based on music from various pop/rock artists on the big screen, some of which based on Broadway shows. Examples of Broadway-based jukebox musical films included Mamma Mia! (ABBA), Rock of Ages, and Sunshine on Leith (The Proclaimers). Original ones included Across the Universe (The Beatles), Moulin Rouge! (various pop hits), Idlewild (Outkast) and Yesterday (The Beatles).
Disney also returned to musicals with Enchanted, The Princess and the Frog, Tangled, Winnie the Pooh, The Muppets, Frozen, Muppets Most Wanted, Into the Woods, Moana, Mary Poppins Returns, Frozen II, and Encanto. Following a string of successes with live action fantasy adaptations of several of their animated features, Disney produced a live action version of Beauty and the Beast, the first of this live action fantasy adaptation pack to be an all-out musical, and features new songs as well as new lyrics to both the Gaston number and the reprise of the title song. The second film of this live action fantasy adaptation pack to be an all-out musical was Aladdin and features new songs. The third film of this live action fantasy adaptation pack to be an all-out musical was The Lion King and features new songs. Pixar also produced Coco, the very first computer-animated musical film by the company.
Other animated musical films include Rio, Trolls, Sing, Smallfoot and UglyDolls. Biopics about music artists and showmen were also big in the 21st century. Examples include 8 Mile (Eminem), Ray (Ray Charles), Walk the Line (Johnny Cash and June Carter), La Vie en Rose (Édith Piaf), Notorious (Biggie Smalls), Jersey Boys (The Four Seasons) Love & Mercy (Brian Wilson), CrazySexyCool: The TLC Story (TLC), Aaliyah: The Princess of R&B (Aaliyah), Get on Up (James Brown), Whitney (Whitney Houston), Straight Outta Compton (N.W.A), The Greatest Showman (P. T. Barnum), Bohemian Rhapsody (Freddie Mercury), The Dirt (Mötley Crüe) and Rocketman (Elton John).
Director Damien Chazelle created a musical film called La La Land, starring Ryan Gosling and Emma Stone. It was meant to reintroduce the traditional jazz style of song numbers with influences from the Golden Age of Hollywood and Jacques Demy's French musicals while incorporating a contemporary/modern take on the story and characters with balances in fantasy numbers and grounded reality. It received 14 nominations at the 89th Academy Awards, tying the record for most nominations with All About Eve (1950) and Titanic (1997), and won the awards for Best Director, Best Actress, Best Cinematography, Best Original Score, Best Original Song, and Best Production Design.
Live! Television Events
In 2013, NBC produced The Sound of Music Live! as part of their effort for expanded live entertainment events, which became an annual tradition of adaptations of stage musicals, created specifically as live television events. The following years featured Peter Pan Live!, The Wiz Live!, Hairspray Live, Jesus Christ Superstar Live!, Dr. Seuss' The Grinch Musical Live!, and Annie Live!. ABC and Fox also produced similar events including The Little Mermaid Live!, Grease Live!, A Christmas Story Live!, and Rent Live!.
Indian musical films
An exception to the decline of the musical film is Indian cinema, especially the Bollywood film industry based in Mumbai (formerly Bombay), where the most of films have been and still are musicals. The majority of films produced in the Tamil industry based in Chennai (formerly Madras), Sandalwood based in Bangalore, Telugu industry based in Hyderabad, and Malayalam industry are also musicals.
Despite this exception of almost every Indian movie being a musical and India producing the most movies in the world (Formed in 1913), the first Bollywood film to be a complete musical Dev D (Directed by Anurag Kashyap) came in the year 2009. The second film to follow its track was Jagga Jasoos (Directed by Anurag Basu) in the year 2017.
Early sound films (1930s–1940s)
Bollywood musicals have their roots in the traditional musical theatre of India, such as classical Indian musical theatre, Sanskrit drama, and Parsi theatre. Early Bombay filmmakers combined these Indian musical theatre traditions with the musical film format that emerged from early Hollywood sound films. Other early influences on Bombay filmmakers included Urdu literature and the Arabian Nights.
The first Indian sound film, Ardeshir Irani's Alam Ara (1931), was a major commercial success. There was clearly a huge market for talkies and musicals; Bollywood and all the regional film industries quickly switched to sound filming.
In 1937, Ardeshir Irani, of Alam Ara fame, made the first colour film in Hindi, Kisan Kanya. The next year, he made another colour film, a version of Mother India. However, colour did not become a popular feature until the late 1950s. At this time, lavish romantic musicals and melodramas were the staple fare at the cinema.
Golden Age (late 1940s–1960s)
Following India's independence, the period from the late 1940s to the early 1960s is regarded by film historians as the "Golden Age" of Hindi cinema. Some of the most critically acclaimed Hindi films of all time were produced during this period. Examples include Pyaasa (1957) and Kaagaz Ke Phool (1959) directed by Guru Dutt and written by Abrar Alvi, Awaara (1951) and Shree 420 (1955) directed by Raj Kapoor and written by Khwaja Ahmad Abbas, and Aan (1952) directed by Mehboob Khan and starring Dilip Kumar. These films expressed social themes mainly dealing with working-class life in India, particularly urban life in the former two examples; Awaara presented the city as both a nightmare and a dream, while Pyaasa critiqued the unreality of city life.
Mehboob Khan's Mother India (1957), a remake of his earlier Aurat (1940), was the first Indian film to be nominated for the Academy Award for Best Foreign Language Film, which it lost by a single vote. Mother India was also an important film that defined the conventions of Hindi cinema for decades.
In the 1960s and early 1970s, the industry was dominated by musical romance films with "romantic hero" leads, the most popular being Rajesh Khanna. Other actors during this period include Shammi Kapoor, Jeetendra, Sanjeev Kumar, and Shashi Kapoor, and actresses like Sharmila Tagore, Mumtaz, Saira Banu, Helen and Asha Parekh.
Classic Bollywood (1970s–1980s)
By the start of the 1970s, Hindi cinema was experiencing thematic stagnation, dominated by musical romance films. The arrival of screenwriter duo Salim–Javed, consisting of Salim Khan and Javed Akhtar, marked a paradigm shift, revitalizing the industry. They began the genre of gritty, violent, Bombay underworld crime films in the early 1970s, with films such as Zanjeer (1973) and Deewaar (1975).
The 1970s was also when the name "Bollywood" was coined, and when the quintessential conventions of commercial Bollywood films were established. Key to this was the emergence of the masala film genre, which combines elements of multiple genres (action, comedy, romance, drama, melodrama, musical). The masala film was pioneered in the early 1970s by filmmaker Nasir Hussain, along with screenwriter duo Salim-Javed, pioneering the Bollywood blockbuster format. Yaadon Ki Baarat (1973), directed by Hussain and written by Salim-Javed, has been identified as the first masala film and the "first" quintessentially "Bollywood" film. Salim-Javed went on to write more successful masala films in the 1970s and 1980s. Masala films launched Amitabh Bachchan into the biggest Bollywood movie star of the 1970s and 1980s. A landmark for the masala film genre was Amar Akbar Anthony (1977), directed by Manmohan Desai and written by Kader Khan. Manmohan Desai went on to successfully exploit the genre in the 1970s and 1980s.
Along with Bachchan, other popular actors of this era included Feroz Khan, Mithun Chakraborty, Naseeruddin Shah, Jackie Shroff, Sanjay Dutt, Anil Kapoor and Sunny Deol. Actresses from this era included Hema Malini, Jaya Bachchan, Raakhee, Shabana Azmi, Zeenat Aman, Parveen Babi, Rekha, Dimple Kapadia, Smita Patil, Jaya Prada and Padmini Kolhapure.
New Bollywood (1990s–present)
In the late 1980s, Hindi cinema experienced another period of stagnation, with a decline in box office turnout, due to increasing violence, decline in musical melodic quality, and rise in video piracy, leading to middle-class family audiences abandoning theaters. The turning point came with Qayamat Se Qayamat Tak (1988), directed by Mansoor Khan, written and produced by his father Nasir Hussain, and starring his cousin Aamir Khan with Juhi Chawla. Its blend of youthfulness, wholesome entertainment, emotional quotients and strong melodies lured family audiences back to the big screen. It set a new template for Bollywood musical romance films that defined Hindi cinema in the 1990s.
The period of Hindi cinema from the 1990s onwards is referred to as "New Bollywood" cinema, linked to economic liberalisation in India during the early 1990s. By the early 1990s, the pendulum had swung back toward family-centric romantic musicals. Qayamat Se Qayamat Tak was followed by blockbusters such as Maine Pyar Kiya (1989), Chandni (1989), Hum Aapke Hain Kaun (1994), Dilwale Dulhania Le Jayenge (1995), Raja Hindustani (1996), Dil To Pagal Hai (1997), Pyaar To Hona Hi Tha (1998) and Kuch Kuch Hota Hai (1998). A new generation of popular actors emerged, such as Aamir Khan, Aditya Pancholi, Ajay Devgan, Akshay Kumar, Salman Khan (Salim Khan's son), and Shahrukh Khan, and actresses such as Madhuri Dixit, Sridevi, Juhi Chawla, Meenakshi Seshadri, Manisha Koirala, Kajol, and Karisma Kapoor.
Since the 1990s, the three biggest Bollywood movie stars have been the "Three Khans": Aamir Khan, Shah Rukh Khan, and Salman Khan. Combined, they have starred in most of the top ten highest-grossing Bollywood films. The three Khans have had successful careers since the late 1980s, and have dominated the Indian box office since the 1990s, across three decades.
Influence on Western films (2000s–present)
Baz Luhrmann stated that his successful musical film Moulin Rouge! (2001) was directly inspired by Bollywood musicals. The film pays homage to India, incorporating an Indian-themed play and a Bollywood-style dance sequence with a song from the film China Gate. The critical and financial success of Moulin Rouge! renewed interest in the then-moribund Western live action musical genre, and subsequently films such as Chicago, The Producers, Rent, Dreamgirls, and Hairspray were produced, fueling a renaissance of the genre.
The Guru and The 40-Year-Old Virgin also feature Indian-style song-and-dance sequences; the Bollywood musical Lagaan (2001) was nominated for the Academy Award for Best Foreign Language Film; two other Bollywood films Devdas (2002) and Rang De Basanti (2006) were nominated for the BAFTA Award for Best Film Not in the English Language; and Danny Boyle's Academy Award winning Slumdog Millionaire (2008) also features a Bollywood-style song-and-dance number during the film's end credits.
Spanish musical films
Spain has a history and tradition of musical films that were made independent of Hollywood influence. The first films arise during the Second Spanish Republic of the 1930s and the advent of sound films. A few zarzuelas (Spanish operetta) were even adapted as screenplays during the silent era. The beginnings of the Spanish musical were focused on romantic Spanish archetypes: Andalusian villages and landscapes, gypsys, "bandoleros", and copla and other popular folk songs included in story development. These films had even more box-office success than Hollywood premieres in Spain. The first Spanish film stars came from the musical genre: Imperio Argentina, Estrellita Castro, Florián Rey (director) and, later, Lola Flores, Sara Montiel and Carmen Sevilla. The Spanish musical started to expand and grow. Juvenile stars appear and top the box-office. Marisol, Joselito, Pili & Mili, and Rocío Dúrcal were the major figures of musical films from 1960s to 1970s. Due to Spanish transition to democracy and the rise of "Movida culture", the musical genre fell in production and box-office, only saved by Carlos Saura and his flamenco musical films.
Soviet musical film under Stalin
Unlike the musical films of Hollywood and Bollywood, popularly identified with escapism, the Soviet musical was first and foremost a form of propaganda. Vladimir Lenin said that cinema was "the most important of the arts". His successor, Joseph Stalin, also recognized the power of cinema in efficiently spreading Communist Party doctrine. Films were widely popular in the 1920s, but it was foreign cinema that dominated the Soviet filmgoing market. Films from Germany and the U.S. proved more entertaining than Soviet director Sergei Eisenstein's historical dramas. By the 1930s it was clear that if the Soviet cinema was to compete with its Western counterparts, it would have to give audiences what they wanted: the glamour and fantasy they got from Hollywood. The musical film, which emerged at that time, embodied the ideal combination of entertainment and official ideology.
A struggle between laughter for laughter's sake and entertainment with a clear ideological message would define the golden age of the Soviet musical of the 1930s and 1940s. Then-head of the film industry Boris Shumyatsky sought to emulate Hollywood's conveyor belt method of production, going so far as to suggest the establishment of a Soviet Hollywood.
The Jolly Fellows
In 1930, the esteemed Soviet film director Sergei Eisenstein went to the United States with fellow director Grigori Aleksandrov to study Hollywood's filmmaking process. The American films greatly impacted Aleksandrov, particularly the musicals. He returned in 1932, and in 1934 directed The Jolly Fellows, the first Soviet musical. The film was light on plot and focused more on the comedy and musical numbers. Party officials at first met the film with great hostility. Aleksandrov defended his work by arguing the notion of laughter for laughter's sake. Finally, when Aleksandrov showed the film to Stalin, the leader decided that musicals were an effective means of spreading propaganda. Messages like the importance of collective labor and rags-to-riches stories would become the plots of most Soviet musicals.
"Movies for the Millions"
The success of The Jolly Fellows ensured a place in Soviet cinema for the musical format, but immediately Shumyatsky set strict guidelines to make sure the films promoted Communist values. Shumyatsky's decree "Movies for the Millions" demanded conventional plots, characters, and montage to successfully portray Socialist Realism (the glorification of industry and the working class) on film.
The first successful blend of a social message and entertainment was Aleksandrov's Circus (1936). It starred his wife, Lyubov Orlova (an operatic singer who had also appeared in The Jolly Fellows) as an American circus performer who has to immigrate to the USSR from the U.S. because she has a mixed-race child, whom she had with a black man. Amidst the backdrop of lavish musical productions, she finally finds love and acceptance in the USSR, providing the message that racial tolerance can only be found in the Soviet Union.
The influence of Busby Berkeley's choreography on Aleksandrov's directing can be seen in the musical number leading up to the climax. Another, more obvious reference to Hollywood is the Charlie Chaplin impersonator who provides comic relief throughout the film. Four million people in Moscow and Leningrad went to see Circus during its first month in theaters.
Another of Aleksandrov's more-popular films was The Bright Path (1940). This was a reworking of the fairytale Cinderella set in the contemporary Soviet Union. The Cinderella of the story was again Orlova, who by this time was the most popular star in the USSR. It was a fantasy tale, but the moral of the story was that a better life comes from hard work. Whereas in Circus, the musical numbers involved dancing and spectacle, the only type of choreography in Bright Path is the movement of factory machines. The music was limited to Orlova's singing. Here, work provided the spectacle.
Ivan Pyryev
The other director of musical films was Ivan Pyryev. Unlike Aleksandrov, the focus of Pyryev's films was life on the collective farms. His films, Tractor Drivers (1939), The Swineherd and the Shepherd (1941), and his most famous, Cossacks of the Kuban (1949) all starred his wife, Marina Ladynina. Like in Aleksandrov's Bright Path, the only choreography was the work the characters were doing on film. Even the songs were about the joys of working.
Rather than having a specific message for any of his films, Pyryev promoted Stalin's slogan "life has become better, life has become more joyous." Sometimes this message was in stark contrast with the reality of the time. During the filming of Cossacks of the Kuban, the Soviet Union was going through a postwar famine. In reality, the actors who were singing about a time of prosperity were hungry and malnourished. The films did, however, provide escapism and optimism for the viewing public.
Volga-Volga
The most popular film of the brief era of Stalinist musicals was Alexandrov's 1938 film Volga-Volga. The star, again, was Lyubov Orlova and the film featured singing and dancing, having nothing to do with work. It is the most unusual of its type. The plot surrounds a love story between two individuals who want to play music. They are unrepresentative of Soviet values in that their focus is more on their music than their jobs. The gags poke fun at the local authorities and bureaucracy. There is no glorification of industry since it takes place in a small rural village. Work is not glorified either, since the plot revolves around a group of villagers using their vacation time to go on a trip up the Volga and Moscow Canal to perform in Moscow. The film can be seen as a glorification of Moscow canal without any hint that the canal was built by Gulag prisoners.
Volga-Volga followed the aesthetic principles of Socialist Realism rather than the ideological tenets. It became Stalin's favorite film and he gave it as a gift to President Roosevelt during WWII. It is another example of one of the films that claimed life is better. Released at the height of Stalin's purges, it provided escapism and a comforting illusion for the public.
Lists of musical films
See List of musical films by year for a list of musical films in chronological order.
See List of Bollywood films for a list of Bollywood musical films.
See List of films based on stage plays or musicals for a list of musical films based on theatre productions.
See List of highest-grossing musicals for the highest-grossing musical films.
See also
AFI's Greatest Movie Musicals
Revolutionary opera
Lists of musicals
References
Further reading
McGee, Mark Thomas. The Rock and Roll Movie Encyclopedia of the 1950s. Jefferson, N.C.: McFarland & Co., 1990. 0-89950-500-7
Padva, Gilad. Uses of Nostalgia in Musical Politicization of Homo/Phobic Myths in Were the World Mine, The Big Gay Musical, and Zero Patience. In Padva, Gilad, Queer Nostalgia in Cinema and Pop Culture, pp. 139–172. Basingstock, UK and New York: Palgrave Macmillan, 2014. .
Film genres
Film
Film |
19030 | https://en.wikipedia.org/wiki/Motala%20Municipality | Motala Municipality | Motala Municipality (Motala kommun) is a municipality in Östergötland County in southeast Sweden. Its seat is located in the city of Motala.
In 1971 Motala Municipality was formed by the amalgamation of the City of Motala with some of the adjacent rural municipalities. Three years later more entities were added, among them the former City of Vadstena. In 1980 a new Vadstena Municipality was split off.
Geographically, Motala is situated where Lake Vättern drains into the river system of Motala ström, which was of central importance to the massive industrialization of Sweden in the 19th century.
Sights and museums
Charlottenborg Castle
Godegård manorhouse with the Swedish Porcelain Museum
Göta Canal with locks
Medevi 17th century spa, the oldest in Sweden
Motala Church
Motala Motor Museum
The Museum of Motala Industrial History
Nubbekullen, birthplace of artist August Malmström
The Swedish Broadcasting Museum with the twin radio towers
Ulvåsa, manorhouse and medieval ruins of St Bridget's home
Varamon beach
Västra Stenby Church and rune stone
Övralid, manorhouse and home of author Verner von Heidenstam
Localities
Figures as of 2000, from Statistics Sweden.
Motala 30,136 (seat)
Borensberg 2,667
Tjällmo 562
Fornåsa 446
Nykyrka 434
Fågelsta 334
Österstad 329
Klockrike 275
Godegård 200
The population decreased by approximately 2% in most of the localities between the earlier census 1995 and the one in 2000.
Industry
The largest employer is the municipality itself, employing circa 3,400 people. The next is the county council with 1,775.
Of the private employers, Electrolux and Dometic have a total of 1,400; Autoliv 425; Hycop 325; Saab-Bofors Dynamics circa 300; And Motala Verkstad some 180.
(source )
International relations
Twin towns — sister cities
Motala is twinned with:
Daugavpils, Latvia
Hyvinkää, Finland
References
External links
Motala Municipality - Official site
Article Motala From Nordisk familjebok, 1913
Municipalities of Östergötland County |
19031 | https://en.wikipedia.org/wiki/Maltese%20language | Maltese language | Maltese () is a Semitic language derived from late medieval Sicilian Arabic with Romance superstrata spoken by the Maltese people. It is the national language of Malta and the only Semitic official language of the European Union. Maltese is a latinised variety of spoken historical Arabic through its descent from Siculo-Arabic, which developed as a Maghrebi Arabic dialect in the Emirate of Sicily between 831 and 1091. As a result of the Norman invasion of Malta and the subsequent re-Christianisation of the islands, Maltese evolved independently of Classical Arabic in a gradual process of Latinisation.
It is therefore exceptional as a variety of historical Arabic that has no diglossic relationship with Classical or Modern Standard Arabic. Maltese is thus classified separately from the 30 varieties constituting the modern Arabic macrolanguage. Maltese is also distinguished from Arabic and other Semitic languages since its morphology has been deeply influenced by Romance languages, namely Italian and Sicilian.
The original Arabic base comprises around one-third of the Maltese vocabulary, especially words that denote basic ideas and the function words, but about half of the vocabulary is derived from standard Italian and Sicilian; and English words make up between 6% and 20% of the vocabulary. A 2016 study shows that, in terms of basic everyday language, speakers of Maltese are able to understand around a third of what is said to them in Tunisian Arabic, which is a Maghrebi Arabic related to Siculo-Arabic, whereas speakers of Tunisian Arabic are able to understand about 40% of what is said to them in Maltese. This reported level of asymmetric intelligibility is considerably lower than the mutual intelligibility found between other varieties of Arabic.
Maltese has always been written in the Latin script, the earliest surviving example dating from the late Middle Ages. It is the only standardised Semitic language written exclusively in the Latin script.
History
The origins of the Maltese language are attributed to the arrival, early in the eleventh century, of settlers from neighbouring Sicily, where Siculo-Arabic was spoken, reversing the Fatimid Caliphate's conquest of the island at the end of the ninth century. This claim has been corroborated by genetic studies, which show that contemporary Maltese people share common ancestry with Sicilians and Calabrians, with little genetic input from North Africa and the Levant.
The Norman conquest in 1091, followed by the expulsion of the Muslims—complete by 1249—permanently isolated the vernacular from its Arabic source, creating the conditions for its evolution into a distinct language. In contrast to Sicily—where Siculo-Arabic became extinct and replaced by Sicilian—the vernacular in Malta continued to develop alongside Italian, eventually replacing it as official language in 1934 – alongside English. The first written reference to the Maltese language is in a will of 1436, where it is called lingua maltensi. The oldest known document in Maltese, Il-Kantilena () by Pietru Caxaro, dates from the 15th century.
The earliest known Maltese dictionary was a 16th-century manuscript entitled "Maltese-Italiano"; it was included in the Biblioteca Maltese of Mifsud in 1764, but is now lost. A list of Maltese words was included in both the Thesaurus Polyglottus (1603) and Propugnaculum Europae (1606) of Hieronymus Megiser, who had visited Malta in 1588–1589; Domenico Magri gave the etymologies of some Maltese words in his Hierolexicon, sive sacrum dictionarium (1677).
An early manuscript dictionary, Dizionario Italiano e Maltese, was discovered in the Biblioteca Vallicelliana in Rome in the 1980s, together with a grammar, the Regole per la Lingua Maltese, attributed to a French Knight named Thezan. The first systematic lexicon is that of Giovanni Pietro Francesco Agius de Soldanis, who also wrote the first systematic grammar of the language and proposed a standard orthography.
Demographics
SIL Ethnologue (2015) reports a total of 522,000 Maltese speakers, with 371,000 residing in Malta (close to 90% of the Maltese population) according to the European Commission (2012). This implies a number of around 150,000 speakers in the Maltese diaspora.
Most speakers are bilingual, the majority of speakers (345,000) regularly use English, and a reported 66,800 regularly use French.
The largest diaspora community of Maltese speakers is in Australia, with 36,000 speakers reported in 2006 (down from 45,000 in 1996, and expected to decline further).
The Maltese linguistic community in Tunisia originated in the 18th century. Numbering several thousand in the 19th century, it was reported to be only 100 to 200 people as of 2017.
Classification
Maltese is descended from Siculo-Arabic, a Semitic language within the Afroasiatic family, that in the course of its history has been influenced by Sicilian and Italian, to a lesser extent French, and more recently English. Today, the core vocabulary (including both the most commonly used vocabulary and function words) is Semitic, with large numbers of loanwords. Because of the Sicilian influence on Siculo-Arabic, Maltese has many language contact features and is most commonly described as a language with a large number of loanwords.
The Maltese language has historically been classified in various ways, with some claiming that the ancient Punic language (another Semitic language) was its origin instead of Siculo-Arabic, while others believed the language to be one of the Berber languages (another family within Afroasiatic), and under the Fascist Kingdom of Italy, it was classified as regional Italian.
Dialects
SIL reports six varieties, besides Standard Maltese:
Gozo, Port Maltese, Rural Central Maltese, Rural East Maltese, Rural West Maltese, and Zurrieq.
Urban varieties of Maltese are closer to Standard Maltese than rural varieties, which have some characteristics that distinguish them from Standard Maltese.
They tend to show some archaic features such as the realisation of and and the imāla of Arabic ā into ē (or ī especially in Gozo), considered archaic because they are reminiscent of 15th-century transcriptions of this sound. Another archaic feature is the realisation of Standard Maltese ā as ō in rural dialects.
There is also a tendency to diphthongise simple vowels, e.g., ū becomes eo or eu.
Rural dialects also tend to employ more Semitic roots and broken plurals than Standard Maltese. In general, rural Maltese is less distant from its Siculo-Arabic ancestor than is Standard Maltese.
Phonology
Consonants
Voiceless stops are only lightly aspirated and voiced stops are fully voiced. Voicing is carried over from the last segment in obstruent clusters; thus, two- and three-obstruent clusters are either voiceless or voiced throughout, e.g. is realised "we write" (similar assimilation phenomena occur in languages like French or Czech). Maltese has final-obstruent devoicing of voiced obstruents and voiceless stops have no audible release, making voiceless–voiced pairs phonetically indistinguishable.
Gemination is distinctive word-medially and word-finally in Maltese. The distinction is most rigid intervocalically after a stressed vowel. Stressed, word-final closed syllables with short vowels end in a long consonant, and those with a long vowel in a single consonant; the only exception is where historic and meant the compensatory lengthening of the succeeding vowel. Some speakers have lost length distinction in clusters.
The two nasals and assimilate for place of articulation in clusters. and are usually dental, whereas are all alveolar. are found mostly in words of Italian origin, retaining length (if not word-initial). and are only found in loanwords, e.g. "newspaper" and "television". The pharyngeal fricative is velar () or glottal () for some speakers.
Vowels
Maltese has five short vowels, , written a e i o u; six long vowels, , written a, e, ie, i, o, u, all of which (with the exception of ie ) can be known to represent long vowels in writing only if they are followed by an orthographic għ or h (otherwise, one needs to know the pronunciation; e.g. nar (fire) is pronounced ); and seven diphthongs, , written aj or għi, aw or għu, ej or għi, ew, iw, oj, and ow or għu.
Stress
Stress is generally on the penultimate syllable, unless some other syllable is heavy (has a long vowel or final consonant), or unless a stress-shifting suffix is added. (Suffixes marking gender, possession, and verbal plurals do not cause the stress to shift). Historically when vowel a and u were long or stressed they were written as â or û, for example in the word baħħâr (sailor) to differentiate from baħħar (to sail), but nowadays these accents are mostly omitted.
When two syllables are equally heavy, the penultimate takes the stress, but otherwise the heavier syllable does, e.g. bajjad 'he painted' vs bajjad 'a painter'.
Historical phonology
The original Arabic consonant system has undergone partial collapse under European influence, with many Classical Arabic consonants having undergone mergers and modifications in Maltese:
Orthography
Alphabet
The modern system of Maltese orthography was introduced in 1924.
Below is the Maltese alphabet, with IPA symbols and approximate English pronunciation:
Final vowels with grave accents (à, è, ì, ò, ù) are also found in some Maltese words of Italian origin, such as libertà ("freedom"), sigurtà (old Italian: sicurtà, "security"), or soċjetà (Italian: società, "society").
The official rules governing the structure of the Maltese language are found in the official guidebook issued by the Akkademja tal-Malti, the Academy of the Maltese language, which is named Tagħrif fuq il-Kitba Maltija, that is, Knowledge on Writing in Maltese. The first edition of this book was printed in 1924 by the Maltese government's printing press. The rules were further expanded in the 1984 book, iż-Żieda mat-Tagħrif, which focused mainly on the increasing influence of Romance and English words. In 1992 the Academy issued the Aġġornament tat-Tagħrif fuq il-Kitba Maltija, which updated the previous works. All these works were included in a revised and expanded guidebook published in 1996.
The National Council for the Maltese Language (KNM) is the main regulator of the Maltese language (see Maltese Language Act, below) and not the Akkademja tal-Malti. However, these orthography rules are still valid and official.
Written Maltese
Since Maltese evolved after the Italo-Normans ended Arab rule of the islands, a written form of the language was not developed for a long time after the Arabs' expulsion in the middle of the thirteenth century. Under the rule of the Knights Hospitaller, both French and Italian were used for official documents and correspondence. During the British colonial period, the use of English was encouraged through education, with Italian being regarded as the next-most important language.
In the late eighteenth century and throughout the nineteenth century, philologists and academics such as Mikiel Anton Vassalli made a concerted effort to standardise written Maltese. Many examples of written Maltese exist from before this period, always in the Latin alphabet, Il Cantilena being the earliest example of written Maltese. In 1934, Maltese was recognised as an official language.
Sample
The Maltese language has a tendency to have both Semitic vocabulary and also vocabulary derived from Romance languages, primarily Italian. Words such as tweġiba (Arab origin) and risposta (Italian origin) have the same meaning (answer) but can and are both used in Maltese. Below are two versions of the same translations, one in vocabulary derived mostly from Semitic root words while the other uses Romance loanwords (from the Treaty establishing a Constitution for Europe, see p. 17):
Vocabulary
Although the original vocabulary of the language was Siculo-Arabic, it has incorporated a large number of borrowings from Romance sources of influence (Sicilian, Italian, and French) and, more recently, Germanic ones (from English).
The historical source of modern Maltese vocabulary is 52% Italian/Sicilian, 32% Siculo-Arabic, and 6% English, with some of the remainder being French. Today, most function words are Semitic, so despite only making up about a third, they are the most used among Maltese people when conversing. In this way, it is similar to English, which is a Germanic language that had large influence from Norman French and Latin (58% of English vocabulary). As a result of this, Romance language-speakers may easily be able to comprehend conceptual ideas expressed in Maltese, such as "Ġeografikament, l-Ewropa hi parti tas-superkontinent ta' l-Ewrasja" (Geographically, Europe is part of the Supercontinent of Eurasia), while not understanding a single word of a functional sentence such as "Ir-raġel qiegħed fid-dar" (The man is in the house), which would be easily understood by any Arabic speaker.
Romance
An analysis of the etymology of the 41,000 words in Aquilina's Maltese-English Dictionary shows that words of Romance origin make up 52% of the Maltese vocabulary, although other sources claim from as low as 40%, to as high as 55%. This vocabulary tends to deal with more complex concepts. They are mostly derived from Sicilian and thus exhibit Sicilian phonetic characteristics, such as in place of , and in place of (e.g. tiatru not teatro and fidi not fede). Also, as with Old Sicilian, (English 'sh') is written 'x' and this produces spellings such as: ambaxxata ('embassy'), xena ('scene' cf. Italian ambasciata, scena).
A tendency in modern Maltese is to adopt further influences from English and Italian.
Complex Latinate English words adopted into Maltese are often given Italianate or Sicilianate forms, even if the resulting words do not appear in either of those languages. For instance, the words "evaluation", "industrial action", and "chemical armaments" become "evalwazzjoni", "azzjoni industrjali", and "armamenti kimiċi" in Maltese, while the Italian terms are valutazione, vertenza sindacale, and armi chimiche respectively. (The origin of the terms may be narrowed even further to British English; the phrase "industrial action" is meaningless in the United States.) This is also comparable to the situation with English borrowings into the Italo-Australian dialect. English words of Germanic origin are generally preserved relatively unchanged.
Some influences of African Romance on Arabic and Berber spoken in the Maghreb are theorised, which may then have passed into Maltese. For example, in calendar month names, the word furar "February" is only found in the Maghreb and in Maltese - proving the word's ancient origins. The region also has a form of another Latin named month in awi/ussu < augustus. This word does not appear to be a loan word through Arabic, and may have been taken over directly from Late Latin or African Romance. Scholars theorise that a Latin-based system provided forms such as awi/ussu and furar in African Romance, with the system then mediating Latin/Romance names through Arabic for some month names during the Islamic period. The same situation exists for Maltese which mediated words from Italian, and retains both non-Italian forms such as awissu/awwissu and frar, and Italian forms such as april.
Siculo-Arabic
Siculo-Arabic is the ancestor of the Maltese language, and supplies between 32% and 40% of the language's vocabulary.
found that 40% of a sample of 1,821 Quranic Arabic roots were found in Maltese, a lower percentage than found in Moroccan (58%) and Lebanese Arabic (72%). An analysis of the etymology of the 41,000 words in Aquilina's Maltese-English Dictionary shows that 32% of the Maltese vocabulary is of Arabic origin, although another source claims 40%. Usually, words expressing basic concepts and ideas, such as (man), (woman), (boy), (house), (sun), (summer), are of Arabic origin. Moreover, in Maltese tend to aim mainly at diction belonging to this group.
The Maltese language has merged many of the original Arabic consonants, in particular the emphatic consonants, with others that are common in European languages. Thus, original Arabic , , and all merged into Maltese . The vowels, however, separated from the three in Arabic () into five, as is more typical of other European languages (). Some unstressed short vowels have been elided. The common Arabic greeting is cognate with in Maltese (lit. the peace for you, peace be with you), as are similar greetings in other Semitic languages (e.g. in Hebrew).
Since the attested vocabulary of Siculo-Arabic is limited, the following table compares cognates in Maltese and some other varieties of Arabic (all forms are written phonetically, as in the source):
English
It is estimated that English loanwords, which are becoming more commonplace, make up 20% of the Maltese vocabulary, although other sources claim amounts as low as 6%. This percentage discrepancy is due to the fact that a number of new English loanwords are sometimes not officially considered part of the Maltese vocabulary; hence, they are not included in certain dictionaries. Also, English loanwards of Latinate origin are very often Italianised, as discussed above. English loanwords are generally transliterated, although standard English pronunciation is virtually always retained. Below are a few examples:
"Fridge" is a common shortening of "refrigerator". "Refrigerator" is a Latinate word which could be imported into Maltese as rifriġeratori, whereas the Italian word is frigorifero or refrigeratore.
Calendar
The days of the week (Maltese: jiem il-ġimgħa) in Maltese are referred to by number, as is typical of other Semitic languages, especially Arabic. Days of the week are commonly preceded by the word nhar meaning 'day'.
The months of the year (Maltese: xhur is-sena) in Maltese are mostly derived from Sicilian, but Frar and Awwissu are possibly derived from African Romance through Siculo-Arabic.
Time
Question words
Grammar
Maltese grammar is fundamentally derived from Siculo-Arabic, although Romance and English noun pluralisation patterns are also used on borrowed words.
Adjectives and adverbs
Adjectives follow nouns. There are no separately formed native adverbs, and word order is fairly flexible. Both nouns and adjectives of Semitic origin take the definite article (for example, It-tifel il-kbir, lit. "The boy the elder"="The elder boy"). This rule does not apply to adjectives of Romance origin.
Nouns
Nouns are pluralised and also have a dual marker. Semitic plurals are complex; if they are regular, they are marked by -iet/-ijiet, e.g., art, artijiet "lands (territorial possessions or property)" (cf. Arabic -at and Hebrew -ot/-oth) or -in (cf. Arabic -īn and Hebrew -im). If irregular, they fall in the pluralis fractus (broken plural) category, in which a word is pluralised by internal vowel changes: ktieb, kotba " book", "books"; raġel, irġiel "man", "men".
Words of Romance origin are usually pluralised in two manners: addition of -i or -jiet. For example, lingwa, lingwi "languages", from Sicilian lingua, lingui.
Words of English origin are pluralised by adding either an "-s" or "-jiet", for example, friġġ, friġis from the word fridge. Some words can be pluralised with either of the suffixes to denote the plural. A few words borrowed from English can amalgamate both suffixes, like brikksa from the English brick, which can adopt either collective form brikks or the plural form brikksiet.
Article
The proclitic il- is the definite article, equivalent to "the" in English and "al-" in Arabic.
The Maltese article becomes l- before or after a vowel.
l-omm (the mother)
rajna l-Papa (we saw the Pope)
il-missier (the father)
The Maltese article assimilates to a following coronal consonant (called konsonanti xemxin "sun consonants"), namely:
Ċ iċ-ċikkulata (the chocolate)
D id-dar (the house)
N in-nar (the fire)
R ir-razzett (the farm)
S is-serrieq (the saw)
T it-tifel (the boy)
X ix-xemx (the sun)
Ż iż-żarbuna (the shoe)
Z iz-zalzett (the sausage)
Maltese il- is coincidentally identical in pronunciation to one of the Italian masculine articles, il. Consequently, many nouns borrowed from Standard Italian did not change their original article when used in Maltese. Romance vocabulary taken from Sicilian did change where the Sicilian articles u and a, before a consonant, are used.
In spite of its Romance appearance, il- is related to the Arabic article al-.
Verbs
Verbs show a triliteral Semitic pattern, in which a verb is conjugated with prefixes, suffixes, and infixes (for example ktibna, Arabic katabna, Hebrew kathabhnu (Modern Hebrew: katavnu) "we wrote"). There are two tenses: present and perfect. The Maltese verb system incorporates Romance verbs and adds Maltese suffixes and prefixes to them, for example; iddeċidejna "we decided" ← (i)ddeċieda "decide", a Romance verb + -ejna, a Maltese first person plural perfect marker.
An example would be the Semitic root X-M-X, which has something related to the sun, example: xemx (sun), xmux (suns), xemxi (sunny), xemxata (sunstroke), nixxemmex (I sunbathe), ma xxemmixtx (I didn't sunbathe), tixmix (the act of sunbathing). Maltese also features the stringing of verb suffixes indicating direction of action, for example; agħmilhomli "make them for me"← agħmel "make" in the imperative + hom from huma "them" + li suffix indicating first person singular; ħasletielu "she washed it for him"←ħaslet "she washed" from the verb ħasel "to wash" + ie the object + lu suffix indicating third person masculine singular.
Media
With Malta being a multilingual country, the usage of Maltese in the mass media is shared with other European languages, namely English and Italian. The majority of television stations broadcast from Malta in English or Maltese, although broadcasts from Italy in Italian are also received on the islands. Similarly, there are more Maltese-language radio programs than English ones broadcast from Malta, but again, as with television, Italian broadcasts are also picked up. Maltese generally receives equal usage in newspaper periodicals to English.
By the early 2000s, the use of the Maltese language on the Internet is uncommon, and the number of websites written in Maltese are few. In a survey of Maltese cultural websites conducted in 2004 on behalf of the Maltese Government, 12 of 13 were in English only, while the remaining one was multilingual but did not include Maltese.
Code-switching
The Maltese population, being fluent in both Maltese and English, displays code-switching (referred to as Maltenglish) in certain localities and between certain social groups.
See also
Languages of Malta
Maltese people
Footnotes
Notes
References
Bugeja, Kaptan Pawlu, Kelmet il-Malti (Maltese—English, English—Maltese Dictionary). Associated News Group, Floriana. 1999.
External links
Central Semitic languages
Languages of Malta
Languages of Sicily
Subject–object–verb languages
Articles containing video clips |
19032 | https://en.wikipedia.org/wiki/Masaki%20Kobayashi | Masaki Kobayashi | was a Japanese film director, best known for the epic trilogy The Human Condition (1959–1961), the samurai films Harakiri (1962) and Samurai Rebellion (1967), and Kwaidan (1964), a set of four ghost stories.
Biography
Early life
Kobayashi was born in Otaru, then a small port on the island of Hokkaido. He was a second cousin of the actress and director Kinuyo Tanaka. In 1933 he entered Waseda University in Tokyo where he studied East Asian art and philosophy. He embarked on a career in film in 1941 as an apprentice director at Shochiku Studios, but was drafted into the Imperial Japanese Army in January 1942 and sent to Manchuria.
Kobayashi regarded himself as a pacifist and a socialist, and resisted by refusing promotion to a rank higher than private. In 1944 he was transferred to Miyakojima in the Ryuku Islands, and was taken prisoner near the end of the war. Then he spent a year in a detention camp in Okinawa. After his release, in 1946, he returned to Shochiku as assistant to the director Keisuke Kinoshita.
Films
Kobayashi's directorial debut was in 1952 with Musuko no Seishun (My Son's Youth).
From 1959 to 1961, Kobayashi directed The Human Condition (1959–1961), a trilogy on the effects of World War II on a Japanese pacifist and socialist. The total length of the films is almost ten hours, which makes it one of the longest fiction films ever made for theatrical release.
In 1962 he directed Harakiri, which won the Jury Prize at the 1963 Cannes Film Festival.
In 1964, Kobayashi made Kwaidan (1964), his first color film, a collection of four ghost stories drawn from books by Lafcadio Hearn. Kwaidan won the Special Jury Prize at the 1965 Cannes Film Festival, and received an Academy Award nomination for Best Foreign Language Film.
In 1968, Akira Kurosawa, Keisuke Kinoshita, Kon Ichikawa and Kobayashi founded the directors group, Shiki no kai-The Four Horsemen Club, in an attempt to create movies for younger generations.
In 1969, he was a member of the jury at the 19th Berlin International Film Festival.
He was also a candidate for directing the Japanese sequences for Tora! Tora! Tora! after Akira Kurosawa left the film. But instead Kinji Fukasaku and Toshio Masuda were chosen.
One of his grand projects was a film on Yasushi Inoue's novel about Buddhist China, Tun Huang, which never came to fruition.
Filmography
References
External links
Masaki Kobayashi movies at The Criterion Collection
1916 births
1996 deaths
People from Otaru
Japanese film directors
Japanese pacifists
Imperial Japanese Army personnel of World War II
Samurai film directors
Japanese socialists
Imperial Japanese Army soldiers
Japanese prisoners of war
World War II prisoners of war held by the United States |
19033 | https://en.wikipedia.org/wiki/Meroitic | Meroitic | Meroitic may refer to:
things related to the city and kingdom of Meroë in pre-Islamic Sudan
Meroitic alphabet
Meroitic language
Language and nationality disambiguation pages |
19035 | https://en.wikipedia.org/wiki/Mormon%20%28word%29 | Mormon (word) | The word Mormon most colloquially denotes an adherent, practitioner, follower, or constituent of Mormonism in restorationist Christianity. Mormon also commonly refers, specifically, to a member of The Church of Jesus Christ of Latter-day Saints (LDS Church), which is often colloquially, but imprecisely, referred to as the Mormon Church. In addition, the term Mormon may refer to any of the relatively small sects of Mormon fundamentalism, and any branch of the Latter Day Saint movement that recognizes Brigham Young as the successor to founder Joseph Smith. The term Mormon applies to the religion of Mormonism, as well as its culture, texts, and art.
The term derives from the Book of Mormon, a sacred text published in 1830 regarded by the faith as a supplemental testament to the Bible. Adherents believe that the book was translated from an ancient record by Smith by the gift and power of God. The text is said to be an ancient chronicle of a fallen and lost indigenous American nation, compiled by the prophet–historian and warrior Mormon and his son Moroni, the last of the Nephite people. The term Mormon was applied to Latter Day Saint movement in the 1830s, and was soon embraced by the faith. Because the term became identified with polygamy in the mid-to-late-19th century, some Latter Day Saint denominations who never practiced polygamy have renounced the term.
Origin of the term
The term Mormon is taken from the title of the Book of Mormon, a sacred text adherents believe to have been translated from golden plates which had their location revealed by an angel to Joseph Smith and published in 1830. According to the text of the Book of Mormon, the word Mormon stems from the Land of Mormon, where the prophet Alma preached the gospel and baptized converts. Mormon—who was named after the land—was a 4th-century prophet–historian who compiled and abridged many records of his ancestors into the Book of Mormon. The book is believed by Latter Day Saints to be a literal record of God's dealings with pre-Columbian civilizations in the Americas from approximately 2600 BC through AD 420, written by prophets and followers of Jesus Christ. The book records the teachings of Jesus Christ to the people in the Americas as well as Christ's personal ministry among the people of Nephi after his resurrection. The LDS Church teaches that the Book of Mormon is another witness of Jesus Christ, "holy scripture comparable to the Bible".
The terms Mormonism and Mormonite were originally descriptive terms invented in 1831 by newspaper editors or contributors in Ohio and New York to describe the growing movement of "proselytes of the Golden Bible". Historian Ardis Parshall quotes a 1831 news item, appearing within the first year of the LDS Church's founding, as reading, "In the sixth number of your paper I saw a notice of a sect of people called Mormonites; and thinking that a fuller history of their founder, Joseph Smith, Jr., might be interesting to your community … I will take the trouble to make a few remarks on the character of that infamous imposter." The term Mormon developed as a shortened version of Mormonite a year or two later. In all cases prior to 1833, these terms were used descriptively, despite nearly universal negative sentiment toward the movement. By the 1840s the term was adopted by Mormon leaders to refer to themselves, though leaders occasionally used the term as early as 1833. The term took on a pejorative meaning sometime before 1844 with the invention of the pejorative term Jack Mormon to describe non-Mormons sympathetic to the movement. Since that time the term Mormon has generally lost its pejorative status.
Popular usage
Today, the term Mormon is most often used to refer to members of the LDS Church. However, the term is also adopted by other adherents of Mormonism, including adherents of Mormon fundamentalism. The term Mormon is generally disfavored by other denominations of the Latter Day Saint movement, such as the Community of Christ, which have distinct histories from that of the LDS Church since Smith's death in 1844.
The term is particularly embraced by adherents of Mormon fundamentalism, who continue to believe in and practice plural marriage, a practice that the LDS Church officially abandoned in 1890. Seeking to distance itself from polygamy and Mormon fundamentalism, the LDS Church has taken the position that the term Mormon should only apply to the LDS Church and its members, and not other adherents who have adopted the term. The church cites the AP Stylebook, which states, "The term Mormon is not properly applied to the other Latter Day Saints churches that resulted from the split after [Joseph] Smith’s death." Despite the LDS Church's position, the term Mormon is widely used by journalists and non-journalists to refer to adherents of Mormon fundamentalism.
Around 2010, the LDS Church and its members experienced a "Mormon moment" in which they were thrust into the national spotlight by Mitt Romney's 2008 and 2012 campaigns for President of the United States and the 2011 Broadway musical titled The Book of Mormon. Facing media attention and abundant negative stereotypes, the church actively fostered its "Mormon" nickname with a multinational I'm a Mormon ad campaign (2010-2018), the film Meet the Mormons (2014), and websites like mormon.org and mormonandgay.org. In 2018, the church reversed course after Russell M. Nelson became church president. In August 2018, Nelson announced a renewed effort to discourage the use of the word "Mormon" in reference to itself and its members, saying that terms like "Mormon Church" offended Jesus and were a "major victory for Satan". The church followed up with a major renaming, with its websites at lds.org and mormon.org merged to a new website at churchofjesuschrist.org; the Mormon Tabernacle Choir becoming the Tabernacle Choir at Temple Square, and the church-affiliated publishing house Deseret Book began phasing out book titles that used the word "Mormon".
"Mormon Church"
The official name of the church based in Salt Lake City, Utah is The Church of Jesus Christ of Latter-day Saints. While the term Mormon Church has long been attached to the church as a nickname, it is not a preferred title, and the church's style guide says, "Please avoid the use of 'Mormon Church', 'LDS Church' or the 'Church of the Latter-day Saints.'" Church leaders have encouraged members to use the church's full name to emphasize the church's focus on Jesus Christ.
Scholarly usage
J. Gordon Melton, in his Encyclopedia of American Religions, subdivides the Mormons into Utah Mormons, Missouri Mormons, Polygamy-Practicing Mormons, and Other Mormons. In this scheme, the "Utah Mormon" group includes the non-polygamous organizations descending from those Mormons who followed Brigham Young to what is now Utah. The LDS Church is by far the largest of these groups, with a membership count totaling over 15,000,000 worldwide and the only group to initially reside in Utah. The "Missouri Mormon" groups include those non-polygamous groups that chose not to travel to Utah and are currently headquartered in Missouri, which Joseph Smith designated as the future site of the New Jerusalem. These organizations include Community of Christ, Church of Christ (Temple Lot), Remnant Church of Jesus Christ of Latter Day Saints, and others. "Polygamy-Practicing Mormon" groups are those that currently practice polygamy, regardless of location. Most notably, this category includes the Fundamentalist Church of Jesus Christ of Latter-Day Saints (FLDS Church) and the Apostolic United Brethren (AUB). "Other Mormon" groups include those that are not headquartered in Utah or Missouri and do not practice polygamy, such as The Church of Jesus Christ (Bickertonite) and the Church of Jesus Christ of Latter Day Saints (Strangite).
The terms Utah Mormon and Missouri Mormon can be problematic if interpreted to mean more than the location of the various groups' headquarters, as the majority of members of "Utah Mormon" groups and "Missouri Mormon" groups no longer live in either of these US states. Although a majority of Utahns are members of the LDS Church, it has a worldwide membership with the majority of its members outside the United States; and most "Missouri Mormons" do not live in Missouri.
Meaning of the word
The May 15, 1843, issue of the official Latter Day Saint periodical Times and Seasons contains an article, purportedly written by Joseph Smith, deriving the etymology of the name Mormon from English "more" + Egyptian mon, "good", and extolling the meaning as follows:
It has been stated that this word [mormon] was derived from the Greek word mormo. This is not the case. There was no Greek or Latin upon the plates from which I, through the grace of God, translated the Book of Mormon. Let the language of that book speak for itself. On the 523d page, of the fourth edition, it reads: And now behold we have written this record according to our knowledge in the characters which are called among us the Reformed Egyptian ... none other people knoweth our language; therefore [God] hath prepared means for the interpretation thereof." ... [The] Bible in its widest sense, means good; for the Savior says according to the gospel of John, "I am the good shepherd;" and it will not be beyond the common use of terms, to say that good is among the most important in use, and though known by various names in different languages, still its meaning is the same, and is ever in opposition to bad. We say from the Saxon, good; the Dane, god; the Goth, goda; the German, gut; the Dutch, goed; the Latin, bonus; the Greek, kalos; the Hebrew, tob; and the Egyptian, mon. Hence, with the addition of more, or the contraction, mor, we have the word MOR-MON; which means, literally, more good.
Whether Smith was the actual author of this passage is uncertain. Official LDS Church historian B. H. Roberts removed the quote from his History of the Church compilation, saying he found evidence that W. W. Phelps wrote that paragraph and that it was "based on inaccurate premises and was offensively pedantic." LDS Church apostle Gordon B. Hinckley noted that the "more good" translation is incorrect but added that "Mormon means 'more good'" is a positive motto for members of the LDS Church.
Gordon Thomasson proposes that the toponym Mormon (MRMN) and the toponym Hermounts (HRMN) might be the same word, as both are found in the Book of Mormon text and both reference a wilderness infested by wild beasts. According to Thomasson, these two words possibly share the root RMN.
Meaning in the Book of Mormon
The Book of Mormon's title page begins, "The Book of Mormon: An account written by the hand of Mormon" (). According to the book, Mormon compiled nearly 1000 years of writings as well as chronicled events during his lifetime. Most of the text of the Book of Mormon consists of this compilation and his own writings. However, the name Mormon is also used in the Book of Mormon as a place name (e.g. Waters of Mormon).
:5 states, "And I, Mormon, being a descendant of Nephi, (and my father’s name was Mormon)...", whereas :12 states, "And behold, I am called Mormon, being called after the land of Mormon, the land in which Alma did establish the church among the people yea, the first church which was established among them after their transgression." Based on these verses, Latter-day Saint scholar David Lamb interprets the name of the Book of Mormon to mean "Book of the Restoration of the Covenant":
[The prophet] Mormon was not named after his father; he was named after the land of Mormon. He had been taught about his heritage by his parents and understood the sacred significance associated with the name Mormon. No doubt his father also bore the name Mormon for the same reason. In 3 Nephi 5:12 he gives us a clear indication that the name Mormon is symbolically synonymous with the restoration of the covenant which took place in the land of Mormon by Alma and his people.
A study of the Introduction of the Book of Mormon tells us its main purpose is to restore a knowledge of the covenants to the house of Israel. This adds weight to the understanding that the name Mormon was always associated with the place of the restoration of the covenant to the Nephites. In fact, the name Mormon became synonymous with the concept of restoring the covenants.
In light of this understanding, the Book of Mormon is not named for a man. It is named for the place where the covenant was restored. Symbolically, the Book of Mormon bears the name 'Book of the Restoration of the Covenant.'"
Trademark
In some countries, Mormon and some phrases including the term are registered trademarks owned by Intellectual Reserve, a holding company for the LDS Church's intellectual property. In the United States, the LDS Church has applied for a trademark on Mormon as applied to religious services; however, the United States Patent and Trademark Office rejected the application, stating that the term Mormon was too generic, and is popularly understood as referring to a particular kind of church, similar to Presbyterian or Methodist, rather than a service mark. The application was abandoned as of August 22, 2007. In all, Intellectual Reserve owns more than 60 trademarks related to the term Mormon.
See also
I'm a Mormon
References
External links
Latter Day Saint terms
Mormonism
ar:مورمون
da:Mormon
pdc:Mormon
fr:Théologie du mormonisme
lt:Mormonai
pl:Mormoni
pt:Mórmon
ro:Mormon
ru:Мормон
sl:Mormon
sr:Мормони
tl:Mormon
th:มอรมอน |
19036 | https://en.wikipedia.org/wiki/Mariana%20Trench | Mariana Trench | The Mariana Trench or Marianas Trench is located in the western Pacific Ocean about east of the Mariana Islands; it is the deepest oceanic trench on Earth. It is crescent-shaped and measures about in length and in width. The maximum known depth is (± ) (6.825 miles) at the southern end of a small slot-shaped valley in its floor known as the Challenger Deep.
However, some unrepeated measurements place the deepest portion at . If Mount Everest were hypothetically placed into the trench at this point, its peak would still be underwater by more than .
At the bottom of the trench, the water column above exerts a pressure of , more than 1,071 times the standard atmospheric pressure at sea level. At this pressure, the density of water is increased by 4.96%. The temperature at the bottom is .
In 2009, the Mariana Trench was established as a US National Monument. Monothalamea have been found in the trench by Scripps Institution of Oceanography researchers at a record depth of below the sea surface. Data has also suggested that microbial life forms thrive within the trench.
Etymology
The Mariana Trench is named after the nearby Mariana Islands, which are named Las Marianas in honor of Spanish Queen Mariana of Austria, widow of Philip IV of Spain. The islands are part of the island arc that is formed on an over-riding plate, called the Mariana Plate (also named for the islands), on the western side of the trench.
Geology
The Mariana Trench is part of the Izu–Bonin–Mariana subduction system that forms the boundary between two tectonic plates. In this system, the western edge of one plate, the Pacific Plate, is subducted (i.e., thrust) beneath the smaller Mariana Plate that lies to the west. Crustal material at the western edge of the Pacific Plate is some of the oldest oceanic crust on Earth (up to 170 million years old), and is, therefore, cooler and denser; hence its great height difference relative to the higher-riding (and younger) Mariana Plate. The deepest area at the plate boundary is the Mariana Trench proper.
The movement of the Pacific and Mariana plates is also indirectly responsible for the formation of the Mariana Islands. These volcanic islands are caused by flux melting of the upper mantle due to the release of water that is trapped in minerals of the subducted portion of the Pacific Plate.
Research history
The trench was first sounded during the Challenger expedition in 1875, using a weighted rope, which recorded a depth of . In 1877, a map was published called Tiefenkarte des Grossen Ozeans ("Depth map of the Great Ocean") by Petermann, which showed a Challenger Tief ("Challenger deep") at the location of that sounding. In 1899, , a converted collier, recorded a depth of .
In 1951, Challenger II surveyed the trench using echo sounding, a much more precise and vastly easier way to measure depth than the sounding equipment and drag lines used in the original expedition. During this survey, the deepest part of the trench was recorded when the Challenger II measured a depth of at , known as the Challenger Deep.
In 1957, the Soviet vessel reported a depth of at a location dubbed the Mariana Hollow.
In 1962, the surface ship M.V. Spencer F. Baird recorded a maximum depth of using precision depth gauges.
In 1984, the Japanese survey vessel Takuyō (拓洋) collected data from the Mariana Trench using a narrow, multi-beam echo sounder; it reported a maximum depth of , also reported as ±. Remotely Operated Vehicle KAIKO reached the deepest area of the Mariana Trench and made the deepest diving record of on 24 March 1995.
During surveys carried out between 1997 and 2001, a spot was found along the Mariana Trench that had depth similar to the Challenger Deep, possibly even deeper. It was discovered while scientists from the Hawaii Institute of Geophysics and Planetology were completing a survey around Guam; they used a sonar mapping system towed behind the research ship to conduct the survey. This new spot was named the HMRG (Hawaii Mapping Research Group) Deep, after the group of scientists who discovered it.
On 1 June 2009, mapping aboard the (mothership of the Nereus vehicle), indicated a spot with a depth of . The sonar mapping of the Challenger Deep was possible by its Simrad EM120 sonar multibeam bathymetry system for deep water. The sonar system uses phase and amplitude bottom detection, with an accuracy of better than 0.2% of water depth across the entire swath (implying that the depth figure is accurate to ± ).
In 2011, it was announced at the American Geophysical Union Fall Meeting that a US Navy hydrographic ship equipped with a multibeam echosounder conducted a survey which mapped the entire trench to resolution. The mapping revealed the existence of four rocky outcrops thought to be former seamounts.
The Mariana Trench is a site chosen by researchers at Washington University and the Woods Hole Oceanographic Institution in 2012 for a seismic survey to investigate the subsurface water cycle. Using both ocean-bottom seismometers and hydrophones, the scientists are able to map structures as deep as beneath the surface.
Descents
Four manned descents and three unmanned descents have been achieved. The first was the manned descent by Swiss-designed, Italian-built, United States Navy-owned bathyscaphe Trieste, which reached the bottom at 1:06 pm on 23 January 1960, with Don Walsh and Jacques Piccard on board. Iron shot was used for ballast, with gasoline for buoyancy. The onboard systems indicated a depth of , but this was later revised to . The depth was estimated from a conversion of pressure measured and calculations based on the water density from sea surface to seabed.
This was followed by the unmanned ROVs Kaikō in 1996 and Nereus in 2009. The first three expeditions directly measured very similar depths of . The fourth was made by Canadian film director James Cameron on 26 March 2012. He reached the bottom of the Mariana Trench in the submersible vessel Deepsea Challenger, diving to a depth of .
In July 2015, members of the National Oceanic and Atmospheric Administration, Oregon State University, and the Coast Guard submerged a hydrophone into the deepest part of the Mariana Trench, the Challenger Deep, never having previously deployed one past a mile. The titanium-shelled hydrophone was designed to withstand the immense pressure 7 miles under. Although researchers were unable to retrieve the hydrophone until November, the data capacity was full within the first 23 days. After months of analyzing the sounds, the experts were surprised to pick up natural sounds like earthquakes, typhoons, baleen whales, and machine-made sounds such as boats. Due to the mission's success, the researchers announced plans to deploy a second hydrophone in 2017 for an extended period of time.
Victor Vescovo achieved a new record descent to on 28 April 2019 using the DSV Limiting Factor, a Triton 36000/2 model manufactured by Florida-based Triton Submarines. He dived four times between 28 April and 5 May 2019, becoming the first person to dive into Challenger Deep more than once.
On 8 May 2020, a joint project between the Russian shipbuilders, scientific teams of the Russian Academy of Sciences with the support of the Russian Foundation for Advanced Research Projects and the Pacific Fleet submerged the autonomous underwater vehicle Vityaz-D to the bottom of the Mariana Trench at a depth of . Vityaz-D is the first underwater vehicle to operate autonomously at the extreme depths of the Mariana Trench. The duration of the mission, excluding diving and surfacing, was more than 3 hours.
On 10 November 2020, the Chinese submersible Fendouzhe reached the bottom of the Mariana Trench at a depth of .
Planned descents
In 2011, Richard Branson announced an intention to send the DeepFlight Challenger single-person submarine to the bottom of the Mariana Trench. The project was cancelled in 2014.
, at least one other team was planning a piloted submarine to reach the bottom of the Mariana Trench.
Life
The expedition conducted in 1960 claimed to have observed, with great surprise because of the high pressure, large creatures living at the bottom, such as a flatfish about long, and shrimp. According to Piccard, "The bottom appeared light and clear, a waste of firm diatomaceous ooze". Many marine biologists are now skeptical of the supposed sighting of the flatfish, and it is suggested that the creature may instead have been a sea cucumber. During the second expedition, the unmanned vehicle Kaikō collected mud samples from the seabed. Tiny organisms were found to be living in those samples.
In July 2011, a research expedition deployed untethered landers, called dropcams, equipped with digital video cameras and lights to explore this deep sea region. Among many other living organisms, some gigantic single-celled foraminiferans with a size of more than , belonging to the class of monothalamea, were observed. Monothalamea are noteworthy for their size, their extreme abundance on the seafloor, and their role as hosts for a variety of organisms.
In December 2014, a new species of snailfish was discovered at a depth of , breaking the previous record for the deepest living fish seen on video.
During the 2014 expedition, several new species were filmed, including huge amphipods known as supergiants. Deep-sea gigantism is the process where species grow larger than their shallow-water relatives.
In May 2017, an unidentified type of snailfish was filmed at a depth of .
Pollution
In 2016, a research expedition looked at the chemical makeup of crustacean scavengers collected from the range of 7,841–10,250 metres within the trench. Within these organisms, the researchers found extremely elevated concentrations of PCBs, a chemical toxin banned for its environmental harm in the 1970s, concentrated at all depths within the sediment of the trench. Further research has found that amphipods also ingest microplastics, with 100% of amphipods having at least one piece of synthetic material in their stomachs.
In 2019, Victor Vescovo reported finding a plastic bag and candy wrappers at the bottom of the trench. That year, Scientific American also reported that carbon-14 from nuclear bomb testing has been found in the bodies of aquatic animals found in the trench.
Possible nuclear waste disposal site
Like other oceanic trenches, the Mariana Trench has been proposed as a site for nuclear waste disposal in 1972, in the hope that tectonic plate subduction occurring at the site might eventually push the nuclear waste deep into the Earth's mantle, the second layer of the Earth. However, ocean dumping of nuclear waste is prohibited by international law. Furthermore, plate subduction zones are associated with very large megathrust earthquakes, the effects of which are unpredictable for the safety of long-term disposal of nuclear wastes within the hadopelagic ecosystem.
See also
Marianas Trench Marine National Monument, United States national monument at the trench. This National Monument protects of submerged lands and waters of the Mariana Archipelago. It includes some of the Mariana Trench, but not the deepest part, the Challenger Deep, which lies just outside the monument area.
Notes
References
External links
Mariana Trench Dive (25 March 2012) – Deepsea Challenger
Mariana Trench Dive (23 January 1960) – Trieste (Newsreel)
Mariana Trench Dive (50th Anniv) – Trieste – Capt Don Walsh
Mariana Trench – Maps (Google)
NOAA – Ocean Explorer (Ofc Ocean Exploration & Rsch)
NOAA – Ocean Explorer – Multimedia – Mariana Arc (podcast)
NOAA – Ocean Explorer – Video Playlist – Ring of Fire (2004–2006)
Philippine Sea
Oceanic trenches of the Pacific Ocean
Extreme points of Earth
Subduction zones
Lowest points of the World Ocean |
19037 | https://en.wikipedia.org/wiki/Macedonian%20language | Macedonian language | Macedonian (; , , ) is an Eastern South Slavic language. It is part of the Indo-European language family, and is one of the Slavic languages, which are part of a larger Balto-Slavic branch. Spoken as a first language by around two million people, it serves as the official language of North Macedonia. Most speakers can be found in the country and its diaspora, with a smaller number of speakers throughout the transnational region of Macedonia. Macedonian is also a recognized minority language in parts of Albania, Bosnia and Herzegovina, Romania, and Serbia and it is spoken by emigrant communities predominantly in Australia, Canada and the United States.
Macedonian developed out of the western dialects of the East South Slavic dialect continuum, whose earliest recorded form is Old Church Slavonic. During much of its history, this dialect continuum was called "Bulgarian", although in the 19th century, its western dialects came to be known separately as "Macedonian". Standard Macedonian was codified in 1945 and has developed modern literature since. As it is part of a dialect continuum with other South Slavic languages, Macedonian has a high degree of mutual intelligibility with Bulgarian and varieties of Serbo-Croatian.
Linguists distinguish 29 dialects of Macedonian, with linguistic differences separating Western and Eastern groups of dialects. Some features of Macedonian grammar are the use of a dynamic stress that falls on the ante-penultimate syllable, three suffixed deictic articles that indicate noun position in reference to the speaker and the use of simple and complex verb tenses. Macedonian orthography is phonemic with a correspondence of one grapheme per phoneme. It is written using an adapted 31-letter version of the Cyrillic script with six original letters. Macedonian syntax is of the subject-object-verb (SOV) type and has flexible word order.
Macedonian vocabulary has been historically influenced by Turkish and Russian. Somewhat less prominent vocabulary influences also came from neighboring and prestige languages. Since Macedonian and Bulgarian are mutually intelligible, share common linguistic features and are socio-historically related, some linguists are divided in their views of the two as separate languages or as a single pluricentric language. The international consensus outside of Bulgaria is that Macedonian is an autonomous language within the Eastern South Slavic dialect continuum.
Classification and related languages
Macedonian belongs to the eastern group of the South Slavic branch of Slavic languages in the Indo-European language family, together with Bulgarian and the extinct Old Church Slavonic. Some authors also classify the Torlakian dialects in this group. Macedonian's closest relative is Bulgarian followed by Serbo-Croatian and Slovene, although the last is more distantly related. Together, South Slavic languages form a dialect continuum.
Macedonian, like the other Eastern South Slavic idioms has characteristics that make it part of the Balkan sprachbund, a group of languages that share typological, grammatical and lexical features based on areal convergence, rather than genetic proximity. In that sense, Macedonian has experienced convergent evolution with other languages that belong to this group such as Greek, Aromanian, Albanian and Romani due to cultural and linguistic exchanges that occurred primarily through oral communication.
Macedonian and Bulgarian are divergent from the remaining South Slavic languages in that they do not use noun cases (except for the vocative, and apart from some traces of once productive inflections still found scattered throughout these two) and have lost the infinitive. They are also the only Slavic languages with any definite articles (unlike standard Bulgarian, which uses only one article, standard Macedonian as well as some south-eastern Bulgarian dialects have a set of three deictic articles: unspecified, proximal and distal definite article). Macedonian and Bulgarian are the only Indo-European languages that make use of the narrative mood.
The "Yat border" running approximately from Nikopol on the Danube to Thessaloniki on the Aegean Sea is the main isogloss separating the Eastern South Slavic dialects into Eastern and Western. It goes through the modern region of Macedonia along the Velingrad – Petrich – Thessaloniki line. Jouko Lindstedt has assumed that the dividing line between Macedonian and Bulgarian is in fact the Yat border.
History
The Slavic people who settled in the Balkans during the 6th century CE, spoke their own dialects and used different dialects or languages to communicate with other people. The "canonical" Old Church Slavonic period of the development of Macedonian started during the 9th century and lasted until the first half of the 11th century. It saw translation of Greek religious texts. The Macedonian recension of Old Church Slavonic also appeared around that period in the Bulgarian Empire and was referred to as such due to works of the Ohrid Literary School. Towards the end of the 13th century, the influence of Serbian increased as Serbia expanded its borders southward. During the five centuries of Ottoman rule, from the 15th to the 20th century, the vernacular spoken in the territory of current-day North Macedonia witnessed grammatical and linguistic changes that came to characterize Macedonian as a member of the Balkan sprachbund. This period saw the introduction of many Turkish loanwords into the language.
The latter half of the 18th century saw the rise of modern literary Macedonian through the written use of Macedonian dialects referred to as "Bulgarian" by writers. The first half of the 19th century saw the rise of nationalism among the South Slavic people in the Ottoman Empire. This period saw proponents of creating a common church for Bulgarian and Macedonian Slavs which would use a common modern Macedo-Bulgarian literary standard. The period between 1840 and 1870, saw a struggle to define the dialectal base of the common language called simply "Bulgarian", with two opposing views emerging. One ideology was to create a Bulgarian literary language based on Macedonian dialects, but such proposals were rejected by the Bulgarian codifiers. That period saw poetry written in the Struga dialect with elements from Russian. Textbooks also used either spoken dialectal forms of the language or a mixed Macedo-Bulgarian language. Subsequently, proponents of the idea of using a separate Macedonian language emerged.
Krste Petkov Misirkov's book Za makedonckite raboti (On Macedonian Matters) published in 1903, was the first attempt to formalize a separate literary language. With the book, the author proposed a Macedonian grammar and expressed the goal of codifying the language and using it in schools. The author postulated the principle that the Prilep-Bitola dialect be used as a dialectal basis for the formation of the Macedonian standard language; his idea however was not adopted until the 1940s. On 2 August 1944 at the first Anti-fascist Assembly for the National Liberation of Macedonia (ASNOM) meeting, Macedonian was declared an official language. With this, it became the last of the major Slavic languages to achieve a standard literary form. As such, Macedonian served as one of the three official languages of Yugoslavia from 1945 to 1991.
Geographical distribution
Although the precise number of native and second language speakers of Macedonian is unknown due to the policies of neighboring countries and emigration of the population, estimates ranging between 1.4 million and 3.5 million have been reported. According to the 2002 census, the total population of North Macedonia was 2,022,547, with 1,344,815 citizens declaring Macedonian their native language. Macedonian is also studied and spoken to various degrees as a second language by all ethnic minorities in the country.
Outside North Macedonia, there are small ethnic Macedonian minorities that speak Macedonian in neighboring countries including 4.697 in Albania (1989 census), 1,609 in Bulgaria (2011 census) and 12,706 in Serbia (2011 census). The exact number of speakers of Macedonian in Greece is difficult to ascertain due to the country's policies. Estimates of Slavophones ranging anywhere between 50,000 and 300,000 in the last decade of the 20th century have been reported. Approximately 580,000 Macedonians live outside North Macedonia per 1964 estimates with Australia, Canada, and the United States being home to the largest emigrant communities. Consequently, the number of speakers of Macedonian in these countries include 66,020 (2016 census), 15,605 (2016 census) and 22,885 (2010 census), respectively. Macedonian also has more than 50,000 native speakers in countries of Western Europe, predominantly in Germany, Switzerland and Italy.
The Macedonian language has the status of an official language only in North Macedonia, and is a recognized minority and official language in parts of Albania (Pustec), Romania, Serbia (Jabuka and Plandište) and Bosnia and Herzegovina. There are provisions to learn Macedonian in Romania as Macedonians are an officially recognized minority group. Macedonian is studied and taught at various universities across the world and research centers focusing on the language are found at universities across Europe (France, Germany, Austria, Italy, Russia) as well as Australia, Canada and the United States (Chicago and North Carolina).
Dialects
During the standardization process of the Macedonian language, the dialectal base selected was primarily based on the West-Central dialects, which spans the triangle of the communities Makedonski Brod, Kičevo, Demir Hisar, Bitola, Prilep, and Veles. These were considered the most widespread and most likely to be adopted by speakers from other regions. The initial idea to select this region as a base was first proposed in Krste Petkov Misirkov's works as he believed the Macedonian language should abstract on those dialects that are distinct from neighboring Slavic languages, such as Bulgarian and Serbian. Likewise, this view does not take into account the fact that a Macedonian koiné language was already in existence.
Based on a large group of features, Macedonian dialects can be divided into Eastern, Western and Northern groups. The boundary between them geographically runs approximately from Skopje and Skopska Crna Gora along the rivers Vardar and Crna. There are numerous isoglosses between these dialectal variations, with structural differences in phonetics, prosody (accentuation), morphology and syntax. The Western group of dialects can be subdivided into smaller dialectal territories, the largest group of which includes the central dialects. The linguistic territory where Macedonian dialects were spoken also span outside the country and within the region of Macedonia, including Pirin Macedonia into Bulgaria and Aegean Macedonia into Greece.
Variations in consonant pronunciation occur between the two groups, with most Western regions losing the /x/ and the /v/ in intervocalic position (глава (head): /ɡlava/ = /ɡla/: глави (heads): /ɡlavi/ = /ɡlaj/) while Eastern dialects preserve it. Stress in the Western dialects is generally fixed and falls on the antepenultimate syllable while Eastern dialects have non-fixed stress systems that can fall on any syllable of the word, that is also reminiscent of Bulgarian dialects. Additionally, Eastern dialects are distinguishable by their fast tonality, elision of sounds and the suffixes for definiteness. The Northern dialectal group is close to South Serbian and Torlakian dialects and is characterized by 46–47 phonetic and grammatical isoglosses.
In addition, a more detailed classification can be based on the modern reflexes of the Proto-Slavic reduced vowels (yers), vocalic sonorants, and the back nasal *ǫ. That classification distinguishes between the following 6 groups:
Western Dialects:
Ohrid-Prespa Group: Ohrid dialect, Struga dialect, Vevčani-Radožda dialect, Upper Prespa dialect and Lower Prespa dialect.
Debar Group: Debar dialect, Reka dialect, Drimkol-Golo Brdo dialect, Galičnik dialect, Skopska Crna Gora dialect and Gora dialect
Polog Group: Upper Polog dialect, Lower Polog dialect, Prilep-Bitola dialect, Kičevo-Poreče dialect and Skopje-Veles dialect
Kostur-Korča Group: Korča dialect, Kostur dialect and Nestram-Kostenar dialect
Eastern Dialects:
Northern Group: Kumanovo dialect, Kratovo dialect, Kriva Palanka dialect and Ovče Pole dialect
Eastern Group: Štip - Kočani dialect, Strumica dialect, Tikveš-Mariovo dialect, Maleševo-Pirin dialect, Solun-Voden dialect and Ser-Drama-Lagadin-Nevrokop dialect.
Phonology
The phonological system of Standard Macedonian is based on the Prilep-Bitola dialect. Macedonian possesses five vowels, one semivowel, three liquid consonants, three nasal stops, three pairs of fricatives, two pairs of affricates, a non-paired voiceless fricative, nine pairs of voiced and unvoiced consonants and four pairs of stops. Out of all the Slavic languages, Macedonian has the most frequent occurrence of vowels relative to consonants with a typical Macedonian sentence having on average 1.18 consonants for every one vowel.
Vowels
The Macedonian language contains 5 vowels which are /a/, /ɛ/, /ɪ/, /o/, and /u/. For the pronunciation of the middle vowels /е/ and /о/ by native Macedonian speakers, various vowel sounds can be produced ranging from [ɛ] to [ẹ] and from [o] to [ọ]. Unstressed vowels are not reduced, although they are pronounced more weakly and shortly than stressed ones, especially if they are found in a stressed syllable. The five vowels and the letter р (/r/) which acts as a semivowel when found between two consonants (e.g. црква, "church"), can be syllable-forming.
The schwa is phonemic in many dialects (varying in closeness to or ) but its use in the standard language is marginal. When writing a dialectal word and keeping the schwa for aesthetic effect, an apostrophe is used; for example, , , etc. When spelling words letter-by-letters, each consonant is followed by the schwa sound. The individual letters of acronyms are pronounced with the schwa in the same way: (). The lexicalized acronyms () and () (a brand of cigarettes), are among the few exceptions. Vowel length is not phonemic. Vowels in stressed open syllables in disyllabic words with stress on the penultimate can be realized as long, e.g. 'Veles'. The sequence is often realized phonetically as ; e.g. colloq. hour', - snakes. In other words, two vowels appearing next to each other can also be pronounced twice separately (e.g. пооди - to walk).
Consonants
The consonant inventory of the Macedonian language consists of 26 letters and distinguishes three groups of consonants (согласки): voiced (звучни), voiceless (безвучни) and sonorant consonants (сонорни). Typical features and rules that apply to consonants in the Macedonian language include assimilation of voiced and voiceless consonants when next to each other, devoicing of vocal consonants when at the end of a word, double consonants and elision. At morpheme boundaries (represented in spelling) and at the end of a word (not represented in spelling), voicing opposition is neutralized.
The alveolar trill () is syllabic between two consonants; for example, 'finger'. The dental nasal () and dental lateral () are also syllabic in certain foreign words; e.g. 'newton', 'Popocatépetl', etc. The labiodental nasal occurs as an allophone of before and (e.g. 'tram'). The velar nasal similarly occur as an allophone of before and (e.g. 'English'). The latter realization is avoided by some speakers who strive for a clear, formal pronunciation.
The consonant () is not typical of the Western dialects of Macedonian and became part of the standard language through the introduction of new foreign words (e.g. хотел, hotel), toponyms (Пехчево, Pehčevo), words originating from Old Church Slavonic (дух, ghost), newly formed words (доход, income) and as a means to disambiguate between two words (храна, food vs. рана, wound).
The palatal stops are arguable phonemic . They exhibit different pronunciations depending on dialect. They are dorso-palatal stops in the standard language and are pronounced as such by some native speakers.
Stress
The word stress in Macedonian is and dynamic (expiratory). This means that it falls on the third from last syllable in words with three or more syllables, and on the first or only syllable in other words. This is sometimes disregarded when the word has entered the language more recently or from a foreign source. To note which syllable of the word should be accented, Macedonian uses an apostrophe over its vowels. Disyllabic words are stressed on the second-to-last syllable: дéте (: child), мáјка (): mother) and тáтко (: father). Trisyllabic and polysyllabic words are stressed on the third-to-last syllable: плáнина (: mountain) планѝната (: the mountain) планинáрите (: the mountaineers). There are several exceptions to the rule and they include: verbal adverbs (i.e. words suffixed with -ќи): e.g. викáјќи (: shouting), одéјќи (: walking); adverbs of time: годинáва (: this year), летóво (: this summer); foreign loanwords: e.g. клишé ( cliché), генéза ( genesis), литератýра (: literature), Алексáндар (, Alexander).
Linking occurs when two or more words are pronounced with the same stress. Linking is a common feature of the Macedonian language. This linguistic phenomenon is called акцентска целост and is denoted with a spacing tie (‿) sign. Several words are taken as a single unit and thus follow the rules of the stress falling on the antepenultimate syllable. The rule applies when using clitics (either enclitics or proclitics) such as the negating particle не with verbs (тој нé‿дојде, he did not come) and with short pronoun forms. The future particle ќе can also be used in-between and falls under the same rules (не‿му‿јá‿даде, did not give it to him; не‿ќé‿дојде, he will not come). Other uses include the imperative form accompanied by short pronoun forms (дáј‿ми: give me), the expression of possessives (мáјка‿ми), prepositions followed by a noun (зáд‿врата), question words followed by verbs (когá‿дојде) and some compound nouns (сувó‿грозје - raisins, киселó‿млеко - yoghurt) among others.
Grammar
Macedonian grammar is markedly analytic in comparison with other Slavic languages, having lost the common Slavic case system. The Macedonian language shows some special and, in some cases, unique characteristics due to its central position in the Balkans. Literary Macedonian is the only South Slavic literary language that has three forms of the definite article, based on the degree of proximity to the speaker, and a perfect tense formed by means of an auxiliary verb "to have", followed by a past participle in the neuter, also known as the verbal adjective. Other features that are only found in Macedonian and not in other Slavic languages include the antepenultimate accent and the use of the same vocal ending for all verbs in first person, present simple (глед-a-м, јад-а-м, скок-а-м). Macedonian distinguishes at least 12 major word classes, five of which are modifiable and include nouns, adjectives, pronouns, numbers and verbs and seven of which are invariant and include adverbs, prepositions, conjunctions, interjections, particles and modal words.
Nouns
Macedonian nouns (именки) belong to one of three genders (masculine, feminine, and neuter) and are inflected for number (singular and plural), and marginally for case. The gender opposition is not distinctively marked in the plural. Masculine nouns usually end in a consonant or a vowel (-a, -o or -e) and neuter nouns end in a vowel (-o or -e). Virtually all feminine nouns end in the same vowel, -a.
The vocative of nouns is the only remaining case in the Macedonian language and is used to address a person directly. The vocative case always ends with a vowel, which can be either an -у (јунаку: hero vocative) or an -e (човече: man vocative) to the root of masculine nouns. For feminine nouns, the most common final vowel ending in the vocative is -o (душо, sweetheart vocative; жено, wife vocative). The final suffix -e can be used in the following cases: three or polysyllabic words with the ending -ица (мајчице, mother vocative), female given names that end with -ка: Ратка becomes Ратке and -ја: Марија becomes Марије or Маријо. There is no vocative case in neuter nouns. The role of the vocative is only facultative and there is a general tendency of vocative loss in the language since its use is considered impolite and dialectal. The vocative can also be expressed by changing the tone.
There are three different types of plural: regular, counted and collective. The first plural type is most common and used to indicate regular plurality of nouns: маж - мажи (a man - men), маса - маси (a table - table), село - села (a village - villages). There are various suffixes that are used and they differ per gender; a linguistic feature not found in other Slavic languages is the use of the suffix -иња to form plural of neuter nouns ending in -е: пиле - пилиња (a chick - chicks). Counted plural is used when a number or a quantifier precedes the noun; suffixes to express this type of plurality do not correspond with the regular plurality suffixes: два молива (two pencils), три листа (three leaves), неколку часа (several hours). The collective plural is used for nouns that can be viewed as a single unit: лисје (a pile of leaves), ридје (a unit of hills). Irregular plural forms also exist in the language: дете - деца (child - children).
Definiteness
A characteristic feature of the nominal system is the indication of definiteness. As with other Slavic languages, there is no indefinite article in Macedonian. The definite article in Macedonian is postpositive, i.e. it is added as a suffix to nouns. An individual feature of the Macedonian language is the use of three definite articles, inflected for gender and related to the position of the object, which can be unspecified, proximate or distal.
Definite articles -ов, -ва, -во, -ве are used for objects located close to the speaker (човеков: - this person here)
Definite articles -он, -на, -но, -не are used for objects located further away from the speaker that can still be perceived (женана: - that woman there)
Definite articles -от, -та, -то, -те are most commonly used as general indicators of definiteness regardless of the referred object's position (детето: the child). Additionally, these suffixes can be used to indicate objects referred to by the speaker that are in the proximity of the listener, e.g. дај ми ја книгата што е до тебе - give me the book next to you.
Proper nouns are per definition definite and are not usually used together with an article, although exceptions exist in the spoken and literary language such as Совчето, Марето, Надето to demonstrate feelings of endearment to a person.
Adjectives
Adjectives accompany nouns and serve to provide additional information about their referents. Macedonian adjectives agree in form with the noun they modify and are thus inflected for gender, number and definiteness and убав changes to убава (убава жена, a beautiful woman) when used to describe a feminine noun, убаво when used to describe a neuter noun (убаво дете, a beautiful child) and убави when used to form the plural (убави мажи, убави жени, убави деца).
Adjectives can be analytically inflected for degree of comparison with the prefix по- marking the comparative and the prefix нај- marking the superlative. Both prefixes cannot be written separately from the adjective: Марија е паметна девојка (Marija is a smart girl), Марија е попаметна од Сара (Marija is smarter than Sara), Марија е најпаметната девојка во нејзиниот клас (Marija is the smartest girl in her class). The only adjective with an irregular comparative and superlative form is многу which becomes повеќе in the comparative and најмногу in the superlative form. Another modification of adjectives is the use of the prefixes при- and пре- which can also be used as a form of comparison: престар човек (a very old man) or пристар човек (a somewhat old man).
Pronouns
Three types of pronouns can be distinguished in Macedonian: personal (лични), relative (лично-предметни) and demonstrative (показни). Case relations are marked in pronouns. Personal pronouns in Macedonian appear in three genders and both in singular and plural. They can also appear either as direct or indirect object in long or short forms. Depending on whether a definite direct or indirect object is used, a clitic pronoun will refer to the object with the verb: Јас не му ја дадов книгата на момчето ("I did not give the book to the boy"). The direct object is a remnant of the accusative case and the indirect of the dative. Reflexive pronouns also have forms for both direct and indirect objects: себе се, себе си. Examples of personal pronouns are shown below:
Personal pronoun: Јас читам книга. ("I am reading a book")
Direct object pronoun: Таа мене ме виде во киното. ("She saw me at the cinema")
Indirect object pronoun: Тој мене ми рече да дојдам. ("He told me to come")
Relative pronouns can refer to a person (кој, која, кое - who), objects (што - which) or serve as indicators of possession (чиј, чија, чие - whose) in the function of a question or a relative word. These pronouns are inflected for gender and number and other word forms can be derived from them (никој - nobody, нешто - something, сечиј - everybody's). There are three groups of demonstrative pronouns that can indicate proximate (овој - this one (mas.)), distal (онаа - the one there (fem.)) and unspecific (тоа - that one (neut.)) objects. These pronouns have served as a basis for the definite article.
Verbs
Macedonian verbs agree with the subject in person (first, second or third) and number (singular or plural). Some dependent verb constructions (нелични глаголски форми) such as verbal adjectives (глаголска придавка: плетен/плетена), verbal l-form (глаголска л-форма: играл/играла) and verbal noun (глаголска именка: плетење) also demonstrate gender. There are several other grammatical categories typical of Macedonian verbs, namely type, transitiveness, mood, superordinate aspect (imperfective/perfective aspect). Verb forms can also be classified as simple, with eight possible verb constructions or complex with ten possible constructions.
Macedonian has developed a grammatical category which specifies the opposition of witnessed and reported actions (also known as renarration). Per this grammatical category, one can distinguish between минато определено i.e. definite past, denoting events that the speaker witnessed at a given definite time point, and минато неопределено i.e. indefinite past denoting events that did not occur at a definite time point or events reported to the speaker, excluding the time component in the latter case. Examples: Но, потоа се случија работи за кои не знаев ("But then things happened that I did not know about") vs. Ми кажаа дека потоа се случиле работи за кои не знаев ("They told me that after, things happened that I did not know about").
Tense
The present tense in Macedonian is formed by adding a suffix to the verb stem which is inflected per person, form and number of the subject. Macedonian verbs are conventionally divided into three main conjugations according to the thematic vowel used in the citation form (i.e. }}). These groups are: a-group, e-group and и-group. Furthermore, the и-subgroup is divided into three more subgroups: а-, е- and и-subgroups. The verb сум (to be) is the only exception to the rule as it ends with a consonant and is conjugated as an irregular verb.
The perfect tense can be formed using both to be (сум) and to have (има) as auxiliary verbs. The first form inflects the verb for person and uses a past active participle: сум видел многу работи ("I have seen a lot of things"). The latter form makes use of a clitic that agrees in number and gender with the object of the sentence and the passive participle of the verb in its uninflected form (го имам гледано филмот, "I have seen that movie"). Another past form, the aorist is used to describe actions that have finished at a given moment in the past: одев ("I walked"), скокаа ("they jumped").
Future forms of verbs are conjugated using the particle ќе followed by the verb conjugated in present tense, ќе одам (I will go). The construction used to express negation in the future can be formed by either adding the negation particle at the beginning не ќе одам (I will not go) or using the construction нема да (нема да одам). There is no difference in meaning, although the latter form is more commonly used in spoken language. Another future tense is future in the past which is formed using the clitic ќе and the past tense of the verb inflected for person, таа ќе заминеше ("she would have left").
Aspect, voice and mood
Similar to other Slavic languages, Macedonian verbs have a grammatical aspect (глаголски вид) that is a typical feature of Slavic languages. Verbs can be divided into imperfective (несвршени) and perfective (свршени) indicating actions whose time duration is unknown or occur repetitively or those that show an action that is finished in one moment. The former group of verbs can be subdivided into verbs which take place without interruption (e.g. Тој спие цел ден, "He sleeps all day long) or those that signify repeated actions (e.g. Ја бараше книгата но не можеше да ја најде, "He was looking for the book but he could not find it"). Perfective verbs are usually formed by adding prefixes to the stem of the verb, depending on which, they can express actions that took place in one moment (чукна, "knocked"), actions that have just begun (запеа, "start to sing"), actions that have ended (прочита, "read") or partial actions that last for short periods of time (поработи, "worked").
The contrast between transitive and intransitive verbs can be expressed analytically or syntactically and virtually all verbs denoting actions performed by living beings can become transitive if a short personal pronoun is added: Тоj легна ("He laid down") vs. Тоj го легна детето ("He laid the child down"). Additionally, verbs which are expressed with the reflexive pronoun се can become transitive by using any of the contracted pronoun forms for the direct object: Тој се смее - He is laughing, vs. Тој ме' смее - "He is making me laugh"). Some verbs such as sleep or die do not traditionally have the property of being transitive.
Macedonian verbs have three grammatical moods (глаголски начин): indicative, imperative and conditional. The imperative mood can express both a wish or an order to finish a certain action. The imperative only has forms for the second person and is formed using the suffixes -ј (пеј; sing) or -и (оди, walk) for singular and -јте (пејте, sing) or -ете for plural (одете, walk). The first and third subject forms in singular and plural express indirect orders and are conjugated using да or нека and the verb in present tense (да живееме долго, may we live long). In addition to its primary functions, the imperative is used to indicate actions in the past, eternal truths as is the case in sayings and a condition. The Macedonian conditional is conjugated in the same way for all three persons using the particle би and the verbal l-form, би читал (I/you/he would read).
Syntax
Macedonian syntax has a subject-verb-object (SVO) word order which is nevertheless flexible and can be topicalized. For instance, the sentence Марија го сака Иван (Marija loves Ivan) can become of the object–verb–subject (OVS) form as well, Иван го сака Марија. Topicalization can also be achieved using a combination of word order and intonation; as an example all of the following sentences give a different point of emphasis:
Мачката ја каса кучето. – The dog bites the cat (the focus is on the object)
Кучето мачката ја каса. – The dog bites the cat (the focus is on the object)
Мачката кучето ја каса. – The dog bites the cat (the focus is on the subject)
Ја каса кучето мачката. – The dog bites the cat (the focus is on both the subject and the verb)
Ја каса мачката кучето. – The dog bites the cat (the focus is on the verb and the object)
Macedonian is a null-subject language which means that the subject pronoun can be omitted, for instance Што сакаш (ти)? (what do you want?), (јас) читам книга (I am reading a book), (ние) го видовме (we saw him). Macedonian passive construction is formed using the short reflexive pronoun се (девојчето се уплаши, the girl got scared) or a combination of the verb "to be" with verbal adjectives (Тој е миен, he is washed). In the former case, the active-passive distinction is not very clear. Subordinate clauses in Macedonian are introduced using relativizers, which can be wh-question words or relative pronouns. A glossed example of this is:
Due to the absence of a case system, Macedonian makes wide use of prepositions (предлози) to express relationships between words in a sentence. The most important Macedonian preposition is на which can have local ('on') or motional meanings ('to'). As a replacement for the dative case, the preposition на is used in combination with a short indirect object form to denote an action that is related to the indirect object of a sentence, Му давам книга на Иван (I am giving a book to Ivan), Им велам нешто на децата (I am saying something to the children). Additionally, на can serve to replace the genitive case and express possession, таткото на другар ми (my friend's father).
Vocabulary
Macedonian exhibits lexical similarities with all other Slavic languages, and numerous nouns are cognates, including those related to familial relations and numbers. Additionally, as a result of the close relationship with Bulgarian and Serbo-Croatian, Macedonian shares a considerable amount of its lexicon with these languages. Other languages that have been in positions of power, such as Ottoman Turkish and, increasingly, English have also provided a significant proportion of the loanwords. Prestige languages, such as Old Church Slavonic—which occupies a relationship to modern Macedonian comparable to the relationship of medieval Latin to modern Romance languages—and Russian also provided a source for lexical items. Other loanwords and vocabulary also came from Greek and Albanian as well as prestige languages such as French and German.
During the standardization process, there was deliberate care taken to try to purify the lexicon of the language. Words that were associated with the Serbian or Bulgarian standard languages, which had become common due to the influence of these languages in the region, were rejected in favor of words from native dialects and archaisms. This is not to say that there are no words associated with the Serbian, Bulgarian, or even Russian standard languages in the language, but rather that they were discouraged on a principle of "seeking native material first".
The language of the writers at the turn of the 19th century abounded with Russian and, more specifically, Old Church Slavonic lexical and morphological elements that in the contemporary norm have been replaced by native words or calqued using productive morphemes. New words were coined according to internal logic and others calqued from related languages (especially Serbo-Croatian) to replace those taken from Russian, which include известие (Russ. известие) → извештај 'report', количество (Russ. количество) → количина 'amount, quantity', согласие (Russ. согласие) → слога 'concord, agreement', etc. This change was aimed at bringing written Macedonian closer to the spoken language, effectively distancing it from the more Russified Bulgarian language, representing a successful puristic attempt to abolish a lexicogenic tradition once common in written literature. The use of Ottoman Turkish loanwords is discouraged in the formal register when a native equivalent exists (e.g. комшија (← Turk. komşu) vs. сосед (← PSl. *sǫsědъ) 'neighbor'), and these words are typically restricted to the archaic, colloquial, and ironic registers.
Writing system
Alphabet
The official Macedonian alphabet was codified on 5 May 1945 by the Presidium of the Anti-fascist Assembly for the National Liberation of Macedonia (abbreviated as ASNOM in Macedonian) headed by Blaže Koneski. There are several letters that are specific for the Macedonian Cyrillic script, namely ѓ, ќ, ѕ, џ, љ and њ, with the last three letters being borrowed from the Serbo-Croatian phonetic alphabet adapted by Serbian linguist Vuk Stefanović Karadžić, while the grapheme ѕ has an equivalent in the Church Slavonic alphabet. Letters љ and њ were previously used by Macedonian writer Krste Petkov Misirkov written as л' and н'. The Macedonian alphabet also uses the apostrophe sign (') as a sound. It is used to mark the syllable forming /р˳/ , at the beginning of the word (рж - rye, рбет - spine) and to represent the phoneme schwa in some literary words or Turkish loanwords (ксмет - fortune). А diacritical sign, namely the acute accent (`) is used over three vowels in orthography: ѝ - her, different from и - and, нè - us, different from не - no and сѐ - everything different from сe - short reflexive pronoun accompanying reflexive verbs. The standard Macedonian alphabet contains 31 letters. The following table provides the upper and lower case forms of the Macedonian alphabet, along with the IPA value for each letter:
Orthography
Similar to the Macedonian alphabet, Macedonian orthography was officially codified on 7 June 1945 at an ASNOM meeting. Rules about the orthography and orthoepy (correct pronunciation of words) were first collected and outlined in the book Правопис на македонскиот литературен јазик (Orthography of the Macedonian standard language) published in 1945. Updated versions have subsequently appeared with the most recent one published in 2016. Macedonian orthography is consistent and phonemic in practice, an approximation of the principle of one grapheme per phoneme. This one-to-one correspondence is often simply described by the principle, "write as you speak and read as it is written". There is only one exception to this rule with the letter /л/ which is pronounced as /l/ before front vowels (e.g. лист (leaf); pronounced as [list]) and /j/ (e.g. полјанка (meadow); pronounced as [poljanka]) but velar /ł/ elsewhere (e.g. бела (white) pronounced as [beła]). Another sound that is not represented in the written form but is pronounced in words is the schwa.
Political views on the language
Politicians and scholars from North Macedonia, Bulgaria and Greece have opposing views about the existence and distinctiveness of the Macedonian language. Through history Macedonian has been referred mainly to as a variant of Bulgarian, but especially during the first half of the 20th century also as Serbian, and as a distinct language of its own. Historically, after its codification, the use of the language has been a subject of different views and internal policies in Serbia, Bulgaria and Greece. Some international scholars also maintain Macedo-Bulgarian was a single pluricentric language until the 20th century and argue that the idea of linguistic separatism emerged in the late 19th century with the advent of Macedonian nationalism and the need for a separate Macedonian standard language subsequently appeared in the early 20th century. Different linguists have argued that during its codification, the Macedonian standard language was Serbianized with regards to its orthography and vocabulary.
The government of Bulgaria, Bulgarian academics, the Bulgarian Academy of Sciences and the general public have and continue to widely consider Macedonian part of the Bulgarian dialect area. During the Communist era, Macedonian was recognized as a minority language in Bulgaria and utilized in education from 1946 to 1948. Subsequently, it was described as a dialect of Bulgarian. In 1956 the Bulgarian government signed an agreement on mutual legal defense with Yugoslavia, where the Macedonian language is named as one of the languages to be used for legal purposes, together with Bulgarian, Serbo-Croatian and Slovenian. The same year Bulgaria revoked its recognition of Macedonian nationhood and language and implicitly resumed its prewar position of their non-existence. In 1999 the government in Sofia signed a Joint Declaration in the official languages of the two countries, marking the first time it agreed to sign a bilateral agreement written in Macedonian. Dialect experts of the Bulgarian language refer to the Macedonian language as македонска езикова норма (Macedonian linguistic norm) of the Bulgarian language. As of 2019, disputes regarding the language and its origins are ongoing in academic and political circles in the two countries.
The Greek scientific and local community was opposed to using the denomination Macedonian to refer to the language in light of the Greek-Macedonian naming dispute. Instead, the language is often called "Slavic", "Slavomacedonian" (translated to "Macedonian Slavic" in English), makedonski, makedoniski ("Macedonian"), slaviká (Greek: "Slavic"), dópia or entópia (Greek: "local/indigenous [language]"), balgàrtzki (Bulgarian) or "Macedonian" in some parts of the region of Kastoria, bògartski ("Bulgarian") in some parts of Dolna Prespa along with naši ("our own") and stariski ("old"). With the Prespa agreement signed in 2018, Greece accepted the name "Macedonian" for the language.
Sample text
The following is the Lord's Prayer in standard Macedonian.
Оче наш (Cyrillic alphabet)
Оче наш, кој си на небесата,
да се свети името Твое,
да дојде царството Твое,
да биде волјата Твоја,
како на небото, така и на земјата;
лебот наш насушен дај ни го денес
и прости ни ги долговите наши
како и ние што им ги проштеваме на нашите должници;
и не нѐ воведувај во искушение,
но избави нѐ од лукавиот
Зашто Твое е Царството и Силата и Славата, во вечни векови.
Амин!
Oče naš (Romanized version)
Oče naš, koj si na nebesata
da se sveti imeto Tvoe,
da dojde carstvoto Tvoe,
da bide voljata Tvoja,
kako na neboto, taka i na zemjata;
lebot naš nasušen daj ni go denes
i prosti ni gi dolgovite naši
kako i nie što im gi proštevame na našite dolžnici
I ne nè voveduvaj vo iskušenie,
no izbavi nè od lukaviot.
Zašto Tvoe e Carstvoto i Silata i Slavata, vo večni vekovi.
Amin!
See also
Romanisation of Macedonian
Abstand and ausbau languages
Notes
References
Books
Journal articles
External links
Институт за македонски јазик, „Крсте Петков Мисирков“ – Institute for Macedonian language "Krste Misirkov", the main regulatory body of the Macedonian language (in Macedonian)
Дигитален речник на македонскиот јазик – Online dictionary of the Macedonian language
Analytic languages
Languages of Albania
Languages of Bulgaria
Languages of Greece
Languages of Serbia
Languages of Vojvodina
Languages of North Macedonia
South Slavic languages
Languages written in Cyrillic script |
19038 | https://en.wikipedia.org/wiki/Municipality | Municipality | A municipality is usually a single administrative division having corporate status and powers of self-government or jurisdiction as granted by national and regional laws to which it is subordinate.
The term municipality may also mean the governing or ruling body of a given municipality. A municipality is a general-purpose administrative subdivision, as opposed to a special-purpose district.
The term is derived from French municipalité and Latin municipalis. The English word municipality derives from the Latin social contract municipium (derived from a word meaning "duty holders"), referring to the Latin communities that supplied Rome with troops in exchange for their own incorporation into the Roman state (granting Roman citizenship to the inhabitants) while permitting the communities to retain their own local governments (a limited autonomy).
A municipality can be any political jurisdiction from a sovereign state, such as the Principality of Monaco, to a small village, such as West Hampton Dunes, New York.
The territory over which a municipality has jurisdiction may encompass
only one populated place such as a city, town, or village
several of such places (e.g., early jurisdictions in the U.S. state of New Jersey (1798–1899) as townships governing several villages, Municipalities of Mexico, Municipalities of Colombia)
only parts of such places, sometimes boroughs of a city such as the 34 municipalities of Santiago, Chile.
Political powers
Powers of municipalities range from virtual autonomy to complete subordination to the state. Municipalities may have the right to tax individuals and corporations with income tax, property tax, and corporate income tax, but may also receive substantial funding from the state. In some European countries, such as Germany, municipalities have the constitutional right to supply public services through municipally-owned public utility companies.
Terms in various countries
Municipality
Terms cognate with "municipality", mostly referring to territory or political structure, are Spanish (Spain) and (Chile), and Catalan .
Communes
In many countries, terms cognate with "commune" are used, referring to the community living in the area and the common interest. These include terms:
in Romance languages, such as French (France, French-speaking areas of Belgium and Switzerland, French-speaking countries of Africa, e.g. Benin), Italian , Romanian , and Spanish (Chile);
in Germanic languages such as German (in political parlance), Swedish , Faroese , Norwegian, Danish ;
the more remote cognates in Dutch, in Luxembourgish and in German (the official term);
Finnish .
Ukrainian .
and Polish .
The same terms may be used for church congregations or parishes, for example, in the German and Dutch Protestant churches.
Other terms
In Greece, the word Δήμος (demos) is used, also meaning 'community'; the word is known in English from the compound democracy (rule of the people).
In some countries, the Spanish term , referring to a municipality's administration building, is extended via synecdoche to denote the municipality itself. In Moldova and Romania, both municipalities (municipiu; urban administrative units) and communes (comună; rural units) exist, and a commune may be part of a municipality.
In many countries, comparable entities may exist with various names.
English-speaking
In Australia, the term local government area (LGA) is used in place of the generic municipality. Here, the "LGA Structure covers only incorporated areas of Australia. Incorporated areas are legally designated parts of states and territories over which incorporated local governing bodies have responsibility."
In Canada, municipalities are local governments established through provincial and territorial legislation, usually within general municipal statutes. Types of municipalities within Canada include cities, district municipalities, municipal districts, municipalities, parishes, rural municipalities, towns, townships, villages, and villes among others. The Province of Ontario has different tiers of municipalities, including lower, upper, and single tiers. Types of upper tier municipalities in Ontario include counties and regional municipalities. Nova Scotia also has regional municipalities, which include cities, counties, districts, or towns as municipal units.
In India, a Municipality or Nagar Palika is an urban local body that administers a city of population 100,000 or more. However, there are exceptions to that, as previously Municipality were constituted in urban centers with population over 20,000, so all the urban bodies which were previously classified as Municipality were reclassified as Municipality even if their population was under 100,000. Under the Panchayati Raj system, it interacts directly with the state government, though it is administratively part of the district it is located in. Generally, smaller district cities and bigger towns have a Municipality. Municipality are also a form of local self-government entrusted with some duties and responsibilities, as enshrined in the Constitutional (74th Amendment) Act,1992.
In the United Kingdom, the term was used until the 1972 Local Government Act came into effect in 1974 in England and Wales, and until 1975 in Scotland and 1976 in Northern Ireland, "both for a city or town which is organized for self-government under a municipal corporation, and also for the governing body itself. Such a corporation in Great Britain consists of a head as a mayor or provost, and of superior members, as aldermen and councillors". Since local government reorganisation, the unit in England, Northern Ireland and Wales is known as a district, and in Scotland as a council area. A district may be awarded borough or city status, or can retain its district title.
In Jersey, a municipality refers to the honorary officials elected to run each of the 12 parishes into which it is subdivided. This is the highest level of regional government in this jurisdiction.
In Trinidad and Tobago, "municipality" is usually understood as a city, town, or other local government unit, formed by municipal charter from the state as a municipal corporation. A town may be awarded borough status and later on, may be upgraded to city status. Chaguanas, San Fernando, Port of Spain, Arima and Point Fortin are the 5 current municipalities in Trinidad and Tobago.
In the United States, "municipality" is usually understood as a city, town, village, or other local government unit, formed by municipal charter from the state as a municipal corporation. In a state law context, some U.S. state codes define "municipality" more widely, from the state itself to any political subdivisions given jurisdiction over an area that may include multiple populated places and unpopulated places (see also: Local government in the United States#Municipal governments).
Chinese-speaking
In the People's Republic of China, a direct-administered municipality (直辖市 in pinyin: zhíxiáshì) is a municipality with equal status to a province: Beijing Municipality, Chongqing Municipality, Shanghai Municipality, and Tianjin Municipality (see also: Direct-administered municipalities of China).
In the Republic of China (Taiwan), a special municipality (直轄市 in pinyin: zhíxiáshì) is a municipality with equal status to a province: Kaohsiung, New Taipei, Taichung, Tainan, Taipei, and Taoyuan (see also: Special municipality (Taiwan)).
Municipalities by country
In Portuguese language usage, there are two words to distinguish the territory and the administrative organ. When referring to the territory, the word concelho is used, when referring to the organ of State, the word município is used. This differentiation is in use in Portugal and some of its former overseas provinces, but it's no longer in use in Brazil.
See also
Council of European Municipalities and Regions
Council–manager government
Creature of statute
Lists of municipalities
Mayor–council government
Municipal corporation
Municipal government
References
External links
Types of administrative division
Municipality
Types of populated places |
19041 | https://en.wikipedia.org/wiki/Marley%20Marl | Marley Marl | Marlon Williams (born September 30, 1962), better known by his stage name Marley Marl, is an American DJ, record producer, rapper and record label founder, primarily operating in hip hop music. Marlon grew up in Queensbridge housing projects located in Queens, New York. He performed in local talent shows during the early days of rap music, further fueling his interest.
He was also featured on Eric B. & Rakim's "Paid in Full" from their debut album, which was also recorded in his studio. As a producer, one notable project was LL Cool J.
He is credited with influencing a number of hip hop icons such as RZA, DJ Premier, Madlib, and Pete Rock. Producer Madlib stated in an interview that Marley was the first producer who inspired him to make beats. Vibe magazine wrote that he, "forever changed the sound of hip-hop with his unique beat barrages."
Early career
Marley's career started with an interest in electronica. As a young intern at Unique Recording Studios in the early 1980s, he had an opportunity to experiment with very expensive samplers like the Fairlight CMI. One day during a studio session with an artist named Captain Rock he discovered sampling by accident. "I was actually trying to get a riff off of a record. I made a mistake and got the snare in there before the sound came. I was truncating the vocal part but the snare was playing with the beat — we was truncating while the beat was playing. Thank God the beat was playing, because it probably wouldn't have happened if the beat wasn't playing. So I was playing it and the snare sounded better than the snare that I had from the drum machine when I was popping it."A short time later pioneering hip-hop radio DJ Mr. Magic heard Marley Marl's remix of Malcolm McLaren's Buffalo Gals, leading to Marley becoming his DJ. They eventually started the hip-hop collective the Juice Crew together in 1983. 1986 saw the foundation of Cold Chillin' Records, where Marley served as in-house producer for many projects. He earned $250,000 per year for his production work. The label was also home to many Juice Crew artists.
Marley caught his big break in 1984, with artist Roxanne Shante's hit "Roxanne's Revenge". In a 2008 interview Shante noted how seriously he took recording despite his limited setup. "We'd be recording in his living room on a reel-to-reel and four-tracks. I really just wanted to go to the mall after one take, but Marley always made me do it again."
Another significant early record was 1985's "Marley Marl Scratch" featuring MC Shan. The song was recorded on a four-track cassette recorder and Shan used a mic with a missing ball to record his lyrics.
Several of his early record feature inventive use of the Roland TR-808 drum machine. On MC Shan's 1986 Pop Art single "The Bridge', which later appeared on his 1987 album Down By Law, Marley used the 808 pulse to trigger different samplers. According to Biz Markie, the button on Marley's 808 stuck during the recording of his hit "Make the Music with Your Mouth, Biz", leading to sound heard on the record today. Juice Crew member Big Daddy Kane praised his ability to pair 808 drum sounds with sampled drums. "Regardless of how clean or brand-new the record was that he was sampling, or light the production may have been, he always gave it a really gritty feel when he sampled it. He always put the 808 to it and gave it a heavy bottom and warm feel."
In the late 1980s the Juice Crew gained increased attention from mainstream publications. Spin magazine wrote, "they've produced some of the genre's toughest, most uncompromising music." At the time Marley began a streak of producing entire albums for several Juice Crew members. He produced all of the tracks on Craig G's The Kingpin (1989), Big Daddy Kane's Long Live The Kane (1988), Biz Markie's Goin' Off (1988), Kool G Rap & DJ Polo's Road to the Riches (1989), MC Shan's Down By Law (1987) and Born to Be Wild (1988), and Roxanne Shante's Bad Sister (1989).
In 1988 he produced the Juice Crew posse cut "The Symphony" by using a Hal Jackson record from the WBLS record library as a sample source.
Post Juice Crew and Cold Chillin'
In 1996, Marley filed a suit against Cold Chillin' for unpaid royalties.
In 2007 he produced the entire Hip Hop Lives album for former rival KRS-One.
Discography
Studio albums
In Control, Volume 1 (1988)
In Control, Volume 2: For Your Steering Pleasure (1991)
Hip-Hop Dictionary (2000)
Re-Entry (2001)
Collaboration albums
Hip-Hop Lives (with KRS-One) (2007)
Operation Take Back Hip-Hop (with Craig G) (2008)
Compilations
House of Hits (1995)
Best of Cold Chillin''' (2001)
Marley Marl's House of Hits (released 2007)
Hip Hop's Hero w/ Nikal Fieldz'' (released 2010)
Popular culture
Marl was referenced on Biggie Smalls' track "Juicy" as being one of Smalls' early influences.
References
External links
[ Allmusic biography]
Facebook page
1962 births
Living people
African-American male rappers
Rappers from New York City
People from Long Island City, Queens
American hip hop record producers
Cold Chillin' Records artists
African-American record producers
American hip hop DJs
East Coast hip hop musicians
21st-century American rappers
Record producers from New York (state)
21st-century American male musicians
21st-century African-American musicians
20th-century African-American people
Juice Crew members |
19042 | https://en.wikipedia.org/wiki/Metal | Metal | A metal (from Greek μέταλλον métallon, "mine, quarry, metal") is a material that, when freshly prepared, polished, or fractured, shows a lustrous appearance, and conducts electricity and heat relatively well. Metals are typically malleable (they can be hammered into thin sheets) or ductile (can be drawn into wires). A metal may be a chemical element such as iron; an alloy such as stainless steel; or a molecular compound such as polymeric sulfur nitride.
In physics, a metal is generally regarded as any substance capable of conducting electricity at a temperature of absolute zero. Many elements and compounds that are not normally classified as metals become metallic under high pressures. For example, the nonmetal iodine gradually becomes a metal at a pressure of between 40 and 170 thousand times atmospheric pressure. Equally, some materials regarded as metals can become nonmetals. Sodium, for example, becomes a nonmetal at pressure of just under two million times atmospheric pressure.
In chemistry, two elements that would otherwise qualify (in physics) as brittle metals—arsenic and antimony—are commonly instead recognised as metalloids due to their chemistry (predominantly non-metallic for arsenic, and balanced between metallicity and nonmetallicity for antimony). Around 95 of the 118 elements in the periodic table are metals (or are likely to be such). The number is inexact as the boundaries between metals, nonmetals, and metalloids fluctuate slightly due to a lack of universally accepted definitions of the categories involved.
In astrophysics the term "metal" is cast more widely to refer to all chemical elements in a star that are heavier than helium, and not just traditional metals. In this sense the first four "metals" collecting in stellar cores through nucleosynthesis are carbon, nitrogen, oxygen, and neon, all of which are strictly non-metals in chemistry. A star fuses lighter atoms, mostly hydrogen and helium, into heavier atoms over its lifetime. Used in that sense, the metallicity of an astronomical object is the proportion of its matter made up of the heavier chemical elements.
Metals, as chemical elements, comprise 25% of the Earth's crust and are present in many aspects of modern life. The strength and resilience of some metals has led to their frequent use in, for example, high-rise building and bridge construction, as well as most vehicles, many home appliances, tools, pipes, and railroad tracks. Precious metals were historically used as coinage, but in the modern era, coinage metals have extended to at least 23 of the chemical elements.
The history of refined metals is thought to begin with the use of copper about 11,000 years ago. Gold, silver, iron (as meteoric iron), lead, and brass were likewise in use before the first known appearance of bronze in the 5th millennium BCE. Subsequent developments include the production of early forms of steel; the discovery of sodium—the first light metal—in 1809; the rise of modern alloy steels; and, since the end of World War II, the development of more sophisticated alloys.
Properties
Form and structure
Metals are shiny and lustrous, at least when freshly prepared, polished, or fractured. Sheets of metal thicker than a few micrometres appear opaque, but gold leaf transmits green light.
The solid or liquid state of metals largely originates in the capacity of the metal atoms involved to readily lose their outer shell electrons. Broadly, the forces holding an individual atom's outer shell electrons in place are weaker than the attractive forces on the same electrons arising from interactions between the atoms in the solid or liquid metal. The electrons involved become delocalised and the atomic structure of a metal can effectively be visualised as a collection of atoms embedded in a cloud of relatively mobile electrons. This type of interaction is called a metallic bond. The strength of metallic bonds for different elemental metals reaches a maximum around the center of the transition metal series, as these elements have large numbers of delocalized electrons.
Although most elemental metals have higher densities than most nonmetals, there is a wide variation in their densities, lithium being the least dense (0.534 g/cm3) and osmium (22.59 g/cm3) the most dense. Magnesium, aluminum and titanium are light metals of significant commercial importance. Their respective densities of 1.7, 2.7, and 4.5 g/cm3 can be compared to those of the older structural metals, like iron at 7.9 and copper at 8.9 g/cm3. An iron ball would thus weigh about as much as three aluminum balls of equal volume.
Metals are typically malleable and ductile, deforming under stress without cleaving. The nondirectional nature of metallic bonding is thought to contribute significantly to the ductility of most metallic solids. In contrast, in an ionic compound like table salt, when the planes of an ionic bond slide past one another, the resultant change in location shifts ions of the same charge into close proximity, resulting in the cleavage of the crystal. Such a shift is not observed in a covalently bonded crystal, such as a diamond, where fracture and crystal fragmentation occurs. Reversible elastic deformation in metals can be described by Hooke's Law for restoring forces, where the stress is linearly proportional to the strain.
Heat or forces larger than a metal's elastic limit may cause a permanent (irreversible) deformation, known as plastic deformation or plasticity. An applied force may be a tensile (pulling) force, a compressive (pushing) force, or a shear, bending, or torsion (twisting) force. A temperature change may affect the movement or displacement of structural defects in the metal such as grain boundaries, point vacancies, line and screw dislocations, stacking faults and twins in both crystalline and non-crystalline metals. Internal slip, creep, and metal fatigue may ensue.
The atoms of metallic substances are typically arranged in one of three common crystal structures, namely body-centered cubic (bcc), face-centered cubic (fcc), and hexagonal close-packed (hcp). In bcc, each atom is positioned at the center of a cube of eight others. In fcc and hcp, each atom is surrounded by twelve others, but the stacking of the layers differs. Some metals adopt different structures depending on the temperature.
The unit cell for each crystal structure is the smallest group of atoms which has the overall symmetry of the crystal, and from which the entire crystalline lattice can be built up by repetition in three dimensions. In the case of the body-centered cubic crystal structure shown above, the unit cell is made up of the central atom plus one-eight of each of the eight corner atoms.
Electrical and thermal
The electronic structure of metals means they are relatively good conductors of electricity. Electrons in matter can only have fixed rather than variable energy levels, and in a metal the energy levels of the electrons in its electron cloud, at least to some degree, correspond to the energy levels at which electrical conduction can occur. In a semiconductor like silicon or a nonmetal like sulfur there is an energy gap between the electrons in the substance and the energy level at which electrical conduction can occur. Consequently, semiconductors and nonmetals are relatively poor conductors.
The elemental metals have electrical conductivity values of from 6.9 × 103 S/cm for manganese to 6.3 × 105 S/cm for silver. In contrast, a semiconducting metalloid such as boron has an electrical conductivity 1.5 × 10−6 S/cm. With one exception, metallic elements reduce their electrical conductivity when heated. Plutonium increases its electrical conductivity when heated in the temperature range of around −175 to +125 °C.
Metals are relatively good conductors of heat. The electrons in a metal's electron cloud are highly mobile and easily able to pass on heat-induced vibrational energy.
The contribution of a metal's electrons to its heat capacity and thermal conductivity, and the electrical conductivity of the metal itself can be calculated from the free electron model. However, this does not take into account the detailed structure of the metal's ion lattice. Taking into account the positive potential caused by the arrangement of the ion cores enables consideration of the electronic band structure and binding energy of a metal. Various mathematical models are applicable, the simplest being the nearly free electron model.
Chemical
Metals are usually inclined to form cations through electron loss. Most will react with oxygen in the air to form oxides over various timescales (potassium burns in seconds while iron rusts over years). Some others, like palladium, platinum, and gold, do not react with the atmosphere at all. The oxides of metals are generally basic, as opposed to those of nonmetals, which are acidic or neutral. Exceptions are largely oxides with very high oxidation states such as CrO3, Mn2O7, and OsO4, which have strictly acidic reactions.
Painting, anodizing, or plating metals are good ways to prevent their corrosion. However, a more reactive metal in the electrochemical series must be chosen for coating, especially when chipping of the coating is expected. Water and the two metals form an electrochemical cell and, if the coating is less reactive than the underlying metal, the coating actually promotes corrosion.
Periodic table distribution
In chemistry, the elements which are usually considered to be metals under ordinary conditions are shown in yellow on the periodic table below. The remaining elements are either metalloids (B, Si, Ge, As, Sb, and Te being commonly recognised as such) or nonmetals. Astatine (At) is usually classified as either a nonmetal or a metalloid, but some predictions expect it to be a metal; as such, it has been left blank due to the inconclusive state of the experimental knowledge. The other elements shown as having unknown properties are likely to be metals, but there is some doubt for copernicium (Cn) and oganesson (Og).
Alloys
An alloy is a substance having metallic properties and which is composed of two or more elements at least one of which is a metal. An alloy may have a variable or fixed composition. For example, gold and silver form an alloy in which the proportions of gold or silver can be freely adjusted; titanium and silicon form an alloy Ti2Si in which the ratio of the two components is fixed (also known as an intermetallic compound).
Most pure metals are either too soft, brittle, or chemically reactive for practical use. Combining different ratios of metals as alloys modifies the properties of pure metals to produce desirable characteristics. The aim of making alloys is generally to make them less brittle, harder, resistant to corrosion, or have a more desirable color and luster. Of all the metallic alloys in use today, the alloys of iron (steel, stainless steel, cast iron, tool steel, alloy steel) make up the largest proportion both by quantity and commercial value. Iron alloyed with various proportions of carbon gives low-, mid-, and high-carbon steels, with increasing carbon levels reducing ductility and toughness. The addition of silicon will produce cast irons, while the addition of chromium, nickel, and molybdenum to carbon steels (more than 10%) results in stainless steels.
Other significant metallic alloys are those of aluminum, titanium, copper, and magnesium. Copper alloys have been known since prehistory—bronze gave the Bronze Age its name—and have many applications today, most importantly in electrical wiring. The alloys of the other three metals have been developed relatively recently; due to their chemical reactivity they require electrolytic extraction processes. The alloys of aluminum, titanium, and magnesium are valued for their high strength-to-weight ratios; magnesium can also provide electromagnetic shielding. These materials are ideal for situations where high strength-to-weight ratio is more important than material cost, such as in aerospace and some automotive applications.
Alloys specially designed for highly demanding applications, such as jet engines, may contain more than ten elements.
Categories
Metals can be categorised according to their physical or chemical properties. Categories described in the subsections below include ferrous and non-ferrous metals; brittle metals and refractory metals; white metals; heavy and light metals; and base, noble, and precious metals. The Metallic elements table in this section categorises the elemental metals on the basis of their chemical properties into alkali and alkaline earth metals; transition and post-transition metals; and lanthanides and actinides. Other categories are possible, depending on the criteria for inclusion. For example, the ferromagnetic metals—those metals that are magnetic at room temperature—are iron, cobalt, and nickel.
Ferrous and non-ferrous metals
The term "ferrous" is derived from the Latin word meaning "containing iron". This can include pure iron, such as wrought iron, or an alloy such as steel. Ferrous metals are often magnetic, but not exclusively. Non-ferrous metals and alloys lack appreciable amounts of iron.
Brittle metal
While nearly all metals are malleable or ductile, a few—beryllium, chromium, manganese, gallium, and bismuth—are brittle. Arsenic and antimony, if admitted as metals, are brittle. Low values of the ratio of bulk elastic modulus to shear modulus (Pugh's criterion) are indicative of intrinsic brittleness.
Refractory metal
In materials science, metallurgy, and engineering, a refractory metal is a metal that is extraordinarily resistant to heat and wear. Which metals belong to this category varies; the most common definition includes niobium, molybdenum, tantalum, tungsten, and rhenium. They all have melting points above 2000 °C, and a high hardness at room temperature.
White metal
A white metal is any of range of white-coloured metals (or their alloys) with relatively low melting points. Such metals include zinc, cadmium, tin, antimony (here counted as a metal), lead, and bismuth, some of which are quite toxic. In Britain, the fine art trade uses the term "white metal" in auction catalogues to describe foreign silver items which do not carry British Assay Office marks, but which are nonetheless understood to be silver and are priced accordingly.
Heavy and light metals
A heavy metal is any relatively dense metal or metalloid. More specific definitions have been proposed, but none have obtained widespread acceptance. Some heavy metals have niche uses, or are notably toxic; some are essential in trace amounts. All other metals are light metals.
Base, noble, and precious metals
In chemistry, the term base metal is used informally to refer to a metal that is easily oxidized or corroded, such as reacting easily with dilute hydrochloric acid (HCl) to form a metal chloride and hydrogen. Examples include iron, nickel, lead, and zinc. Copper is considered a base metal as it is oxidized relatively easily, although it does not react with HCl.
The term noble metal is commonly used in opposition to base metal. Noble metals are resistant to corrosion or oxidation, unlike most base metals. They tend to be precious metals, often due to perceived rarity. Examples include gold, platinum, silver, rhodium, iridium, and palladium.
In alchemy and numismatics, the term base metal is contrasted with precious metal, that is, those of high economic value.
A longtime goal of the alchemists was the transmutation of base metals into precious metals including such coinage metals as silver and gold. Most coins today are made of base metals with low intrinsic value; in the past, coins frequently derived their value primarily from their precious metal content.
Chemically, the precious metals (like the noble metals) are less reactive than most elements, have high luster and high electrical conductivity. Historically, precious metals were important as currency, but are now regarded mainly as investment and industrial commodities. Gold, silver, platinum, and palladium each have an ISO 4217 currency code. The best-known precious metals are gold and silver. While both have industrial uses, they are better known for their uses in art, jewelry, and coinage. Other precious metals include the platinum group metals: ruthenium, rhodium, palladium, osmium, iridium, and platinum, of which platinum is the most widely traded.
The demand for precious metals is driven not only by their practical use, but also by their role as investments and a store of value. Palladium and platinum, as of fall 2018, were valued at about three quarters the price of gold. Silver is substantially less expensive than these metals, but is often traditionally considered a precious metal in light of its role in coinage and jewelry.
Valve metals
In electrochemistry, a valve metal is a metal which passes current in only one direction.
Lifecycle
Formation
This sub-section deals with the formation of periodic table elemental metals since these form the basis of metallic materials, as defined in this article.
Metals up to the vicinity of iron (in the periodic table) are largely made via stellar nucleosynthesis. In this process, lighter elements from hydrogen to silicon undergo successive fusion reactions inside stars, releasing light and heat and forming heavier elements with higher atomic numbers.
Heavier metals are not usually formed this way since fusion reactions involving such nuclei would consume rather than release energy. Rather, they are largely synthesised (from elements with a lower atomic number) by neutron capture, with the two main modes of this repetitive capture being the s-process and the r-process. In the s-process ("s" stands for "slow"), singular captures are separated by years or decades, allowing the less stable nuclei to beta decay, while in the r-process ("rapid"), captures happen faster than nuclei can decay. Therefore, the s-process takes a more-or-less clear path: for example, stable cadmium-110 nuclei are successively bombarded by free neutrons inside a star until they form cadmium-115 nuclei which are unstable and decay to form indium-115 (which is nearly stable, with a half-life times the age of the universe). These nuclei capture neutrons and form indium-116, which is unstable, and decays to form tin-116, and so on. In contrast, there is no such path in the r-process. The s-process stops at bismuth due to the short half-lives of the next two elements, polonium and astatine, which decay to bismuth or lead. The r-process is so fast it can skip this zone of instability and go on to create heavier elements such as thorium and uranium.
Metals condense in planets as a result of stellar evolution and destruction processes. Stars lose much of their mass when it is ejected late in their lifetimes, and sometimes thereafter as a result of a neutron star merger, thereby increasing the abundance of elements heavier than helium in the interstellar medium. When gravitational attraction causes this matter to coalesce and collapse new stars and planets are formed.
Abundance and occurrence
The Earth's crust is made of approximately 25% of metals by weight, of which 80% are light metals such as sodium, magnesium, and aluminum. Nonmetals (~75%) make up the rest of the crust. Despite the overall scarcity of some heavier metals such as copper, they can become concentrated in economically extractable quantities as a result of mountain building, erosion, or other geological processes.
Metals are primarily found as lithophiles (rock-loving) or chalcophiles (ore-loving). Lithophile metals are mainly the s-block elements, the more reactive of the d-block elements, and the f-block elements. They have a strong affinity for oxygen and mostly exist as relatively low-density silicate minerals. Chalcophile metals are mainly the less reactive d-block elements, and the period 4–6 p-block metals. They are usually found in (insoluble) sulfide minerals. Being denser than the lithophiles, hence sinking lower into the crust at the time of its solidification, the chalcophiles tend to be less abundant than the lithophiles.
On the other hand, gold is a siderophile, or iron-loving element. It does not readily form compounds with either oxygen or sulfur. At the time of the Earth's formation, and as the most noble (inert) of metals, gold sank into the core due to its tendency to form high-density metallic alloys. Consequently, it is a relatively rare metal. Some other (less) noble metals—molybdenum, rhenium, the platinum group metals (ruthenium, rhodium, palladium, osmium, iridium, and platinum), germanium, and tin—can be counted as siderophiles but only in terms of their primary occurrence in the Earth (core, mantle, and crust), rather the crust. These metals otherwise occur in the crust, in small quantities, chiefly as chalcophiles (less so in their native form).
The rotating fluid outer core of the Earth's interior, which is composed mostly of iron, is thought to be the source of Earth's protective magnetic field. The core lies above Earth's solid inner core and below its mantle. If it could be rearranged into a column having a footprint it would have a height of nearly 700 light years. The magnetic field shields the Earth from the charged particles of the solar wind, and cosmic rays that would otherwise strip away the upper atmosphere (including the ozone layer that limits the transmission of ultraviolet radiation).
Extraction
Metals are often extracted from the Earth by means of mining ores that are rich sources of the requisite elements, such as bauxite. Ore is located by prospecting techniques, followed by the exploration and examination of deposits. Mineral sources are generally divided into surface mines, which are mined by excavation using heavy equipment, and subsurface mines. In some cases, the sale price of the metal(s) involved make it economically feasible to mine lower concentration sources.
Once the ore is mined, the metals must be extracted, usually by chemical or electrolytic reduction. Pyrometallurgy uses high temperatures to convert ore into raw metals, while hydrometallurgy employs aqueous chemistry for the same purpose. The methods used depend on the metal and their contaminants.
When a metal ore is an ionic compound of that metal and a non-metal, the ore must usually be smelted—heated with a reducing agent—to extract the pure metal. Many common metals, such as iron, are smelted using carbon as a reducing agent. Some metals, such as aluminum and sodium, have no commercially practical reducing agent, and are extracted using electrolysis instead.
Sulfide ores are not reduced directly to the metal but are roasted in air to convert them to oxides.
Uses
Metals are present in nearly all aspects of modern life. Iron, a heavy metal, may be the most common as it accounts for 90% of all refined metals; aluminum, a light metal, is the next most commonly refined metal. Pure iron may be the cheapest metallic element of all at cost of about US$0.07 per gram. Its ores are widespread; it is easy to refine; and the technology involved has been developed over hundreds of years. Cast iron is even cheaper, at a fraction of US$0.01 per gram, because there is no need for subsequent purification. Platinum, at a cost of about $27 per gram, may be the most ubiquitous given its very high melting point, resistance to corrosion, electrical conductivity, and durability. It is said to be found in, or used to produce, 20% of all consumer goods. Polonium is likely to be the most expensive metal, at a notional cost of about $100,000,000 per gram, due to its scarcity and micro-scale production.
Some metals and metal alloys possess high structural strength per unit mass, making them useful materials for carrying large loads or resisting impact damage. Metal alloys can be engineered to have high resistance to shear, torque, and deformation. However the same metal can also be vulnerable to fatigue damage through repeated use or from sudden stress failure when a load capacity is exceeded. The strength and resilience of metals has led to their frequent use in high-rise building and bridge construction, as well as most vehicles, many appliances, tools, pipes, and railroad tracks.
Metals are good conductors, making them valuable in electrical appliances and for carrying an electric current over a distance with little energy lost. Electrical power grids rely on metal cables to distribute electricity. Home electrical systems, for the most part, are wired with copper wire for its good conducting properties.
The thermal conductivity of metals is useful for containers to heat materials over a flame. Metals are also used for heat sinks to protect sensitive equipment from overheating.
The high reflectivity of some metals enables their use in mirrors, including precision astronomical instruments, and adds to the aesthetics of metallic jewelry.
Some metals have specialized uses; mercury is a liquid at room temperature and is used in switches to complete a circuit when it flows over the switch contacts. Radioactive metals such as uranium and plutonium are fuel for nuclear power plants, which produce energy via nuclear fission. Shape-memory alloys are used for applications such as pipes, fasteners, and vascular stents.
Metals can be doped with foreign molecules—organic, inorganic, biological, and polymers. This doping entails the metal with new properties that are induced by the guest molecules. Applications in catalysis, medicine, electrochemical cells, corrosion and more have been developed.
Recycling
Demand for metals is closely linked to economic growth given their use in infrastructure, construction, manufacturing, and consumer goods. During the 20th century, the variety of metals used in society grew rapidly. Today, the development of major nations, such as China and India, and technological advances, are fuelling ever more demand. The result is that mining activities are expanding, and more and more of the world's metal stocks are above ground in use, rather than below ground as unused reserves. An example is the in-use stock of copper. Between 1932 and 1999, copper in use in the U.S. rose from 73 g to 238 g per person.
Metals are inherently recyclable, so in principle, can be used over and over again, minimizing these negative environmental impacts and saving energy. For example, 95% of the energy used to make aluminum from bauxite ore is saved by using recycled material.
Globally, metal recycling is generally low. In 2010, the International Resource Panel, hosted by the United Nations Environment Programme published reports on metal stocks that exist within society and their recycling rates. The authors of the report observed that the metal stocks in society can serve as huge mines above ground. They warned that the recycling rates of some rare metals used in applications such as mobile phones, battery packs for hybrid cars and fuel cells are so low that unless future end-of-life recycling rates are dramatically stepped up these critical metals will become unavailable for use in modern technology.
Biological interactions
The role of metallic elements in the evolution of cell biochemistry has been reviewed, including a detailed section on the role of calcium in redox enzymes.
One or more of the elements iron, cobalt, nickel, copper, and zinc are essential to all higher forms of life. Molybdenum is an essential component of vitamin B12. Compounds of all other transition elements and post-transition elements are toxic to a greater or lesser extent, with few exceptions such as certain compounds of antimony and tin. Potential sources of metal poisoning include mining, tailings, industrial wastes, agricultural runoff, occupational exposure, paints, and treated timber.
History
Prehistory
Copper, which occurs in native form, may have been the first metal discovered given its distinctive appearance, heaviness, and malleability compared to other stones or pebbles. Gold, silver, and iron (as meteoric iron), and lead were likewise discovered in prehistory. Forms of brass, an alloy of copper and zinc made by concurrently smelting the ores of these metals, originate from this period (although pure zinc was not isolated until the 13th century). The malleability of the solid metals led to the first attempts to craft metal ornaments, tools, and weapons. Meteoric iron containing nickel was discovered from time to time and, in some respects this was superior to any industrial steel manufactured up to the 1880s when alloy steels become prominent.
Antiquity
The discovery of bronze (an alloy of copper with arsenic or tin) enabled people to create metal objects which were harder and more durable than previously possible. Bronze tools, weapons, armor, and building materials such as decorative tiles were harder and more durable than their stone and copper ("Chalcolithic") predecessors. Initially, bronze was made of copper and arsenic (forming arsenic bronze) by smelting naturally or artificially mixed ores of copper and arsenic. The earliest artifacts so far known come from the Iranian plateau in the 5th millennium BCE. It was only later that tin was used, becoming the major non-copper ingredient of bronze in the late 3rd millennium BCE. Pure tin itself was first isolated in 1800 BCE by Chinese and Japanese metalworkers.
Mercury was known to ancient Chinese and Indians before 2000 BCE, and found in Egyptian tombs dating from 1500 BCE.
The earliest known production of steel, an iron-carbon alloy, is seen in pieces of ironware excavated from an archaeological site in Anatolia (Kaman-Kalehöyük) and are nearly 4,000 years old, dating from 1800 BCE.
From about 500 BCE sword-makers of Toledo, Spain, were making early forms of alloy steel by adding a mineral called wolframite, which contained tungsten and manganese, to iron ore (and carbon). The resulting Toledo steel came to the attention of Rome when used by Hannibal in the Punic Wars. It soon became the basis for the weaponry of Roman legions; their swords were said to have been "so keen that there is no helmet which cannot be cut through by them."
In pre-Columbian America, objects made of tumbaga, an alloy of copper and gold, started being produced in Panama and Costa Rica between 300 and 500 CE. Small metal sculptures were common and an extensive range of tumbaga (and gold) ornaments comprised the usual regalia of persons of high status.
At around the same time indigenous Ecuadorians were combining gold with a naturally-occurring platinum alloy containing small amounts of palladium, rhodium, and iridium, to produce miniatures and masks composed of a white gold-platinum alloy. The metal workers involved heated gold with grains of the platinum alloy until the gold melted at which point the platinum group metals became bound within the gold. After cooling, the resulting conglomeration was hammered and reheated repeatedly until it became as homogenous as if all of the metals concerned had been melted together (attaining the melting points of the platinum group metals concerned was beyond the technology of the day).
Middle Ages
Arabic and medieval alchemists believed that all metals and matter were composed of the principle of sulfur, the father of all metals and carrying the combustible property, and the principle of mercury, the mother of all metals and carrier of the liquidity, fusibility, and volatility properties. These principles were not necessarily the common substances sulfur and mercury found in most laboratories. This theory reinforced the belief that all metals were destined to become gold in the bowels of the earth through the proper combinations of heat, digestion, time, and elimination of contaminants, all of which could be developed and hastened through the knowledge and methods of alchemy.
Arsenic, zinc, antimony, and bismuth became known, although these were at first called semimetals or bastard metals on account of their immalleability. All four may have been used incidentally in earlier times without recognising their nature. Albertus Magnus is believed to have been the first to isolate arsenic from a compound in 1250, by heating soap together with arsenic trisulfide. Metallic zinc, which is brittle if impure, was isolated in India by 1300 AD. The first description of a procedure for isolating antimony is in the 1540 book De la pirotechnia by Vannoccio Biringuccio. Bismuth was described by Agricola in De Natura Fossilium (c. 1546); it had been confused in early times with tin and lead because of its resemblance to those elements.
The Renaissance
The first systematic text on the arts of mining and metallurgy was De la Pirotechnia (1540) by Vannoccio Biringuccio, which treats the examination, fusion, and working of metals.
Sixteen years later, Georgius Agricola published De Re Metallica in 1556, a clear and complete account of the profession of mining, metallurgy, and the accessory arts and sciences, as well as qualifying as the greatest treatise on the chemical industry through the sixteenth century.
He gave the following description of a metal in his De Natura Fossilium (1546):
Metal is a mineral body, by nature either liquid or somewhat hard. The latter may be melted by the heat of the fire, but when it has cooled down again and lost all heat, it becomes hard again and resumes its proper form. In this respect it differs from the stone which melts in the fire, for although the latter regain its hardness, yet it loses its pristine form and properties.
Traditionally there are six different kinds of metals, namely gold, silver, copper, iron, tin, and lead. There are really others, for quicksilver is a metal, although the Alchemists disagree with us on this subject, and bismuth is also. The ancient Greek writers seem to have been ignorant of bismuth, wherefore Ammonius rightly states that there are many species of metals, animals, and plants which are unknown to us. Stibium when smelted in the crucible and refined has as much right to be regarded as a proper metal as is accorded to lead by writers. If when smelted, a certain portion be added to tin, a bookseller's alloy is produced from which the type is made that is used by those who print books on paper.
Each metal has its own form which it preserves when separated from those metals which were mixed with it. Therefore neither electrum nor Stannum [not meaning our tin] is of itself a real metal, but rather an alloy of two metals. Electrum is an alloy of gold and silver, Stannum of lead and silver. And yet if silver be parted from the electrum, then gold remains and not electrum; if silver be taken away from Stannum, then lead remains and not Stannum.
Whether brass, however, is found as a native metal or not, cannot be ascertained with any surety. We only know of the artificial brass, which consists of copper tinted with the colour of the mineral calamine. And yet if any should be dug up, it would be a proper metal. Black and white copper seem to be different from the red kind.
Metal, therefore, is by nature either solid, as I have stated, or fluid, as in the unique case of quicksilver.
But enough now concerning the simple kinds.
Platinum, the third precious metal after gold and silver, was discovered in Ecuador during the period 1736 to 1744, by the Spanish astronomer Antonio de Ulloa and his colleague the mathematician Jorge Juan y Santacilia. Ulloa was the first person to write a scientific description of the metal, in 1748.
In 1789, the German chemist Martin Heinrich Klaproth isolated an oxide of uranium, which he thought was the metal itself. Klaproth was subsequently credited as the discoverer of uranium. It was not until 1841, that the French chemist Eugène-Melchior Péligot, prepared the first sample of uranium metal. Henri Becquerel subsequently discovered radioactivity in 1896 by using uranium.
In the 1790s, Joseph Priestley and the Dutch chemist Martinus van Marum observed the transformative action of metal surfaces on the dehydrogenation of alcohol, a development which subsequently led, in 1831, to the industrial scale synthesis of sulphuric acid using a platinum catalyst.
In 1803, cerium was the first of the lanthanide metals to be discovered, in Bastnäs, Sweden by Jöns Jakob Berzelius and Wilhelm Hisinger, and independently by Martin Heinrich Klaproth in Germany. The lanthanide metals were largely regarded as oddities until the 1960s when methods were developed to more efficiently separate them from one another. They have subsequently found uses in cell phones, magnets, lasers, lighting, batteries, catalytic converters, and in other applications enabling modern technologies.
Other metals discovered and prepared during this time were cobalt, nickel, manganese, molybdenum, tungsten, and chromium; and some of the platinum group metals, palladium, osmium, iridium, and rhodium.
Light metals
All metals discovered until 1809 had relatively high densities; their heaviness was regarded as a singularly distinguishing criterion. From 1809 onward, light metals such as sodium, potassium, and strontium were isolated. Their low densities challenged conventional wisdom as to the nature of metals. They behaved chemically as metals however, and were subsequently recognised as such.
Aluminum was discovered in 1824 but it was not until 1886 that an industrial large-scale production method was developed. Prices of aluminum dropped and aluminum became widely used in jewelry, everyday items, eyeglass frames, optical instruments, tableware, and foil in the 1890s and early 20th century. Aluminum's ability to form hard yet light alloys with other metals provided the metal many uses at the time. During World War I, major governments demanded large shipments of aluminum for light strong airframes. The most common metal in use for electric power transmission today is aluminum-conductor steel-reinforced. Also seeing much use is all-aluminum-alloy conductor. Aluminum is used because it has about half the weight of a comparable resistance copper cable (though larger diameter due to lower specific conductivity), as well as being cheaper. Copper was more popular in the past and is still in use, especially at lower voltages and for grounding.
While pure metallic titanium (99.9%) was first prepared in 1910 it was not used outside the laboratory until 1932. In the 1950s and 1960s, the Soviet Union pioneered the use of titanium in military and submarine applications as part of programs related to the Cold War. Starting in the early 1950s, titanium came into use extensively in military aviation, particularly in high-performance jets, starting with aircraft such as the F-100 Super Sabre and Lockheed A-12 and SR-71.
Metallic scandium was produced for the first time in 1937. The first pound of 99% pure scandium metal was produced in 1960. Production of aluminum-scandium alloys began in 1971 following a U.S. patent. Aluminum-scandium alloys were also developed in the USSR.
The age of steel
The modern era in steelmaking began with the introduction of Henry Bessemer's Bessemer process in 1855, the raw material for which was pig iron. His method let him produce steel in large quantities cheaply, thus mild steel came to be used for most purposes for which wrought iron was formerly used. The Gilchrist-Thomas process (or basic Bessemer process) was an improvement to the Bessemer process, made by lining the converter with a basic material to remove phosphorus.
Due to its high tensile strength and low cost, steel came to be a major component used in buildings, infrastructure, tools, ships, automobiles, machines, appliances, and weapons.
In 1872, the Englishmen Clark and Woods patented an alloy that would today be considered a stainless steel. The corrosion resistance of iron-chromium alloys had been recognized in 1821 by French metallurgist Pierre Berthier. He noted their resistance against attack by some acids and suggested their use in cutlery. Metallurgists of the 19th century were unable to produce the combination of low carbon and high chromium found in most modern stainless steels, and the high-chromium alloys they could produce were too brittle to be practical. It was not until 1912 that the industrialisation of stainless steel alloys occurred in England, Germany, and the United States.
The last stable metallic elements
By 1900 three metals with atomic numbers less than lead (#82), the heaviest stable metal, remained to be discovered: elements 71, 72, 75.
Von Welsbach, in 1906, proved that the old ytterbium also contained a new element (#71), which he named cassiopeium. Urbain proved this simultaneously, but his samples were very impure and only contained trace quantities of the new element. Despite this, his chosen name lutetium was adopted.
In 1908, Ogawa found element 75 in thorianite but assigned it as element 43 instead of 75 and named it nipponium. In 1925 Walter Noddack, Ida Eva Tacke, and Otto Berg announced its separation from gadolinite and gave it the present name, rhenium.
Georges Urbain claimed to have found element 72 in rare-earth residues, while Vladimir Vernadsky independently found it in orthite. Neither claim was confirmed due to World War I, and neither could be confirmed later, as the chemistry they reported does not match that now known for hafnium. After the war, in 1922, Coster and Hevesy found it by X-ray spectroscopic analysis in Norwegian zircon. Hafnium was thus the last stable element to be discovered.
By the end of World War II scientists had synthesized four post-uranium elements, all of which are radioactive (unstable) metals: neptunium (in 1940), plutonium (1940–41), and curium and americium (1944), representing elements 93 to 96. The first two of these were eventually found in nature as well. Curium and americium were by-products of the Manhattan project, which produced the world's first atomic bomb in 1945. The bomb was based on the nuclear fission of uranium, a metal first thought to have been discovered nearly 150 years earlier.
Post-World War II developments
Superalloys
Superalloys composed of combinations of Fe, Ni, Co, and Cr, and lesser amounts of W, Mo, Ta, Nb, Ti, and Al were developed shortly after World War II for use in high performance engines, operating at elevated temperatures (above 650 °C (1,200 °F)). They retain most of their strength under these conditions, for prolonged periods, and combine good low-temperature ductility with resistance to corrosion or oxidation. Superalloys can now be found in a wide range of applications including land, maritime, and aerospace turbines, and chemical and petroleum plants.
Transcurium metals
The successful development of the atomic bomb at the end of World War II sparked further efforts to synthesize new elements, nearly all of which are, or are expected to be, metals, and all of which are radioactive. It was not until 1949 that element 97 (berkelium), next after element 96 (curium), was synthesized by firing alpha particles at an americium target. In 1952, element 100 (fermium) was found in the debris of the first hydrogen bomb explosion; hydrogen, a nonmetal, had been identified as an element nearly 200 years earlier. Since 1952, elements 101 (mendelevium) to 118 (oganesson) have been synthesized.
Bulk metallic glasses
A metallic glass (also known as an amorphous or glassy metal) is a solid metallic material, usually an alloy, with a disordered atomic-scale structure. Most pure and alloyed metals, in their solid state, have atoms arranged in a highly ordered crystalline structure. Amorphous metals have a non-crystalline glass-like structure. But unlike common glasses, such as window glass, which are typically electrical insulators, amorphous metals have good electrical conductivity. Amorphous metals are produced in several ways, including extremely rapid cooling, physical vapor deposition, solid-state reaction, ion irradiation, and mechanical alloying. The first reported metallic glass was an alloy (Au75Si25) produced at Caltech in 1960. More recently, batches of amorphous steel with three times the strength of conventional steel alloys have been produced. Currently, the most important applications rely on the special magnetic properties of some ferromagnetic metallic glasses. The low magnetization loss is used in high-efficiency transformers. Theft control ID tags and other article surveillance schemes often use metallic glasses because of these magnetic properties.
Shape-memory alloys
A shape-memory alloy (SMA) is an alloy that "remembers" its original shape and when deformed returns to its pre-deformed shape when heated. While the shape memory effect had been first observed in 1932, in an Au-Cd alloy, it was not until 1962, with the accidental discovery of the effect in a Ni-Ti alloy that research began in earnest, and another ten years before commercial applications emerged. SMA's have applications in robotics and automotive, aerospace, and biomedical industries. There is another type of SMA, called a ferromagnetic shape-memory alloy (FSMA), that changes shape under strong magnetic fields. These materials are of particular interest as the magnetic response tends to be faster and more efficient than temperature-induced responses.
Quasicyrstalline alloys
In 1984, Israeli chemist Dan Shechtman found an aluminum-manganese alloy having five-fold symmetry, in breach of crystallographic convention at the time which said that crystalline structures could only have two-, three-, four-, or six-fold symmetry. Due to fear of the scientific community's reaction, it took him two years to publish the results for which he was awarded the Nobel Prize in Chemistry in 2011. Since this time, hundreds of quasicrystals have been reported and confirmed. They exist in many metallic alloys (and some polymers). Quasicrystals are found most often in aluminum alloys (Al-Li-Cu, Al-Mn-Si, Al-Ni-Co, Al-Pd-Mn, Al-Cu-Fe, Al-Cu-V, etc.), but numerous other compositions are also known (Cd-Yb, Ti-Zr-Ni, Zn-Mg-Ho, Zn-Mg-Sc, In-Ag-Yb, Pd-U-Si, etc.). Quasicrystals effectively have infinitely large unit cells. Icosahedrite Al63Cu24Fe13, the first quasicrystal found in nature, was discovered in 2009. Most quasicrystals have ceramic-like properties including low electrical conductivity (approaching values seen in insulators) and low thermal conductivity, high hardness, brittleness, and resistance to corrosion, and non-stick properties. Quasicrystals have been used to develop heat insulation, LEDs, diesel engines, and new materials that convert heat to electricity. New applications may take advantage of the low coefficient of friction and the hardness of some quasicrystalline materials, for example embedding particles in plastic to make strong, hard-wearing, low-friction plastic gears. Other potential applications include selective solar absorbers for power conversion, broad-wavelength reflectors, and bone repair and prostheses applications where biocompatibility, low friction, and corrosion resistance are required.
Complex metallic alloys
Complex metallic alloys (CMAs) are intermetallic compounds characterized by large unit cells comprising some tens up to thousands of atoms; the presence of well-defined clusters of atoms (frequently with icosahedral symmetry); and partial disorder within their crystalline lattices. They are composed of two or more metallic elements, sometimes with metalloids or chalcogenides added. They include, for example, NaCd2, with 348 sodium atoms and 768 cadmium atoms in the unit cell. Linus Pauling attempted to describe the structure of NaCd2 in 1923, but did not succeed until 1955. At first called "giant unit cell crystals", interest in CMAs, as they came to be called, did not pick up until 2002, with the publication of a paper called "Structurally Complex Alloy Phases", given at the 8th International Conference on Quasicrystals. Potential applications of CMAs include as heat insulation; solar heating; magnetic refrigerators; using waste heat to generate electricity; and coatings for turbine blades in military engines.
High-entropy alloys
High-entropy alloys (HEAs) such as AlLiMgScTi are composed of equal or nearly equal quantities of five or more metals. Compared to conventional alloys with only one or two base metals, HEAs have considerably better strength-to-weight ratios, higher tensile strength, and greater resistance to fracturing, corrosion, and oxidation. Although HEAs were described as early as 1981, significant interest did not develop until the 2010s; they continue to be the focus of research in materials science and engineering because of their potential for desirable properties.
MAX phase alloys
In a MAX phase alloy, M is an early transition metal, A is an A group element (mostly group IIIA and IVA, or groups 13 and 14), and X is either carbon or nitrogen. Examples are Hf2SnC and Ti4AlN3. Such alloys have some of the best properties of metals and ceramics. These properties include high electrical and thermal conductivity, thermal shock resistance, damage tolerance, machinability, high elastic stiffness, and low thermal expansion coefficients.</ref> They can be polished to a metallic luster because of their excellent electrical conductivities. During mechanical testing, it has been found that polycrystalline Ti3SiC2 cylinders can be repeatedly compressed at room temperature, up to stresses of 1 GPa, and fully recover upon the removal of the load. Some MAX phases are also highly resistant to chemical attack (e.g. Ti3SiC2) and high-temperature oxidation in air (Ti2AlC, Cr2AlC2, and Ti3AlC2). Potential applications for MAX phase alloys include: as tough, machinable, thermal shock-resistant refractories; high-temperature heating elements; coatings for electrical contacts; and neutron irradiation resistant parts for nuclear applications. While MAX phase alloys were discovered in the 1960s, the first paper on the subject was not published until 1996.
See also
Colored gold
Ductility
Ferrous metallurgy
Metal theft
Metallurgy
Metalworking
Properties of metals, metalloids, and nonmetals
Structural steel
Transition metal
Notes
References
Further reading
Choptuik M. W., Lehner L. & Pretorias F. 2015, "Probing strong-field gravity through numerical simulation", in A. Ashtekar, B. K. Berger, J. Isenberg & M. MacCallum (eds), General Relativity and Gravitation: A Centennial Perspective, Cambridge University Press, Cambridge, .
Cox P. A. 1997, The elements: Their origin, abundance and distribution, Oxford University Press, Oxford,
Crow J. M. 2016, "Impossible alloys: How to make never-before-seen metals", New Scientist, 12 October
Hadhazy A. 2016, "Galactic 'Gold Mine' Explains the Origin of Nature's Heaviest Elements", Science Spotlights, 10 May 2016, accessed 11 July 2016.
Hofmann S. 2002, On Beyond Uranium: Journey to the End of the Periodic Table, Taylor & Francis, London, .
Padmanabhan T. 2001, Theoretical Astrophysics, vol. 2, Stars and Stellar Systems, Cambridge University Press, Cambridge, .
Parish R. V. 1977, The metallic elements, Longman, London,
Podosek F. A. 2011, "Noble gases", in H. D. Holland & K. K. Turekian (eds), Isotope Geochemistry: From the Treatise on Geochemistry, Elsevier, Amsterdam, pp. 467–492, .
Raymond R. 1984, Out of the fiery furnace: The impact of metals on the history of mankind, Macmillan Australia, Melbourne,
Rehder D. 2010, Chemistry in Space: From Interstellar Matter to the Origin of Life, Wiley-VCH, Weinheim, .
Russell A. M. & Lee K. L. 2005, Structure–property relations in nonferrous metals, John Wiley & Sons, Hoboken, New Jersey,
Street A. & Alexander W. 1998, Metals in the service of man, 11th ed., Penguin Books, London,
Wilson A. J. 1994, The living rock: The tory of metals since earliest times and their impact on developing civilization, Woodhead Publishing, Cambridge,
External links
ASM International (formerly the American Society for Metals)
Dirt: New Steel Alloy Shines]
The Minerals, Metals & Materials Society
[https://www.nbcnews.com/tech/innovation/strong-titanium-cheap-dirt-new-steel-alloy-shines-n301226 Strong as Titanium, Cheap as |
19045 | https://en.wikipedia.org/wiki/MIME | MIME | Multipurpose Internet Mail Extensions (MIME) is an Internet standard that extends the format of email messages to support text in character sets other than ASCII, as well as attachments of audio, video, images, and application programs. Message bodies may consist of multiple parts, and header information may be specified in non-ASCII character sets. Email messages with MIME formatting are typically transmitted with standard protocols, such as the Simple Mail Transfer Protocol (SMTP), the Post Office Protocol (POP), and the Internet Message Access Protocol (IMAP).
The MIME standard is specified in a series of requests for comments: ,
,
,
,
and
. The integration with SMTP email is specified in
and
.
Although the MIME formalism was designed mainly for SMTP, its content types are also important in other communication protocols. In the HyperText Transfer Protocol (HTTP) for the World Wide Web, servers insert a MIME header field at the beginning of any Web transmission. Clients use the content type or media type header to select an appropriate viewer application for the type of data indicated.
History
MIME originated from the Andrew Messaging System, which was part of Andrew Project developed at Carnegie Mellon University (CMU), as a cross-platform alternative to the Andrew-specific data format.
MIME header fields
MIME-Version
The presence of this header field indicates the message is MIME-formatted. The value is typically "1.0". The field appears as follows:
MIME-Version: 1.0
According to MIME co-creator Nathaniel Borenstein, the version number was introduced to permit changes to the MIME protocol in subsequent versions. However, Borenstein admitted short-comings in the specification that hindered the implementation of this feature: "We did not adequately specify how to handle a future MIME version. ... So if you write something that knows 1.0, what should you do if you encounter 2.0 or 1.1? I sort of thought it was obvious but it turned out everyone implemented that in different ways. And the result is that it would be just about impossible for the Internet to ever define a 2.0 or a 1.1."
Content-Type
This header field indicates the media type of the message content, consisting of a type and subtype, for example
Content-Type: text/plain
Through the use of the multipart type, MIME allows mail messages to have parts arranged in a tree structure where the leaf nodes are any non-multipart content type and the non-leaf nodes are any of a variety of multipart types.
This mechanism supports:
simple text messages using text/plain (the default value for "Content-Type: ")
text plus attachments (multipart/mixed with a text/plain part and other non-text parts). A MIME message including an attached file generally indicates the file's original name with the field "Content-Disposition", so that the type of file is indicated both by the MIME content-type and the (usually OS-specific) filename extension
reply with original attached (multipart/mixed with a text/plain part and the original message as a message/rfc822 part)
alternative content, such as a message sent in both plain text and another format such as HTML (multipart/alternative with the same content in text/plain and text/html forms)
image, audio, video and application (for example, image/jpeg, audio/mp3, video/mp4, and application/msword and so on)
many other message constructs
Content-Disposition
The original MIME specifications only described the structure of mail messages. They did not address the issue of presentation styles. The content-disposition header field was added in RFC 2183 to specify the presentation style. A MIME part can have:
an inline content disposition, which means that it should be automatically displayed when the message is displayed, or
an attachment content disposition, in which case it is not displayed automatically and requires some form of action from the user to open it.
In addition to the presentation style, the field Content-Disposition also provides parameters for specifying the name of the file, the creation date and modification date, which can be used by the reader's mail user agent to store the attachment.
The following example is taken from RFC 2183, where the header field is defined:
Content-Disposition: attachment; filename=genome.jpeg;
modification-date="Wed, 12 Feb 1997 16:29:51 -0500";
The filename may be encoded as defined in RFC 2231.
As of 2010, a majority of mail user agents did not follow this prescription fully. The widely used Mozilla Thunderbird mail client ignores the content-disposition fields in the messages and uses independent algorithms for selecting the MIME parts to display automatically. Thunderbird prior to version 3 also sends out newly composed messages with inline content disposition for all MIME parts. Most users are unaware of how to set the content disposition to attachment. Many mail user agents also send messages with the file name in the name parameter of the content-type header instead of the filename parameter of the header field Content-Disposition. This practice is discouraged, as the file name should be specified either with the parameter filename, or with both the parameters filename and name.
In HTTP, the response header field Content-Disposition: attachment is usually used as a hint to the client to present the response body as a downloadable file. Typically, when receiving such a response, a Web browser prompts the user to save its content as a file, instead of displaying it as a page in a browser window, with filename suggesting the default file name.
Content-Transfer-Encoding
In June 1992, MIME (RFC 1341, since made obsolete by RFC 2045) defined a set of methods for representing binary data in formats other than ASCII text format. The content-transfer-encoding: MIME header field has 2-sided significance:
It indicates whether or not a binary-to-text encoding scheme has been used on top of the original encoding as specified within the Content-Type header:
If such a binary-to-text encoding method has been used, it states which one.
If not, it provides a descriptive label for the format of content, with respect to the presence of 8-bit or binary content.
The RFC and the IANA's list of transfer encodings define the values shown below, which are not case sensitive. Note that '7bit', '8bit', and 'binary' mean that no binary-to-text encoding on top of the original encoding was used. In these cases, the header field is actually redundant for the email client to decode the message body, but it may still be useful as an indicator of what type of object is being sent. Values 'quoted-printable' and 'base64' tell the email client that a binary-to-text encoding scheme was used and that appropriate initial decoding is necessary before the message can be read with its original encoding (e.g. UTF-8).
Suitable for use with normal SMTP:
7bit – up to 998 octets per line of the code range 1..127 with CR and LF (codes 13 and 10 respectively) only allowed to appear as part of a CRLF line ending. This is the default value.
quoted-printable – used to encode arbitrary octet sequences into a form that satisfies the rules of 7bit. Designed to be efficient and mostly human readable when used for text data consisting primarily of US-ASCII characters but also containing a small proportion of bytes with values outside that range.
base64 – used to encode arbitrary octet sequences into a form that satisfies the rules of 7bit. Designed to be efficient for non-text 8 bit and binary data. Sometimes used for text data that frequently uses non-US-ASCII characters.
Suitable for use with SMTP servers that support the 8BITMIME SMTP extension (RFC 6152):
8bit – up to 998 octets per line with CR and LF (codes 13 and 10 respectively) only allowed to appear as part of a CRLF line ending.
Suitable for use with SMTP servers that support the BINARYMIME SMTP extension (RFC 3030):
binary – any sequence of octets.
There is no encoding defined which is explicitly designed for sending arbitrary binary data through SMTP transports with the 8BITMIME extension. Thus, if BINARYMIME isn't supported, base64 or quoted-printable (with their associated inefficiency) are sometimes still useful. This restriction does not apply to other uses of MIME such as Web Services with MIME attachments or MTOM.
Encoded-Word
Since RFC 2822, conforming message header field names and values use ASCII characters; values that contain non-ASCII data should use the MIME encoded-word syntax (RFC 2047) instead of a literal string. This syntax uses a string of ASCII characters indicating both the original character encoding (the "charset") and the content-transfer-encoding used to map the bytes of the charset into ASCII characters.
The form is: "=?charset?encoding?encoded text?=".
charset may be any character set registered with IANA. Typically it would be the same charset as the message body.
encoding can be either "Q" denoting Q-encoding that is similar to the quoted-printable encoding, or "B" denoting base64 encoding.
encoded text is the Q-encoded or base64-encoded text.
An encoded-word may not be more than 75 characters long, including charset, encoding, encoded text, and delimiters. If it is desirable to encode more text than will fit in an encoded-word of 75 characters, multiple encoded-words (separated by CRLF SPACE) may be used.
Difference between Q-encoding and quoted-printable
The ASCII codes for the question mark ("?") and equals sign ("=") may not be represented directly as they are used to delimit the encoded word. The ASCII code for space may not be represented directly because it could cause older parsers to split up the encoded word undesirably. To make the encoding smaller and easier to read the underscore is used to represent the ASCII code for space creating the side effect that underscore cannot be represented directly. The use of encoded words in certain parts of header fields imposes further restrictions on which characters may be represented directly.
For example,
Subject: =?iso-8859-1?Q?=A1Hola,_se=F1or!?=
is interpreted as "Subject: ¡Hola, señor!".
The encoded-word format is not used for the names of the headers fields (for example Subject). These names are usually English terms and always in ASCII in the raw message. When viewing a message with a non-English email client, the header field names might be translated by the client.
Multipart messages
The MIME multipart message contains a boundary in the header field ; this boundary, which must not occur in any of the parts, is placed between the parts, and at the beginning and end of the body of the message, as follows:
MIME-Version: 1.0
Content-Type: multipart/mixed; boundary=frontier
This is a message with multiple parts in MIME format.
--frontier
Content-Type: text/plain
This is the body of the message.
--frontier
Content-Type: application/octet-stream
Content-Transfer-Encoding: base64
PGh0bWw+CiAgPGhlYWQ+CiAgPC9oZWFkPgogIDxib2R5PgogICAgPHA+VGhpcyBpcyB0aGUg
Ym9keSBvZiB0aGUgbWVzc2FnZS48L3A+CiAgPC9ib2R5Pgo8L2h0bWw+Cg==
--frontier--
Each part consists of its own content header (zero or more header fields) and a body. Multipart content can be nested. The of a multipart type must always be "7bit", "8bit" or "binary" to avoid the complications that would be posed by multiple levels of decoding. The multipart block as a whole does not have a charset; non-ASCII characters in the part headers are handled by the Encoded-Word system, and the part bodies can have charsets specified if appropriate for their content-type.
Notes:
Before the first boundary is an area that is ignored by MIME-compliant clients. This area is generally used to put a message to users of old non-MIME clients.
It is up to the sending mail client to choose a boundary string that doesn't clash with the body text. Typically this is done by inserting a long random string.
The last boundary must have two hyphens at the end.
Multipart subtypes
The MIME standard defines various multipart-message subtypes, which specify the nature of the message parts and their relationship to one another. The subtype is specified in the header field of the overall message. For example, a multipart MIME message using the digest subtype would have its set as "multipart/digest".
The RFC initially defined four subtypes: mixed, digest, alternative and parallel. A minimally compliant application must support mixed and digest; other subtypes are optional. Applications must treat unrecognized subtypes as "multipart/mixed". Additional subtypes, such as signed and form-data, have since been separately defined in other RFCs.
mixed
multipart/mixed is used for sending files with different header fields inline (or as attachments). If sending pictures or other easily readable files, most mail clients will display them inline (unless explicitly specified with Content-Disposition: attachment in which case offered as attachments). The default content-type for each part is "text/plain".
The type is defined in RFC 2046.
digest
multipart/digest is a simple way to send multiple text messages. The default content-type for each part is "message/rfc822".
The MIME type is defined in RFC 2046.
alternative
The multipart/alternative subtype indicates that each part is an "alternative" version of the same (or similar) content, each in a different format denoted by its "Content-Type" header. The order of the parts is significant. RFC1341 states: In general, user agents that compose multipart/alternative entities should place the body parts in increasing order of preference, that is, with the preferred format last.
Systems can then choose the "best" representation they are capable of processing; in general, this will be the last part that the system can understand, although other factors may affect this.
Since a client is unlikely to want to send a version that is less faithful than the plain text version, this structure places the plain text version (if present) first. This makes life easier for users of clients that do not understand multipart messages.
Most commonly, multipart/alternative is used for email with two parts, one plain text (text/plain) and one HTML (text/html). The plain text part provides backwards compatibility while the HTML part allows use of formatting and hyperlinks. Most email clients offer a user option to prefer plain text over HTML; this is an example of how local factors may affect how an application chooses which "best" part of the message to display.
While it is intended that each part of the message represent the same content, the standard does not require this to be enforced in any way. At one time, anti-spam filters would only examine the text/plain part of a message, because it is easier to parse than the text/html part. But spammers eventually took advantage of this, creating messages with an innocuous-looking text/plain part and advertising in the text/html part. Anti-spam software eventually caught up on this trick, penalizing messages with very different text in a multipart/alternative message.
The type is defined in RFC 2046.
related
A multipart/related is used to indicate that each message part is a component of an aggregate whole. It is for compound objects consisting of several inter-related components proper display cannot be achieved by individually displaying the constituent parts. The message consists of a root part (by default, the first) which reference other parts inline, which may in turn reference other parts. Message parts are commonly referenced by Content-ID. The syntax of a reference is unspecified and is instead dictated by the encoding or protocol used in the part.
One common usage of this subtype is to send a web page complete with images in a single message. The root part would contain the HTML document, and use image tags to reference images stored in the latter parts.
The type is defined in RFC 2387.
report
multipart/report is a message type that contains data formatted for a mail server to read. It is split between a text/plain (or some other content/type easily readable) and a message/delivery-status, which contains the data formatted for the mail server to read.
The type is defined in RFC 6522.
signed
A multipart/signed message is used to attach a digital signature to a message. It has exactly two body parts, a body part and a signature part. The whole of the body part, including mime fields, is used to create the signature part. Many signature types are possible, like "application/pgp-signature" (RFC 3156) and "application/pkcs7-signature" (S/MIME).
The type is defined in RFC 1847.
encrypted
A multipart/encrypted message has two parts. The first part has control information that is needed to decrypt the application/octet-stream second part. Similar to signed messages, there are different implementations which are
identified by their separate content types for the control part. The most common types are
"application/pgp-encrypted" (RFC 3156) and "application/pkcs7-mime" (S/MIME).
The MIME type defined in RFC 1847.
form-data
The MIME type multipart/form-data is used to express values submitted through a form. Originally defined as part of HTML 4.0, it is most commonly used for submitting files with HTTP. It is specified in RFC 7578, superseding RFC 2388. example
x-mixed-replace
The content type multipart/x-mixed-replace was developed as part of a technology to emulate server push and streaming over HTTP.
All parts of a mixed-replace message have the same semantic meaning. However, each part invalidates "replaces" the previous parts as soon as it is received completely. Clients should process the individual parts as soon as they arrive and should not wait for the whole message to finish.
Originally developed by Netscape, it is still supported by Mozilla, Firefox, Safari, and Opera. It is commonly used in IP cameras as the MIME type for MJPEG streams. It was supported by Chrome for main resources until 2013 (images can still be displayed using this content type).
byterange
The multipart/byterange is used to represent noncontiguous byte ranges of a single message, it is used by HTTP when a server returns multiple byte ranges and is defined in RFC 2616.
RFC documentation
, SMTP Service Extension for 8bit-MIMEtransport. J. Klensin, N. Freed, M. Rose, E. Stefferud, D. Crocker. February 1993.
, Security Multiparts for MIME: Multipart/Signed and Multipart/Encrypted
, MIME Security with OpenPGP
, MIME Part One: Format of Internet Message Bodies
, MIME Part Two: Media Types. N. Freed, Nathaniel Borenstein. November 1996.
, MIME Part Three: Message Header Extensions for Non-ASCII Text. Keith Moore. November 1996.
, MIME Part Four: Media Type Specifications and Registration Procedures.
, MIME Part Four: Registration Procedures. N. Freed, J. Klensin. December 2005.
, MIME Part Five: Conformance Criteria and Examples. N. Freed, N. Borenstein. November 1996.
, Communicating Presentation Information in Internet Messages: The Content-Disposition Header Field. Troost, R., Dorner, S. and K. Moore. August 1997.
, MIME Parameter Value and Encoded Word Extensions: Character Sets, Languages, and Continuations. N. Freed, K. Moore. November 1997.
, The MIME Multipart/Related Content-type
, Mechanisms for Specifying and Describing the Format of Internet Message Bodies
See also
8BITMIME
Unicode and email
Binary-to-text encoding
Direct Internet Message Encapsulation (DIME) a now superseded Microsoft-proposed protocol intended as a streamlined MIME, primarily for use in web services.
Simple Mail Transfer Protocol (SMTP)
Mailcap
mime.types
Object Linking and Embedding (OLE)
S/MIME
SOAP with Attachments
Uuencoding
VPIM
References
Further reading
External links
MIME Media Types comprising a list of directories of content types and subtypes, maintained by Internet Assigned Numbers Authority.
List of Character Sets
Properly Configuring Server MIME Types
An easy to follow description of multipart messages from MH & nmh
Free Online PHP MIME checker
Free Online MIME Email Validator |
19046 | https://en.wikipedia.org/wiki/Mehmed%20the%20Conqueror | Mehmed the Conqueror | Mehmed II (; , ; 30 March 14323 May 1481), commonly known as Mehmed the Conqueror (; ), was an Ottoman sultan who ruled from August 1444 to September 1446, and then later from February 1451 to May 1481. In Mehmed II's first reign, he defeated the crusade led by John Hunyadi after the Hungarian incursions into his country broke the conditions of the truce Peace of Szeged. When Mehmed II ascended the throne again in 1451 he strengthened the Ottoman navy and made preparations to attack Constantinople. At the age of 21, he conquered Constantinople (modern-day Istanbul) and brought an end to the Byzantine Empire.
After the conquest Mehmed claimed the title "Caesar" of the Roman Empire ( Qayser-i Rûm), based on the fact that Constantinople had been the seat and capital of the surviving Eastern Roman Empire since its consecration in 330 AD by Emperor Constantine I. The claim was only recognized by the Patriarchate of Constantinople. Nonetheless, Mehmed II viewed the Ottoman state as a continuation of the Roman Empire for the remainder of his life, seeing himself as "continuing" the Empire rather than "replacing" it.
Mehmed continued his conquests in Anatolia with its reunification and in Southeast Europe as far west as Bosnia. At home he made many political and social reforms, encouraged the arts and sciences, and by the end of his reign, his rebuilding program had changed Constantinople into a thriving imperial capital. He is considered a hero in modern-day Turkey and parts of the wider Muslim world. Among other things, Istanbul's Fatih district, Fatih Sultan Mehmet Bridge and Fatih Mosque are named after him.
Early reign
Mehmed II was born on 30 March 1432, in Edirne, then the capital city of the Ottoman state. His father was Sultan Murad II (1404–1451) and his mother Hüma Hatun, a slave of uncertain origin.
When Mehmed II was eleven years old he was sent to Amasya with his two lalas (advisors) to govern and thus gain experience, per the custom of Ottoman rulers before his time. Sultan Murad II also sent a number of teachers for him to study under. This Islamic education had a great impact in molding Mehmed's mindset and reinforcing his Muslim beliefs. He was influenced in his practice of Islamic epistemology by practitioners of science, particularly by his mentor, Molla Gürani, and he followed their approach. The influence of Akshamsaddin in Mehmed's life became predominant from a young age, especially in the imperative of fulfilling his Islamic duty to overthrow the Byzantine empire by conquering Constantinople.
After Murad II made peace with Hungary on June 12, 1444, he abdicated the throne to his 12-year-old son Mehmed II in July/August 1444.
In Mehmed II's first reign, he defeated the crusade led by John Hunyadi after the Hungarian incursions into his country broke the conditions of the truce Peace of Szeged in September 1444. Cardinal Julian Cesarini, the representative of the Pope, had convinced the king of Hungary that breaking the truce with Muslims was not a betrayal. At this time Mehmed II asked his father Murad II to reclaim the throne, but Murad II refused. According to the 17th-century chronicles, Mehmed II wrote, "If you are the sultan, come and lead your armies. If I am the sultan I hereby order you to come and lead my armies." Then, Murad II led the Ottoman army and won the Battle of Varna on 10 November 1444. Halil Inalcik states that Mehmed II did not ask for his father. Instead, it was Çandarlı Halil Pasha's effort to bring Murad II back to the throne.
In 1446 Murad II returned to throne, Mehmed II retained the title of sultan but only acted as a governor of Manisa. Following death of Murad II in 1451, Mehmed II became sultan for second time. İbrahim Bey of Karaman invaded disputed area and instigated various revolts against Ottoman rule. Mehmed II conducted first campaign against İbrahim of Karaman; Byzantines threatened to release Ottoman claimant Orhan.
Conquests
Conquest of Constantinople
When Mehmed II ascended the throne again in 1451 he devoted himself to strengthening the Ottoman navy and made preparations for an attack on Constantinople. In the narrow Bosphorus Straits, the fortress Anadoluhisarı had been built by his great-grandfather Bayezid I on the Asian side; Mehmed erected an even stronger fortress called Rumelihisarı on the European side, and thus gained complete control of the strait. Having completed his fortresses, Mehmed proceeded to levy a toll on ships passing within reach of their cannon. A Venetian vessel ignoring signals to stop was sunk with a single shot and all the surviving sailors beheaded, except for the captain, who was impaled and mounted as a human scarecrow as a warning to further sailors on the strait.
Abu Ayyub al-Ansari, the companion and standard bearer of the Islamic prophet Muhammad, had died during the first Siege of Constantinople (674–678). As Mehmed II's army approached Constantinople, Mehmed's sheikh Akshamsaddin discovered the tomb of Abu Ayyub al-Ansari. After the conquest, Mehmed built Eyüp Sultan Mosque at the site to emphasize the importance of the conquest to the Islamic world and highlight his role as ghazi.
In 1453 Mehmed commenced the siege of Constantinople with an army between 80,000 and 200,000 troops, an artillery train of over seventy large field pieces, and a navy of 320 vessels, the bulk of them transports and storeships. The city was surrounded by sea and land; the fleet at the entrance of the Bosphorus stretched from shore to shore in the form of a crescent, to intercept or repel any assistance for Constantinople from the sea. In early April, the Siege of Constantinople began. At first, the city's walls held off the Turks, even though Mehmed's army used the new bombard designed by Orban, a giant cannon similar to the Dardanelles Gun. The harbor of the Golden Horn was blocked by a boom chain and defended by twenty-eight warships.
On 22 April, Mehmed transported his lighter warships overland, around the Genoese colony of Galata, and into the Golden Horn's northern shore; eighty galleys were transported from the Bosphorus after paving a route, little over one mile, with wood. Thus the Byzantines stretched their troops over a longer portion of the walls. About a month later, Constantinople fell, on 29 May, following a fifty-seven-day siege. After this conquest, Mehmed moved the Ottoman capital from Adrianople to Constantinople.
When Sultan Mehmed II stepped into the ruins of the Boukoleon, known to the Ottomans and Persians as the Palace of the Caesars, probably built over a thousand years before by Theodosius II, he uttered the famous lines of Saadi:
Some Muslim scholars claimed that a hadith in Musnad Ahmad referred specifically to Mehmed's conquest of Constantinople, seeing it as the fulfillment of a prophecy and a sign of the approaching apocalypse.
After the conquest of Constantinople, Mehmed claimed the title of caesar of the Roman Empire (Qayser-i Rûm), based on the assertion that Constantinople had been the seat and capital of the Roman Empire since 330 AD, and whoever possessed the Imperial capital was the ruler of the Empire. The contemporary scholar George of Trebizond supported his claim. The claim was not recognized by the Catholic Church and most of, if not all, Western Europe, but was recognized by the Eastern Orthodox Church. Mehmed had installed Gennadius Scholarius, a staunch antagonist of the West, as the ecumenical patriarch of Constantinople with all the ceremonial elements, ethnarch (or milletbashi) status and rights of property that made him the second largest landlord in the said empire by the sultan himself in 1454, and in turn Gennadius II recognized Mehmed the Conqueror as successor to the throne.
Emperor Constantine XI Palaiologos died without producing an heir, and had Constantinople not fallen to the Ottomans he likely would have been succeeded by the sons of his deceased elder brother. Those children were taken into the palace service of Mehmed after the fall of Constantinople. The oldest boy, renamed Has Murad, became a personal favorite of Mehmed and served as beylerbey of the Balkans. The younger son, renamed Mesih Pasha, became admiral of the Ottoman fleet and sanjak-bey of the Gallipoli. He eventually served twice as Grand Vizier under Mehmed's son, Bayezid II.
After the fall of Constantinople, Mehmed would also go on to conquer the Despotate of Morea in the Peloponnese in 1460, and the Empire of Trebizond in northeastern Anatolia in 1461. The last two vestiges of Byzantine rule were thus absorbed by the Ottoman Empire. The conquest of Constantinople bestowed immense glory and prestige on the country. There is some historical evidence that, 10 years after the conquest of Constantinople, Mehmed II visited the site of Troy and boasted that he had avenged the Trojans by conquering the Greeks (Byzantines).
Conquest of Serbia (1454–1459)
Mehmed II's first campaigns after Constantinople were in the direction of Serbia, which had been an Ottoman vassal state since the Battle of Kosovo in 1389. The Ottoman ruler had a connection with the Serbian Despotate – one of Murad II's wives was Mara Branković – and he used that fact to claim some Serbian islands. That Đurađ Branković had recently made an alliance with the Hungarians, and had paid the tribute irregularly, may have been important considerations. When Serbia refused these demands, the Ottoman army set out from Edirne towards Serbia in 1454. Smederevo was besieged, as was Novo Brdo, the most important Serbian metal mining and smelting center. Ottomans and Hungarians fought during the years till 1456.
The Ottoman army advanced as far as Belgrade, where it attempted but failed to conquer the city from John Hunyadi at the Siege of Belgrade, on 14 July 1456. A period of relative peace ensued in the region until the Fall of Belgrade in 1521, during the reign of Mehmed's great-grandson, known as Sultan Suleiman the Magnificent. The sultan retreated to Edirne, and Đurađ Branković regained possession of some parts of Serbia. Before the end of the year, however, the 79-year-old Branković died. Serbian independence survived him for only two years, when the Ottoman Empire formally annexed his lands following dissension among his widow and three remaining sons. Lazar, the youngest, poisoned his mother and exiled his brothers, but he died soon afterwards. In the continuing turmoil the oldest brother Stefan Branković gained the throne but was ousted in March 1459. After that the Serbian throne was offered to Stephen Tomašević, the future king of Bosnia, which infuriated Sultan Mehmed. He sent his army, which captured Smederevo in June 1459, ending the existence of the Serbian Despotate.
Conquest of Morea (1458–1460)
The Despotate of the Morea bordered the southern Ottoman Balkans. The Ottomans had already invaded the region under Murad II, destroying the Byzantine defenses – the Hexamilion wall – at the Isthmus of Corinth in 1446. Before the final siege of Constantinople Mehmed ordered Ottoman troops to attack the Morea. The despots, Demetrios Palaiologos and Thomas Palaiologos, brothers of the last emperor, failed to send any aid. Their own incompetence resulted in an Albanian-Greek revolt against them, during which they invited in Ottoman troops to help put down the revolt. At this time, a number of influential Moreote Greeks and Albanians made private peace with Mehmed. After more years of incompetent rule by the despots, their failure to pay their annual tribute to the Sultan, and finally their own revolt against Ottoman rule, Mehmed entered the Morea in May 1460. The capital Mistra fell exactly seven years after Constantinople, on 29 May 1460. Demetrios ended up a prisoner of the Ottomans and his younger brother Thomas fled. By the end of the summer, the Ottomans had achieved the submission of virtually all cities possessed by the Greeks.
A few holdouts remained for a time. The island of Monemvasia refused to surrender, and it was ruled for a brief time by a Catalan corsair. When the population drove him out they obtained the consent of Thomas to submit to the Pope's protection before the end of 1460. The Mani Peninsula, on the Morea's south end, resisted under a loose coalition of local clans, and the area then came under the rule of Venice. The last holdout was Salmeniko, in the Morea's northwest. Graitzas Palaiologos was the military commander there, stationed at Salmeniko Castle (also known as Castle Orgia). While the town eventually surrendered, Graitzas and his garrison and some town residents held out in the castle until July 1461, when they escaped and reached Venetian territory.
Conquest of Trebizond (1460–1461)
Emperors of Trebizond formed alliances through royal marriages with various Muslim rulers. Emperor John IV of Trebizond married his daughter to the son of his brother-in-law, Uzun Hasan, khan of the Ak Koyunlu, in return for his promise to defend Trebizond. He also secured promises of support from the Turkish beys of Sinope and Karamania, and from the king and princes of Georgia. The Ottomans were motivated to capture Trebizond or to get an annual tribute. In the time of Murad II they first attempted to take the capital by sea in 1442, but high surf made the landings difficult and the attempt was repulsed. While Mehmed II was away laying siege to Belgrade in 1456, the Ottoman governor of Amasya attacked Trebizond, and although he was defeated, he took many prisoners and extracted a heavy tribute.
After John's death in 1459, his brother David came to power and intrigued with various European powers for help against the Ottomans, speaking of wild schemes that included the conquest of Jerusalem. Mehmed II eventually heard of these intrigues and was further provoked to action by David's demand that Mehmed remit the tribute imposed on his brother.
Mehmed the Conqueror's response came in the summer of 1461. He led a sizable army from Bursa by land and the Ottoman navy by sea, first to Sinope, joining forces with Ismail's brother Ahmed (the Red). He captured Sinope and ended the official reign of the Jandarid dynasty, although he appointed Ahmed as the governor of Kastamonu and Sinope, only to revoke the appointment the same year. Various other members of the Jandarid dynasty were offered important functions throughout the history of the Ottoman Empire. During the march to Trebizond, Uzun Hasan sent his mother Sara Khatun as an ambassador; while they were climbing the steep heights of Zigana on foot, she asked Sultan Mehmed why he was undergoing such hardship for the sake of Trebizond. Mehmed replied:
Having isolated Trebizond, Mehmed quickly swept down upon it before the inhabitants knew he was coming, and he placed it under siege. The city held out for a month before the emperor David surrendered on 15 August 1461.
Submission of Wallachia (1459–1462)
The Ottomans since the early 15th century tried to bring Wallachia () under their control by putting their own candidate on the throne, but each attempt ended in failure. The Ottomans regarded Wallachia as a buffer zone between them and the Kingdom of Hungary and for a yearly tribute did not meddle in their internal affairs. The two primary Balkan powers, Hungary and the Ottomans, maintained an enduring struggle to make Wallachia their own vassal. To prevent Wallachia from falling into the Hungarian fold, the Ottomans freed young Vlad III (Dracula), who had spent four years as a prisoner of Murad, together with his brother Radu, so that Vlad could claim the throne of Wallachia. His rule was short-lived, however, as Hunyadi invaded Wallachia and restored his ally Vladislav II, of the Dănești clan, to the throne.
Vlad III Dracula fled to Moldavia, where he lived under the protection of his uncle, Bogdan II. In October 1451, Bogdan was assassinated and Vlad fled to Hungary. Impressed by Vlad's vast knowledge of the mindset and inner workings of the Ottoman Empire, as well as his hatred towards the Turks and new Sultan Mehmed II, Hunyadi reconciled with his former enemy and tried to make Vlad III his own adviser, but Vlad refused.
In 1456, three years after the Ottomans had conquered Constantinople, they threatened Hungary by besieging Belgrade. Hunyadi began a concerted counter-attack in Serbia: while he himself moved into Serbia and relieved the siege (before dying of the plague), Vlad III Dracula led his own contingent into Wallachia, reconquered his native land, and killed Vladislav II.
In 1459, Mehmed II sent envoys to Vlad to urge him to pay a delayed tribute of 10,000 ducats and 500 recruits into the Ottoman forces. Vlad III Dracula refused and had the Ottoman envoys killed by nailing their turbans to their heads, on the pretext that they had refused to raise their "hats" to him, as they only removed their headgear before Allah.
Meanwhile, the Sultan sent the Bey of Nicopolis, Hamza Pasha, to make peace and, if necessary, eliminate Vlad III. Vlad III set an ambush; the Ottomans were surrounded and almost all of them caught and impaled, with Hamza Pasha impaled on the highest stake, as befit his rank.
In the winter of 1462, Vlad III crossed the Danube and scorched the entire Bulgarian land in the area between Serbia and the Black Sea. Allegedly disguising himself as a Turkish Sipahi and utilizing his command of the Turkish language and customs, Vlad III infiltrated Ottoman camps, ambushed, massacred or captured several Ottoman forces. In a letter to Corvinus dated 2 February, he wrote:
Mehmed II abandoned his siege of Corinth to launch a punitive attack against Vlad III in Wallachia but suffered many casualties in a surprise night attack led by Vlad III Dracula, who was apparently bent on personally killing the Sultan. It is said that when the forces of Mehmed the Conqueror and Radu the Handsome came to Târgoviste, they saw so many Turks impaled around the city that, appalled by the sight, Mehmed considered withdrawing but was convinced by his commanders to stay. However, Vlad's policy of staunch resistance against the Ottomans was not a popular one, and he was betrayed by the boyars's (local aristocracy) appeasing faction, most of them also pro-Dăneşti (a rival princely branch). His best friend and ally Stephen III of Moldavia, who had promised to help him, seized the chance and instead attacked him trying to take back the Fortress of Chilia. Vlad III had to retreat to the mountains. After this, the Ottomans captured the Wallachian capital Târgoviște and Mehmed II withdrew, having left Radu as ruler of Wallachia. Turahanoğlu Ömer Bey, who served with distinction and wiped out a force 6,000 Wallachians and deposited 2,000 of their heads at the feet of Mehmed II, was also reinstated, as a reward, in his old gubernatorial post in Thessaly. Vlad eventually escaped to Hungary, where he was imprisoned on a false accusation of treason against his overlord, Matthias Corvinus.
Conquest of Bosnia (1463)
The despot of Serbia, Lazar Branković, died in 1458, and a civil war broke out among his heirs that resulted in the Ottoman conquest of Serbia in 1459/1460. Stephen Tomašević, son of the king of Bosnia, tried to bring Serbia under his control, but Ottoman expeditions forced him to give up his plan and Stephen fled to Bosnia, seeking refuge at the court of his father. After some battles, Bosnia became tributary kingdom to the Ottomans.
On 10 July 1461, Stephen Thomas died, and Stephen Tomašević succeeded him as King of Bosnia. In 1461, Stephen Tomašević made an alliance with the Hungarians and asked Pope Pius II for help in the face of an impending Ottoman invasion. In 1463, after a dispute over the tribute paid annually by the Bosnian Kingdom to the Ottomans, he sent for help from the Venetians. However, none ever reached Bosnia. In 1463, Sultan Mehmed II led an army into the country. The royal city of Bobovac soon fell, leaving Stephen Tomašević to retreat to Jajce and later to Ključ. Mehmed invaded Bosnia and conquered it very quickly, executing Stephen Tomašević and his uncle Radivoj. Bosnia officially fell in 1463 and became the westernmost province of the Ottoman Empire.
Ottoman-Venetian War (1463–1479)
According to the Byzantine historian Michael Critobulus, hostilities broke out after an Albanian slave of the Ottoman commander of Athens fled to the Venetian fortress of Coron (Koroni) with 100,000 silver aspers from his master's treasure. The fugitive then converted to Christianity, so Ottoman demands for his rendition were refused by the Venetian authorities. Using this as a pretext in November 1462, the Ottoman commander in central Greece, Turahanoğlu Ömer Bey, attacked and nearly succeeded in taking the strategically important Venetian fortress of Lepanto (Nafpaktos). On 3 April 1463, however, the governor of the Morea, Isa Beg, took the Venetian-held town of Argos by treason.
The new alliance launched a two-pronged offensive against the Ottomans: a Venetian army, under the Captain General of the Sea Alvise Loredan, landed in the Morea, while Matthias Corvinus invaded Bosnia. At the same time, Pius II began assembling an army at Ancona, hoping to lead it in person. Negotiations were also begun with other rivals of the Ottomans, such as Karamanids, Uzun Hassan and the Crimean Khanate.
In early August, the Venetians retook Argos and refortified the Isthmus of Corinth, restoring the Hexamilion wall and equipping it with many cannons. They then proceeded to besiege the fortress of the Acrocorinth, which controlled the northwestern Peloponnese. The Venetians engaged in repeated clashes with the defenders and with Ömer Bey's forces, until they suffered a major defeat on 20 October and were then forced to lift the siege and retreat to the Hexamilion and to Nauplia (Nafplion). In Bosnia, Matthias Corvinus seized over sixty fortified places and succeeded in taking its capital, Jajce, after a 3-month siege, on 16 December.
Ottoman reaction was swift and decisive: Mehmed II dispatched his Grand Vizier, Mahmud Pasha Angelović, with an army against the Venetians. To confront the Venetian fleet, which had taken station outside the entrance of the Dardanelles Straits, the Sultan further ordered the creation of the new shipyard of Kadirga Limani in the Golden Horn (named after the "kadirga" type of galley), and of two forts to guard the Straits, Kilidulbahr and Sultaniye. The Morean campaign was swiftly victorious for the Ottomans; they razed the Hexamilion, and advanced into the Morea. Argos fell, and several forts and localities that had recognized Venetian authority reverted to their Ottoman allegiance.
Sultan Mehmed II, who was following Mahmud Pasha with another army to reinforce him, had reached Zeitounion (Lamia) before being apprised of his Vizier's success. Immediately, he turned his men north, towards Bosnia. However, the Sultan's attempt to retake Jajce in July and August 1464 failed, with the Ottomans retreating hastily in the face of Corvinus' approaching army. A new Ottoman army under Mahmud Pasha then forced Corvinus to withdraw, but Jajce was not retaken for many years after. However, the death of Pope Pius II on 15 August in Ancona spelled the end of the Crusade.
In the meantime, the Venetian Republic had appointed Sigismondo Malatesta for the upcoming campaign of 1464. He launched attacks against Ottoman forts and engaged in a failed siege of Mistra in August through October. Small-scale warfare continued on both sides, with raids and counter-raids, but a shortage of manpower and money meant that the Venetians remained largely confined to their fortified bases, while Ömer Bey's army roamed the countryside.
In the Aegean, the Venetians tried to take Lesbos in the spring of 1464, and besieged the capital Mytilene for six weeks, until the arrival of an Ottoman fleet under Mahmud Pasha on 18 May forced them to withdraw. Another attempt to capture the island shortly after also failed. The Venetian navy spent the remainder of the year in ultimately fruitless demonstrations of force before the Dardanelles. In early 1465, Mehmed II sent peace feelers to the Venetian Senate; distrusting the Sultan's motives, these were rejected.
In April 1466, the Venetian war effort was reinvigorated under Vettore Cappello: the fleet took the northern Aegean islands of Imbros, Thasos, and Samothrace, and then sailed into the Saronic Gulf. On 12 July, Cappello landed at Piraeus and marched against Athens, the Ottomans' major regional base. He failed to take the Acropolis and was forced to retreat to Patras, the capital of Peloponnese and the seat of the Ottoman bey, which was being besieged by a joint force of Venetians and Greeks. Before Cappello could arrive, and as the city seemed on the verge of falling, Ömer Bey suddenly appeared with 12,000 cavalry and drove the outnumbered besiegers off. Six hundred Venetians and a hundred Greeks were taken prisoner out of a force of 2,000, while Barbarigo himself was killed. Cappello, who arrived some days later, attacked the Ottomans but was heavily defeated. Demoralized, he returned to Negroponte with the remains of his army. There Cappello fell ill and died on 13 March 1467. In 1470 Mehmed personally led an Ottoman army to besiege Negroponte. The Venetian relief navy was defeated and Negroponte was captured.
In spring 1466, Sultan Mehmed marched with a large army against the Albanians. Under their leader, Skanderbeg, they had long resisted the Ottomans, and had repeatedly sought assistance from Italy. Mehmed II responded by marching again against Albania but was unsuccessful. The winter brought an outbreak of plague, which would recur annually and sap the strength of the local resistance. Skanderbeg himself died of malaria in the Venetian stronghold of Lissus (Lezhë), ending the ability of Venice to use the Albanian lords for its own advantage. After Skanderbeg died, some Venetian-controlled northern Albanian garrisons continued to hold territories coveted by the Ottomans, such as Žabljak Crnojevića, Drisht, Lezhë, and Shkodra – the most significant. Mehmed II sent his armies to take Shkodra in 1474 but failed. Then he went personally to lead the siege of Shkodra of 1478–79. The Venetians and Shkodrans resisted the assaults and continued to hold the fortress until Venice ceded Shkodra to the Ottoman Empire in the Treaty of Constantinople as a condition of ending the war.
The agreement was established as a result of the Ottomans having reached the outskirts of Venice. Based on the terms of the treaty, the Venetians were allowed to keep Ulcinj, Antivan, and Durrës. However, they ceded Shkodra, which had been under Ottoman siege for many months, as well as other territories on the Dalmatian coastline, and they relinquished control of the Greek islands of Negroponte (Euboea) and Lemnos. Moreover, the Venetians were forced to pay 100,000 ducat indemnity and agreed to a tribute of around 10,000 ducats per year in order to acquire trading privileges in the Black Sea. As a result of this treaty, Venice acquired a weakened position in the Levant.
Anatolian conquests (1464–1473)
During the post-Seljuks era in the second half of the middle ages, numerous Turkmen principalities collectively known as Anatolian beyliks emerged in Anatolia. Karamanids initially centred around the modern provinces of Karaman and Konya, the most important power in Anatolia. But towards the end of the 14th century, Ottomans began to dominate on most of Anatolia, reducing the Karaman influence and prestige.
İbrahim II of Karaman was the ruler of Karaman, and during his last years, his sons began struggling for the throne. His heir apparent was İshak of Karaman, the governor of Silifke. But Pir Ahmet, a younger son, declared himself as the bey of Karaman in Konya. İbrahim escaped to a small city in western territories where he died in 1464. The competing claims to the throne resulted in an interregnum in the beylik. Nevertheless, with the help of Uzun Hasan, the sultan of the Akkoyunlu (White Sheep) Turkmens, İshak was able to ascend to the throne. His reign was short, however, as Pir Ahmet appealed to Sultan Mehmed II for help, offering Mehmed some territory that İshak refused to cede. With Ottoman help, Pir Ahmet defeated İshak in the battle of Dağpazarı. İshak had to be content with Silifke up to an unknown date. Pir Ahmet kept his promise and ceded a part of the beylik to the Ottomans, but he was uneasy about the loss. So during the Ottoman campaign in the West, he recaptured his former territory. Mehmed returned, however, and captured both Karaman (Larende) and Konya in 1466. Pir Ahmet barely escaped to the East. A few years later, Ottoman vizier (later grand vizier) Gedik Ahmet Pasha captured the coastal region of the beylik.
Pir Ahmet as well as his brother Kasım escaped to Uzun Hasan's territory. This gave Uzun Hasan a chance to interfere. In 1472, the Akkoyunlu army invaded and raided most of Anatolia (this was the reason behind the Battle of Otlukbeli in 1473). But then Mehmed led a successful campaign against Uzun Hasan in 1473 that resulted in the decisive victory of the Ottoman Empire in the Battle of Otlukbeli. Before that, Pir Ahmet with Akkoyunlu help had captured Karaman. However Pir Ahmet couldn't enjoy another term. Because immediately after the capture of Karaman, the Akkoyunlu army was defeated by the Ottomans near Beyşehir and Pir Ahmet had to escape once more. Although he tried to continue his struggle, he learned that his family members had been transferred to İstanbul by Gedik Ahmet Pasha, so he finally gave up. Demoralized, he escaped to Akkoyunlu territory where he was given a tımar (fief) in Bayburt. He died in 1474.
Uniting the Anatolian beyliks was first accomplished by Sultan Bayezid I, more than fifty years before Mehmed II but after the destructive Battle of Ankara in 1402, the newly formed unification was gone. Mehmed II recovered Ottoman power over the other Turkish states, and these conquests allowed him to push further into Europe.
Another important political entity that shaped the Eastern policy of Mehmed II were the White Sheep Turcomans. Under the leadership of Uzun Hasan, this kingdom gained power in the East; but because of their strong relations with the Christian powers like the Empire of Trebizond and the Republic of Venice, and the alliance between the Turcomans and the Karamanid tribe, Mehmed saw them as a threat to his own power.
War with Moldavia (1475–1476)
In 1456, Peter III Aaron agreed to pay the Ottomans an annual tribute of 2,000 gold ducats to ensure his southern borders, thus becoming the first Moldavian ruler to accept the Turkish demands. His successor Stephen the Great rejected Ottoman suzerainty and a series of fierce wars ensued. Stephen tried to bring Wallachia under his sphere of influence and so supported his own choice for the Wallachian throne. This resulted in an enduring struggle between different Wallachian rulers backed by Hungarians, Ottomans, and Stephen. An Ottoman army under Hadim Pasha (governor of Rumelia) was sent in 1475 to punish Stephen for his meddling in Wallachia; however, the Ottomans suffered a great defeat at the Battle of Vaslui. Stephen inflicted a decisive defeat on the Ottomans, described as "the greatest ever secured by the Cross against Islam," with casualties, according to Venetian and Polish records, reaching beyond 40,000 on the Ottoman side. Mara Brankovic (Mara Hatun), the former younger wife of Murad II, told a Venetian envoy that the invasion had been worst ever defeat for the Ottomans. Stephen was later awarded the title "Athleta Christi" (Champion of Christ) by Pope Sixtus IV, who referred to him as "verus christianae fidei athleta" ("the true defender of the Christian faith").
Mehmed II assembled a large army and entered Moldavia in June 1476. Meanwhile, groups of Tartars from the Crimean Khanate (the Ottomans' recent ally) were sent to attack Moldavia. Romanian sources may state that they were repelled. Other sources state that joint Ottoman and Crimean Tartar forces "occupied Bessarabia and took Akkerman, gaining control of the southern mouth of the Danube. Stephan tried to avoid open battle with the Ottomans by following a scorched-earth policy".
Finally Stephen faced the Ottomans in battle. The Moldavians luring the main Ottoman forces into a forest that was set on fire, causing some casualties. According to another battle description, the defending Moldavian forces repelled several Ottoman attacks with steady fire from hand-guns. The attacking Turkish Janissaries were forced to crouch on their stomachs instead of charging headlong into the defenders positions. Seeing the imminent defeat of his forces, Mehmed charged with his personal guard against the Moldavians, managing to rally the Janissaries, and turning the tide of the battle. Turkish Janissaries penetrated inside the forest and engaged the defenders in man-to-man fighting.
The Moldavian army was utterly defeated (casualties were very high on both sides), and the chronicles say that the entire battlefield was covered with the bones of the dead, a probable source for the toponym (Valea Albă is Romanian and Akdere Turkish for "The White Valley").
Stephen the Great retreated into the north-western part of Moldavia or even into the Polish Kingdom and began forming another army.
The Ottomans were unable to conquer any of the major Moldavian strongholds (Suceava, Neamț, Hotin) and were constantly harassed by small scale Moldavians attacks. Soon they were also confronted with starvation, a situation made worse by an outbreak of the plague, and the Ottoman army returned to Ottoman lands. The threat of Stephen to Wallachia continued for decades. That very same year Stephen helped his cousin Vlad the Impaler return to the throne of Wallachia for the third and final time. Even after Vlad's untimely death several months later Stephen continued to support, with force of arms, a variety of contenders to the Wallachian throne succeeding after Mehmet's death to instate Vlad Călugărul, half brother to Vlad the Impaler, for a period of 13 years from 1482 to 1495.
Conquest of Albania (1466–1478)
Skanderbeg, a member of the Albanian nobility and a former member of the Ottoman ruling elite, led Skanderbeg's rebellion against the expansion of the Ottoman Empire into Europe. Skanderbeg, son of Gjon Kastrioti (who had joined the unsuccessful Albanian revolt of 1432–1436), united the Albanian principalities in a military and diplomatic alliance, the League of Lezhë, in 1444. Mehmed II was never successful in his efforts to subjugate Albania while Skanderbeg was alive, even though he twice (1466 and 1467) led the Ottoman armies himself against Krujë. After Skanderbeg died in 1468, the Albanians couldn't find a leader to replace him, and Mehmed II eventually conquered Krujë and Albania in 1478.
In spring 1466, Sultan Mehmed marched with a large army against Skanderbeg and the Albanians. Skanderbeg had repeatedly sought assistance from Italy, and believed that the ongoing Ottoman–Venetian War (1463–1479) offered a golden opportunity to reassert Albanian independence; for the Venetians, the Albanians provided a useful cover to the Venetian coastal holdings of Durrës () and Shkodër (). The major result of this campaign was the construction of the fortress of Elbasan, allegedly within just 25 days. This strategically sited fortress, at the lowlands near the end of the old Via Egnatia, cut Albania effectively in half, isolating Skanderbeg's base in the northern highlands from the Venetian holdings in the south. However, following the Sultan's withdrawal Skanderbeg himself spent the winter in Italy, seeking aid. On his return in early 1467, his forces sallied from the highlands, defeated Ballaban Pasha, and lifted the siege of the fortress of Croia (Krujë); they also attacked Elbasan but failed to capture it. Mehmed II responded by marching again against Albania. He energetically pursued the attacks against the Albanian strongholds, while sending detachments to raid the Venetian possessions to keep them isolated. The Ottomans failed again to take Croia, and they failed to subjugate the country. However, the winter brought an outbreak of plague, which would recur annually and sap the strength of the local resistance. Skanderbeg himself died of malaria in the Venetian stronghold of Lissus (Lezhë), ending the ability of Venice to use the Albanian lords for its own advantage. The Albanians were left to their own devices and were gradually subdued over the next decade.
After Skanderbeg died, Mehmed II personally led the siege of Shkodra in 1478–79, of which early Ottoman chronicler Aşıkpaşazade (1400–81) wrote, "All the conquests of Sultan Mehmed were fulfilled with the seizure of Shkodra." The Venetians and Shkodrans resisted the assaults and continued to hold the fortress until Venice ceded Shkodra to the Ottoman Empire in the Treaty of Constantinople as a condition of ending the war.
Crimean policy (1475)
A number of Turkic peoples, collectively known as the Crimean Tatars, had been inhabiting the peninsula since the early Middle Ages. After the destruction of the Golden Horde by Timur earlier in the 15th century, the Crimean Tatars founded an independent Crimean Khanate under Hacı I Giray, a descendant of Genghis Khan.
The Crimean Tatars controlled the steppes that stretched from the Kuban to the Dniester River, but they were unable to take control over the commercial Genoese towns called Gazaria (Genoese colonies), which had been under Genoese control since 1357. After the conquest of Constantinople, Genoese communications were disrupted, and when the Crimean Tatars asked for help from the Ottomans, they responded with an invasion of the Genoese towns, led by Gedik Ahmed Pasha in 1475, bringing Kaffa and the other trading towns under their control. After the capture of the Genoese towns, the Ottoman Sultan held Meñli I Giray captive, later releasing him in return for accepting Ottoman suzerainty over the Crimean Khans and allowing them to rule as tributary princes of the Ottoman Empire. However, the Crimean khans still had a large amount of autonomy from the Ottoman Empire, while the Ottomans directly controlled the southern coast.
Expedition to Italy (1480)
An Ottoman army under Gedik Ahmed Pasha invaded Italy in 1480, capturing Otranto. Because of lack of food, Gedik Ahmed Pasha returned with most of his troops to Albania, leaving a garrison of 800 infantry and 500 cavalry behind to defend Otranto in Italy. It was assumed he would return after the winter. Since it was only 28 years after the fall of Constantinople, there was some fear that Rome would suffer the same fate. Plans were made for the Pope and citizens of Rome to evacuate the city. Pope Sixtus IV repeated his 1481 call for a crusade. Several Italian city-states, Hungary, and France responded positively to the appeal. The Republic of Venice did not, however, as it had signed an expensive peace treaty with the Ottomans in 1479.
In 1481 king Ferdinand I of Naples raised an army to be led by his son Alphonso II of Naples. A contingent of troops was provided by king Matthias Corvinus of Hungary. The city was besieged starting 1 May 1481. After the death of Mehmed on 3 May, ensuing quarrels about his succession possibly prevented the Ottomans from sending reinforcements to Otranto. So the Turkish occupation of Otranto ended by negotiation with the Christian forces, permitting the Turks to withdraw to Albania, and Otranto was retaken by Papal forces in 1481.
Return to Constantinople (1453–1478)
After conquering Constantinople, when Mehmed II finally entered the city through what is now known as the Topkapi Gate, he immediately rode his horse to the Hagia Sophia, where he ordered the building to be protected. He ordered that an imam meet him there in order to chant the Muslim Creed: "I testify that there is no god but Allah. I testify that Muhammad is the messenger of Allah." The Orthodox cathedral was transformed into a Muslim mosque through a charitable trust, solidifying Islamic rule in Constantinople.
Mehmed's main concern with Constantinople was with rebuilding the city's defenses and repopulation. Building projects were commenced immediately after the conquest, which included the repair of the walls, construction of the citadel, a remarkable hospital with students and medical staff, a large cultural complex, two sets of barracks for the jannisaries, a tophane gun foundry outside Galata and building a new palace. To encourage the return of the Greeks and the Genoese who had fled from Galata, the trading quarter of the city, he returned their houses and provided them with guarantees of safety. Mehmed issued orders across his empire that Muslims, Christians, and Jews should resettle in the City demanding that five thousand households needed to be transferred to Constantinople by September. From all over the Islamic empire, prisoners of war and deported people were sent to the city; these people were called "Sürgün" in Turkish ( sourgounides; "immigrants").
Mehmed restored the Ecumenical Orthodox Patriarchate (6 January 1454), monk Gennadios being appointed as the first Orthodox Patriarch and established a Jewish Grand Rabbinate (Ḥakham Bashi) and the prestigious Armenian Patriarchate of Constantinople in the capital, as part of the millet system. In addition he founded, and encouraged his viziers to found, a number of Muslim institutions and commercial installations in the main districts of Constantinople, such as the Rum Mehmed Pasha Mosque built by the Grand Vizier Rum Mehmed Pasha. From these nuclei, the metropolis developed rapidly. According to a survey carried out in 1478, there were then in Constantinople and neighboring Galata 16,324 households, 3,927 shops, and an estimated population of 80,000. The population was about 60% Muslim, 20% Christian, and 10% Jewish.
By the end of his reign, Mehmed's ambitious rebuilding program had changed the city into a thriving imperial capital. According to the contemporary Ottoman historian Neşri, "Sultan Mehmed created all of Istanbul". Fifty years later, Constantinople had again become the largest city in Europe.
Two centuries later, the well-known Ottoman itinerant Evliya Çelebi gave a list of groups introduced into the city with their respective origins. Even today, many quarters of Istanbul, such as Aksaray and Çarşamba, bear the names of the places of origin of their inhabitants. However, many people escaped again from the city, and there were several outbreaks of plague, so that in 1459 Mehmed allowed the deported Greeks to come back to the city. This measure apparently had no great success, since French voyager Pierre Gilles writes in the middle of the 16th century that the Greek population of Constantinople was unable to name any of the ancient Byzantine churches that had been transformed into mosques or abandoned. This shows that the population substitution had been total.
Administration and culture
Mehmed II introduced the word Politics into Arabic "Siyasah" from a book he published and claimed to be the collection of Politics doctrines of the Byzantine Caesars before him. He gathered Italian artists, humanists and Greek scholars at his court, allowed the Byzantine Church to continue functioning, ordered the patriarch Gennadius to translate Christian doctrine into Turkish, and called Gentile Bellini from Venice to paint his portrait as well as Venetian frescoes that are vanished today. He collected in his palace a library which included works in Greek, Persian and Latin. Mehmed invited Muslim scientists and astronomers such as Ali Qushji and artists to his court in Constantinople, started a university, built mosques (for example, the Fatih Mosque), waterways, and Istanbul's Topkapı Palace and the Tiled Kiosk.
Around the grand mosque that he constructed, he erected eight madrasas, which, for nearly a century, kept their rank as the highest teaching institutions of the Islamic sciences in the empire.
Mehmed II allowed his subjects a considerable degree of religious freedom, provided they were obedient to his rule. After his conquest of Bosnia in 1463 he issued the Ahdname of Milodraž to the Bosnian Franciscans, granting them freedom to move freely within the Empire, offer worship in their churches and monasteries, and to practice their religion free from official and unofficial persecution, insult or disturbance. However, his standing army was recruited from the Devshirme, a group that took Christian subjects at a young age (8–20 yrs): they were converted to Islam, then schooled for administration or the military Janissaries. This was a meritocracy which "produced from among their alumni four out of five Grand Viziers from this time on".
Within Constantinople, Mehmed established a millet or an autonomous religious community, and appointed the former Patriarch Gennadius Scholarius as religious leader for the Orthodox Christians of the city. His authority extended to all Ottoman Orthodox Christians, and this excluded the Genoese and Venetian settlements in the suburbs, and excluded Muslim and Jewish settlers entirely. This method allowed for an indirect rule of the Christian Byzantines and allowed the occupants to feel relatively autonomous even as Mehmed II began the Turkish remodeling of the city, turning it into the Turkish capital, which it remained until the 1920s.
Patronage of Renaissance artists
Aside from his efforts to expand Ottoman dominion throughout the Eastern Mediterranean, Mehmed II also cultivated a large collection of Western art and literature, many of which were produced by Renaissance artists. From a young age, Mehmed had shown interest in Renaissance art and Classical literature and histories, with his school books having caricaturistic illustrations of ancient coins and portraiture sketched in distinctly European styles. Furthermore, he reportedly had two tutors, one trained in Greek and another in Latin, who read him Classical histories including those of Laertius, Livy, and Herodotus in the days leading up to the fall of Constantinople.
From early on in his reign, Mehmed invested in the patronage of Italian Renaissance artists. His first documented request in 1461 was a commission from artist Matteo de' Pasti, who resided in the court of the lord of Rimini, Sigismondo Malatesta. This first attempt was unsuccessful, though, as Pasti was arrested in Crete by Venetian authorities accusing him of being an Ottoman spy. Later attempts would prove more fruitful, with some notable artists including Costanzo da Ferrara and Gentile Bellini both being invited to the Ottoman court.
Aside from his patronage of Renaissance artists, Mehmed was also an avid scholar of contemporary and Classical literature and history. This interest culminated in Mehmed's work on building a massive multilingual library that contained over 8000 manuscripts in Persian, Ottoman Turkish, Arabic, Latin, and Greek, among other languages. Of note in this large collection was Mehmed's Greek scriptorium, which included copies of Arrians’ Anabasis of Alexander the Great and Homer's Iliad. His interest in Classical works extended in many directions, including the patronage of the Greek writer Kritiboulos of Imbros, who produced the Greek manuscript History of Mehmed the Conqueror, alongside his efforts to salvage and rebind Greek manuscripts acquired after his conquest of Constantinople.
Historians believe that Mehmed's widespread cultural and artistic tastes, especially those aimed towards the West, served various important diplomatic and administrative functions. His patronage of Renaissance artists have been interpreted as a method of diplomacy with other influential Mediterranean states, significantly many Italian states including the Kingdom of Naples and the Republic of Florence. Furthermore, historians speculate that his Greek scriptorium was used to educate Greek chancellery officials in an attempt to reintegrate former Byzantine diplomatic channels with several Italian states that conducted their correspondences in Greek. Importantly, historians also assert that Mehmed's vast collection of art and literature worked towards promoting his imperial authority and legitimacy, especially in his newly conquered lands. This was accomplished through various means, including the invocation of Mehmed's image as an Oriental neo-Alexandrian figure, which is seen through shared helmet ornaments in depictions of Mehmed and Alexander on medallion portraits produced during Mehmed's reign, as well as being a leitmotiv in Kritiboulous’ work. Additionally, his commissioning of Renaissance artwork was, itself, possibly an attempt to break down Western-Oriental cultural binaries in order for Mehmed to present himself as a Western-oriented ruler, among the ranks of contemporary European Christian monarchs.
Mehmed's affinity towards the Renaissance arts, and his strong initiative in its creation and collection, did not have a large base of support within his own court. One of the many opponents to Mehmed's collection was his own son and future Sultan, Bayezid II, who was backed by powerful religious and Turkish factions in his opposition. Upon his accession, Bayezid II sold Mehmed's collection of portraits and disposed of his statuary.
Centralization of government
Mehmed the Conqueror consolidated power by building his imperial court, the divan, with officials who would be solely loyal to him and allow him greater autonomy and authority. Under previous sultans the divan had been filled with members of aristocratic families that sometimes had other interests and loyalties than that of the sultan. Mehmed the Conqueror transitioned the empire away from the Ghazi mentality that emphasizes ancient traditions and ceremonies in governance and moved the empire towards a centralized bureaucracy largely made of officials of devşirme background. Additionally, Mehmed the Conqueror took the step of converting the religious scholars who were part of the Ottoman madrasas into salaried employees of the Ottoman bureaucracy who were loyal to him. This centralization was possible and formalized through a kanunname, issued during 1477–1481, which for the first time listed the chief officials in the Ottoman government, their roles and responsibilities, salaries, protocol and punishments, as well as how they related to each other and the sultan.
Once Mehmed had created an Ottoman bureaucracy and transformed the empire from a frontier society to a centralized government, he took care to appoint officials who would help him implement his agenda. His first grand vizier was Zaganos Pasha, who was of devşirme background as opposed to an aristocrat, and Zaganos Pasha's successor, Mahmud Pasha Angelović, was also of devşirme background. Mehmed was the first sultan who was able to codify and implement kanunname solely based on his own independent authority. Additionally, Mehmed was able to later implement kanunname that went against previous tradition or precedent. This was monumental in an empire that was so steeped in tradition and could be slow to change or adapt. Having viziers and other officials who were loyal to Mehmed was an essential part of this government because he transferred more power to the viziers than previous sultans had. He delegated significant powers and functions of government to his viziers as part of his new policy of imperial seclusions. A wall was built around the palace as an element of the more closed era, and unlike previous sultans Mehmed was no longer accessible to the public or even lower officials. His viziers directed the military and met foreign ambassadors, two essential parts of governing especially with his numerous military campaigns. One such notable ambassador was Kinsman Karabœcu Pasha (Turkish: "Karaböcü Kuzen Paşa"), who came from a rooted family of spies, which enabled him to play a notable role in Mehmed's campaign of conquering Constantinople.
Personal life
Mehmed's first wife was Gülbahar Hatun. She was the sister of Mustafa Pasha. The two married in 1446. They had a son, Bayezid II, and a daughter, Gevherhan Hatun. With his second wife, Gülşah Hatun, Mehmed had a son named Mustafa born in 1449. His third wife was Sittişah Hatun, daughter of the Dulkadir ruler Süleyman Bey. The two married in 1449. His fourth wife was Hatice Hatun, daughter of Zagan Pasha. The two married in 1451 and divorced in 1453. His fifth wife was Çiçek Hatun. She was the sister of Ali Bey, and mother of his youngest son Cem.
Some sources indicate that Mehmed had a passion for his hostage and favourite, Radu the Fair. Young men condemned to death were spared and added to Mehmed's seraglio if he found them attractive, and the Porte went to great lengths to procure young noblemen for him.
Mehmed had a strong interest in ancient Greek and medieval Byzantine civilization. His heroes were Achilles and Alexander the Great and he could discuss Christian religion with some authority. He was reputed to be fluent in several languages, including Turkish, Serbian, Arabic, Persian, Greek and Latin.
At times, he assembled the Ulama, or learned Muslim teachers, and caused them to discuss theological problems in his presence. During his reign, mathematics, astronomy, and theology reached their highest level among the Ottomans. His social circle included a number of humanists and sages such as Ciriaco de' Pizzicolli of Ancona, Benedetto Dei of Florence and Michael Critobulus of Imbros, who mentions Mehmed as a Philhellene thanks to his interest in Grecian antiquities and relics. It was on his orders that the Parthenon and other Athenian monuments were spared destruction. Besides, Mehmed II himself was a poet writing under the name "Avni" (the helper, the helpful one) and he left a classical diwan poetry collection.
Death and legacy
In 1481 Mehmed marched with the Ottoman army, but upon reaching Maltepe, Istanbul he became ill. He was just beginning new campaigns to capture Rhodes and southern Italy, however according to some historians his next voyage was planned to overthrow the Mamluk Sultanate of Egypt and to capture Egypt and claim the caliphate. But after some days he died, on 3 May 1481, at the age of forty-nine, and was buried in his türbe near the Fatih Mosque Complex. According to the historian Colin Heywood, "there is substantial circumstantial evidence that Mehmed was poisoned, possibly at the behest of his eldest son and successor, Bayezid."
The news of Mehmed's death caused great rejoicing in Europe; church bells were rung and celebrations held. The news was proclaimed in Venice thus: "La Grande Aquila è morta!" ('The Great Eagle is dead!')
Mehmed II is recognized as the first sultan to codify criminal and constitutional law, long before Suleiman the Magnificent; he thus established the classical image of the autocratic Ottoman sultan. Mehmed's thirty-one year rule and numerous wars expanded the Ottoman Empire to include Constantinople, the Turkish kingdoms and territories of Asia Minor, Bosnia, Serbia, and Albania. Mehmed left behind an imposing reputation in both the Islamic and Christian worlds. According to historian Franz Babinger, Mehmed was regarded as a bloodthirsty tyrant by the Christian world and by a part of his subjects. Istanbul's Fatih Sultan Mehmet Bridge (completed 1988), which crosses the Bosporus Straits, is named after him, and his name and picture appeared on the Turkish 1000 lira note from 1986 to 1992.
Portrayals
Mehmed is the eponymous subject of Rossini's 1820 opera, Maometto II. Rossini and librettist Cesare della Valle offer a nuanced picture of Mehmed, portraying him as a fearless and magnanimous leader, even on the verge of conquering Negroponte.
Portrayed by Sami Ayanoğlu in the Turkish film The Conquest of Constantinople (1951).
Portrayed by Devrim Evin the Turkish film Fetih 1453 (2012). His childhood is portrayed by Ege Uslu.
Portrayed by Mehmet Akif Alakurt in the Turkish television series Fatih (2013).
Portrayed by Dominic Cooper in Dracula Untold.
Portrayed by Kenan İmirzalıoğlu in the Turkish television series :tr:Mehmed Bir Cihan Fatihi (2018).
Portrayed by Cem Yiğit Üzümoğlu in the docuseries Rise of Empires: Ottoman (2020).
See also
Classical Age of the Ottoman Empire
Decline of the Byzantine Empire
Kashifi (author of the Ḡazā-nāma-ye Rum)
Footnotes
General sources
Dyer, T. H., & Hassall, A. (1901). A history of modern Europe From the fall of Constantinople. London: G. Bell and Sons.
Fredet, Peter (1888). Modern History; From the Coming of Christ and Change of the Roman Republic into an Empire, to the Year of Our Lord 1888. Baltimore: J. Murphy & Co. 383 pp
Harris, Jonathan, The End of Byzantium. New Haven CT and London: Yale University Press, 2010.
İnalcık; Halil, Review of Mehmed the Conqueror and his Time
Imber, Colin, The Ottoman Empire, 1300–1650: The Structure of Power. 2nd Edition. New York: Palgrave Macmillan, 2009.
Philippides, Marios, Emperors, Patriarchs, and Sultans of Constantinople, 1373–1513: An Anonymous Greek Chronicle of the Sixteenth Century. Brookline MA: Hellenic College Press, 1990.
Silburn, P. A. B. (1912). The evolution of sea-power. London: Longmans, Green and Co.
External links
Contemporary portraits
Chapter LXVIII: "Reign of Mahomet the Second, Extinction of Eastern Empire" by Edward Gibbon
Constantinople Siege & Fall, BBC Radio 4 discussion with Roger Crowley, Judith Herrin & Colin Imber (In Our Time, 28 December 2006)
Hanafis
Maturidis
Sunni Sufis
1432 births
1481 deaths
15th-century murdered monarchs
15th-century Ottoman sultans
Burials in Turkey
Deaths by poisoning
Fall of Constantinople
Medieval child rulers
Mujaddid
Ottoman people of the Byzantine–Ottoman wars
Ottoman people of the Ottoman–Venetian Wars
People from Edirne
Turkish poets
The Sultan of Two Lands and the Khan of Two Seas |
19047 | https://en.wikipedia.org/wiki/Martina%20Hingis | Martina Hingis | Martina Hingis (; born Martina Hingisová; 30 September 1980) is a Swiss former professional tennis player. She is the first Swiss player, male or female, to win a Grand Slam and attain a No. 1 ranking. She spent a total of 209 weeks as the singles world No. 1 and 90 weeks as doubles world No. 1, holding both No. 1 rankings simultaneously for 29 weeks. She won 5 Grand Slam singles titles, 13 Grand Slam women's doubles titles, winning a calendar-year women's doubles Grand Slam in 1998, and 7 Grand Slam mixed doubles titles, for a combined total of 25 major titles. In addition, she won the season-ending WTA Finals two times in singles and three times in doubles, an Olympic silver medal, and a record 17 Tier I singles titles.
Hingis set a series of "youngest-ever" records during the 1990s, including youngest-ever Grand Slam champion and youngest-ever world No. 1. Before ligament injuries in both ankles forced her to withdraw temporarily from professional tennis in early 2003, at the age of 22, she had won 40 singles titles and 36 doubles titles and, according to Forbes, was the highest-paid female athlete in the world for five consecutive years, 1997 to 2001. After several surgeries and long recoveries, Hingis returned to the WTA Tour in 2006, climbing to world No. 6, winning two Tier I tournaments, and also receiving the Laureus World Sports Award for Comeback of the Year. She retired in November 2007 after being hampered by a hip injury for several months.
In July 2013, Hingis came out of retirement to play the doubles events of the North American hardcourt season. During her doubles comeback, she won four Grand Slam women's doubles tournaments, six Grand Slam mixed doubles tournaments (completing the Career Grand Slam), 27 WTA titles, and the silver medal in women's doubles at the 2016 Summer Olympics in Rio de Janeiro. Hingis retired after the 2017 WTA Finals while ranked world No. 1.
Widely considered an all-time tennis great, Hingis was ranked by Tennis magazine in 2005 as the 8th-greatest female player of the preceding 40 years. She was named one of the "30 Legends of Women's Tennis: Past, Present and Future" by TIME in June 2011. In 2013, Hingis was elected into the International Tennis Hall of Fame, and was appointed two years later the organization's first ever Global Ambassador.
Childhood and early career
Hingis was born in Košice, Czechoslovakia (now in Slovakia) as Martina Hingisová, to Melanie Molitorová and Karol Hingis, both of whom were tennis players. Molitorová was a professional tennis player who was once ranked tenth among women in Czechoslovakia, and was determined to develop Hingis into a top player as early as pregnancy. Her father was ranked as high as 19th in the Czechoslovak tennis rankings. Martina Hingis spent her early childhood growing up in the town of Rožnov pod Radhoštěm (now in Czech Republic). Hingis's parents divorced when she was six, and she and her mother defected from Czechoslovakia in 1987 and emigrated to Trübbach (Wartau) in Switzerland when she was seven. Her mother remarried to a Swiss man, Andreas Zogg, a computer technician. Hingis acquired Swiss citizenship through naturalization.
Hingis began playing tennis when she was two years old and entered her first tournament at age four. In 1993, 12-year-old Hingis became the youngest player to win a Grand Slam junior title: the girls' singles at the French Open. In 1994, she retained her French Open junior title, won the girls' singles title at Wimbledon, and reached the final of the US Open.
She made her WTA debut at the Zurich Open in October 1994, two weeks after turning 14, and ended 1994 ranked world No. 87.
Grand Slam success and period of dominance
1996
In 1996, Hingis became the youngest Grand Slam champion of all time, when she teamed with Helena Suková at Wimbledon to win the women's doubles title at age 15 years and 9 months. She also won her first professional singles title that year at Filderstadt, Germany. She reached the singles quarterfinals of the 1996 Australian Open and the singles semifinals of the 1996 US Open. Following her win at Filderstadt, Hingis defeated the reigning Australian Open champion and co-top ranked (with Steffi Graf) Monica Seles in the final in Oakland, but lost to Graf in the year-end WTA Tour Championships final in five sets.
1997
In 1997, Hingis became the undisputed World No. 1 women's tennis player. She started the year by winning the warm-up tournament in Sydney. She then became the youngest Grand Slam singles winner in the 20th century by winning the Australian Open at age 16 years and 3 months (beating former champion Mary Pierce in the final). She also won the Australian Open women's doubles with Natasha Zvereva. In March, she became the youngest top ranked player in history. In July, she became the youngest singles champion at Wimbledon since Lottie Dod in 1887 by beating Jana Novotná in the final. She then defeated another up-and-coming player, Venus Williams, in the final of the US Open. The only Grand Slam singles title that Hingis failed to win in 1997 was the French Open, where she lost in the final to Iva Majoli.
1998: Doubles Grand Slam
In 1998, Hingis won all four of the Grand Slam women's doubles titles, only the fourth in women's tennis history to do so, (the Australian Open with Mirjana Lučić and the other three events with Novotná), and she became only the third woman to hold the No. 1 ranking in both singles and doubles simultaneously. She also retained her Australian Open singles title by beating Conchita Martínez in straight sets in the final. Hingis, however, lost in the final of the US Open to Lindsay Davenport. Davenport ended an 80-week stretch Hingis had enjoyed as the No. 1 singles player in October 1998, but Hingis finished the year by beating Davenport in the final of the WTA Tour Championships.
1999
1999 saw Hingis win her third successive Australian Open singles crown as well as the doubles title (with Anna Kournikova). She had dropped her former doubles partner Jana Novotná.
She then reached the French Open final and was three points away from victory in the second set before losing to Steffi Graf about whom she had said before: "Steffi had some results in the past, but it's a faster, more athletic game now... She is old now. Her time has passed." She broke into tears after a game in which the crowd had booed her for using underhand serves and crossing the line in a discussion about an umpire decision. After a shock first-round, straight set, loss to Jelena Dokić at Wimbledon, Hingis bounced back to reach her third consecutive US Open final, where she lost to 17-year-old Serena Williams. Hingis won a total of seven singles titles that year and reclaimed the No. 1 singles ranking. She also reached the final of the WTA Tour Championships, where she lost to Lindsay Davenport.
2000
In 2000, Hingis again found herself in both the singles and doubles finals at the Australian Open. This time, however, she lost both. Her three-year hold on the singles championship ended when she lost to Davenport. Later, Hingis and Mary Pierce, her new doubles partner, lost to Lisa Raymond and Rennae Stubbs. Hingis captured the French Open women's doubles title with Pierce and produced consistent results in singles tournaments throughout the year. She reached the quarterfinals at Wimbledon before losing to Venus Williams. Although she did not win a Grand Slam singles tournament, the first time this had happened since 1996, she kept the year end No. 1 ranking because of nine tournament championships, including the WTA Tour Championships where she won the singles and doubles titles.
Injuries and first retirement from tennis
2001
In 2001, Switzerland, with Hingis and Roger Federer on its team, won the Hopman Cup. Hingis didn't drop a set in any of her singles matches during the event, defeating Tamarine Tanasugarn, Nicole Pratt, Amanda Coetzer, and Monica Seles. In 2018, after his second Hopman Cup victory, Federer was quoted as saying: "I learned a lot from her, especially the two years I was here – once as a hitting partner and once as a partner with Martina. Definitely she helped me to become the player I am today."
Hingis reached her fifth consecutive Australian Open final in 2001, defeating both of the Williams sisters en route, before losing to Jennifer Capriati. She briefly ended her coaching relationship with her mother Melanie early in the year but had a change of heart two months later just before the French Open. 2001 was her least successful year in several seasons, with only three tournament victories in total. She lost her No. 1 ranking for the last time (to Jennifer Capriati) on 14 October 2001. In that same month, Hingis underwent surgery on her right ankle.
2002
Coming back from injury, Hingis won the Australian Open doubles final at the start of 2002 (again teaming with Anna Kournikova) and reached a sixth straight Australian Open final in singles, again facing Capriati. Hingis led by a set and 4–0 and had four match points but lost in three sets. In May 2002, she needed another ankle ligament operation, this time on her left ankle. After that, she continued to struggle with injuries and was not able to recapture her best form.
2003
In February 2003, at the age of 22, Hingis announced her retirement from tennis, due to her injuries and being in pain. "I want to play tennis only for fun and concentrate more on horse riding and finish my studies." In several interviews, she indicated that she wished to return to her home country and coach full-time.
During this segment of her tennis career (until what would become her first retirement), Hingis won a total of 40 singles titles and 36 doubles. She held the world No. 1 singles ranking for a total of 209 weeks (fifth most following Steffi Graf, Martina Navratilova, Chris Evert, and Serena Williams). In 2005, Tennis magazine put her in 22nd place in its list of 40 Greatest Players of the Tennis era.
Return to the game
2005
In February 2005, Hingis came out of retirement and made an unsuccessful return to competition. This took place at an event in Pattaya, Thailand, where she lost to Germany's Marlene Weingärtner in the first round. After the loss, she claimed that she had no further plans to continue further and make a full fledged comeback.
Hingis, however, resurfaced in July, playing singles, doubles, and mixed doubles in World Team Tennis and notching up singles victories over two top 100 players and shutting out Martina Navratilova in singles on 7 July. With these promising results behind her, Hingis announced on 29 November her return to the next season's WTA Tour.
2006
At the Australian Open, Hingis lost in the quarterfinals to second-seeded Kim Clijsters. However, Hingis won the mixed doubles title with Mahesh Bhupathi of India. This was her first career Grand Slam mixed doubles title and fifteenth overall (5 singles, 9 women's doubles, 1 mixed doubles).
The week after the Australian Open, Hingis defeated world No. 4 Maria Sharapova in the semifinals of the Tier I Toray Pan Pacific Open in Tokyo before losing in the final to world No. 9 Elena Dementieva. Hingis competed in Dubai then, reaching the quarterfinals before falling to Sharapova. At the Tier I Pacific Life Open in Indian Wells, Hingis defeated World No. 4 Lindsay Davenport in the fourth round before again losing to Sharapova in the semifinals.
At the Tier I Internazionali BNL d'Italia in Rome, Hingis posted her 500th career singles match victory in the quarterfinals, beating world No. 18 Flavia Pennetta, and subsequently won the tournament with wins over Venus Williams in the semifinals and Dinara Safina in the final. This was her 41st WTA Tour singles title and first in more than four years. Hingis then reached the quarterfinals of the French Open before losing to Kim Clijsters.
At Wimbledon, Hingis lost in the third round to Ai Sugiyama.
Hingis's return to the US Open was short lived, as she was upset in the second round by world No. 112 Virginie Razzano of France.
In her first tournament after the US Open, Hingis won the second title of her comeback at the Tier III Sunfeast Open in Kolkata, India. She defeated unseeded Russian Olga Puchkova in the final. The following week in Seoul, Hingis notched her 50th match win of the year before losing in the second round to Sania Mirza.
Hingis qualified for the year-ending WTA Tour Championships in Madrid as the 8th seed. In her round robin matches, she lost in three sets to both Justine Henin and Amélie Mauresmo but defeated Nadia Petrova.
Hingis ended the year ranked world No. 7. She also finished eighth in prize money earnings (US$1,159,537). Hingis also ranked as No. 7 on the Annual Top Google News Searches in 2006.
2007
At the Australian Open, Hingis won her first three rounds without losing a set before defeating China's Li Na in the fourth round. Hingis then lost a quarterfinal match to Kim Clijsters. This was the second consecutive year that Hingis had lost to Clijsters in the quarterfinals of the Australian Open and the third time in the last five Grand Slam tournaments that Clijsters had eliminated Hingis in the quarterfinals.
Hingis won her next tournament, the Tier I Toray Pan Pacific Open in Tokyo, defeating Ana Ivanovic in the final. This was Hingis's record fifth singles title at this event.
A hip injury that troubled her at the German Open caused her to withdraw from the Rome Masters, where she was the defending champion, and the French Open, the only important singles title that eluded her.
In her first round match at Wimbledon, Hingis saved two match points to defeat British wildcard Naomi Cavaday, apparently not having fully recovered from the hip injury that prevented her from playing the French Open. In the third round, Hingis lost to Laura Granville of the United States, and stated afterwards she should not have entered the tournament.
Hingis's next tournament was the last Grand Slam tournament of the year, the US Open, in which Hingis lost in the third round to Belarusian teenager Victoria Azarenka. Hingis did not play any tournaments after the China Open, as she was beset by injuries for the rest of the year.
ITF suspension and second retirement
In November 2007, Hingis called a press conference to announce that she was under investigation for testing positive for benzoylecgonine, a metabolite of cocaine, during a urine test taken by players at Wimbledon. Hingis's urine sample contained an estimated 42 nanograms per millilitre of benzoylecgonine. The International Tennis Federation's report on the matter states that "the very low estimated concentration of benzoylecgonine (42 ng/ml) was such that it would go unreported in many drug testing programmes such as that of the US military, which uses a screening threshold of 150 ng/ml." As the amount was so low, Hingis appealed, arguing the likely cause was contamination rather than intentional ingestion. In January 2008, the ITF's tribunal suspended Hingis from the sport for two years, effective from October 2007.
At the time of Hingis's suspension, the ITF required an automatic two-year suspension for any players who tested positive for banned substances, regardless of extenuating circumstances such as contamination or extremely low detection levels. The ITF subsequently altered the suspension rules as a result of the Hingis case, allowing for future flexibility in cases of unintentional or unexplained ingestion.
2008–09
Having retired for the second time in 2007, Hingis played an exhibition match at the Liverpool International tournament on 13 June 2008. Although this event was a warm-up for Wimbledon, it was not part of the WTA Tour. In a rematch of their 1997 Wimbledon final, Hingis defeated Jana Novotná.
In 2009, Hingis took part in the British television dancing competition Strictly Come Dancing. She was the bookies' favourite for the competition, but went out in the first week after performing a waltz and a rumba.
2010
At the start of 2010, Hingis defeated former world No. 1 Lindsay Davenport, and hinted at a possible return to tennis. In February, she announced having committed to a full season with the World TeamTennis tour in 2010. She had previously played for World TeamTennis in 2005 to assist her first comeback. Sparking thoughts that she was trying to come back to the WTA Tour, she committed to playing at the Nottingham Masters. On 5 May 2010, it was announced that Hingis would reunite with her doubles partner Anna Kournikova. Kournikova was participating in competitive tennis for the first time in seven years, in the Invitational Ladies Doubles event at Wimbledon. Hingis also confirmed that she would play at the Tradition-ICAP Liverpool International championship in June 2010, preceding Wimbledon, before playing in the Manchester Masters after Wimbledon. Liverpool like the Nottingham and Manchester Masters are organised by her management company Northern Vision. At the Nottingham Masters, Hingis faced Michaëlla Krajicek (twice), Olga Savchuk and Monika Wejnert. Hingis won just once in the event, against Wejnert. After the Nottingham event, Billie Jean King stated that she believed that Hingis might return to the WTA Tour on the doubles circuit, after competing in the WTT.
2011
On 5 June 2011, Hingis, paired with Lindsay Davenport, won the Roland Garros Women's Legends title, defeating Martina Navratilova and Jana Novotná in the final. Before facing Navratilova/Novotná, Hingis and Davenport won two round-robin matches in the tournament: first against Gigi Fernández/Natasha Zvereva, and then in the next match they prevailed over Andrea Temesvári/Sandrine Testud and 10:0 in the super tie-break.
On 3 July, Hingis partnering Lindsay Davenport won the Wimbledon Ladies' Invitation Doubles title, defeating Navratilova and Novotná in the final.
She also played for the New York Sportimes of the World TeamTennis Pro League in July 2011. She finished the season with the top winning percentage of any player competing in women's singles.
2012
Hingis and Davenport successfully defended their Wimbledon Ladies' Invitation Doubles title in 2012, again beating Martina Navratilova and Jana Novotná in the final.
Second return and doubles success
2013: Coming out of retirement
In April 2013, Hingis agreed to coach Anastasia Pavlyuchenkova; however, after a disagreement about how to prepare for tournaments they parted ways in June.
Hingis won the Ladies' Invitation Doubles for a third year in a row at Wimbledon, again with Davenport. They beat Jana Novotná and Barbara Schett in the final. Hingis was inducted into the International Tennis Hall of Fame in July 2013, and in the same month, announced that she was coming out of retirement to play a doubles tournament, with Daniela Hantuchová as her partner, in Carlsbad, California. She was accepted as a wildcard entry. She also played doubles in Toronto, Cincinnati, New Haven, and the US Open.
2014: US Open doubles finalist
Hingis helped Sabine Lisicki during the Australian Open. She participated in Champions Tennis League India to boost tennis in the country.
Hingis returned to the WTA Tour at Indian Wells, partnering Lisicki in the doubles. They lost in the first round to three-time Grand Slam finalists Ashleigh Barty and Casey Dellacqua. At the Sony Open in Miami, Hingis and Lisicki reached the finals of the tournament and then defeated Makarova and Vesnina in straight sets, marking Hingis's first title since she won the Qatar Ladies Open in 2007 and her first Premier Mandatory doubles title since winning the 2001 title in Moscow. This was also her third win in Miami, having won her last title there in 1999.
Hingis reached the final at Eastbourne with Pennetta where they lost to Chan Hao-ching and Chan Yung-jan of Taiwan. At the Wimbledon Championships, she reached the quarterfinals with partner Bruno Soares in mixed doubles, where they lost to Daniel Nestor and Kristina Mladenovic in straight sets.
Entering as an unseeded team at the US Open, Hingis and Pennetta reached the final, without losing a set in any of their matches. In the final they lost to Makarova and Vesnina in three sets.
At the latter end of the season, Hingis and Flavia Pennetta won two titles. At the tournament in Wuhan, they beat Cara Black and Caroline Garcia to take the title; in Moscow they beat Caroline Garcia and Arantxa Parra Santonja.
2015: Five Major doubles titles
In Hingis's first tournament of the year in Brisbane, she and partner Sabine Lisicki didn't drop a set en route to the title, beating Caroline Garcia and Katarina Srebotnik in straight sets in the final. Hingis played at the Australian Open with Flavia Pennetta, as the 4th seeds, but lost in the third round. However, Hingis paired with Leander Paes in the mixed doubles to win the title. The win was her first in a Grand Slam event since capturing the mixed-doubles crown at the 2006 Australian Open.
After early exits with Pennetta at the Dubai Tennis Championships and Qatar Ladies Open, Hingis then partnered with Indian player Sania Mirza; they won the first 20 sets they contested, subsequently winning back-to-back titles in two WTA Premier Mandatory events: the BNP Paribas Open in Indian Wells and the Miami Open, also winning afterwise the Family Circle Cup. They were defeated in the first round in Stuttgart. At the Madrid Open they lost in the quarterfinals to Australian Open champions Bethanie Mattek-Sands and Lucie Šafářová 11–9 in the super tie-break. They reached the quarterfinals of the French Open, losing again to Mattek-Sands and Šafářová, this time in straight sets.
Hingis made a comeback in Fed Cup after a 17-year absence. She was scheduled to play doubles only, but then decided to try another comeback in singles by playing in the Fed Cup tie for Switzerland. She drew Agnieszka Radwańska in the first rubber and was defeated in two sets in her first official tour match since 2007. She lost her second singles rubber too, defeated by Urszula Radwańska in three sets, having been a set and a double break up.
On 11 July 2015, Hingis and Mirza beat Makarova and Vesnina in three tight sets recovering from 5–2 down in the third to win the women's doubles tournament at Wimbledon. The win gave Hingis her first Grand Slam in women's doubles since the 2002 Australian Open. The following day, Hingis then won the mixed doubles final partnering with Leander Paes to defeat Alexander Peya and Tímea Babos in straight sets.
After two semifinal losses in Toronto and Cincinnati, Hingis won the mixed doubles title at the US Open on 12 September, partnering Paes, defeating Sam Querrey and Bethanie Mattek-Sands in three sets. The following day, Hingis and Mirza beat Casey Dellacqua and Yaroslava Shvedova in straight sets to win the doubles tournament. At the WTA Finals, they won all their group matches, including against Kops-Jones/Spears, Hlavackova/Hradecka and Babos/Mladenovic. In the semifinals they beat the Chan sisters, and then they beat the Spanish team Muguruza/Suarez Navarro to win the title. That month Hingis participated at the Champions Tennis League in India, playing for the Hyderabad Aces team.
2016: Mixed-doubles Career Grand Slam
In January, Hingis and Mirza won at Brisbane and Sydney. They then won the doubles tournament at the Australian Open, defeating Hlaváčková and Hradecká in the final, for their third consecutive Grand Slam title. Afterwards, Hingis said of their partnership: "There's not that many people who can match her in the forehand rallies and me on the backhand side and at the net. That's what we try to do every match." In mixed doubles, Hingis and Paes lost in the quarterfinals to Mirza and Ivan Dodig.
In February, Hingis represented Switzerland in the Fed Cup tie against Germany alongside Belinda Bencic and Timea Bacsinszky. Switzerland beat Germany 3–2, with Hingis and Bencic clinching the doubles rubber. Switzerland advanced to the semifinals, where the team lost to the defending champions the Czech Republic.
The Hingis-Mirza winning-streak record of 41 matches ended in the quarterfinals of the Qatar Total Open, where they lost to Kasatkina/Vesnina. Hingis and Mirza then proceeded to the BNP Paribas Open to defend their title. However, they suffered a shock as the unseeded Vania King/Alla Kudryavtseva defeated them in straight sets, 7–6(7), 6–4.
At the Miami Open, Mirza and Hingis lost in the second round to Margarita Gasparyan and Monica Niculescu.
Hingis and Mirza started their clay season by reaching the finals of Porsche Tennis Grand Prix and Mutua Madrid Open, where they lost to Kristina Mladenovic and Caroline Garcia in both the tournaments. However, they won the Italian Open, defeating Makarova and Vesnina. At the French Open, they were upset by Czech pair Barbora Krejčíková and Kateřina Siniaková in the third round, which ended their 20 match winning streak in Grand Slam doubles tournaments.
Hingis won the French Open mixed doubles partnering Leander Paes. It is her first mixed doubles title at Roland Garros, and she completed the mixed-doubles Career Grand Slam, becoming only the fourth woman ever to complete a career grand slam in both women's doubles and mixed doubles.
Hingis qualified for the 2016 Summer Olympics in Rio de Janeiro, 20 years after her last Olympic appearance. She played doubles with Timea Bacsinszky and won the silver medal, losing to Ekaterina Makarova and Elena Vesnina in straight sets in the final. Hingis then played at the US Open with CoCo Vandeweghe, where they made the semifinals and lost to top seeds Garcia and Mladenovic. At the WTA Finals, Hingis reunited with Sania Mirza in what would be the partnership's last tournament together; they defeated the Chan sisters in the quarterfinals but then lost to Makarova and Vesnina.
2017: Three Major doubles titles, back to world No. 1 & final retirement
Hingis continued to partner CoCo Vandeweghe in women's doubles competition at the start of the season. Together they reached the quarterfinals of the Sydney International, losing to eventual champions Tímea Babos and Anastasia Pavlyuchenkova, and the second round of the Australian Open, losing to the Australian duo of Ashleigh Barty and Casey Dellacqua. This capped a run of poor form, having gone 5–5 in tournaments since they made the semifinals at the US Open the previous season. As a result, Hingis split with Vandeweghe and entered a new partnership with Taiwan's Chan Yung-jan, who herself had just split with her sister Chan Hao-ching. In the mixed doubles competition at the Australian Open, Hingis reached the quarterfinals with Leander Paes before losing to another Australian duo, Samantha Stosur and Sam Groth in straight sets.
In preparation for the upcoming Fed Cup quarterfinal match between Switzerland and France, Hingis partnered with Belinda Bencic to defend her St. Petersburg title. The pair lost in the first round to Gabriela Dabrowski and Michaëlla Krajicek. In the Fed Cup quarterfinal match, Hingis instead paired up with Timea Bacsinszky and won their doubles match against Amandine Hesse and Kristina Mladenovic, helping the team to a 4–1 victory to advance to the semifinals.
In the first two tournaments of their new partnership, Hingis and Chan suffered some "tough" losses. They fell to Olga Savchuk and Yaroslava Shvedova in the semifinals of the Qatar Open and to Andrea Hlaváčková and Peng Shuai in straight sets in the quarterfinals of the Dubai Tennis Championships. However, they immediately rebounded by winning their first title together at the Indian Wells Open, defeating Hingis's old partner Sania Mirza with Barbora Strýcová in the quarterfinals, top seeded Mattek-Sands and Šafářová in the semifinals, and Czech pair Lucie Hradecká and Kateřina Siniaková in the final. They then reached the semifinals of the Miami Open, before losing to Mirza and Strýcová.
Hingis again sought to practice with a Swiss partner before the Fed Cup semifinal clash of Switzerland versus Belarus, and this time paired up with Bacsinszky to enter the inaugural Ladies Open Biel Bienne. Hingis and Bacsinszky reached the final, succumbing there to Hsieh Su-wei and Monica Niculescu. Despite winning her doubles rubber with Bacsinszky in the Fed Cup semifinal tie, Switzerland would ultimately lose 2–3. Switzerland had been seeking to reach its first final since Hingis had spearheaded the team to a narrow defeat to Spain in 1998.
In the clay-court season, Hingis and Chan continued their good form to win back-to-back titles at the Madrid and Italian Opens, defeating Tímea Babos and Andrea Hlaváčková and Ekaterina Makarova and Elena Vesnina respectively, in the finals of each event. Hingis's victory in Madrid was her 100th WTA career title. This success marked the pair as one of the pre-tournament favorites to win the French Open. Hingis and Chan reached the semifinals, where their 12 match winning streak was ended by eventual champions Mattek-Sands and Šafářová. Hingis and Paes lost in the opening round of the mixed doubles competition to Katarina Srebotnik and Raven Klaasen in a super tiebreak.
Hingis and Chan again won back-to-back titles, this time at the Mallorca Open and the Eastbourne International. At Mallorca, they won the title by walkover after Jelena Janković and Anastasija Sevastova withdrew from the title match owing to an injury sustained by Sevastova in the singles competition. At Eastbourne, they won after defeating Barty and Dellacqua in the final. However, like the French Open two months previous, Hingis and Chan could not replicate the success at Grand Slam level: losing at the quarterfinal stage to Grönefeld and Peschke at Wimbledon. In the mixed doubles competition, Hingis paired up with new partner Great Britain's Jamie Murray after splitting from Leander Paes. As top seeds they reached the final without losing a set, before defeating defending champions Heather Watson and Henri Kontinen in the championship match.
Hingis and Chan next played at the Canadian Open, where the German-Czech pair of Grönefeld and Peschke defeated them for the second tournament in a row in the quarterfinals. However, not to be deterred, a week later at the Cincinnati Open they produced another winning run and defeated Hsieh and Niculescu in the final to capture their next title together. On 14 August, Hingis and Chan became one of the first teams to qualify for the doubles competition at the year-end WTA Finals.
At the US Open, Hingis emerged victorious from both the women's and the mixed doubles competition. Jamie Murray and she defeated Chan Hao-ching and Michael Venus in the final to capture their second consecutive title together and remain undefeated as a pair. Then, less than 24 hours later with Chan, they defeated Hradecká and Siniaková in the final to win their first Major title together. In total, this was Hingis's 25th Grand Slam title across all disciplines.
Hingis and Chan extended their winning run to 18 matches in China by winning their third and fourth straight titles: the Wuhan and China Opens. In Wuhan, they defeated Shuko Aoyama and Yang Zhaoxuan in the final. With this win, Hingis ascended to the No. 1 ranking on 2 October for the 67th week in her career. In Beijing, they defeated Babos and Hlaváčková.
Hingis announced her retirement at the WTA finals in Singapore in October, 2017.
Playing style
Hingis was an all-court player who possessed an intelligent, crafty game. Hingis compensated for her lack of power with superior movement, anticipation, finesse, point construction, shot selection, and knowledge of the geometry of the court. Hingis used an Eastern grip for her forehand, allowing her to create sharp angles and dictate play. Her two-handed backhand was her most effective groundstroke, and was used to redirect power down the line. She could also hit her backhand one-handed with slice, and would use this shot to break up the pace of rallies. Her serve was not particularly powerful, and she rarely served aces, but was reliable, and she was proficient at defending her serve. Although her serve had been recorded as high as 111 mph (178 km/h), her first serve was typically delivered at 95 mph (152 km/h), and her second serve speed averaged 79 mph (127 km/h). She was one of the most effective returners on the WTA tour, positioning herself on the baseline to return first serves, and her superior sense of anticipation allowed her to read serves effectively. Due to her doubles experience, Hingis was one of the most effective players at the net on the WTA tour, possessing an almost complete repertoire of shots at the net, and she would frequently choose to finish points off at the net. One of Hingis's favourite combinations was a drop shot, followed by a lob; if the lob was returned, a simple volley would allow her to win the point efficiently. Hingis's major weaknesses were her nerves and inconsistency, which became more prominent later in her career. Hingis was comfortable, and proficient on, all surfaces, although she never won a singles title at the French Open.
Career statistics
Singles performance timeline
2If ITF Women's Circuit (hardcourt: 12–2; carpet: 6–1) and Fed Cup (10–0) participations are included, overall win-loss record: 548–133.
Grand Slam singles finals: 12 (5–7)
Doubles
Grand Slam doubles finals: 16 (13–3)
By winning the 1998 US Open title, Hingis completed the doubles Career Grand Slam, becoming the 17th female player in history to achieve this, as well as the youngest. It also meant she completed the Calendar Year Grand Slam, becoming the fourth woman in history to achieve the feat in doubles.
Mixed doubles
Mixed doubles finals: 7 (7–0)
By winning the 2016 French Open title, Hingis completed the mixed doubles Career Grand Slam. She became the 7th female player in history to achieve this.
Records
These records were attained in Open Era of tennis.
By winning Wimbledon doubles title in 1996 with Helena Suková became youngest doubles winner at 15 years, 282 days and youngest ever Grand Slam winner.
By winning Australian singles title in 1997, became youngest winner there in tennis history at 16 years and 3 months.
By defeating Monica Seles 6–2, 6–1 in 1997 at Key Biscayne, ascended the no. 1 spot as the youngest ever in tennis history.
Became the youngest ever year-end No.1 in 1997 in tennis history.
By winning the US Open against Venus Williams in 1997, Hingis contended all Grand Slam tournament finals that year; second youngest winner in the US Open at 16 years, 11 months and 8 days.
Won the Australian and US Open in 1997 without losing a set.
In 1997, from Sydney to the final of Roland Garros had a 37-match winning streak, best from 1995 until present.
By winning the US Open doubles title in 1998 with Jana Novotná, completed a doubles Grand Slam, third player in the Open Era.
Held simultaneously the no. 1 position for singles and doubles in 1998.
Most successful player to play the Toray Pan-Pacific Tournament with 5 wins in 1997, 1999, 2000, 2002, 2007, and reached 8 finals in 1997, 1998, 1999, 2000, 2001, 2002, 2006, 2007.
Compiled 103 top-10 wins (behind Serena Williams 164, Lindsay Davenport 129, and Venus Williams 127), 43 singles titles, 64 doubles titles, 7 mixed doubles titles, and 209 weeks at no.1 (5th behind Steffi Graf, Martina Navratilova, Chris Evert and Serena Williams).
In 2015, won three Grand Slam Mixed Doubles title with Leander Paes, an accomplishment last achieved in 1969 by Margaret Court and Marty Riessen
Most Mixed Doubles titles (2) won by a woman player in Open Era in Australian Open
Only player in the Open Era to win the Australian Open singles and doubles titles three consecutive years.
1997 (S) d. Pierce, (D) w/Zvereva d. Davenport/Raymond
1998 (S) d. Martinez, (D) w/Lučić d. Davenport/Zvereva
1999 (S) d. Mauresmo, (D) w/Kournikova d. Davenport/Zvereva
Awards
1992: Swiss Champion together with the tennisclub TC Schützenwiese (from Winterthur) in the Interclub-Championships.
1994: ITF Junior Girls Singles World Champion.
1995: WTA Newcomer of the Year.
1995: Named "Female Rookie of the Year" by Tennis magazine.
1996: WTA Most Improved Player of the Year.
1997: Associated Press Female Athlete of the Year.
1997: WTA Player of the Year.
1997: ITF World Champion – Women's Singles.
1997: BBC Overseas Sports Personality of the Year.
1998: First female athlete to be on the cover of the American men's magazine GQ in June 1998.
1998: WTA Doubles Team of the Year (with Jana Novotná).
1999: WTA Doubles Team of the Year (with Anna Kournikova).
1999: ITF World Champion – Women's Singles.
1999: ITF World Champion – Women's Doubles (with Anna Kournikova).
2000: ITF World Champion – Women's Singles.
2000: One of five female tennis players named to the 2000 Forbes magazine Power 100 in Fame and Fortune list at No. 51.
2000: WTA Diamond Aces Award.
2002: Elected to Tour Players' Council.
2006: Laureus World Sports Award for Comeback of the Year.
2007: Surpassed US$20 million in career earnings at the Sony Ericsson Open in Key Biscayne, Florida, the fourth female player to do so (after Steffi Graf, Martina Navratilova, and Lindsay Davenport). She was fourth in the all-time money list at $20,033,600 after the tournament.
2007: Meredith Inspiration Award for inspiring women around the world – Family Circle Cup/Family Circle magazine
2013: Inducted into the International Tennis Hall of Fame on 13 July 2013
2015: First Global Ambassador for the International Tennis Hall of Fame.
2015: WTA Doubles Team of the Year with Sania Mirza.
2015: ITF World Champion – Women's Doubles (with Sania Mirza).
2017: WTA Doubles Team of the Year with Chan Yung-jan.
2017: ITF World Champion – Women's Doubles (with Chan Yung-jan).
Notable accolades
Except for the French Open, she won every major WTA Tour singles title at least once during her career (Grand Slam tournaments, WTA Tour Championships, and Tier I tournaments).
Except for Berlin, she won every major WTA Tour doubles title at least once during her career (Grand Slam tournaments, WTA Tour Championships, and Tier I tournaments).
By reaching the 2016 French Open mixed doubles finals, Hingis joined an elite group of players who have reached the finals in all 4 Grand Slams across singles, doubles, and mixed doubles.
Equipment endorsements
Hingis's current on-court apparel is manufactured by Tonic Lifestyle Apparel; having her own clothing line: Tonic by Martina Hingis. She is sponsored by Yonex for racquets and shoes.
In the 1990s, Hingis was sponsored by Sergio Tacchini. In 1998 she suffered a foot injury, and she withdrew from the Wimbledon doubles competition in 1999. She sued the company in 2001 for making allegedly defective shoes that injured her feet. Hingis and Tacchini settled in 2005 for an undisclosed amount of money. She was sponsored by Adidas from 1999 until 2008.
Personal life
Hingis speaks four languages: German, Czech, English and French.
On 10 December 2010, in Paris, Hingis married then-24-year-old Thibault Hutin, a French equestrian show jumper she had met at a competition the previous April. On 8 July 2013, Hingis told the Swiss newspaper Schweizer Illustrierte the pair had been separated since the beginning of the year.
On 20 July 2018, Hingis married sports physician Harald Leemann in Switzerland in a secret ceremony at the Grand Resort Bad Ragaz. Hingis and Leemann had been in a relationship for almost a year before they got married. They were both 37.
On 30 September 2018 (her 38th birthday) Hingis announced, via social media, her first pregnancy. She gave birth to a daughter, Lia, on 26 February 2019.
See also
WTA Tour records
List of WTA number 1 ranked singles players
List of WTA number 1 ranked doubles players
List of female tennis players
List of tennis rivalries
List of Grand Slam women's singles champions
List of Grand Slam women's doubles champions
Open Era tennis records – women's singles
All-time tennis records – women's singles
References
External links
ITF Press release: Decision in the case of Martina Hingis
Representation Agency for Martina Hingis
1980 births
Living people
20th-century Swiss people
21st-century Swiss people
Australian Open (tennis) champions
Czechoslovak defectors
Czechoslovak emigrants to Switzerland
Doping cases in tennis
French Open junior champions
Grand Slam (tennis) champions in women's singles
Grand Slam (tennis) champions in women's doubles
Grand Slam (tennis) champions in mixed doubles
Grand Slam (tennis) champions in girls' singles
Grand Slam (tennis) champions in girls' doubles
International Tennis Hall of Fame inductees
Laureus World Sports Awards winners
Olympic tennis players of Switzerland
People from the canton of St. Gallen
Sportspeople from Košice
Swiss female tennis players
Swiss sportspeople in doping cases
Tennis players at the 1996 Summer Olympics
Tennis players at the 2016 Summer Olympics
US Open (tennis) champions
Wimbledon champions
Wimbledon junior champions
World No. 1 tennis players
Olympic silver medalists for Switzerland
Medalists at the 2016 Summer Olympics
Olympic medalists in tennis
20th-century Swiss women
21st-century Swiss women |
19048 | https://en.wikipedia.org/wiki/Mass | Mass | Mass is the quantity of matter in a physical body. It is also a measure of the body's inertia, the resistance to acceleration (change of velocity) when a net force is applied. An object's mass also determines the strength of its gravitational attraction to other bodies.
The SI base unit of mass is the kilogram (kg). In physics, mass is not the same as weight, even though mass is often determined by measuring the object's weight using a spring scale, rather than balance scale comparing it directly with known masses. An object on the Moon would weigh less than it does on Earth because of the lower gravity, but it would still have the same mass. This is because weight is a force, while mass is the property that (along with gravity) determines the strength of this force.
Phenomena
There are several distinct phenomena that can be used to measure mass. Although some theorists have speculated that some of these phenomena could be independent of each other, current experiments have found no difference in results regardless of how it is measured:
Inertial mass measures an object's resistance to being accelerated by a force (represented by the relationship ).
Active gravitational mass determines the strength of the gravitational field generated by an object.
Passive gravitational mass measures the gravitational force exerted on an object in a known gravitational field.
The mass of an object determines its acceleration in the presence of an applied force. The inertia and the inertial mass describe this property of physical bodies at the qualitative and quantitative level respectively. According to Newton's second law of motion, if a body of fixed mass m is subjected to a single force F, its acceleration a is given by F/m. A body's mass also determines the degree to which it generates and is affected by a gravitational field. If a first body of mass mA is placed at a distance r (center of mass to center of mass) from a second body of mass mB, each body is subject to an attractive force , where is the "universal gravitational constant". This is sometimes referred to as gravitational mass. Repeated experiments since the 17th century have demonstrated that inertial and gravitational mass are identical; since 1915, this observation has been incorporated a priori in the equivalence principle of general relativity.
Units of mass
The International System of Units (SI) unit of mass is the kilogram (kg). The kilogram is 1000 grams (g), and was first defined in 1795 as the mass of one cubic decimetre of water at the melting point of ice. However, because precise measurement of a cubic decimetre of water at the specified temperature and pressure was difficult, in 1889 the kilogram was redefined as the mass of a metal object, and thus became independent of the metre and the properties of water, this being a copper prototype of the grave in 1793, the platinum Kilogramme des Archives in 1799, and the platinum-iridium International Prototype of the Kilogram (IPK) in 1889.
However, the mass of the IPK and its national copies have been found to drift over time. The re-definition of the kilogram and several other units came into effect on 20 May 2019, following a final vote by the CGPM in November 2018. The new definition uses only invariant quantities of nature: the speed of light, the caesium hyperfine frequency, the Planck constant and the elementary charge.
Non-SI units accepted for use with SI units include:
the tonne (t) (or "metric ton"), equal to 1000 kg
the electronvolt (eV), a unit of energy, used to express mass in units of eV/c2 through mass–energy equivalence
the dalton (Da), equal to 1/12 of the mass of a free carbon-12 atom, approximately .
Outside the SI system, other units of mass include:
the slug (sl), an Imperial unit of mass (about 14.6 kg)
the pound (lb), a unit of mass (about 0.45 kg), which is used alongside the similarly named pound (force) (about 4.5 N), a unit of force
the Planck mass (about ), a quantity derived from fundamental constants
the solar mass (), defined as the mass of the Sun, primarily used in astronomy to compare large masses such as stars or galaxies (≈ )
the mass of a particle, as identified with its inverse Compton wavelength ()
the mass of a star or black hole, as identified with its Schwarzschild radius ().
Definitions
In physical science, one may distinguish conceptually between at least seven different aspects of mass, or seven physical notions that involve the concept of mass. Every experiment to date has shown these seven values to be proportional, and in some cases equal, and this proportionality gives rise to the abstract concept of mass. There are a number of ways mass can be measured or operationally defined:
Inertial mass is a measure of an object's resistance to acceleration when a force is applied. It is determined by applying a force to an object and measuring the acceleration that results from that force. An object with small inertial mass will accelerate more than an object with large inertial mass when acted upon by the same force. One says the body of greater mass has greater inertia.
Active gravitational mass is a measure of the strength of an object's gravitational flux (gravitational flux is equal to the surface integral of gravitational field over an enclosing surface). Gravitational field can be measured by allowing a small "test object" to fall freely and measuring its free-fall acceleration. For example, an object in free-fall near the Moon is subject to a smaller gravitational field, and hence accelerates more slowly, than the same object would if it were in free-fall near the Earth. The gravitational field near the Moon is weaker because the Moon has less active gravitational mass.
Passive gravitational mass is a measure of the strength of an object's interaction with a gravitational field. Passive gravitational mass is determined by dividing an object's weight by its free-fall acceleration. Two objects within the same gravitational field will experience the same acceleration; however, the object with a smaller passive gravitational mass will experience a smaller force (less weight) than the object with a larger passive gravitational mass.
Energy also has mass according to the principle of mass–energy equivalence. This equivalence is exemplified in a large number of physical processes including pair production, nuclear fusion, and the gravitational bending of light. Pair production and nuclear fusion are processes in which measurable amounts of mass are converted to energy or vice versa. In the gravitational bending of light, photons of pure energy are shown to exhibit a behavior similar to passive gravitational mass.
Curvature of spacetime is a relativistic manifestation of the existence of mass. Such curvature is extremely weak and difficult to measure. For this reason, curvature was not discovered until after it was predicted by Einstein's theory of general relativity. Extremely precise atomic clocks on the surface of the Earth, for example, are found to measure less time (run slower) when compared to similar clocks in space. This difference in elapsed time is a form of curvature called gravitational time dilation. Other forms of curvature have been measured using the Gravity Probe B satellite.
Quantum mass manifests itself as a difference between an object's quantum frequency and its wave number. The quantum mass of a particle is proportional to the inverse Compton wavelength and can be determined through various forms of spectroscopy. In relativistic quantum mechanics, mass is one of the irreducible representation labels of the Poincaré group.
Weight vs. mass
In everyday usage, mass and "weight" are often used interchangeably. For instance, a person's weight may be stated as 75 kg. In a constant gravitational field, the weight of an object is proportional to its mass, and it is unproblematic to use the same unit for both concepts. But because of slight differences in the strength of the Earth's gravitational field at different places, the distinction becomes important for measurements with a precision better than a few percent, and for places far from the surface of the Earth, such as in space or on other planets. Conceptually, "mass" (measured in kilograms) refers to an intrinsic property of an object, whereas "weight" (measured in newtons) measures an object's resistance to deviating from its natural course of free fall, which can be influenced by the nearby gravitational field. No matter how strong the gravitational field, objects in free fall are weightless, though they still have mass.
The force known as "weight" is proportional to mass and acceleration in all situations where the mass is accelerated away from free fall. For example, when a body is at rest in a gravitational field (rather than in free fall), it must be accelerated by a force from a scale or the surface of a planetary body such as the Earth or the Moon. This force keeps the object from going into free fall. Weight is the opposing force in such circumstances and is thus determined by the acceleration of free fall. On the surface of the Earth, for example, an object with a mass of 50 kilograms weighs 491 newtons, which means that 491 newtons is being applied to keep the object from going into free fall. By contrast, on the surface of the Moon, the same object still has a mass of 50 kilograms but weighs only 81.5 newtons, because only 81.5 newtons is required to keep this object from going into a free fall on the moon. Restated in mathematical terms, on the surface of the Earth, the weight W of an object is related to its mass m by , where is the acceleration due to Earth's gravitational field, (expressed as the acceleration experienced by a free-falling object).
For other situations, such as when objects are subjected to mechanical accelerations from forces other than the resistance of a planetary surface, the weight force is proportional to the mass of an object multiplied by the total acceleration away from free fall, which is called the proper acceleration. Through such mechanisms, objects in elevators, vehicles, centrifuges, and the like, may experience weight forces many times those caused by resistance to the effects of gravity on objects, resulting from planetary surfaces. In such cases, the generalized equation for weight W of an object is related to its mass m by the equation , where a is the proper acceleration of the object caused by all influences other than gravity. (Again, if gravity is the only influence, such as occurs when an object falls freely, its weight will be zero).
Inertial vs. gravitational mass
Although inertial mass, passive gravitational mass and active gravitational mass are conceptually distinct, no experiment has ever unambiguously demonstrated any difference between them. In classical mechanics, Newton's third law implies that active and passive gravitational mass must always be identical (or at least proportional), but the classical theory offers no compelling reason why the gravitational mass has to equal the inertial mass. That it does is merely an empirical fact.
Albert Einstein developed his general theory of relativity starting with the assumption that the inertial and passive gravitational masses are the same. This is known as the equivalence principle.
The particular equivalence often referred to as the "Galilean equivalence principle" or the "weak equivalence principle" has the most important consequence for freely falling objects. Suppose an object has inertial and gravitational masses m and M, respectively. If the only force acting on the object comes from a gravitational field g, the force on the object is:
Given this force, the acceleration of the object can be determined by Newton's second law:
Putting these together, the gravitational acceleration is given by:
This says that the ratio of gravitational to inertial mass of any object is equal to some constant K if and only if all objects fall at the same rate in a given gravitational field. This phenomenon is referred to as the "universality of free-fall". In addition, the constant K can be taken as 1 by defining our units appropriately.
The first experiments demonstrating the universality of free-fall were—according to scientific 'folklore'—conducted by Galileo obtained by dropping objects from the Leaning Tower of Pisa. This is most likely apocryphal: he is more likely to have performed his experiments with balls rolling down nearly frictionless inclined planes to slow the motion and increase the timing accuracy. Increasingly precise experiments have been performed, such as those performed by Loránd Eötvös, using the torsion balance pendulum, in 1889. , no deviation from universality, and thus from Galilean equivalence, has ever been found, at least to the precision 10−12. More precise experimental efforts are still being carried out.
The universality of free-fall only applies to systems in which gravity is the only acting force. All other forces, especially friction and air resistance, must be absent or at least negligible. For example, if a hammer and a feather are dropped from the same height through the air on Earth, the feather will take much longer to reach the ground; the feather is not really in free-fall because the force of air resistance upwards against the feather is comparable to the downward force of gravity. On the other hand, if the experiment is performed in a vacuum, in which there is no air resistance, the hammer and the feather should hit the ground at exactly the same time (assuming the acceleration of both objects towards each other, and of the ground towards both objects, for its own part, is negligible). This can easily be done in a high school laboratory by dropping the objects in transparent tubes that have the air removed with a vacuum pump. It is even more dramatic when done in an environment that naturally has a vacuum, as David Scott did on the surface of the Moon during Apollo 15.
A stronger version of the equivalence principle, known as the Einstein equivalence principle or the strong equivalence principle, lies at the heart of the general theory of relativity. Einstein's equivalence principle states that within sufficiently small regions of space-time, it is impossible to distinguish between a uniform acceleration and a uniform gravitational field. Thus, the theory postulates that the force acting on a massive object caused by a gravitational field is a result of the object's tendency to move in a straight line (in other words its inertia) and should therefore be a function of its inertial mass and the strength of the gravitational field.
Origin
In theoretical physics, a mass generation mechanism is a theory which attempts to explain the origin of mass from the most fundamental laws of physics. To date, a number of different models have been proposed which advocate different views of the origin of mass. The problem is complicated by the fact that the notion of mass is strongly related to the gravitational interaction but a theory of the latter has not been yet reconciled with the currently popular model of particle physics, known as the Standard Model.
Pre-Newtonian concepts
Weight as an amount
The concept of amount is very old and predates recorded history. Humans, at some early era, realized that the weight of a collection of similar objects was directly proportional to the number of objects in the collection:
where W is the weight of the collection of similar objects and n is the number of objects in the collection. Proportionality, by definition, implies that two values have a constant ratio:
, or equivalently
An early use of this relationship is a balance scale, which balances the force of one object's weight against the force of another object's weight. The two sides of a balance scale are close enough that the objects experience similar gravitational fields. Hence, if they have similar masses then their weights will also be similar. This allows the scale, by comparing weights, to also compare masses.
Consequently, historical weight standards were often defined in terms of amounts. The Romans, for example, used the carob seed (carat or siliqua) as a measurement standard. If an object's weight was equivalent to 1728 carob seeds, then the object was said to weigh one Roman pound. If, on the other hand, the object's weight was equivalent to 144 carob seeds then the object was said to weigh one Roman ounce (uncia). The Roman pound and ounce were both defined in terms of different sized collections of the same common mass standard, the carob seed. The ratio of a Roman ounce (144 carob seeds) to a Roman pound (1728 carob seeds) was:
Planetary motion
In 1600 AD, Johannes Kepler sought employment with Tycho Brahe, who had some of the most precise astronomical data available. Using Brahe's precise observations of the planet Mars, Kepler spent the next five years developing his own method for characterizing planetary motion. In 1609, Johannes Kepler published his three laws of planetary motion, explaining how the planets orbit the Sun. In Kepler's final planetary model, he described planetary orbits as following elliptical paths with the Sun at a focal point of the ellipse. Kepler discovered that the square of the orbital period of each planet is directly proportional to the cube of the semi-major axis of its orbit, or equivalently, that the ratio of these two values is constant for all planets in the Solar System.
On 25 August 1609, Galileo Galilei demonstrated his first telescope to a group of Venetian merchants, and in early January 1610, Galileo observed four dim objects near Jupiter, which he mistook for stars. However, after a few days of observation, Galileo realized that these "stars" were in fact orbiting Jupiter. These four objects (later named the Galilean moons in honor of their discoverer) were the first celestial bodies observed to orbit something other than the Earth or Sun. Galileo continued to observe these moons over the next eighteen months, and by the middle of 1611, he had obtained remarkably accurate estimates for their periods.
Galilean free fall
Sometime prior to 1638, Galileo turned his attention to the phenomenon of objects in free fall, attempting to characterize these motions. Galileo was not the first to investigate Earth's gravitational field, nor was he the first to accurately describe its fundamental characteristics. However, Galileo's reliance on scientific experimentation to establish physical principles would have a profound effect on future generations of scientists. It is unclear if these were just hypothetical experiments used to illustrate a concept, or if they were real experiments performed by Galileo, but the results obtained from these experiments were both realistic and compelling. A biography by Galileo's pupil Vincenzo Viviani stated that Galileo had dropped balls of the same material, but different masses, from the Leaning Tower of Pisa to demonstrate that their time of descent was independent of their mass. In support of this conclusion, Galileo had advanced the following theoretical argument: He asked if two bodies of different masses and different rates of fall are tied by a string, does the combined system fall faster because it is now more massive, or does the lighter body in its slower fall hold back the heavier body? The only convincing resolution to this question is that all bodies must fall at the same rate.
A later experiment was described in Galileo's Two New Sciences published in 1638. One of Galileo's fictional characters, Salviati, describes an experiment using a bronze ball and a wooden ramp. The wooden ramp was "12 cubits long, half a cubit wide and three finger-breadths thick" with a straight, smooth, polished groove. The groove was lined with "parchment, also smooth and polished as possible". And into this groove was placed "a hard, smooth and very round bronze ball". The ramp was inclined at various angles to slow the acceleration enough so that the elapsed time could be measured. The ball was allowed to roll a known distance down the ramp, and the time taken for the ball to move the known distance was measured. The time was measured using a water clock described as follows:
"a large vessel of water placed in an elevated position; to the bottom of this vessel was soldered a pipe of small diameter giving a thin jet of water, which we collected in a small glass during the time of each descent, whether for the whole length of the channel or for a part of its length; the water thus collected was weighed, after each descent, on a very accurate balance; the differences and ratios of these weights gave us the differences and ratios of the times, and this with such accuracy that although the operation was repeated many, many times, there was no appreciable discrepancy in the results."
Galileo found that for an object in free fall, the distance that the object has fallen is always proportional to the square of the elapsed time:
Galileo had shown that objects in free fall under the influence of the Earth's gravitational field have a constant acceleration, and Galileo's contemporary, Johannes Kepler, had shown that the planets follow elliptical paths under the influence of the Sun's gravitational mass. However, Galileo's free fall motions and Kepler's planetary motions remained distinct during Galileo's lifetime.
Newtonian mass
Robert Hooke had published his concept of gravitational forces in 1674, stating that all celestial bodies have an attraction or gravitating power towards their own centers, and also attract all the other celestial bodies that are within the sphere of their activity. He further stated that gravitational attraction increases by how much nearer the body wrought upon is to its own center. In correspondence with Isaac Newton from 1679 and 1680, Hooke conjectured that gravitational forces might decrease according to the double of the distance between the two bodies. Hooke urged Newton, who was a pioneer in the development of calculus, to work through the mathematical details of Keplerian orbits to determine if Hooke's hypothesis was correct. Newton's own investigations verified that Hooke was correct, but due to personal differences between the two men, Newton chose not to reveal this to Hooke. Isaac Newton kept quiet about his discoveries until 1684, at which time he told a friend, Edmond Halley, that he had solved the problem of gravitational orbits, but had misplaced the solution in his office. After being encouraged by Halley, Newton decided to develop his ideas about gravity and publish all of his findings. In November 1684, Isaac Newton sent a document to Edmund Halley, now lost but presumed to have been titled De motu corporum in gyrum (Latin for "On the motion of bodies in an orbit"). Halley presented Newton's findings to the Royal Society of London, with a promise that a fuller presentation would follow. Newton later recorded his ideas in a three-book set, entitled Philosophiæ Naturalis Principia Mathematica (Latin: Mathematical Principles of Natural Philosophy). The first was received by the Royal Society on 28 April 1685–86; the second on 2 March 1686–87; and the third on 6 April 1686–87. The Royal Society published Newton's entire collection at their own expense in May 1686–87.
Isaac Newton had bridged the gap between Kepler's gravitational mass and Galileo's gravitational acceleration, resulting in the discovery of the following relationship which governed both of these:
where g is the apparent acceleration of a body as it passes through a region of space where gravitational fields exist, μ is the gravitational mass (standard gravitational parameter) of the body causing gravitational fields, and R is the radial coordinate (the distance between the centers of the two bodies).
By finding the exact relationship between a body's gravitational mass and its gravitational field, Newton provided a second method for measuring gravitational mass. The mass of the Earth can be determined using Kepler's method (from the orbit of Earth's Moon), or it can be determined by measuring the gravitational acceleration on the Earth's surface, and multiplying that by the square of the Earth's radius. The mass of the Earth is approximately three-millionths of the mass of the Sun. To date, no other accurate method for measuring gravitational mass has been discovered.
Newton's cannonball
Newton's cannonball was a thought experiment used to bridge the gap between Galileo's gravitational acceleration and Kepler's elliptical orbits. It appeared in Newton's 1728 book A Treatise of the System of the World. According to Galileo's concept of gravitation, a dropped stone falls with constant acceleration down towards the Earth. However, Newton explains that when a stone is thrown horizontally (meaning sideways or perpendicular to Earth's gravity) it follows a curved path. "For a stone projected is by the pressure of its own weight forced out of the rectilinear path, which by the projection alone it should have pursued, and made to describe a curve line in the air; and through that crooked way is at last brought down to the ground. And the greater the velocity is with which it is projected, the farther it goes before it falls to the Earth." Newton further reasons that if an object were "projected in an horizontal direction from the top of a high mountain" with sufficient velocity, "it would reach at last quite beyond the circumference of the Earth, and return to the mountain from which it was projected."
Universal gravitational mass
In contrast to earlier theories (e.g. celestial spheres) which stated that the heavens were made of entirely different material, Newton's theory of mass was groundbreaking partly because it introduced universal gravitational mass: every object has gravitational mass, and therefore, every object generates a gravitational field. Newton further assumed that the strength of each object's gravitational field would decrease according to the square of the distance to that object. If a large collection of small objects were formed into a giant spherical body such as the Earth or Sun, Newton calculated the collection would create a gravitational field proportional to the total mass of the body, and inversely proportional to the square of the distance to the body's center.
For example, according to Newton's theory of universal gravitation, each carob seed produces a gravitational field. Therefore, if one were to gather an immense number of carob seeds and form them into an enormous sphere, then the gravitational field of the sphere would be proportional to the number of carob seeds in the sphere. Hence, it should be theoretically possible to determine the exact number of carob seeds that would be required to produce a gravitational field similar to that of the Earth or Sun. In fact, by unit conversion it is a simple matter of abstraction to realize that any traditional mass unit can theoretically be used to measure gravitational mass.
Measuring gravitational mass in terms of traditional mass units is simple in principle, but extremely difficult in practice. According to Newton's theory, all objects produce gravitational fields and it is theoretically possible to collect an immense number of small objects and form them into an enormous gravitating sphere. However, from a practical standpoint, the gravitational fields of small objects are extremely weak and difficult to measure. Newton's books on universal gravitation were published in the 1680s, but the first successful measurement of the Earth's mass in terms of traditional mass units, the Cavendish experiment, did not occur until 1797, over a hundred years later. Henry Cavendish found that the Earth's density was 5.448 ± 0.033 times that of water. As of 2009, the Earth's mass in kilograms is only known to around five digits of accuracy, whereas its gravitational mass is known to over nine significant figures.
Given two objects A and B, of masses MA and MB, separated by a displacement RAB, Newton's law of gravitation states that each object exerts a gravitational force on the other, of magnitude
,
where G is the universal gravitational constant. The above statement may be reformulated in the following way: if g is the magnitude at a given location in a gravitational field, then the gravitational force on an object with gravitational mass M is
.
This is the basis by which masses are determined by weighing. In simple spring scales, for example, the force F is proportional to the displacement of the spring beneath the weighing pan, as per Hooke's law, and the scales are calibrated to take g into account, allowing the mass M to be read off. Assuming the gravitational field is equivalent on both sides of the balance, a balance measures relative weight, giving the relative gravitation mass of each object.
Inertial mass
Inertial mass is the mass of an object measured by its resistance to acceleration. This definition has been championed by Ernst Mach and has since been developed into the notion of operationalism by Percy W. Bridgman. The simple classical mechanics definition of mass differs slightly from the definition in the theory of special relativity, but the essential meaning is the same.
In classical mechanics, according to Newton's second law, we say that a body has a mass m if, at any instant of time, it obeys the equation of motion
where F is the resultant force acting on the body and a is the acceleration of the body's centre of mass. For the moment, we will put aside the question of what "force acting on the body" actually means.
This equation illustrates how mass relates to the inertia of a body. Consider two objects with different masses. If we apply an identical force to each, the object with a bigger mass will experience a smaller acceleration, and the object with a smaller mass will experience a bigger acceleration. We might say that the larger mass exerts a greater "resistance" to changing its state of motion in response to the force.
However, this notion of applying "identical" forces to different objects brings us back to the fact that we have not really defined what a force is. We can sidestep this difficulty with the help of Newton's third law, which states that if one object exerts a force on a second object, it will experience an equal and opposite force. To be precise, suppose we have two objects of constant inertial masses m1 and m2. We isolate the two objects from all other physical influences, so that the only forces present are the force exerted on m1 by m2, which we denote F12, and the force exerted on m2 by m1, which we denote F21. Newton's second law states that
where a1 and a2 are the accelerations of m1 and m2, respectively. Suppose that these accelerations are non-zero, so that the forces between the two objects are non-zero. This occurs, for example, if the two objects are in the process of colliding with one another. Newton's third law then states that
and thus
If is non-zero, the fraction is well-defined, which allows us to measure the inertial mass of m1. In this case, m2 is our "reference" object, and we can define its mass m as (say) 1 kilogram. Then we can measure the mass of any other object in the universe by colliding it with the reference object and measuring the accelerations.
Additionally, mass relates a body's momentum p to its linear velocity v:
,
and the body's kinetic energy K to its velocity:
.
The primary difficulty with Mach's definition of mass is that it fails to take into account the potential energy (or binding energy) needed to bring two masses sufficiently close to one another to perform the measurement of mass. This is most vividly demonstrated by comparing the mass of the proton in the nucleus of deuterium, to the mass of the proton in free space (which is greater by about 0.239%—this is due to the binding energy of deuterium). Thus, for example, if the reference weight m2 is taken to be the mass of the neutron in free space, and the relative accelerations for the proton and neutron in deuterium are computed, then the above formula over-estimates the mass m1 (by 0.239%) for the proton in deuterium. At best, Mach's formula can only be used to obtain ratios of masses, that is, as m1 / m2 = / . An additional difficulty was pointed out by Henri Poincaré, which is that the measurement of instantaneous acceleration is impossible: unlike the measurement of time or distance, there is no way to measure acceleration with a single measurement; one must make multiple measurements (of position, time, etc.) and perform a computation to obtain the acceleration. Poincaré termed this to be an "insurmountable flaw" in the Mach definition of mass.
Atomic masses
Typically, the mass of objects is measured in terms of the kilogram, which since 2019 is defined in terms of fundamental constants of nature. The mass of an atom or other particle can be compared more precisely and more conveniently to that of another atom, and thus scientists developed the dalton (also known as the unified atomic mass unit). By definition, 1 Da (one dalton) is exactly one-twelfth of the mass of a carbon-12 atom, and thus, a carbon-12 atom has a mass of exactly 12 Da.
In relativity
Special relativity
In some frameworks of special relativity, physicists have used different definitions of the term. In these frameworks, two kinds of mass are defined: rest mass (invariant mass), and relativistic mass (which increases with velocity). Rest mass is the Newtonian mass as measured by an observer moving along with the object. Relativistic mass is the total quantity of energy in a body or system divided by c2. The two are related by the following equation:
where is the Lorentz factor:
The invariant mass of systems is the same for observers in all inertial frames, while the relativistic mass depends on the observer's frame of reference. In order to formulate the equations of physics such that mass values do not change between observers, it is convenient to use rest mass. The rest mass of a body is also related to its energy E and the magnitude of its momentum p by the relativistic energy-momentum equation:
So long as the system is closed with respect to mass and energy, both kinds of mass are conserved in any given frame of reference. The conservation of mass holds even as some types of particles are converted to others. Matter particles (such as atoms) may be converted to non-matter particles (such as photons of light), but this does not affect the total amount of mass or energy. Although things like heat may not be matter, all types of energy still continue to exhibit mass. Thus, mass and energy do not change into one another in relativity; rather, both are names for the same thing, and neither mass nor energy appear without the other.
Both rest and relativistic mass can be expressed as an energy by applying the well-known relationship E = mc2, yielding rest energy and "relativistic energy" (total system energy) respectively:
The "relativistic" mass and energy concepts are related to their "rest" counterparts, but they do not have the same value as their rest counterparts in systems where there is a net momentum. Because the relativistic mass is proportional to the energy, it has gradually fallen into disuse among physicists. There is disagreement over whether the concept remains useful pedagogically.
In bound systems, the binding energy must often be subtracted from the mass of the unbound system, because binding energy commonly leaves the system at the time it is bound. The mass of the system changes in this process merely because the system was not closed during the binding process, so the energy escaped. For example, the binding energy of atomic nuclei is often lost in the form of gamma rays when the nuclei are formed, leaving nuclides which have less mass than the free particles (nucleons) of which they are composed.
Mass–energy equivalence also holds in macroscopic systems. For example, if one takes exactly one kilogram of ice, and applies heat, the mass of the resulting melt-water will be more than a kilogram: it will include the mass from the thermal energy (latent heat) used to melt the ice; this follows from the conservation of energy. This number is small but not negligible: about 3.7 nanograms. It is given by the latent heat of melting ice (334 kJ/kg) divided by the speed of light squared (c2 ≈ ).
General relativity
In general relativity, the equivalence principle is the equivalence of gravitational and inertial mass. At the core of this assertion is Albert Einstein's idea that the gravitational force as experienced locally while standing on a massive body (such as the Earth) is the same as the pseudo-force experienced by an observer in a non-inertial (i.e. accelerated) frame of reference.
However, it turns out that it is impossible to find an objective general definition for the concept of invariant mass in general relativity. At the core of the problem is the non-linearity of the Einstein field equations, making it impossible to write the gravitational field energy as part of the stress–energy tensor in a way that is invariant for all observers. For a given observer, this can be achieved by the stress–energy–momentum pseudotensor.
In quantum physics
In classical mechanics, the inert mass of a particle appears in the Euler–Lagrange equation as a parameter m:
.
After quantization, replacing the position vector x with a wave function, the parameter m appears in the kinetic energy operator:
.
In the ostensibly covariant (relativistically invariant) Dirac equation, and in natural units, this becomes:
where the "mass" parameter m is now simply a constant associated with the quantum described by the wave function ψ.
In the Standard Model of particle physics as developed in the 1960s, this term arises from the coupling of the field ψ to an additional field Φ, the Higgs field. In the case of fermions, the Higgs mechanism results in the replacement of the term mψ in the Lagrangian with . This shifts the explanandum of the value for the mass of each elementary particle to the value of the unknown coupling constant Gψ.
Tachyonic particles and imaginary (complex) mass
A tachyonic field, or simply tachyon, is a quantum field with an imaginary mass. Although tachyons (particles that move faster than light) are a purely hypothetical concept not generally believed to exist, fields with imaginary mass have come to play an important role in modern physics and are discussed in popular books on physics. Under no circumstances do any excitations ever propagate faster than light in such theories—the presence or absence of a tachyonic mass has no effect whatsoever on the maximum velocity of signals (there is no violation of causality). While the field may have imaginary mass, any physical particles do not; the "imaginary mass" shows that the system becomes unstable, and sheds the instability by undergoing a type of phase transition called tachyon condensation (closely related to second order phase transitions) that results in symmetry breaking in current models of particle physics.
The term "tachyon" was coined by Gerald Feinberg in a 1967 paper, but it was soon realized that Feinberg's model in fact did not allow for superluminal speeds. Instead, the imaginary mass creates an instability in the configuration:- any configuration in which one or more field excitations are tachyonic will spontaneously decay, and the resulting configuration contains no physical tachyons. This process is known as tachyon condensation. Well known examples include the condensation of the Higgs boson in particle physics, and ferromagnetism in condensed matter physics.
Although the notion of a tachyonic imaginary mass might seem troubling because there is no classical interpretation of an imaginary mass, the mass is not quantized. Rather, the scalar field is; even for tachyonic quantum fields, the field operators at spacelike separated points still commute (or anticommute), thus preserving causality. Therefore, information still does not propagate faster than light, and solutions grow exponentially, but not superluminally (there is no violation of causality). Tachyon condensation drives a physical system that has reached a local limit and might naively be expected to produce physical tachyons, to an alternate stable state where no physical tachyons exist. Once the tachyonic field reaches the minimum of the potential, its quanta are not tachyons any more but rather are ordinary particles with a positive mass-squared.
This is a special case of the general rule, where unstable massive particles are formally described as having a complex mass, with the real part being their mass in the usual sense, and the imaginary part being the decay rate in natural units. However, in quantum field theory, a particle (a "one-particle state") is roughly defined as a state which is constant over time; i.e., an eigenvalue of the Hamiltonian. An unstable particle is a state which is only approximately constant over time; If it exists long enough to be measured, it can be formally described as having a complex mass, with the real part of the mass greater than its imaginary part. If both parts are of the same magnitude, this is interpreted as a resonance appearing in a scattering process rather than a particle, as it is considered not to exist long enough to be measured independently of the scattering process. In the case of a tachyon, the real part of the mass is zero, and hence no concept of a particle can be attributed to it.
In a Lorentz invariant theory, the same formulas that apply to ordinary slower-than-light particles (sometimes called "bradyons" in discussions of tachyons) must also apply to tachyons. In particular the energy–momentum relation:
(where p is the relativistic momentum of the bradyon and m is its rest mass) should still apply, along with the formula for the total energy of a particle:
This equation shows that the total energy of a particle (bradyon or tachyon) contains a contribution from its rest mass (the "rest mass–energy") and a contribution from its motion, the kinetic energy.
When v is larger than c, the denominator in the equation for the energy is "imaginary", as the value under the radical is negative. Because the total energy must be real, the numerator must also be imaginary: i.e. the rest mass m must be imaginary, as a pure imaginary number divided by another pure imaginary number is a real number.
See also
Mass versus weight
Effective mass (spring–mass system)
Effective mass (solid-state physics)
Extension (metaphysics)
International System of Quantities
2019 redefinition of SI base units
Notes
References
External links
Physical quantities
SI base quantities |
19049 | https://en.wikipedia.org/wiki/Mark | Mark | Mark may refer to:
Currency
Bosnia and Herzegovina convertible mark, the currency of Bosnia and Herzegovina
East German mark, the currency of the German Democratic Republic
Estonian mark, the currency of Estonia between 1918 and 1927
Finnish markka (), the currency of Finland from 1860 until 28 February 2002
Mark (currency), a currency or unit of account in many nations
Polish marka (), the currency of the Kingdom of Poland and of the Republic of Poland between 1917 and 1924
German
Deutsche Mark, the official currency of West Germany from 1948 until 1990 and later the unified Germany from 1990 until 2002
German gold mark, the currency used in the German Empire from 1873 to 1914
German Papiermark, the German currency from 4 August 1914
German Rentenmark, a currency issued on 15 November 1923 to stop the hyperinflation of 1922 and 1923 in Weimar Germany
Lodz Ghetto mark, a special currency for Lodz Ghetto.
Reichsmark, the currency in Germany from 1924 until 20 June 1948 in West Germany
People
John Mark (died 1st century), assistant accompanying Paul and Barnabas in the Acts of the Apostles
Mark Codman (died 1755), African-American slave owned by John Codman of Massachusetts
Mark Lee (singer), Canadian rapper and singer-songwriter
Mark the Evangelist (5–68), traditionally ascribed author of the Gospel of Mark
Mark of Cornwall (), king of Kernow
Pope Mark (died 336), Pope of the Catholic Church from 18 January to 7 October 336
Names
Mark (given name), a common male given name
Mark (surname)
Places
Mereg (also Mark), a village in Sarkal Rural District, in the Central District of Marivan County, Kurdistan Province, Iran
Europe
Amt Dahme/Mark a collective municipality in the district of Teltow-Fläming in Brandenburg, Germany
Amt Lindow (Mark), a collective municipality in the district of Ostprignitz-Ruppin in Brandenburg, Germany
Baruth/Mark, a town in the Teltow-Fläming district of Brandenburg, Germany
County of Mark, a county and state of the Holy Roman Empire in the Lower Rhenish–Westphalian Circle
Friesack/Mark, a town in the Havelland district in Brandenburg, Germany
Mark (Dender), a river in Belgium
Mark (Dintel), a river in Belgium and the Netherlands
Mark Hundred, a Västergötland hundred in Sweden
Mark Municipality, a municipality in Västra Götaland County in southwest Sweden
Mark, Somerset, an English village and civil parish
Mark Lane, a raod in London
United States
Mark, Illinois, a village in Putnam County, Illinois
Mark, Missouri, an extinct town in Marion County, in the U.S. state of Missouri
Sports
Mark, a term used in professional wrestling with multiple meanings
Mark (Australian rules football), where a player cleanly catches a kicked ball that has travelled more than 15 metres without anyone else touching it
Mark (rugby), a play in which a player may catch the ball and take a free-kick at the position of the mark
Other
Gospel of Mark, one of the four canonical gospels and one of the three synoptic gospels
March (territory) (also mark), a medieval European term for any kind of borderland
, an HTML element used for highlighting relevant text in a quotation
Mark, the victim of a confidence trick
Mark (designation), a method of designating a version of a product
Mark (dinghy), a single-hander class of small sailing dinghy
Mark (unit), a medieval weight or mass unit that supplanted the pound weight as a precious metals and coinage weight from the 11th century
, vessel of the US Army and the US & Taiwanese Navies
Mark and space, terms used in telecommunications to describe two different signal states of a signal
See also
Marked (disambiguation)
Marc (disambiguation)
The Mark (disambiguation)
Marker (disambiguation)
Marking (disambiguation)
Marks (disambiguation)
Marque (disambiguation)
St. Mark's (disambiguation) |
19050 | https://en.wikipedia.org/wiki/Finnish%20markka | Finnish markka | The markka (; ; sign: Mk; ISO code: FIM, typically known outside Finland as the Finnish mark) was the currency of Finland from 1860 until 28 February 2002, when it ceased to be legal tender. The mark was divided into 100 pennies (; ), abbreviated as "p". At the point of conversion, the rate was fixed at €1 = Mk 5.94573.
The mark was replaced by the euro (€), which had been introduced, in cash form, on 1 January 2002. This was after a transitional period of three years, when the euro was the official currency but only existed as "book money" outside of the monetary base. The dual circulation period, when both the Finnish mark and the euro had legal tender status, ended on 28 February 2002.
Etymology
The name "markka" was based on a medieval unit of weight. Both "markka" and "penni" are similar to words used in Germany for that country's former currency, based on the same etymological roots as the Deutsche Mark and pfennig.
Although the word "markka" predates the currency by several centuries, the currency was established before being named "markka". A competition was held for its name, and some of the other entries included "sataikko" (meaning "having a hundred parts"), "omena" (apple) and "suomo" (from "Suomi", the Finnish name for Finland).
With numbered amounts of marks, the Finnish language does not use plurals but partitive singular forms: "10 markkaa" and "10 penniä" (the nominative is penni). In Swedish, the singular and plural forms of mark and penni are the same.
Nicknames
When the euro replaced the mark, mummonmarkka (, sometimes shortened to just mummo) became a new colloquial term for the old currency. The sometimes used "old mark" can be misleading, since it can also be used to refer to the pre-1963 mark. In Helsinki slang, the sum of a hundred marks was traditionally called a huge [hu.ge] (from Swedish hundra for "hundred"). After the 1963 reform, this name was used for one new mark.
History
The mark was introduced in 1860 by the Bank of Finland, replacing the rouble at a rate of four marks to one rouble. Senator Fabian Langenskiöld is called "father of the mark". In 1865, the mark was separated from the Russian rouble and tied to the value of silver. From 1878 to 1915, Finland adopted the gold standard of the Latin Monetary Union. Before the mark, both the Swedish riksdaler and rouble were used side-by-side for a time.
Up until World War I, the value of the mark fluctuated within +23%/−16% of its initial value, but with no trend. The mark suffered heavy inflation (91%) during 1914–18. Gaining independence in 1917, Finland returned to the gold standard from 1926 to 1931. Prices remained stable until 1940. but the mark suffered heavy inflation (17% annually on average) during World War II and again in 1956–57 (11%). In 1963, in order to reset the inflation, the mark was replaced by a new mark, equivalent to 100 old marks.
Finland joined the Bretton Woods Agreement in 1948. The value of the mark was pegged to the dollar at Mk 320 = US$1, which became New Mk 3.20 = US$1 in 1963 and devalued to Mk 4.20 = US$1 in 1967. After the breakdown of the Bretton Woods agreement in 1971, a basket of currencies became the new reference. Inflation was high (over 5%) during 1971–85. Occasionally, devaluation was used, 60% in total between 1975 and 1990, allowing the currency to more closely follow the depreciating US dollar than the rising German mark. The paper industry, which mainly traded in US dollars, was often blamed for demanding these devaluations to boost their exports. Various economic controls were removed and the market was gradually liberalized throughout the 1980s and the 1990s.
The monetary policy called "strong mark policy" (vahvan markan politiikka) was a characteristic feature of the 1980s and early 1990s. The main architect of this policy was President Mauno Koivisto, who opposed floating the currency and devaluations. As a result, the nominal value of the mark was extremely high, and in the year 1990, Finland was nominally the most expensive country in the world according to OECD's Purchasing Power Parities report.
Koivisto's policy was maintained only briefly after Esko Aho was elected Prime Minister. In 1991, the mark was pegged to the currency basket ECU, but the peg had to be withdrawn after two months with a devaluation of 12%. In 1992, Finland was hit by a severe recession, the early 1990s depression in Finland. It was caused by several factors, the most severe being the incurring of debt, as the 1980s economic boom was based on debt. Also, the Soviet Union had collapsed, which brought an end to bilateral trade, and existing trade connections were severed. The most important source of export revenue, Western markets, were also depressed during the same time, in part due to the war in Kuwait. As a result, by some opinions years overdue, the artificial fixed exchange rate was abandoned and the mark was floated. Its value immediately decreased 13% and the inflated nominal prices converged towards German levels. In total, the value of the mark had decreased 40% as a result of the recession. Also, as a result, several entrepreneurs who had borrowed money denominated in foreign currency suddenly faced insurmountable debt.
Inflation was low during the mark's independent existence as a floating currency (1992–1999): 1.3% annually on average. The markka was added into the ERM system in 1996 and then became a fraction of the euro in 1999, with physical euro money arriving later in 2002. It has been speculated that if Finland had not joined the euro, market fluctuations such as the dot-com bubble would have reflected as wild fluctuations in the price of the mark. Nokia, formerly traded in mark, was in 2000 the European company with the highest market capitalization.
Coins
First mark
When the mark was introduced, coins were minted in copper (1, 5 and 10 penniä), silver (25p and 50p, Mk 1 and Mk 2) and gold (Mk 10 and Mk 20). After the First World War, silver and gold issues were ceased and cupro-nickel 25p and 50p and Mk 1 coins were introduced in 1921, followed by aluminium-bronze Mk 5, Mk 10 and Mk 20 between 1928 and 1931. During the Second World War, copper replaced cupro-nickel in the 25p and 50p and Mk 1, followed by an issue of iron 10p, 25p and 50p and Mk 1. This period also saw the issue of holed 5p and 10p coins.
All coins below 1 markka had ceased to be produced by 1948. In 1952, a new coinage was introduced, with smaller iron (later nickel-plated) Mk 1 and Mk 5 coins alongside aluminium-bronze Mk 10, Mk 20 and Mk 50 coins and (from 1956) silver Mk 100 and Mk 200 denominations. This coinage continued to be issued until the introduction of the new mark in 1963.
Second mark
1st series
The new mark coinage consisted initially of six denominations: 1 (bronze, later aluminium), 5 (bronze, later aluminium), 10 (aluminium-bronze, later aluminium), 20 and 50 penniä (aluminium-bronze) and 1 mark (silver, later cupro-nickel). From 1972, aluminium-bronze Mk 5 were also issued.
2nd series
The last series of Finnish markka coins included five coins (listed with final euro values, rounded to the nearest cent):
10p (silver-coloured) – a honeycomb on the reverse and a lily of the valley flower on the obverse = €0.02
50p (silver-coloured) – haircap moss on the reverse and a bear on the obverse = €0.08
Mk 1 (copper-coloured) – the Finnish coat of arms on the reverse = €0.17
Mk 5 (copper-coloured) – a lily pad leaf and a dragonfly on the reverse and a Saimaa seal on the obverse = €0.84
Mk 10 (two-metal coin, copper-coloured centre and silver-coloured edge) – rowan tree branches and berries on the reverse and a wood grouse on the obverse = €1.68
Banknotes
This section covers the last design series of the Finnish mark, designed in the 1980s by Finnish designer Erik Bruun and issued in 1986.
In this final banknote series, Bank of Finland used a photograph of Väinö Linna on the Mk 20 note without permission from copyright holders. This was only revealed after several million notes were in use. The Bank paid Mk 100,000 (€17,000) compensation to the rights holders.
The second-to-last banknote design series, designed by Tapio Wirkkala, was introduced in 1955 and revised in the reform of 1963. It was the first series to depict actual specific persons rather than allegorical figures. These included Juho Kusti Paasikivi on the Mk 10, K. J. Ståhlberg on the Mk 50, J. V. Snellman on the Mk 100 and Urho Kekkonen on the Mk 500 (introduced later). Unlike Erik Bruun's series, this series did not depict any other real-life subjects, but only abstract ornaments in addition to the depictions of people. A popular joke at the time was to cover Paasikivi's face except for his ear and back of the head on the Mk 10 note, ending up with something resembling a mouse, said to be the only animal illustration in the entire series.
The still-older notes, designed by Eliel Saarinen, were introduced in 1922. They also depicted people, but these were generic men and women, and did not represent any specific individuals. The fact that these men and women were depicted nude caused a minor controversy at the time.
Euro banknotes
By the end of 2001, Finland was a relatively cashless society. Most transactions were paid either using the Mk 100 banknote or by debit card. There were 4 million banknotes apiece of the Mk 500 and Mk 1,000 denomination banknotes for a country with a population of over 5 million people. There were about 19 banknotes per individual of the smaller denomination, adding up to €241 per inhabitant. For the introduction of the euro, ECB produced €8,020 million in banknotes before the changeover.
During the first weeks of 2002, Finland's replacement of previous national banknotes with euro banknotes was among the fastest in the euro area. Of the cash payments, three-fourths were paid in euro already at the end of the first changeover week. Coins and banknotes that were legal tender at the time of the markka's retirement could be exchanged for euros until 29 February 2012. Today, the only value that markka coins and banknotes have is their value as collectibles.
See also
Bank of Finland
Scandinavian Monetary Union
Finnish euro coins
Economy of Finland
References
External links
Overview of markka from the BBC
Historical Finnish banknotes and coins at the Bank of Finland
Main outlines of Finnish history-thisisFINLAND
History of the Finnish Markka (1860–2002)
Historical banknotes from Finland
Markka
Modern obsolete currencies
Currencies replaced by the euro
Currencies of Europe
Markka
Markka
Currencies introduced in 1860 |
19051 | https://en.wikipedia.org/wiki/Manganese | Manganese | Manganese is a chemical element with the symbol Mn and atomic number 25. It is a hard brittle silvery metal, often found in minerals in combination with iron. Manganese is a transition metal with a multifaceted array of industrial alloy uses, particularly in stainless steels. It improves strength, workability, and resistance to wear. Manganese oxide is used as an oxidising agent, as a rubber additive, in glass making, fertilisers, and ceramics. Manganese sulfate can be used as a fungicide.
Manganese is also an essential human dietary element, important in macronutrient metabolism, bone formation, and free radical defense systems. It is a critical component in dozens of proteins and enzymes. It is found mostly in the bones, but also the liver, kidneys, and brain. In the human brain, the manganese is bound to manganese metalloproteins, most notably glutamine synthetase in astrocytes.
Manganese was first isolated in 1774. It is familiar in the laboratory in the form of the deep violet salt potassium permanganate. It occurs at the active sites in some enzymes. Of particular interest is the use of a Mn-O cluster, the oxygen-evolving complex, in the production of oxygen by plants.
Characteristics
Physical properties
Manganese is a silvery-gray metal that resembles iron. It is hard and very brittle, difficult to fuse, but easy to oxidize. Manganese metal and its common ions are paramagnetic. Manganese tarnishes slowly in air and oxidizes ("rusts") like iron in water containing dissolved oxygen.
Isotopes
Naturally occurring manganese is composed of one stable isotope, 55Mn. Several radioisotopes have been isolated and described, ranging in atomic weight from 44 u (44Mn) to 69 u (69Mn). The most stable are 53Mn with a half-life of 3.7 million years, 54Mn with a half-life of 312.2 days, and 52Mn with a half-life of 5.591 days. All of the remaining radioactive isotopes have half-lives of less than three hours, and the majority of less than one minute. The primary decay mode in isotopes lighter than the most abundant stable isotope, 55Mn, is electron capture and the primary mode in heavier isotopes is beta decay. Manganese also has three meta states.
Manganese is part of the iron group of elements, which are thought to be synthesized in large stars shortly before the supernova explosion. 53Mn decays to 53Cr with a half-life of 3.7 million years. Because of its relatively short half-life, 53Mn is relatively rare, produced by cosmic rays impact on iron. Manganese isotopic contents are typically combined with chromium isotopic contents and have found application in isotope geology and radiometric dating. Mn–Cr isotopic ratios reinforce the evidence from 26Al and 107Pd for the early history of the Solar System. Variations in 53Cr/52Cr and Mn/Cr ratios from several meteorites suggest an initial 53Mn/55Mn ratio, which indicate that Mn–Cr isotopic composition must result from in situ decay of 53Mn in differentiated planetary bodies. Hence, 53Mn provides additional evidence for nucleosynthetic processes immediately before coalescence of the Solar System.
Oxidation states
The most common oxidation states of manganese are +2, +3, +4, +6, and +7, though all oxidation states from −3 to +7 have been observed. Mn2+ often competes with Mg2+ in biological systems, with the ion also being very similar in its properties to Ca2+ and Zn2+. Manganese compounds where manganese is in oxidation state +7, which are mostly restricted to the unstable oxide Mn2O7, compounds of the intensely purple permanganate anion MnO4−, and a few oxyhalides (MnO3F and MnO3Cl), are powerful oxidizing agents. Compounds with oxidation states +5 (blue) and +6 (green) are strong oxidizing agents and are vulnerable to disproportionation.
The most stable oxidation state for manganese is +2, which has a pale pink color, and many manganese(II) compounds are known, such as manganese(II) sulfate (MnSO4) and manganese(II) chloride (MnCl2). This oxidation state is also seen in the mineral rhodochrosite (manganese(II) carbonate). Manganese(II) most commonly exists with a high spin, S = 5/2 ground state because of the high pairing energy for manganese(II). However, there are a few examples of low-spin, S =1/2 manganese(II). There are no spin-allowed d–d transitions in manganese(II), explaining why manganese(II) compounds are typically pale to colorless.
The +3 oxidation state is known in compounds like manganese(III) acetate, but these are quite powerful oxidizing agents and also prone to disproportionation in solution, forming manganese(II) and manganese(IV). Solid compounds of manganese(III) are characterized by its strong purple-red color and a preference for distorted octahedral coordination resulting from the Jahn-Teller effect.
The oxidation state +5 can be produced by dissolving manganese dioxide in molten sodium nitrite. Manganate(VI) salts can be produced by dissolving Mn compounds, such as manganese dioxide, in molten alkali while exposed to air.
Permanganate (+7 oxidation state) compounds are purple, and can give glass a violet color. Potassium permanganate, sodium permanganate, and barium permanganate are all potent oxidizers. Potassium permanganate, also called Condy's crystals, is a commonly used laboratory reagent because of its oxidizing properties; it is used as a topical medicine (for example, in the treatment of fish diseases). Solutions of potassium permanganate were among the first stains and fixatives to be used in the preparation of biological cells and tissues for electron microscopy.
The rare oxidation state +1 exists in some organomanganese compounds such as the MnC5H4CH3(CO)3 compound cited in the table above.
History
The origin of the name manganese is complex. In ancient times, two black minerals were identified from the regions of the Magnetes (either Magnesia, located within modern Greece, or Magnesia ad Sipylum, located within modern Turkey).
They were both called magnes from their place of origin, but were considered to differ in sex. The male magnes attracted iron, and was the iron ore now known as lodestone or magnetite, and which probably gave us the term magnet. The female magnes ore did not attract iron, but was used to decolorize glass. This female magnes was later called magnesia, known now in modern times as pyrolusite or manganese dioxide. Neither this mineral nor elemental manganese is magnetic. In the 16th century, manganese dioxide was called manganesum (note the two Ns instead of one) by glassmakers, possibly as a corruption and concatenation of two words, since alchemists and glassmakers eventually had to differentiate a magnesia nigra (the black ore) from magnesia alba (a white ore, also from Magnesia, also useful in glassmaking). Michele Mercati called magnesia nigra manganesa, and finally the metal isolated from it became known as manganese (German: Mangan). The name magnesia eventually was then used to refer only to the white magnesia alba (magnesium oxide), which provided the name magnesium for the free element when it was isolated much later.
Several colorful oxides of manganese, for example manganese dioxide, are abundant in nature and have been used as pigments since the Stone Age. The cave paintings in Gargas that are 30,000 to 24,000 years old contain manganese pigments.
Manganese compounds were used by Egyptian and Roman glassmakers, either to add to, or remove, color from glass. Use as "glassmakers soap" continued through the Middle Ages until modern times and is evident in 14th-century glass from Venice.
Because it was used in glassmaking, manganese dioxide was available for experiments by alchemists, the first chemists. Ignatius Gottfried Kaim (1770) and Johann Glauber (17th century) discovered that manganese dioxide could be converted to permanganate, a useful laboratory reagent. By the mid-18th century, the Swedish chemist Carl Wilhelm Scheele used manganese dioxide to produce chlorine. First, hydrochloric acid, or a mixture of dilute sulfuric acid and sodium chloride was made to react with manganese dioxide, and later hydrochloric acid from the Leblanc process was used and the manganese dioxide was recycled by the Weldon process. The production of chlorine and hypochlorite bleaching agents was a large consumer of manganese ores.
By the mid-18th century, Carl Wilhelm Scheele used pyrolusite to produce chlorine. Scheele and others were aware that pyrolusite (now known to be manganese dioxide) contained a new element. Johan Gottlieb Gahn was the first to isolate an impure sample of manganese metal in 1774, which he did by reducing the dioxide with carbon.
The manganese content of some iron ores used in Greece led to speculations that steel produced from that ore contains additional manganese, making the Spartan steel exceptionally hard. Around the beginning of the 19th century, manganese was used in steelmaking and several patents were granted. In 1816, it was documented that iron alloyed with manganese was harder but not more brittle. In 1837, British academic James Couper noted an association between miners' heavy exposure to manganese and a form of Parkinson's disease. In 1912, United States patents were granted for protecting firearms against rust and corrosion with manganese phosphate electrochemical conversion coatings, and the process has seen widespread use ever since.
The invention of the Leclanché cell in 1866 and the subsequent improvement of batteries containing manganese dioxide as cathodic depolarizer increased the demand for manganese dioxide. Until the development of batteries with nickel-cadmium and lithium, most batteries contained manganese. The zinc–carbon battery and the alkaline battery normally use industrially produced manganese dioxide because naturally occurring manganese dioxide contains impurities. In the 20th century, manganese dioxide was widely used as the cathodic for commercial disposable dry batteries of both the standard (zinc–carbon) and alkaline types.
Occurrence and production
Manganese comprises about 1000 ppm (0.1%) of the Earth's crust, the 12th most abundant of the crust's elements. Soil contains 7–9000 ppm of manganese with an average of 440 ppm. Seawater has only 10 ppm manganese and the atmosphere contains 0.01 μg/m3. Manganese occurs principally as pyrolusite (MnO2), braunite, (Mn2+Mn3+6)(SiO12), psilomelane , and to a lesser extent as rhodochrosite (MnCO3).
The most important manganese ore is pyrolusite (MnO2). Other economically important manganese ores usually show a close spatial relation to the iron ores, such as sphalerite. Land-based resources are large but irregularly distributed. About 80% of the known world manganese resources are in South Africa; other important manganese deposits are in Ukraine, Australia, India, China, Gabon and Brazil. According to 1978 estimate, the ocean floor has 500 billion tons of manganese nodules. Attempts to find economically viable methods of harvesting manganese nodules were abandoned in the 1970s.
In South Africa, most identified deposits are located near Hotazel in the Northern Cape Province, with a 2011 estimate of 15 billion tons. In 2011 South Africa produced 3.4 million tons, topping all other nations.
Manganese is mainly mined in South Africa, Australia, China, Gabon, Brazil, India, Kazakhstan, Ghana, Ukraine and Malaysia.
For the production of ferromanganese, the manganese ore is mixed with iron ore and carbon, and then reduced either in a blast furnace or in an electric arc furnace. The resulting ferromanganese has a manganese content of 30 to 80%. Pure manganese used for the production of iron-free alloys is produced by leaching manganese ore with sulfuric acid and a subsequent electrowinning process.
A more progressive extraction process involves directly reducing manganese ore in a heap leach. This is done by percolating natural gas through the bottom of the heap; the natural gas provides the heat (needs to be at least 850 °C) and the reducing agent (carbon monoxide). This reduces all of the manganese ore to manganese oxide (MnO), which is a leachable form. The ore then travels through a grinding circuit to reduce the particle size of the ore to between 150 and 250 μm, increasing the surface area to aid leaching. The ore is then added to a leach tank of sulfuric acid and ferrous iron (Fe2+) in a 1.6:1 ratio. The iron reacts with the manganese dioxide to form iron hydroxide and elemental manganese. This process yields approximately 92% recovery of the manganese. For further purification, the manganese can then be sent to an electrowinning facility.
In 1972 the CIA's Project Azorian, through billionaire Howard Hughes, commissioned the ship Hughes Glomar Explorer with the cover story of harvesting manganese nodules from the sea floor. That triggered a rush of activity to collect manganese nodules, which was not actually practical. The real mission of Hughes Glomar Explorer was to raise a sunken Soviet submarine, the K-129, with the goal of retrieving Soviet code books.
An abundant resource of manganese in the form of Mn nodules found on the ocean floor. These nodules, which are composed of 29% manganese, are located along the ocean floor and the potential impact of mining these nodules is being researched. Physical, chemical, and biological environmental impacts can occur due to this nodule mining disturbing the seafloor and causing sediment plumes to form. This suspension includes metals and inorganic nutrients, which can lead to contamination of the near-bottom waters from dissolved toxic compounds. Mn nodules are also the grazing grounds, living space, and protection for endo- and epifaunal systems. When theses nodules are removed, these systems are directly affected. Overall, this can cause species to leave the area or completely die off. Prior to the commencement of the mining itself, research is being conducted by United Nations affiliated bodies and state-sponsored companies in an attempt to fully understand environmental impacts in the hopes of mitigating these impacts.
Oceanic environment
Many trace elements in the ocean come from metal-rich hydrothermal particles from hydrothermal vents. Dissolved manganese (dMn) is found throughout the world's oceans, 90% of which originates from hydrothermal vents. Particulate Mn develops in buoyant plumes over an active vent source, while the dMn behaves conservatively. Mn concentrations vary between the water columns of the ocean. At the surface, dMn is elevated due to input from external sources such as rivers, dust, and shelf sediments. Coastal sediments normally have lower Mn concentrations, but can increase due to anthropogenic discharges from industries such as mining and steel manufacturing, which enter the ocean from river inputs. Surface dMn concentrations can also be elevated biologically through photosynthesis and physically from coastal upwelling and wind-driven surface currents. Internal cycling such as photo-reduction from UV radiation can also elevate levels by speeding up the dissolution of Mn-oxides and oxidative scavenging, preventing Mn from sinking to deeper waters. Elevated levels at mid-depths can occur near mid-ocean ridges and hydrothermal vents. The hydrothermal vents release dMn enriched fluid into the water. The dMn can then travel up to 4,000 km due to the microbial capsules present, preventing exchange with particles, lowing the sinking rates. Dissolved Mn concentrations are even higher when oxygen levels are low. Overall, dMn concentrations are normally higher in coastal regions and decrease when moving offshore.
Soils
Manganese occurs in soils in three oxidation states: the divalent cation, Mn2+ and as brownish-black oxides and hydroxides containing Mn (III,IV), such as MnOOH and MnO2. Soil pH and oxidation-reduction conditions affect which of these three forms of Mn is dominant in a given soil. At pH values less than 6 or under anaerobic conditions, Mn(II) dominates, while under more alkaline and aerobic conditions, Mn(III,IV) oxides and hydroxides predominate. These effects of soil acidity and aeration state on the form of Mn can be modified or controlled by microbial activity. Microbial respiration can cause both the oxidation of Mn2+ to the oxides, and it can cause reduction of the oxides to the divalent cation.
The Mn(III,IV) oxides exist as brownish-black stains and small nodules on sand, silt, and clay particles. These surface coatings on other soil particles have high surface area and carry negative charge. The charged sites can adsorb and retain various cations, especially heavy metals (e.g., Cr3+, Cu2+, Zn2+, and Pb2+). In addition, the oxides can adsorb organic acids and other compounds. The adsorption of the metals and organic compounds can then cause them to be oxidized while the Mn(III,IV) oxides are reduced to Mn2+ (e.g., Cr3+ to Cr(VI) and colorless hydroquinone to tea-colored quinone polymers).
Applications
Manganese has no satisfactory substitute in its major applications in metallurgy. In minor applications (e.g., manganese phosphating), zinc and sometimes vanadium are viable substitutes.
Steel
Manganese is essential to iron and steel production by virtue of its sulfur-fixing, deoxidizing, and alloying properties, as first recognized by the British metallurgist Robert Forester Mushet (1811–1891) who, in 1856, introduced the element, in the form of Spiegeleisen, into steel for the specific purpose of removing excess dissolved oxygen, sulfur, and phosphorus in order to improve its malleability. Steelmaking, including its ironmaking component, has accounted for most manganese demand, presently in the range of 85% to 90% of the total demand. Manganese is a key component of low-cost stainless steel. Often ferromanganese (usually about 80% manganese) is the intermediate in modern processes.
Small amounts of manganese improve the workability of steel at high temperatures by forming a high-melting sulfide and preventing the formation of a liquid iron sulfide at the grain boundaries. If the manganese content reaches 4%, the embrittlement of the steel becomes a dominant feature. The embrittlement decreases at higher manganese concentrations and reaches an acceptable level at 8%. Steel containing 8 to 15% of manganese has a high tensile strength of up to 863 MPa. Steel with 12% manganese was discovered in 1882 by Robert Hadfield and is still known as Hadfield steel (mangalloy). It was used for British military steel helmets and later by the U.S. military.
Aluminium alloys
The second largest application for manganese is in aluminium alloys. Aluminium with roughly 1.5% manganese has increased resistance to corrosion through grains that absorb impurities which would lead to galvanic corrosion. The corrosion-resistant aluminium alloys 3004 and 3104 (0.8 to 1.5% manganese) are used for most beverage cans. Before 2000, more than 1.6 million tonnes of those alloys were used; at 1% manganese, this consumed 16,000 tonnes of manganese.
Other uses
Methylcyclopentadienyl manganese tricarbonyl is used as an additive in unleaded gasoline to boost octane rating and reduce engine knocking. The manganese in this unusual organometallic compound is in the +1 oxidation state.
Manganese(IV) oxide (manganese dioxide, MnO2) is used as a reagent in organic chemistry for the oxidation of benzylic alcohols (where the hydroxyl group is adjacent to an aromatic ring). Manganese dioxide has been used since antiquity to oxidize and neutralize the greenish tinge in glass from trace amounts of iron contamination. MnO2 is also used in the manufacture of oxygen and chlorine and in drying black paints. In some preparations, it is a brown pigment for paint and is a constituent of natural umber.
Tetravalent manganese is used as an activator in red-emitting phosphors. While many compounds are known which show luminescence, the majority are not used in commercial application due to low efficiency or deep red emission. However, several Mn4+ activated fluorides were reported as potential red-emitting phosphors for warm-white LEDs. But to this day, only K2SiF6:Mn4+ is commercially available for use in warm-white LEDs.
Batteries
Manganese(IV) oxide was used in the original type of dry cell battery as an electron acceptor from zinc, and is the blackish material in carbon–zinc type flashlight cells. The manganese dioxide is reduced to the manganese oxide-hydroxide MnO(OH) during discharging, preventing the formation of hydrogen at the anode of the battery.
MnO2 + H2O + e− → MnO(OH) +
The same material also functions in newer alkaline batteries (usually battery cells), which use the same basic reaction, but a different electrolyte mixture. In 2002, more than 230,000 tons of manganese dioxide was used for this purpose.
Minting
The metal is occasionally used in coins; until 2000, the only United States coin to use manganese was the "wartime" nickel from 1942 to 1945. An alloy of 75% copper and 25% nickel was traditionally used for the production of nickel coins. However, because of shortage of nickel metal during the war, it was substituted by more available silver and manganese, thus resulting in an alloy of 56% copper, 35% silver and 9% manganese. Since 2000, dollar coins, for example the Sacagawea dollar and the Presidential $1 coins, are made from a brass containing 7% of manganese with a pure copper core. In both cases of nickel and dollar, the use of manganese in the coin was to duplicate the electromagnetic properties of a previous identically sized and valued coin in the mechanisms of vending machines. In the case of the later U.S. dollar coins, the manganese alloy was intended to duplicate the properties of the copper/nickel alloy used in the previous Susan B. Anthony dollar.
Ceramic coloring
Manganese compounds have been used as pigments and for the coloring of ceramics and glass. The brown color of ceramic is sometimes the result of manganese compounds. In the glass industry, manganese compounds are used for two effects. Manganese(III) reacts with iron(II) to induce a strong green color in glass by forming less-colored iron(III) and slightly pink manganese(II), compensating for the residual color of the iron(III). Larger quantities of manganese are used to produce pink colored glass. In 2009, Professor Mas Subramanian and associates at Oregon State University discovered that manganese can be combined with yttrium and indium to form an intensely blue, non-toxic, inert, fade-resistant pigment, YInMn blue, the first new blue pigment discovered in 200 years.
Biological role
Deficiency
Manganese deficiency in humans results in a number of medical problems. Many common vitamin and mineral supplement products fail to include manganese in their compositions. Relatively high dietary intake of other minerals such as iron, magnesium, and calcium may inhibit the proper intake of manganese. A deficiency of manganese causes skeletal deformation in animals and inhibits the production of collagen in wound healing. See Manganese deficiency
Biochemistry
The classes of enzymes that have manganese cofactors include oxidoreductases, transferases, hydrolases, lyases, isomerases and ligases. Other enzymes containing manganese are arginase and Mn-containing superoxide dismutase (Mn-SOD). Also the enzyme class of reverse transcriptases of many retroviruses (though not lentiviruses such as HIV) contains manganese. Manganese-containing polypeptides are the diphtheria toxin, lectins and integrins.
Biological role in humans
Manganese is an essential human dietary element. It is present as a coenzyme in several biological processes, which include macronutrient metabolism, bone formation, and free radical defense systems. It is a critical component in dozens of proteins and enzymes. The human body contains about 12 mg of manganese, mostly in the bones. The soft tissue remainder is concentrated in the liver and kidneys. In the human brain, the manganese is bound to manganese metalloproteins, most notably glutamine synthetase in astrocytes.
Toxicity
Excessive exposure or intake may lead to a condition known as manganism, a neurodegenerative disorder that causes dopaminergic neuronal death and symptoms similar to Parkinson's disease.
Toxicity in marine life
Many enzymatic systems need Mn to function, but in high levels, Mn can become toxic. One environmental reason Mn levels can increase in seawater is when hypoxic periods occur. Since 1990 there have been reports of Mn accumulation in marine organisms including fish, crustaceans, mollusks, and echinoderms. Specific tissues are targets in different species, including the gills, brain, blood, kidney, and liver/hepatopancreas. Physiological effects have been reported in these species. Mn can affect the renewal of immunocytes and their functionality, such as phagocytosis and activation of pro-phenoloxidase, suppressing the organisms' immune systems. This causes the organisms to be more susceptible to infections. As climate change occurs, pathogen distributions increase, and in order for organisms to survive and defend themselves against these pathogens, they need a healthy, strong immune system. If their systems are compromised from high Mn levels, they will not be able to fight off these pathogens and die.
Nutrition
Dietary recommendations
The U.S. Institute of Medicine (IOM) updated Estimated Average Requirements (EARs) and Recommended Dietary Allowances (RDAs) for minerals in 2001. For manganese there was not sufficient information to set EARs and RDAs, so needs are described as estimates for Adequate Intakes (AIs). As for safety, the IOM sets Tolerable upper intake levels (ULs) for vitamins and minerals when evidence is sufficient. In the case of manganese the adult UL is set at 11 mg/day. Collectively the EARs, RDAs, AIs and ULs are referred to as Dietary Reference Intakes (DRIs). Manganese deficiency is rare.
The European Food Safety Authority (EFSA) refers to the collective set of information as Dietary Reference Values, with Population Reference Intake (PRI) instead of RDA, and Average Requirement instead of EAR. AI and UL defined the same as in United States. For people ages 15 and older the AI is set at 3.0 mg/day. AIs for pregnancy and lactation is 3.0 mg/day. For children ages 1–14 years the AIs increase with age from 0.5 to 2.0 mg/day. The adult AIs are higher than the U.S. RDAs. The EFSA reviewed the same safety question and decided that there was insufficient information to set a UL.
For U.S. food and dietary supplement labeling purposes the amount in a serving is expressed as a percent of Daily Value (%DV). For manganese labeling purposes 100% of the Daily Value was 2.0 mg, but as of 27 May 2016 it was revised to 2.3 mg to bring it into agreement with the RDA. A table of the old and new adult daily values is provided at Reference Daily Intake.
Biological role in bacteria
Mn-SOD is the type of SOD present in eukaryotic mitochondria, and also in most bacteria (this fact is in keeping with the bacterial-origin theory of mitochondria). The Mn-SOD enzyme is probably one of the most ancient, for nearly all organisms living in the presence of oxygen use it to deal with the toxic effects of superoxide (), formed from the 1-electron reduction of dioxygen. The exceptions, which are all bacteria, include Lactobacillus plantarum and related lactobacilli, which use a different nonenzymatic mechanism with manganese (Mn2+) ions complexed with polyphosphate, suggesting a path of evolution for this function in aerobic life.
Biological role in plants
Manganese is also important in photosynthetic oxygen evolution in chloroplasts in plants. The oxygen-evolving complex (OEC) is a part of photosystem II contained in the thylakoid membranes of chloroplasts; it is responsible for the terminal photooxidation of water during the light reactions of photosynthesis, and has a metalloenzyme core containing four atoms of manganese. To fulfill this requirement, most broad-spectrum plant fertilizers contain manganese.
Precautions
Manganese compounds are less toxic than those of other widespread metals, such as nickel and copper. However, exposure to manganese dusts and fumes should not exceed the ceiling value of 5 mg/m3 even for short periods because of its toxicity level. Manganese poisoning has been linked to impaired motor skills and cognitive disorders.
Permanganate exhibits a higher toxicity than manganese(II) compounds. The fatal dose is about 10 g, and several fatal intoxications have occurred. The strong oxidative effect leads to necrosis of the mucous membrane. For example, the esophagus is affected if the permanganate is swallowed. Only a limited amount is absorbed by the intestines, but this small amount shows severe effects on the kidneys and on the liver.
Manganese exposure in United States is regulated by the Occupational Safety and Health Administration (OSHA). People can be exposed to manganese in the workplace by breathing it in or swallowing it. OSHA has set the legal limit (permissible exposure limit) for manganese exposure in the workplace as 5 mg/m3 over an 8-hour workday. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 1 mg/m3 over an 8-hour workday and a short term limit of 3 mg/m3. At levels of 500 mg/m3, manganese is immediately dangerous to life and health.
Generally, exposure to ambient Mn air concentrations in excess of 5 μg Mn/m3 can lead to Mn-induced symptoms. Increased ferroportin protein expression in human embryonic kidney (HEK293) cells is associated with decreased intracellular Mn concentration and attenuated cytotoxicity, characterized by the reversal of Mn-reduced glutamate uptake and diminished lactate dehydrogenase leakage.
Environmental health concerns
In drinking water
Waterborne manganese has a greater bioavailability than dietary manganese. According to results from a 2010 study, higher levels of exposure to manganese in drinking water are associated with increased intellectual impairment and reduced intelligence quotients in school-age children. It is hypothesized that long-term exposure due to inhaling the naturally occurring manganese in shower water puts up to 8.7 million Americans at risk. However, data indicates that the human body can recover from certain adverse effects of overexposure to manganese if the exposure is stopped and the body can clear the excess.
In gasoline
Methylcyclopentadienyl manganese tricarbonyl (MMT) is a gasoline additive used to replace lead compounds for unleaded gasolines to improve the octane rating of low octane petroleum distillates. It reduces engine knock agent through the action of the carbonyl groups. Fuels containing manganese tend to form manganese carbides, which damage exhaust valves. Compared to 1953, levels of manganese in air have dropped.
In tobacco smoke
The tobacco plant readily absorbs and accumulates heavy metals such as manganese from the surrounding soil into its leaves. These are subsequently inhaled during tobacco smoking. While manganese is a constituent of tobacco smoke, studies have largely concluded that concentrations are not hazardous for human health.
Role in neurological disorders
Manganism
Manganese overexposure is most frequently associated with manganism, a rare neurological disorder associated with excessive manganese ingestion or inhalation. Historically, persons employed in the production or processing of manganese alloys have been at risk for developing manganism; however, current health and safety regulations protect workers in developed nations. The disorder was first described in 1837 by British academic John Couper, who studied two patients who were m.
Manganism is a biphasic disorder. In its early stages, an intoxicated person may experience depression, mood swings, compulsive behaviors, and psychosis. Early neurological symptoms give way to late-stage manganism, which resembles Parkinson's disease. Symptoms include weakness, monotone and slowed speech, an expressionless face, tremor, forward-leaning gait, inability to walk backwards without falling, rigidity, and general problems with dexterity, gait and balance. Unlike Parkinson's disease, manganism is not associated with loss of the sense of smell and patients are typically unresponsive to treatment with L-DOPA. Symptoms of late-stage manganism become more severe over time even if the source of exposure is removed and brain manganese levels return to normal.
Chronic manganese exposure has been shown to produce a parkinsonism-like illness characterized by movement abnormalities. This condition is not responsive to typical therapies used in the treatment of PD, suggesting an alternative pathway than the typical dopaminergic loss within the substantia nigra. Manganese may accumulate in the basal ganglia, leading to the abnormal movements. A mutation of the SLC30A10 gene, a manganese efflux transporter necessary for decreasing intracellular Mn, has been linked with the development of this Parkinsonism-like disease. The Lewy bodies typical to PD are not seen in Mn-induced parkinsonism.
Animal experiments have given the opportunity to examine the consequences of manganese overexposure under controlled conditions. In (non-aggressive) rats, manganese induces mouse-killing behavior.
Childhood developmental disorders
Several recent studies attempt to examine the effects of chronic low-dose manganese overexposure on child development. The earliest study was conducted in the Chinese province of Shanxi. Drinking water there had been contaminated through improper sewage irrigation and contained 240–350 μg Mn/L. Although Mn concentrations at or below 300 μg Mn/L were considered safe at the time of the study by the US EPA and 400 μg Mn/L by the World Health Organization, the 92 children sampled (between 11 and 13 years of age) from this province displayed lower performance on tests of manual dexterity and rapidity, short-term memory, and visual identification, compared to children from an uncontaminated area. More recently, a study of 10-year-old children in Bangladesh showed a relationship between Mn concentration in well water and diminished IQ scores. A third study conducted in Quebec examined school children between the ages of 6 and 15 living in homes that received water from a well containing 610 μg Mn/L; controls lived in homes that received water from a 160 μg Mn/L well. Children in the experimental group showed increased hyperactive and oppositional behavior.
The current maximum safe concentration under EPA rules is 50 μg Mn/L.
Neurodegenerative diseases
A protein called DMT1 is the major transporter in manganese absorption from the intestine, and may be the major transporter of manganese across the blood–brain barrier. DMT1 also transports inhaled manganese across the nasal epithelium. The proposed mechanism for manganese toxicity is that dysregulation leads to oxidative stress, mitochondrial dysfunction, glutamate-mediated excitotoxicity, and aggregation of proteins.
See also
Manganese exporter, membrane transport protein
List of countries by manganese production
Parkerizing
References
External links
National Pollutant Inventory – Manganese and compounds Fact Sheet
International Manganese Institute
NIOSH Manganese Topic Page
Manganese at The Periodic Table of Videos (University of Nottingham)
All about Manganese Dendrites
Chemical elements
Transition metals
Deoxidizers
Occupational safety and health
Biology and pharmacology of chemical elements
Dietary minerals
Reducing agents
Chemical elements with body-centered cubic structure
Native element minerals |
19052 | https://en.wikipedia.org/wiki/Molybdenum | Molybdenum | Molybdenum is a chemical element with the symbol Mo and atomic number 42. The name is from Neo-Latin molybdaenum, which is based on Ancient Greek , meaning lead, since its ores were confused with lead ores. Molybdenum minerals have been known throughout history, but the element was discovered (in the sense of differentiating it as a new entity from the mineral salts of other metals) in 1778 by Carl Wilhelm Scheele. The metal was first isolated in 1781 by Peter Jacob Hjelm.
Molybdenum does not occur naturally as a free metal on Earth; it is found only in various oxidation states in minerals. The free element, a silvery metal with a grey cast, has the sixth-highest melting point of any element. It readily forms hard, stable carbides in alloys, and for this reason most of the world production of the element (about 80%) is used in steel alloys, including high-strength alloys and superalloys.
Most molybdenum compounds have low solubility in water, but when molybdenum-bearing minerals contact oxygen and water, the resulting molybdate ion is quite soluble. Industrially, molybdenum compounds (about 14% of world production of the element) are used in high-pressure and high-temperature applications as pigments and catalysts.
are by far the most common bacterial catalysts for breaking the chemical bond in atmospheric molecular nitrogen in the process of biological nitrogen fixation. At least 50 molybdenum enzymes are now known in bacteria, plants, and animals, although only bacterial and cyanobacterial enzymes are involved in nitrogen fixation. These nitrogenases contain an iron-molybdenum cofactor FeMoco, which is believed to contain either Mo(III) or Mo(IV). This is distinct from the fully oxidized Mo(VI) found complexed with molybdopterin in all other molybdenum-bearing enzymes, which perform a variety of crucial functions. The variety of crucial reactions catalyzed by these latter enzymes means that molybdenum is an essential element for all higher eukaryote organisms, including humans.
Characteristics
Physical properties
In its pure form, molybdenum is a silvery-grey metal with a Mohs hardness of 5.5 and a standard atomic weight of 95.95 g/mol. It has a melting point of ; of the naturally occurring elements, only tantalum, osmium, rhenium, tungsten, and carbon have higher melting points. It has one of the lowest coefficients of thermal expansion among commercially used metals.
Chemical properties
Molybdenum is a transition metal with an electronegativity of 2.16 on the Pauling scale. It does not visibly react with oxygen or water at room temperature. Weak oxidation of molybdenum starts at ; bulk oxidation occurs at temperatures above 600 °C, resulting in molybdenum trioxide. Like many heavier transition metals, molybdenum shows little inclination to form a cation in aqueous solution, although the Mo3+ cation is known under carefully controlled conditions.
Isotopes
There are 35 known isotopes of molybdenum, ranging in atomic mass from 83 to 117, as well as four metastable nuclear isomers. Seven isotopes occur naturally, with atomic masses of 92, 94, 95, 96, 97, 98, and 100. Of these naturally occurring isotopes, only molybdenum-100 is unstable.
Molybdenum-98 is the most abundant isotope, comprising 24.14% of all molybdenum. Molybdenum-100 has a half-life of about 1019 y and undergoes double beta decay into ruthenium-100. All unstable isotopes of molybdenum decay into isotopes of niobium, technetium, and ruthenium. Of the synthetic radioisotopes, the most stable is 93Mo, with a half-life of 4,000 years.
The most common isotopic molybdenum application involves molybdenum-99, which is a fission product. It is a parent radioisotope to the short-lived gamma-emitting daughter radioisotope technetium-99m, a nuclear isomer used in various imaging applications in medicine.
In 2008, the Delft University of Technology applied for a patent on the molybdenum-98-based production of molybdenum-99.
Compounds
Molybdenum forms chemical compounds in oxidation states from -II to +VI. Higher oxidation states are more relevant to its terrestrial occurrence and its biological roles, mid-level oxidation states are often associated with metal clusters, and very low oxidation states are typically associated with organomolybdenum compounds. Mo and W chemistry shows strong similarities. The relative rarity of molybdenum(III), for example, contrasts with the pervasiveness of the chromium(III) compounds. The highest oxidation state is seen in molybdenum(VI) oxide (MoO3), whereas the normal sulfur compound is molybdenum disulfide MoS2.
From the perspective of commerce, the most important compounds are molybdenum disulfide () and molybdenum trioxide (). The black disulfide is the main mineral. It is roasted in air to give the trioxide:
2 + 7 → 2 + 4
The trioxide, which is volatile at high temperatures, is the precursor to virtually all other Mo compounds as well as alloys. Molybdenum has several oxidation states, the most stable being +4 and +6 (bolded in the table at left).
Molybdenum(VI) oxide is soluble in strong alkaline water, forming molybdates (MoO42−). Molybdates are weaker oxidants than chromates. They tend to form structurally complex oxyanions by condensation at lower pH values, such as [Mo7O24]6− and [Mo8O26]4−. Polymolybdates can incorporate other ions, forming polyoxometalates. The dark-blue phosphorus-containing heteropolymolybdate P[Mo12O40]3− is used for the spectroscopic detection of phosphorus. The broad range of oxidation states of molybdenum is reflected in various molybdenum chlorides:
Molybdenum(II) chloride MoCl2, which exists as the hexamer Mo6Cl12 and the related dianion [Mo6Cl14]2-.
Molybdenum(III) chloride MoCl3, a dark red solid, which converts to the anion trianionic complex [MoCl6]3-.
Molybdenum(IV) chloride MoCl4, a black solid, which adopts a polymeric structure.
Molybdenum(V) chloride MoCl5 dark green solid, which adopts a dimeric structure.
Molybdenum(VI) chloride MoCl6 is a black solid, which is monomeric and slowly decomposes to MoCl5 and Cl2 at room temperature.
Like chromium and some other transition metals, molybdenum forms quadruple bonds, such as in Mo2(CH3COO)4 and [Mo2Cl8]4−, which also has a quadruple bond. The Lewis acid properties of the butyrate and perfluorobutyrate dimers, Mo2(O2CR)4 and Rh2(O2CR) 4, have been reported.
The oxidation state 0 is possible with carbon monoxide as ligand, such as in molybdenum hexacarbonyl, Mo(CO)6.
History
Molybdenite—the principal ore from which molybdenum is now extracted—was previously known as molybdena. Molybdena was confused with and often utilized as though it were graphite. Like graphite, molybdenite can be used to blacken a surface or as a solid lubricant. Even when molybdena was distinguishable from graphite, it was still confused with the common lead ore PbS (now called galena); the name comes from Ancient Greek , meaning lead. (The Greek word itself has been proposed as a loanword from Anatolian Luvian and Lydian languages).
Although (reportedly) molybdenum was deliberately alloyed with steel in one 14th-century Japanese sword (mfd. ca. 1330), that art was never employed widely and was later lost. In the West in 1754, Bengt Andersson Qvist examined a sample of molybdenite and determined that it did not contain lead and thus was not galena.
By 1778 Swedish chemist Carl Wilhelm Scheele stated firmly that molybdena was (indeed) neither galena nor graphite. Instead, Scheele correctly proposed that molybdena was an ore of a distinct new element, named molybdenum for the mineral in which it resided, and from which it might be isolated. Peter Jacob Hjelm successfully isolated molybdenum using carbon and linseed oil in 1781.
For the next century, molybdenum had no industrial use. It was relatively scarce, the pure metal was difficult to extract, and the necessary techniques of metallurgy were immature. Early molybdenum steel alloys showed great promise of increased hardness, but efforts to manufacture the alloys on a large scale were hampered with inconsistent results, a tendency toward brittleness, and recrystallization. In 1906, William D. Coolidge filed a patent for rendering molybdenum ductile, leading to applications as a heating element for high-temperature furnaces and as a support for tungsten-filament light bulbs; oxide formation and degradation require that molybdenum be physically sealed or held in an inert gas. In 1913, Frank E. Elmore developed a froth flotation process to recover molybdenite from ores; flotation remains the primary isolation process.
During World War I, demand for molybdenum spiked; it was used both in armor plating and as a substitute for tungsten in high-speed steels. Some British tanks were protected by 75 mm (3 in) manganese steel plating, but this proved to be ineffective. The manganese steel plates were replaced with much lighter molybdenum steel plates allowing for higher speed, greater maneuverability, and better protection. The Germans also used molybdenum-doped steel for heavy artillery, like in the super-heavy howitzer Big Bertha, because traditional steel melts at the temperatures produced by the propellant of the one ton shell. After the war, demand plummeted until metallurgical advances allowed extensive development of peacetime applications. In World War II, molybdenum again saw strategic importance as a substitute for tungsten in steel alloys.
Occurrence and production
Molybdenum is the 54th most abundant element in the Earth's crust with an average of 1.5 parts per million and the 25th most abundant element in its oceans, with an average of 10 parts per billion; it is the 42nd most abundant element in the Universe. The Russian Luna 24 mission discovered a molybdenum-bearing grain (1 × 0.6 µm) in a pyroxene fragment taken from Mare Crisium on the Moon. The comparative rarity of molybdenum in the Earth's crust is offset by its concentration in a number of water-insoluble ores, often combined with sulfur in the same way as copper, with which it is often found. Though molybdenum is found in such minerals as wulfenite (PbMoO4) and powellite (CaMoO4), the main commercial source is molybdenite (MoS2). Molybdenum is mined as a principal ore and is also recovered as a byproduct of copper and tungsten mining.
The world's production of molybdenum was 250,000 tonnes in 2011, the largest producers being China (94,000 t), the United States (64,000 t), Chile (38,000 t), Peru (18,000 t) and Mexico (12,000 t). The total reserves are estimated at 10 million tonnes, and are mostly concentrated in China (4.3 Mt), the US (2.7 Mt) and Chile (1.2 Mt). By continent, 93% of world molybdenum production is about evenly shared between North America, South America (mainly in Chile), and China. Europe and the rest of Asia (mostly Armenia, Russia, Iran and Mongolia) produce the remainder.
In molybdenite processing, the ore is first roasted in air at a temperature of . The process gives gaseous sulfur dioxide and the molybdenum(VI) oxide:
2 MoS2 + 7 O2 → 2 MoO3 + 4 SO2
The oxidized ore is then usually extracted with aqueous ammonia to give ammonium molybdate:
MoO3 + 2 NH3 + H2O → (NH4)2(MoO4)
Copper, an impurity in molybdenite, is less soluble in ammonia. To completely remove it from the solution, it is precipitated with hydrogen sulfide. Ammonium molybdate converts to ammonium dimolybdate, which is isolated as a solid. Heating this solid gives molybdenum trioxide:
(NH4)2Mo2O7 → 2 MoO3 + 2 NH3 + H2O
Crude trioxide can be further purified by sublimation at .
Metallic molybdenum is produced by reduction of the oxide with hydrogen:
MoO3 + 3 H2 → Mo + 3 H2O
The molybdenum for steel production is reduced by the aluminothermic reaction with addition of iron to produce ferromolybdenum. A common form of ferromolybdenum contains 60% molybdenum.
Molybdenum had a value of approximately $30,000 per tonne as of August 2009. It maintained a price at or near $10,000 per tonne from 1997 through 2003, and reached a peak of $103,000 per tonne in June 2005. In 2008, the London Metal Exchange announced that molybdenum would be traded as a commodity.
Mining
Historically, the Knaben mine in southern Norway, opened in 1885, was the first dedicated molybdenum mine. It was closed in 1973 but was reopened in 2007. and now produces of molybdenum disulfide per year. Large mines in Colorado (such as the Henderson mine and the Climax mine) and in British Columbia yield molybdenite as their primary product, while many porphyry copper deposits such as the Bingham Canyon Mine in Utah and the Chuquicamata mine in northern Chile produce molybdenum as a byproduct of copper mining.
Applications
Alloys
About 86% of molybdenum produced is used in metallurgy, with the rest used in chemical applications. The estimated global use is structural steel 35%, stainless steel 25%, chemicals 14%, tool & high-speed steels 9%, cast iron 6%, molybdenum elemental metal 6%, and superalloys 5%.
Molybdenum can withstand extreme temperatures without significantly expanding or softening, making it useful in environments of intense heat, including military armor, aircraft parts, electrical contacts, industrial motors, and supports for filaments in light bulbs.
Most high-strength steel alloys (for example, 41xx steels) contain 0.25% to 8% molybdenum. Even in these small portions, more than 43,000 tonnes of molybdenum are used each year in stainless steels, tool steels, cast irons, and high-temperature superalloys.
Molybdenum is also valued in steel alloys for its high corrosion resistance and weldability. Molybdenum contributes corrosion resistance to type-300 stainless steels (specifically type-316) and especially so in the so-called superaustenitic stainless steels (such as alloy AL-6XN, 254SMO and 1925hMo). Molybdenum increases lattice strain, thus increasing the energy required to dissolve iron atoms from the surface. Molybdenum is also used to enhance the corrosion resistance of ferritic (for example grade 444) and martensitic (for example 1.4122 and 1.4418) stainless steels.
Because of its lower density and more stable price, molybdenum is sometimes used in place of tungsten. An example is the 'M' series of high-speed steels such as M2, M4 and M42 as substitution for the 'T' steel series, which contain tungsten. Molybdenum can also be used as a flame-resistant coating for other metals. Although its melting point is , molybdenum rapidly oxidizes at temperatures above making it better-suited for use in vacuum environments.
TZM (Mo (~99%), Ti (~0.5%), Zr (~0.08%) and some C) is a corrosion-resisting molybdenum superalloy that resists molten fluoride salts at temperatures above . It has about twice the strength of pure Mo, and is more ductile and more weldable, yet in tests it resisted corrosion of a standard eutectic salt (FLiBe) and salt vapors used in molten salt reactors for 1100 hours with so little corrosion that it was difficult to measure.
Other molybdenum-based alloys that do not contain iron have only limited applications. For example, because of its resistance to molten zinc, both pure molybdenum and molybdenum-tungsten alloys (70%/30%) are used for piping, stirrers and pump impellers that come into contact with molten zinc.
Other applications as a pure element
Molybdenum powder is used as a fertilizer for some plants, such as cauliflower
Elemental molybdenum is used in NO, NO2, NOx analyzers in power plants for pollution controls. At , the element acts as a catalyst for NO2/NOx to form NO molecules for detection by infrared light.
Molybdenum anodes replace tungsten in certain low voltage X-ray sources for specialized uses such as mammography.
The radioactive isotope molybdenum-99 is used to generate technetium-99m, used for medical imaging The isotope is handled and stored as the molybdate.
Compounds (14% of global use)
Molybdenum disulfide (MoS2) is used as a solid lubricant and a high-pressure high-temperature (HPHT) anti-wear agent. It forms strong films on metallic surfaces and is a common additive to HPHT greases — in the event of a catastrophic grease failure, a thin layer of molybdenum prevents contact of the lubricated parts. It also has semiconducting properties with distinct advantages over traditional silicon or graphene in electronics applications. MoS2 is also used as a catalyst in hydrocracking of petroleum fractions containing nitrogen, sulfur and oxygen.
Molybdenum disilicide (MoSi2) is an electrically conducting ceramic with primary use in heating elements operating at temperatures above 1500 °C in air.
Molybdenum trioxide (MoO3) is used as an adhesive between enamels and metals.
Lead molybdate (wulfenite) co-precipitated with lead chromate and lead sulfate is a bright-orange pigment used with ceramics and plastics.
The molybdenum-based mixed oxides are versatile catalysts in the chemical industry. Some examples are the catalysts for the oxidation of carbon monoxide, selective oxidation of propylene to acrolein and acrylic acid, the ammoxidation of glycerol and propylene to acrylonitrile. Suitable catalysts and process for the direct selective oxidation of propane to acrylic acid are being researched.
Molybdenum carbides, nitride and phosphides can be used for hydrotreatment of rapeseed oil.
Ammonium heptamolybdate is used in biological staining.
Molybdenum coated soda lime glass is used in CIGS (copper indium gallium selenide) solar cells, called CIGS solar cells.
Phosphomolybdic acid is a stain used in thin-layer chromatography.
Biological role
Mo-containing enzymes
Molybdenum is an essential element in most organisms; a 2008 research paper speculated that a scarcity of molybdenum in the Earth's early oceans may have strongly influenced the evolution of eukaryotic life (which includes all plants and animals).
At least 50 molybdenum-containing enzymes have been identified, mostly in bacteria. Those enzymes include aldehyde oxidase, sulfite oxidase and xanthine oxidase. With one exception, Mo in proteins is bound by molybdopterin to give the molybdenum cofactor. The only known exception is nitrogenase, which uses the FeMoco cofactor, which has the formula Fe7MoS9C.
In terms of function, molybdoenzymes catalyze the oxidation and sometimes reduction of certain small molecules in the process of regulating nitrogen, sulfur, and carbon. In some animals, and in humans, the oxidation of xanthine to uric acid, a process of purine catabolism, is catalyzed by xanthine oxidase, a molybdenum-containing enzyme. The activity of xanthine oxidase is directly proportional to the amount of molybdenum in the body. An extremely high concentration of molybdenum reverses the trend and can inhibit purine catabolism and other processes. Molybdenum concentration also affects protein synthesis, metabolism, and growth.
Mo is a component in most nitrogenases. Among molybdoenzymes, nitrogenases are unique in lacking the molybdopterin. Nitrogenases catalyze the production of ammonia from atmospheric nitrogen:
The biosynthesis of the FeMoco active site is highly complex.
Molybdate is transported in the body as MoO42−.
Human metabolism and deficiency
Molybdenum is an essential trace dietary element. Four mammalian Mo-dependent enzymes are known, all of them harboring a pterin-based molybdenum cofactor (Moco) in their active site: sulfite oxidase, xanthine oxidoreductase, aldehyde oxidase, and mitochondrial amidoxime reductase. People severely deficient in molybdenum have poorly functioning sulfite oxidase and are prone to toxic reactions to sulfites in foods. The human body contains about 0.07 mg of molybdenum per kilogram of body weight, with higher concentrations in the liver and kidneys and lower in the vertebrae. Molybdenum is also present within human tooth enamel and may help prevent its decay.
Acute toxicity has not been seen in humans, and the toxicity depends strongly on the chemical state. Studies on rats show a median lethal dose (LD50) as low as 180 mg/kg for some Mo compounds. Although human toxicity data is unavailable, animal studies have shown that chronic ingestion of more than 10 mg/day of molybdenum can cause diarrhea, growth retardation, infertility, low birth weight, and gout; it can also affect the lungs, kidneys, and liver. Sodium tungstate is a competitive inhibitor of molybdenum. Dietary tungsten reduces the concentration of molybdenum in tissues.
Low soil concentration of molybdenum in a geographical band from northern China to Iran results in a general dietary molybdenum deficiency, and is associated with increased rates of esophageal cancer. Compared to the United States, which has a greater supply of molybdenum in the soil, people living in those areas have about 16 times greater risk for esophageal squamous cell carcinoma.
Molybdenum deficiency has also been reported as a consequence of non-molybdenum supplemented total parenteral nutrition (complete intravenous feeding) for long periods of time. It results in high blood levels of sulfite and urate, in much the same way as molybdenum cofactor deficiency. Since pure molybdenum deficiency from this cause occurs primarily in adults, the neurological consequences are not as marked as in cases of congenital cofactor deficiency.
Excretion
Most molybdenum is excreted as molybdate from the body in the urine. Furthermore, urinary excretion of molybdenum increases as dietary molybdenum intake increases. Small amounts of molybdenum are excreted from the body in the feces by way of the bile; small amounts also can be lost in sweat and in hair.
Related diseases
A congenital molybdenum cofactor deficiency disease, seen in infants, is an inability to synthesize molybdenum cofactor, the heterocyclic molecule discussed above that binds molybdenum at the active site in all known human enzymes that use molybdenum. The resulting deficiency results in high levels of sulfite and urate, and neurological damage.
Copper antagonism
High levels of molybdenum can interfere with the body's uptake of copper, producing copper deficiency. Molybdenum prevents plasma proteins from binding to copper, and it also increases the amount of copper that is excreted in urine. Ruminants that consume high levels of molybdenum suffer from diarrhea, stunted growth, anemia, and achromotrichia (loss of fur pigment). These symptoms can be alleviated by copper supplements, either dietary and injection. The effective copper deficiency can be aggravated by excess sulfur.
Copper reduction or deficiency can also be deliberately induced for therapeutic purposes by the compound ammonium tetrathiomolybdate, in which the bright red anion tetrathiomolybdate is the copper-chelating agent. Tetrathiomolybdate was first used therapeutically in the treatment of copper toxicosis in animals. It was then introduced as a treatment in Wilson's disease, a hereditary copper metabolism disorder in humans; it acts both by competing with copper absorption in the bowel and by increasing excretion. It has also been found to have an inhibitory effect on angiogenesis, potentially by inhibiting the membrane translocation process that is dependent on copper ions. This is a promising avenue for investigation of treatments for cancer, age-related macular degeneration, and other diseases that involve a pathologic proliferation of blood vessels.
Dietary recommendations
In 2000, the then U.S. Institute of Medicine (now the National Academy of Medicine, NAM) updated its Estimated Average Requirements (EARs) and Recommended Dietary Allowances (RDAs) for molybdenum. If there is not sufficient information to establish EARs and RDAs, an estimate designated Adequate Intake (AI) is used instead.
An AI of 2 micrograms (μg) of molybdenum per day was established for infants up to 6 months of age, and 3 μg/day from 7 to 12 months of age, both for males and females. For older children and adults, the following daily RDAs have been established for molybdenum: 17 μg from 1 to 3 years of age, 22 μg from 4 to 8 years, 34 μg from 9 to 13 years, 43 μg from 14 to 18 years, and 45 μg for persons 19 years old and older. All these RDAs are valid for both sexes. Pregnant or lactating females from 14 to 50 years of age have a higher daily RDA of 50 μg of molybdenum.
As for safety, the NAM sets tolerable upper intake levels (ULs) for vitamins and minerals when evidence is sufficient. In the case of molybdenum, the UL is 2000 μg/day. Collectively the EARs, RDAs, AIs and ULs are referred to as Dietary Reference Intakes (DRIs).
The European Food Safety Authority (EFSA) refers to the collective set of information as Dietary Reference Values, with Population Reference Intake (PRI) instead of RDA, and Average Requirement instead of EAR. AI and UL defined the same as in United States. For women and men ages 15 and older the AI is set at 65 μg/day. Pregnant and lactating women have the same AI. For children aged 1–14 years, the AIs increase with age from 15 to 45 μg/day. The adult AIs are higher than the U.S. RDAs, but on the other hand, the European Food Safety Authority reviewed the same safety question and set its UL at 600 μg/day, which is much lower than the U.S. value.
Labeling
For U.S. food and dietary supplement labeling purposes, the amount in a serving is expressed as a percent of Daily Value (%DV). For molybdenum labeling purposes 100% of the Daily Value was 75 μg, but as of May 27, 2016 it was revised to 45 μg. A table of the old and new adult daily values is provided at Reference Daily Intake.
Food sources
Average daily intake varies between 120 and 240 μg/day, which is higher than dietary recommendations. Pork, lamb, and beef liver each have approximately 1.5 parts per million of molybdenum. Other significant dietary sources include green beans, eggs, sunflower seeds, wheat flour, lentils, cucumbers, and cereal grain.
Precautions
Molybdenum dusts and fumes, generated by mining or metalworking, can be toxic, especially if ingested (including dust trapped in the sinuses and later swallowed). Low levels of prolonged exposure can cause irritation to the eyes and skin. Direct inhalation or ingestion of molybdenum and its oxides should be avoided. OSHA regulations specify the maximum permissible molybdenum exposure in an 8-hour day as 5 mg/m3. Chronic exposure to 60 to 600 mg/m3 can cause symptoms including fatigue, headaches and joint pains. At levels of 5000 mg/m3, molybdenum is immediately dangerous to life and health.
See also
List of molybdenum mines
Molybdenum mining in the United States
References
Bibliography
External links
Molybdenum at The Periodic Table of Videos (University of Nottingham)
Mineral & Exploration – Map of World Molybdenum Producers 2009
"Mining A Mountain" Popular Mechanics, July 1935 pp. 63–64
Site for global molybdenum info
CDC – NIOSH Pocket Guide to Chemical Hazards
Chemical elements
Transition metals
Refractory metals
Biology and pharmacology of chemical elements
Dietary minerals
Chemical elements with body-centered cubic structure
Native element minerals |
19053 | https://en.wikipedia.org/wiki/Mineral | Mineral | In geology and mineralogy, a mineral or mineral species is, broadly speaking, a solid chemical compound with a fairly well-defined chemical composition and a specific crystal structure that occurs naturally in pure form.
The geological definition of mineral normally excludes compounds that occur only in living beings. However some minerals are often biogenic (such as calcite) or are organic compounds in the sense of chemistry (such as mellite). Moreover, living beings often synthesize inorganic minerals (such as hydroxylapatite) that also occur in rocks.
The concept of mineral is distinct from rock, which is any bulk solid geologic material that is relatively homogeneous at a large enough scale. A rock may consist of one type of mineral, or may be an aggregate of two or more different types of minerals, spacially segregated into distinct phases.
Some natural solid substances without a definite crystalline structure, such as opal or obsidian, are more properly called mineraloids. If a chemical compound occurs naturally with different crystal structures, each structure is considered a different mineral species. Thus, for example, quartz and stishovite are two different minerals consisting of the same compound, silicon dioxide.
The International Mineralogical Association (IMA) is the generally recognized standard body for the definition and nomenclature of mineral species. , the IMA recognizes 5,780 official mineral species out of 5,981 proposed or traditional ones.
The chemical composition of a named mineral species may vary somewhat by the inclusion of small amounts of impurities. Specific varieties of a species sometimes have conventional or official names of their own. For example, amethyst is a purple variety of the mineral species quartz. Some mineral species can have variable proportions of two or more chemical elements that occupy equivalent positions in the mineral's structure; for example, the formula of mackinawite is given as , meaning , where x is a variable number between 0 and 9. Sometimes a mineral with variable composition is split into separate species, more or less arbitrarily, forming a mineral group; that is the case of the silicates , the olivine group.
Besides the essential chemical composition and crystal structure, the description of a mineral species usually includes its common physical properties such as habit, hardness, lustre, diaphaneity, colour, streak, tenacity, cleavage, fracture, parting, specific gravity, magnetism, fluorescence, radioactivity, as well as its taste or smell and its reaction to acid.
Minerals are classified by key chemical constituents; the two dominant systems are the Dana classification and the Strunz classification. Silicate minerals comprise approximately 90% of the Earth's crust. Other important mineral groups include the native elements, sulfides, oxides, halides, carbonates, sulfates, and phosphates.
Definitions
International Mineralogical Association
The International Mineralogical Association has established the following requirements for a substance to be considered a distinct mineral:
It must be a naturally occurring substance formed by natural geological processes, on Earth or other extraterrestrial bodies. This excludes compounds directly and exclusively generated by human activities (anthropogenic) or in living beings (biogenic), such as tungsten carbide, urinary calculi, calcium oxalate crystals in plant tissues, and seashells. However, substances with such origins may qualify if geological processes were involved in their genesis (as is the case of evenkite, derived from plant material; or taranakite, from bat guano; or alpersite, from mine tailings). Hypothetical substances are also excluded, even if they are predicted to occur in inaccessible natural environments like the Earth's core or other planets.
It must be a solid substance in its natural occurrence. A major exception to this rule is native mercury: it is still classified as a mineral by the IMA, even though crystallizes only below −39 °C, because it was included before the current rules were established. Water and carbon dioxide are not considered minerals, even though they are often found as inclusions in other minerals; but water ice is considered a mineral.
It must have a well-defined crystallographic structure; or, more generally, an ordered atomic arrangement. This property implies several macroscopic physical properties, such as crystal form, hardness, and cleavage. It excludes ozokerite, limonite, obsidian and many other amorphous (non-crystalline) materials that occur in geologic contexts.
It must have a fairly well defined chemical composition. However, certain crystalline substances with a fixed structure but variable composition may be considered single mineral species. A common class of examples are solid solutions such as mackinawite, (Fe, Ni)9S8, which is mostly a ferrous sulfide with a significant fraction of iron atoms replaced by nickel atoms. Other examples include layered crystals with variable layer stacking, or crystals that differ only in the regular arrangement of vacancies and substitutions. On the other hand, some substances that have a continuous series of compositions, may be arbitrarily split into several minerals. The typical example is the olivine group (Mg, Fe)2SiO4, whose magnesium-rich and iron-rich end-members are considered separate minerals (forsterite and fayalite).
The details of these rules are somewhat controversial. For instance, there have been several recent proposals to classify amorphous substances as minerals, but they have not been accepted by the IMA.
The IMA is also reluctant to accept minerals that occur naturally only in the form of nanoparticles a few hundred atoms across, but has not defined a minimum crystal size.
Some authors require the material to be a stable or metastable solid at room temperature (25 °C). However, the IMA only requires that the substance be stable enough for its structure and composition to be well-determined. For example, it has recently recognized meridianiite (a naturally occurring hydrate of magnesium sulfate) as a mineral, even though it is formed and stable only below 2 °C.
, 5,780 mineral species are approved by the IMA. They are most commonly named after a person, followed by discovery location; names based on chemical composition or physical properties are the two other major groups of mineral name etymologies. Most names end in "-ite"; the exceptions are usually names that were well-established before the organization of mineralogy as a discipline, for example galena and diamond.
Biogenic minerals
A topic of contention among geologists and mineralogists has been the IMA's decision to exclude biogenic crystalline substances. For example, Lowenstam (1981) stated that "organisms are capable of forming a diverse array of minerals, some of which cannot be formed inorganically in the biosphere."
Skinner (2005) views all solids as potential minerals and includes biominerals in the mineral kingdom, which are those that are created by the metabolic activities of organisms. Skinner expanded the previous definition of a mineral to classify "element or compound, amorphous or crystalline, formed through biogeochemical processes," as a mineral.
Recent advances in high-resolution genetics and X-ray absorption spectroscopy are providing revelations on the biogeochemical relations between microorganisms and minerals that may shed new light on this question. For example, the IMA-commissioned "Working Group on Environmental Mineralogy and Geochemistry " deals with minerals in the hydrosphere, atmosphere, and biosphere. The group's scope includes mineral-forming microorganisms, which exist on nearly every rock, soil, and particle surface spanning the globe to depths of at least 1600 metres below the sea floor and 70 kilometres into the stratosphere (possibly entering the mesosphere).
Biogeochemical cycles have contributed to the formation of minerals for billions of years. Microorganisms can precipitate metals from solution, contributing to the formation of ore deposits. They can also catalyze the dissolution of minerals.
Prior to the International Mineralogical Association's listing, over 60 biominerals had been discovered, named, and published. These minerals (a sub-set tabulated in Lowenstam (1981)) are considered minerals proper according to Skinner's (2005) definition. These biominerals are not listed in the International Mineral Association official list of mineral names; however, many of these biomineral representatives are distributed amongst the 78 mineral classes listed in the Dana classification scheme.
Skinner's (2005) definition of a mineral takes this matter into account by stating that a mineral can be crystalline or amorphous. Although biominerals are not the most common form of minerals, they help to define the limits of what constitutes a mineral proper. Nickel's (1995) formal definition explicitly mentioned crystallinity as a key to defining a substance as a mineral. A 2011 article defined icosahedrite, an aluminium-iron-copper alloy as mineral; named for its unique natural icosahedral symmetry, it is a quasicrystal. Unlike a true crystal, quasicrystals are ordered but not periodic.
Rocks, ores, and gems
A rock is an aggregate of one or more minerals or mineraloids. Some rocks, such as limestone or quartzite, are composed primarily of one mineral – calcite or aragonite in the case of limestone, and quartz in the latter case. Other rocks can be defined by relative abundances of key (essential) minerals; a granite is defined by proportions of quartz, alkali feldspar, and plagioclase feldspar. The other minerals in the rock are termed accessory minerals, and do not greatly affect the bulk composition of the rock. Rocks can also be composed entirely of non-mineral material; coal is a sedimentary rock composed primarily of organically derived carbon.
In rocks, some mineral species and groups are much more abundant than others; these are termed the rock-forming minerals. The major examples of these are quartz, the feldspars, the micas, the amphiboles, the pyroxenes, the olivines, and calcite; except for the last one, all of these minerals are silicates. Overall, around 150 minerals are considered particularly important, whether in terms of their abundance or aesthetic value in terms of collecting.
Commercially valuable minerals and rocks, other than gemstones, metal ores, or mineral fuels, are referred to as industrial minerals. For example, muscovite, a white mica, can be used for windows (sometimes referred to as isinglass), as a filler, or as an insulator.
Ores are minerals that have a high concentration of a certain element, typically a metal. Examples are cinnabar (HgS), an ore of mercury; sphalerite (ZnS), an ore of zinc; cassiterite (SnO2), an ore of tin; and colemanite, an ore of boron.
Gems are minerals with an ornamental value, and are distinguished from non-gems by their beauty, durability, and usually, rarity. There are about 20 mineral species that qualify as gem minerals, which constitute about 35 of the most common gemstones. Gem minerals are often present in several varieties, and so one mineral can account for several different gemstones; for example, ruby and sapphire are both corundum, Al2O3.
Etymology
The first known use of the word "mineral" in the English language (Middle English) was the 15th century. The word came from , from , mine, ore.
The word "species" comes from the Latin species, "a particular sort, kind, or type with distinct look, or appearance".
Chemistry
The abundance and diversity of minerals is controlled directly by their chemistry, in turn dependent on elemental abundances in the Earth. The majority of minerals observed are derived from the Earth's crust. Eight elements account for most of the key components of minerals, due to their abundance in the crust. These eight elements, summing to over 98% of the crust by weight, are, in order of decreasing abundance: oxygen, silicon, aluminium, iron, magnesium, calcium, sodium and potassium. Oxygen and silicon are by far the two most important – oxygen composes 47% of the crust by weight, and silicon accounts for 28%.
The minerals that form are those that are most stable at the temperature and pressure of formation, within the limits imposed by the bulk chemistry of the parent body. For example, in most igneous rocks, the aluminium and alkali metals (sodium and potassium) that are present are primarily found in combination with oxygen, silicon, and calcium as feldspar minerals. However, if the rock is unusually rich in alkali metals, there will not be enough aluminium to combine with all the sodium as feldspar, and the excess sodium will form sodic amphiboles such as riebeckite. If the aluminium abundance is unusually high, the excess aluminium will form muscovite or other aluminium-rich minerals. If silicon is deficient, part of the feldspar will be replaced by feldspathoid minerals. Precise predictions of which minerals will be present in a rock of a particular composition formed at a particular temperature and pressure requires complex thermodynamic calculations. However, approximate estimates may be made using relatively simple rules of thumb, such as the CIPW norm, which gives reasonable estimates for volcanic rock formed from dry magma.
The chemical composition may vary between end member species of a solid solution series. For example, the plagioclase feldspars comprise a continuous series from sodium-rich end member albite (NaAlSi3O8) to calcium-rich anorthite (CaAl2Si2O8) with four recognized intermediate varieties between them (given in order from sodium- to calcium-rich): oligoclase, andesine, labradorite, and bytownite. Other examples of series include the olivine series of magnesium-rich forsterite and iron-rich fayalite, and the wolframite series of manganese-rich hübnerite and iron-rich ferberite.
Chemical substitution and coordination polyhedra explain this common feature of minerals. In nature, minerals are not pure substances, and are contaminated by whatever other elements are present in the given chemical system. As a result, it is possible for one element to be substituted for another. Chemical substitution will occur between ions of a similar size and charge; for example, K+ will not substitute for Si4+ because of chemical and structural incompatibilities caused by a big difference in size and charge. A common example of chemical substitution is that of Si4+ by Al3+, which are close in charge, size, and abundance in the crust. In the example of plagioclase, there are three cases of substitution. Feldspars are all framework silicates, which have a silicon-oxygen ratio of 2:1, and the space for other elements is given by the substitution of Si4+ by Al3+ to give a base unit of [AlSi3O8]−; without the substitution, the formula would be charge-balanced as SiO2, giving quartz. The significance of this structural property will be explained further by coordination polyhedra. The second substitution occurs between Na+ and Ca2+; however, the difference in charge has to accounted for by making a second substitution of Si4+ by Al3+.
Coordination polyhedra are geometric representations of how a cation is surrounded by an anion. In mineralogy, coordination polyhedra are usually considered in terms of oxygen, due its abundance in the crust. The base unit of silicate minerals is the silica tetrahedron – one Si4+ surrounded by four O2−. An alternate way of describing the coordination of the silicate is by a number: in the case of the silica tetrahedron, the silicon is said to have a coordination number of 4. Various cations have a specific range of possible coordination numbers; for silicon, it is almost always 4, except for very high-pressure minerals where the compound is compressed such that silicon is in six-fold (octahedral) coordination with oxygen. Bigger cations have a bigger coordination numbers because of the increase in relative size as compared to oxygen (the last orbital subshell of heavier atoms is different too). Changes in coordination numbers leads to physical and mineralogical differences; for example, at high pressure, such as in the mantle, many minerals, especially silicates such as olivine and garnet, will change to a perovskite structure, where silicon is in octahedral coordination. Other examples are the aluminosilicates kyanite, andalusite, and sillimanite (polymorphs, since they share the formula Al2SiO5), which differ by the coordination number of the Al3+; these minerals transition from one another as a response to changes in pressure and temperature. In the case of silicate materials, the substitution of Si4+ by Al3+ allows for a variety of minerals because of the need to balance charges.
Because the eight most common elements make up over 98% of the Earth's crust, the small quantities of the other elements that are typically present are substituted into the common rock-forming minerals. The distinctive minerals of most elements are quite rare, being found only where these elements have been concentrated by geological processes, such as hydrothermal circulation, to the point where they can no longer be accommodated in common minerals.
Changes in temperature and pressure and composition alter the mineralogy of a rock sample. Changes in composition can be caused by processes such as weathering or metasomatism (hydrothermal alteration). Changes in temperature and pressure occur when the host rock undergoes tectonic or magmatic movement into differing physical regimes. Changes in thermodynamic conditions make it favourable for mineral assemblages to react with each other to produce new minerals; as such, it is possible for two rocks to have an identical or a very similar bulk rock chemistry without having a similar mineralogy. This process of mineralogical alteration is related to the rock cycle. An example of a series of mineral reactions is illustrated as follows.
Orthoclase feldspar (KAlSi3O8) is a mineral commonly found in granite, a plutonic igneous rock. When exposed to weathering, it reacts to form kaolinite (Al2Si2O5(OH)4, a sedimentary mineral, and silicic acid):
2 KAlSi3O8 + 5 H2O + 2 H+ → Al2Si2O5(OH)4 + 4 H2SiO3 + 2 K+
Under low-grade metamorphic conditions, kaolinite reacts with quartz to form pyrophyllite (Al2Si4O10(OH)2):
Al2Si2O5(OH)4 + SiO2 → Al2Si4O10(OH)2 + H2O
As metamorphic grade increases, the pyrophyllite reacts to form kyanite and quartz:
Al2Si4O10(OH)2 → Al2SiO5 + 3 SiO2 + H2O
Alternatively, a mineral may change its crystal structure as a consequence of changes in temperature and pressure without reacting. For example, quartz will change into a variety of its SiO2 polymorphs, such as tridymite and cristobalite at high temperatures, and coesite at high pressures.
Physical properties
Classifying minerals ranges from simple to difficult. A mineral can be identified by several physical properties, some of them being sufficient for full identification without equivocation. In other cases, minerals can only be classified by more complex optical, chemical or X-ray diffraction analysis; these methods, however, can be costly and time-consuming. Physical properties applied for classification include crystal structure and habit, hardness, lustre, diaphaneity, colour, streak, cleavage and fracture, and specific gravity. Other less general tests include fluorescence, phosphorescence, magnetism, radioactivity, tenacity (response to mechanical induced changes of shape or form), piezoelectricity and reactivity to dilute acids.
Crystal structure and habit
Crystal structure results from the orderly geometric spatial arrangement of atoms in the internal structure of a mineral. This crystal structure is based on regular internal atomic or ionic arrangement that is often expressed in the geometric form that the crystal takes. Even when the mineral grains are too small to see or are irregularly shaped, the underlying crystal structure is always periodic and can be determined by X-ray diffraction. Minerals are typically described by their symmetry content. Crystals are restricted to 32 point groups, which differ by their symmetry. These groups are classified in turn into more broad categories, the most encompassing of these being the six crystal families.
These families can be described by the relative lengths of the three crystallographic axes, and the angles between them; these relationships correspond to the symmetry operations that define the narrower point groups. They are summarized below; a, b, and c represent the axes, and α, β, γ represent the angle opposite the respective crystallographic axis (e.g. α is the angle opposite the a-axis, viz. the angle between the b and c axes):
The hexagonal crystal family is also split into two crystal systems – the trigonal, which has a three-fold axis of symmetry, and the hexagonal, which has a six-fold axis of symmetry.
Chemistry and crystal structure together define a mineral. With a restriction to 32 point groups, minerals of different chemistry may have identical crystal structure. For example, halite (NaCl), galena (PbS), and periclase (MgO) all belong to the hexaoctahedral point group (isometric family), as they have a similar stoichiometry between their different constituent elements. In contrast, polymorphs are groupings of minerals that share a chemical formula but have a different structure. For example, pyrite and marcasite, both iron sulfides, have the formula FeS2; however, the former is isometric while the latter is orthorhombic. This polymorphism extends to other sulfides with the generic AX2 formula; these two groups are collectively known as the pyrite and marcasite groups.
Polymorphism can extend beyond pure symmetry content. The aluminosilicates are a group of three minerals – kyanite, andalusite, and sillimanite – which share the chemical formula Al2SiO5. Kyanite is triclinic, while andalusite and sillimanite are both orthorhombic and belong to the dipyramidal point group. These differences arise corresponding to how aluminium is coordinated within the crystal structure. In all minerals, one aluminium ion is always in six-fold coordination with oxygen. Silicon, as a general rule, is in four-fold coordination in all minerals; an exception is a case like stishovite (SiO2, an ultra-high pressure quartz polymorph with rutile structure). In kyanite, the second aluminium is in six-fold coordination; its chemical formula can be expressed as Al[6]Al[6]SiO5, to reflect its crystal structure. Andalusite has the second aluminium in five-fold coordination (Al[6]Al[5]SiO5) and sillimanite has it in four-fold coordination (Al[6]Al[4]SiO5).
Differences in crystal structure and chemistry greatly influence other physical properties of the mineral. The carbon allotropes diamond and graphite have vastly different properties; diamond is the hardest natural substance, has an adamantine lustre, and belongs to the isometric crystal family, whereas graphite is very soft, has a greasy lustre, and crystallises in the hexagonal family. This difference is accounted for by differences in bonding. In diamond, the carbons are in sp3 hybrid orbitals, which means they form a framework where each carbon is covalently bonded to four neighbours in a tetrahedral fashion; on the other hand, graphite is composed of sheets of carbons in sp2 hybrid orbitals, where each carbon is bonded covalently to only three others. These sheets are held together by much weaker van der Waals forces, and this discrepancy translates to large macroscopic differences.
Twinning is the intergrowth of two or more crystals of a single mineral species. The geometry of the twinning is controlled by the mineral's symmetry. As a result, there are several types of twins, including contact twins, reticulated twins, geniculated twins, penetration twins, cyclic twins, and polysynthetic twins. Contact, or simple twins, consist of two crystals joined at a plane; this type of twinning is common in spinel. Reticulated twins, common in rutile, are interlocking crystals resembling netting. Geniculated twins have a bend in the middle that is caused by start of the twin. Penetration twins consist of two single crystals that have grown into each other; examples of this twinning include cross-shaped staurolite twins and Carlsbad twinning in orthoclase. Cyclic twins are caused by repeated twinning around a rotation axis. This type of twinning occurs around three, four, five, six, or eight-fold axes, and the corresponding patterns are called threelings, fourlings, fivelings, sixlings, and eightlings. Sixlings are common in aragonite. Polysynthetic twins are similar to cyclic twins through the presence of repetitive twinning; however, instead of occurring around a rotational axis, polysynthetic twinning occurs along parallel planes, usually on a microscopic scale.
Crystal habit refers to the overall shape of crystal. Several terms are used to describe this property. Common habits include acicular, which describes needlelike crystals as in natrolite, bladed, dendritic (tree-pattern, common in native copper), equant, which is typical of garnet, prismatic (elongated in one direction), and tabular, which differs from bladed habit in that the former is platy whereas the latter has a defined elongation. Related to crystal form, the quality of crystal faces is diagnostic of some minerals, especially with a petrographic microscope. Euhedral crystals have a defined external shape, while anhedral crystals do not; those intermediate forms are termed subhedral.
Hardness
The hardness of a mineral defines how much it can resist scratching. This physical property is controlled by the chemical composition and crystalline structure of a mineral. A mineral's hardness is not necessarily constant for all sides, which is a function of its structure; crystallographic weakness renders some directions softer than others. An example of this property exists in kyanite, which has a Mohs hardness of 5½ parallel to [001] but 7 parallel to [100].
The most common scale of measurement is the ordinal Mohs hardness scale. Defined by ten indicators, a mineral with a higher index scratches those below it. The scale ranges from talc, a phyllosilicate, to diamond, a carbon polymorph that is the hardest natural material. The scale is provided below:
Other scales include these;
Shore's hardness test, which measures the endurance of a mineral based on the indentation of a spring-loaded contraption.
The Rockwell scale
The Vickers hardness test
The Brinell scale
Lustre and diaphaneity
Lustre indicates how light reflects from the mineral's surface, with regards to its quality and intensity. There are numerous qualitative terms used to describe this property, which are split into metallic and non-metallic categories. Metallic and sub-metallic minerals have high reflectivity like metal; examples of minerals with this lustre are galena and pyrite. Non-metallic lustres include: adamantine, such as in diamond; vitreous, which is a glassy lustre very common in silicate minerals; pearly, such as in talc and apophyllite; resinous, such as members of the garnet group; silky which is common in fibrous minerals such as asbestiform chrysotile.
The diaphaneity of a mineral describes the ability of light to pass through it. Transparent minerals do not diminish the intensity of light passing through them. An example of a transparent mineral is muscovite (potassium mica); some varieties are sufficiently clear to have been used for windows. Translucent minerals allow some light to pass, but less than those that are transparent. Jadeite and nephrite (mineral forms of jade are examples of minerals with this property). Minerals that do not allow light to pass are called opaque.
The diaphaneity of a mineral depends on the thickness of the sample. When a mineral is sufficiently thin (e.g., in a thin section for petrography), it may become transparent even if that property is not seen in a hand sample. In contrast, some minerals, such as hematite or pyrite, are opaque even in thin-section.
Colour and streak
Colour is the most obvious property of a mineral, but it is often non-diagnostic. It is caused by electromagnetic radiation interacting with electrons (except in the case of incandescence, which does not apply to minerals). Two broad classes of elements (idiochromatic and allochromatic) are defined with regards to their contribution to a mineral's colour: Idiochromatic elements are essential to a mineral's composition; their contribution to a mineral's colour is diagnostic. Examples of such minerals are malachite (green) and azurite (blue). In contrast, allochromatic elements in minerals are present in trace amounts as impurities. An example of such a mineral would be the ruby and sapphire varieties of the mineral corundum.
The colours of pseudochromatic minerals are the result of interference of light waves. Examples include labradorite and bornite.
In addition to simple body colour, minerals can have various other distinctive optical properties, such as play of colours, asterism, chatoyancy, iridescence, tarnish, and pleochroism. Several of these properties involve variability in colour. Play of colour, such as in opal, results in the sample reflecting different colours as it is turned, while pleochroism describes the change in colour as light passes through a mineral in a different orientation. Iridescence is a variety of the play of colours where light scatters off a coating on the surface of crystal, cleavage planes, or off layers having minor gradations in chemistry. In contrast, the play of colours in opal is caused by light refracting from ordered microscopic silica spheres within its physical structure. Chatoyancy ("cat's eye") is the wavy banding of colour that is observed as the sample is rotated; asterism, a variety of chatoyancy, gives the appearance of a star on the mineral grain. The latter property is particularly common in gem-quality corundum.
The streak of a mineral refers to the colour of a mineral in powdered form, which may or may not be identical to its body colour. The most common way of testing this property is done with a streak plate, which is made out of porcelain and coloured either white or black. The streak of a mineral is independent of trace elements or any weathering surface. A common example of this property is illustrated with hematite, which is coloured black, silver, or red in hand sample, but has a cherry-red to reddish-brown streak. Streak is more often distinctive for metallic minerals, in contrast to non-metallic minerals whose body colour is created by allochromatic elements. Streak testing is constrained by the hardness of the mineral, as those harder than 7 powder the streak plate instead.
Cleavage, parting, fracture, and tenacity
By definition, minerals have a characteristic atomic arrangement. Weakness in this crystalline structure causes planes of weakness, and the breakage of a mineral along such planes is termed cleavage. The quality of cleavage can be described based on how cleanly and easily the mineral breaks; common descriptors, in order of decreasing quality, are "perfect", "good", "distinct", and "poor". In particularly transparent minerals, or in thin-section, cleavage can be seen as a series of parallel lines marking the planar surfaces when viewed from the side. Cleavage is not a universal property among minerals; for example, quartz, consisting of extensively interconnected silica tetrahedra, does not have a crystallographic weakness which would allow it to cleave. In contrast, micas, which have perfect basal cleavage, consist of sheets of silica tetrahedra which are very weakly held together.
As cleavage is a function of crystallography, there are a variety of cleavage types. Cleavage occurs typically in either one, two, three, four, or six directions. Basal cleavage in one direction is a distinctive property of the micas. Two-directional cleavage is described as prismatic, and occurs in minerals such as the amphiboles and pyroxenes. Minerals such as galena or halite have cubic (or isometric) cleavage in three directions, at 90°; when three directions of cleavage are present, but not at 90°, such as in calcite or rhodochrosite, it is termed rhombohedral cleavage. Octahedral cleavage (four directions) is present in fluorite and diamond, and sphalerite has six-directional dodecahedral cleavage.
Minerals with many cleavages might not break equally well in all of the directions; for example, calcite has good cleavage in three directions, but gypsum has perfect cleavage in one direction, and poor cleavage in two other directions. Angles between cleavage planes vary between minerals. For example, as the amphiboles are double-chain silicates and the pyroxenes are single-chain silicates, the angle between their cleavage planes is different. The pyroxenes cleave in two directions at approximately 90°, whereas the amphiboles distinctively cleave in two directions separated by approximately 120° and 60°. The cleavage angles can be measured with a contact goniometer, which is similar to a protractor.
Parting, sometimes called "false cleavage", is similar in appearance to cleavage but is instead produced by structural defects in the mineral, as opposed to systematic weakness. Parting varies from crystal to crystal of a mineral, whereas all crystals of a given mineral will cleave if the atomic structure allows for that property. In general, parting is caused by some stress applied to a crystal. The sources of the stresses include deformation (e.g. an increase in pressure), exsolution, or twinning. Minerals that often display parting include the pyroxenes, hematite, magnetite, and corundum.
When a mineral is broken in a direction that does not correspond to a plane of cleavage, it is termed to have been fractured. There are several types of uneven fracture. The classic example is conchoidal fracture, like that of quartz; rounded surfaces are created, which are marked by smooth curved lines. This type of fracture occurs only in very homogeneous minerals. Other types of fracture are fibrous, splintery, and hackly. The latter describes a break along a rough, jagged surface; an example of this property is found in native copper.
Tenacity is related to both cleavage and fracture. Whereas fracture and cleavage describes the surfaces that are created when a mineral is broken, tenacity describes how resistant a mineral is to such breaking. Minerals can be described as brittle, ductile, malleable, sectile, flexible, or elastic.
Specific gravity
Specific gravity numerically describes the density of a mineral. The dimensions of density are mass divided by volume with units: kg/m3 or g/cm3. Specific gravity is defined as the density of the mineral divided by the density of water at 4 °C and thus is a dimensionless quantity, identical in all unit systems. It can be measured as the quotient of the mass of the sample and difference between the weight of the sample in air and its corresponding weight in water. Among most minerals, this property is not diagnostic. Rock forming minerals – typically silicates or occasionally carbonates – have a specific gravity of 2.5–3.5.
High specific gravity is a diagnostic property of a mineral. A variation in chemistry (and consequently, mineral class) correlates to a change in specific gravity. Among more common minerals, oxides and sulfides tend to have a higher specific gravity as they include elements with higher atomic mass. A generalization is that minerals with metallic or adamantine lustre tend to have higher specific gravities than those having a non-metallic to dull lustre. For example, hematite, Fe2O3, has a specific gravity of 5.26 while galena, PbS, has a specific gravity of 7.2–7.6, which is a result of their high iron and lead content, respectively. A very high specific gravity is characteristic of native metals; for example, kamacite, an iron-nickel alloy common in iron meteorites has a specific gravity of 7.9, and gold has an observed specific gravity between 15 and 19.3.
Other properties
Other properties can be used to diagnose minerals. These are less general, and apply to specific minerals.
Dropping dilute acid (often 10% HCl) onto a mineral aids in distinguishing carbonates from other mineral classes. The acid reacts with the carbonate ([CO3]2−) group, which causes the affected area to effervesce, giving off carbon dioxide gas. This test can be further expanded to test the mineral in its original crystal form or powdered form. An example of this test is done when distinguishing calcite from dolomite, especially within the rocks (limestone and dolomite respectively). Calcite immediately effervesces in acid, whereas acid must be applied to powdered dolomite (often to a scratched surface in a rock), for it to effervesce. Zeolite minerals will not effervesce in acid; instead, they become frosted after 5–10 minutes, and if left in acid for a day, they dissolve or become a silica gel.
Magnetism is a very conspicuous property of a few minerals. Among common minerals, magnetite exhibits this property strongly, and magnetism is also present, albeit not as strongly, in pyrrhotite and ilmenite. Some minerals exhibit electrical properties – for example, quartz is piezoelectric – but electrical properties are rarely used as diagnostic criteria for minerals because of incomplete data and natural variation.
Minerals can also be tested for taste or smell. Halite, NaCl, is table salt; its potassium-bearing counterpart, sylvite, has a pronounced bitter taste. Sulfides have a characteristic smell, especially as samples are fractured, reacting, or powdered.
Radioactivity is a rare property found in minerals containing radioactive elements. The radioactive elements could be a defining constituent, such as uranium in uraninite, autunite, and carnotite, or present as trace impurities, as in zircon. The decay of a radioactive element damages the mineral crystal structure rendering it locally amorphous (metamict state); the optical result, termed a radioactive halo or pleochroic halo, is observable with various techniques, such as thin-section petrography.
Classification
Earliest classifications
In 315 BCE, Theophrastus presented his classification of minerals in his treatise On Stones. His classification was influenced by the ideas of his teachers Plato and Aristotle. Theophrastus classified minerals as stones, earths or metals.
Georgius Agricola's classification of minerals in his book De Natura Fossilium, published in 1546, divided minerals into three types of substance: simple (stones, earths, metals, and congealed juices), compound (intimately mixed) and composite (separable).
Linnaeus
An early classification of minerals was given by Carl Linnaeus in his seminal 1735 book Systema Naturae. He divided the natural world into three kingdoms – plants, animals, and minerals – and classified each with the same hierarchy. In descending order, these were Phylum, Class, Order, Family, Tribe, Genus, and Species.
However, while his system was justified by Charles Darwin's theory of species formation, and has been largely adopted and expanded by biologists in the following centuries, (who still even use his Greek- and Latin-based binomial naming scheme), it had little success among mineralogists.
Modern classification
Minerals are classified by variety, species, series and group, in order of increasing generality. The basic level of definition is that of mineral species, each of which is distinguished from the others by unique chemical and physical properties. For example, quartz is defined by its formula, SiO2, and a specific crystalline structure that distinguishes it from other minerals with the same chemical formula (termed polymorphs). When there exists a range of composition between two minerals species, a mineral series is defined. For example, the biotite series is represented by variable amounts of the endmembers phlogopite, siderophyllite, annite, and eastonite. In contrast, a mineral group is a grouping of mineral species with some common chemical properties that share a crystal structure. The pyroxene group has a common formula of XY(Si,Al)2O6, where X and Y are both cations, with X typically bigger than Y; the pyroxenes are single-chain silicates that crystallize in either the orthorhombic or monoclinic crystal systems. Finally, a mineral variety is a specific type of mineral species that differs by some physical characteristic, such as colour or crystal habit. An example is amethyst, which is a purple variety of quartz.
Two common classifications, Dana and Strunz, are used for minerals; both rely on composition, specifically with regards to important chemical groups, and structure. James Dwight Dana, a leading geologist of his time, first published his System of Mineralogy in 1837; as of 1997, it is in its eighth edition. The Dana classification assigns a four-part number to a mineral species. Its class number is based on important compositional groups; the type gives the ratio of cations to anions in the mineral, and the last two numbers group minerals by structural similarity within a given type or class. The less commonly used Strunz classification, named for German mineralogist Karl Hugo Strunz, is based on the Dana system, but combines both chemical and structural criteria, the latter with regards to distribution of chemical bonds.
As the composition of the Earth's crust is dominated by silicon and oxygen, silicate elements are by far the most important class of minerals in terms of rock formation and diversity. However, non-silicate minerals are of great economic importance, especially as ores.
Non-silicate minerals are subdivided into several other classes by their dominant chemistry, which includes native elements, sulfides, halides, oxides and hydroxides, carbonates and nitrates, borates, sulfates, phosphates, and organic compounds. Most non-silicate mineral species are rare (constituting in total 8% of the Earth's crust), although some are relatively common, such as calcite, pyrite, magnetite, and hematite. There are two major structural styles observed in non-silicates: close-packing and silicate-like linked tetrahedra. close-packed structures is a way to densely pack atoms while minimizing interstitial space. Hexagonal close-packing involves stacking layers where every other layer is the same ("ababab"), whereas cubic close-packing involves stacking groups of three layers ("abcabcabc"). Analogues to linked silica tetrahedra include SO4 (sulfate), PO4 (phosphate), AsO4 (arsenate), and VO4 (vanadate). The non-silicates have great economic importance, as they concentrate elements more than the silicate minerals do.
The largest grouping of minerals by far are the silicates; most rocks are composed of greater than 95% silicate minerals, and over 90% of the Earth's crust is composed of these minerals. The two main constituents of silicates are silicon and oxygen, which are the two most abundant elements in the Earth's crust. Other common elements in silicate minerals correspond to other common elements in the Earth's crust, such as aluminium, magnesium, iron, calcium, sodium, and potassium. Some important rock-forming silicates include the feldspars, quartz, olivines, pyroxenes, amphiboles, garnets, and micas.
Silicates
The base unit of a silicate mineral is the [SiO4]4− tetrahedron. In the vast majority of cases, silicon is in four-fold or tetrahedral coordination with oxygen. In very high-pressure situations, silicon will be in six-fold or octahedral coordination, such as in the perovskite structure or the quartz polymorph stishovite (SiO2). In the latter case, the mineral no longer has a silicate structure, but that of rutile (TiO2), and its associated group, which are simple oxides. These silica tetrahedra are then polymerized to some degree to create various structures, such as one-dimensional chains, two-dimensional sheets, and three-dimensional frameworks. The basic silicate mineral where no polymerization of the tetrahedra has occurred requires other elements to balance out the base 4- charge. In other silicate structures, different combinations of elements are required to balance out the resultant negative charge. It is common for the Si4+ to be substituted by Al3+ because of similarity in ionic radius and charge; in those cases, the [AlO4]5− tetrahedra form the same structures as do the unsubstituted tetrahedra, but their charge-balancing requirements are different.
The degree of polymerization can be described by both the structure formed and how many tetrahedral corners (or coordinating oxygens) are shared (for aluminium and silicon in tetrahedral sites). Orthosilicates (or nesosilicates) have no linking of polyhedra, thus tetrahedra share no corners. Disilicates (or sorosilicates) have two tetrahedra sharing one oxygen atom. Inosilicates are chain silicates; single-chain silicates have two shared corners, whereas double-chain silicates have two or three shared corners. In phyllosilicates, a sheet structure is formed which requires three shared oxygens; in the case of double-chain silicates, some tetrahedra must share two corners instead of three as otherwise a sheet structure would result. Framework silicates, or tectosilicates, have tetrahedra that share all four corners. The ring silicates, or cyclosilicates, only need tetrahedra to share two corners to form the cyclical structure.
The silicate subclasses are described below in order of decreasing polymerization.
Tectosilicates
Tectosilicates, also known as framework silicates, have the highest degree of polymerization. With all corners of a tetrahedra shared, the silicon:oxygen ratio becomes 1:2. Examples are quartz, the feldspars, feldspathoids, and the zeolites. Framework silicates tend to be particularly chemically stable as a result of strong covalent bonds.
Forming 12% of the Earth's crust, quartz (SiO2) is the most abundant mineral species. It is characterized by its high chemical and physical resistivity. Quartz has several polymorphs, including tridymite and cristobalite at high temperatures, high-pressure coesite, and ultra-high pressure stishovite. The latter mineral can only be formed on Earth by meteorite impacts, and its structure has been compressed so much that it has changed from a silicate structure to that of rutile (TiO2). The silica polymorph that is most stable at the Earth's surface is α-quartz. Its counterpart, β-quartz, is present only at high temperatures and pressures (changes to α-quartz below 573 °C at 1 bar). These two polymorphs differ by a "kinking" of bonds; this change in structure gives β-quartz greater symmetry than α-quartz, and they are thus also called high quartz (β) and low quartz (α).
Feldspars are the most abundant group in the Earth's crust, at about 50%. In the feldspars, Al3+ substitutes for Si4+, which creates a charge imbalance that must be accounted for by the addition of cations. The base structure becomes either [AlSi3O8]− or [Al2Si2O8]2− There are 22 mineral species of feldspars, subdivided into two major subgroups – alkali and plagioclase – and two less common groups – celsian and banalsite. The alkali feldspars are most commonly in a series between potassium-rich orthoclase and sodium-rich albite; in the case of plagioclase, the most common series ranges from albite to calcium-rich anorthite. Crystal twinning is common in feldspars, especially polysynthetic twins in plagioclase and Carlsbad twins in alkali feldspars. If the latter subgroup cools slowly from a melt, it forms exsolution lamellae because the two components – orthoclase and albite – are unstable in solid solution. Exsolution can be on a scale from microscopic to readily observable in hand-sample; perthitic texture forms when Na-rich feldspar exsolve in a K-rich host. The opposite texture (antiperthitic), where K-rich feldspar exsolves in a Na-rich host, is very rare.
Feldspathoids are structurally similar to feldspar, but differ in that they form in Si-deficient conditions, which allows for further substitution by Al3+. As a result, feldspathoids are almost never found in association with quartz. A common example of a feldspathoid is nepheline ((Na, K)AlSiO4); compared to alkali feldspar, nepheline has an Al2O3:SiO2 ratio of 1:2, as opposed to 1:6 in alkali feldspar. Zeolites often have distinctive crystal habits, occurring in needles, plates, or blocky masses. They form in the presence of water at low temperatures and pressures, and have channels and voids in their structure. Zeolites have several industrial applications, especially in waste water treatment.
Phyllosilicates
Phyllosilicates consist of sheets of polymerized tetrahedra. They are bound at three oxygen sites, which gives a characteristic silicon:oxygen ratio of 2:5. Important examples include the mica, chlorite, and the kaolinite-serpentine groups. In addition to the tetrahedra, phyllosilicates have a sheet of octahedra (elements in six-fold coordination by oxygen) that balance out the basic tetrahedra, which have a negative charge (e.g. [Si4O10]4−) These tetrahedra (T) and octahedra (O) sheets are stacked in a variety of combinations to create phyllosilicate layers. Within an octahedral sheet, there are three octahedral sites in a unit structure; however, not all of the sites may be occupied. In that case, the mineral is termed dioctahedral, whereas in other case it is termed trioctahedral. The layers are weakly bound by van der Waals forces, hydrogen bonds, or sparse ionic bonds, which causes a crystallographic weakness, in turn leading to a prominent basal cleavage among the phyllosilicates.
The kaolinite-serpentine group consists of T-O stacks (the 1:1 clay minerals); their hardness ranges from 2 to 4, as the sheets are held by hydrogen bonds. The 2:1 clay minerals (pyrophyllite-talc) consist of T-O-T stacks, but they are softer (hardness from 1 to 2), as they are instead held together by van der Waals forces. These two groups of minerals are subgrouped by octahedral occupation; specifically, kaolinite and pyrophyllite are dioctahedral whereas serpentine and talc trioctahedral.
Micas are also T-O-T-stacked phyllosilicates, but differ from the other T-O-T and T-O-stacked subclass members in that they incorporate aluminium into the tetrahedral sheets (clay minerals have Al3+ in octahedral sites). Common examples of micas are muscovite, and the biotite series. Mica T-O-T layers are bonded together by metal ions, giving them a greater hardness than other phyllosilicate minerals, though they retain perfect basal cleavage. The chlorite group is related to mica group, but a brucite-like (Mg(OH)2) layer between the T-O-T stacks.
Because of their chemical structure, phyllosilicates typically have flexible, elastic, transparent layers that are electrical insulators and can be split into very thin flakes. Micas can be used in electronics as insulators, in construction, as optical filler, or even cosmetics. Chrysotile, a species of serpentine, is the most common mineral species in industrial asbestos, as it is less dangerous in terms of health than the amphibole asbestos.
Inosilicates
Inosilicates consist of tetrahedra repeatedly bonded in chains. These chains can be single, where a tetrahedron is bound to two others to form a continuous chain; alternatively, two chains can be merged to create double-chain silicates. Single-chain silicates have a silicon:oxygen ratio of 1:3 (e.g. [Si2O6]4−), whereas the double-chain variety has a ratio of 4:11, e.g. [Si8O22]12−. Inosilicates contain two important rock-forming mineral groups; single-chain silicates are most commonly pyroxenes, while double-chain silicates are often amphiboles. Higher-order chains exist (e.g. three-member, four-member, five-member chains, etc.) but they are rare.
The pyroxene group consists of 21 mineral species. Pyroxenes have a general structure formula of XY(Si2O6), where X is an octahedral site, while Y can vary in coordination number from six to eight. Most varieties of pyroxene consist of permutations of Ca2+, Fe2+ and Mg2+ to balance the negative charge on the backbone. Pyroxenes are common in the Earth's crust (about 10%) and are a key constituent of mafic igneous rocks.
Amphiboles have great variability in chemistry, described variously as a "mineralogical garbage can" or a "mineralogical shark swimming a sea of elements". The backbone of the amphiboles is the [Si8O22]12−; it is balanced by cations in three possible positions, although the third position is not always used, and one element can occupy both remaining ones. Finally, the amphiboles are usually hydrated, that is, they have a hydroxyl group ([OH]−), although it can be replaced by a fluoride, a chloride, or an oxide ion. Because of the variable chemistry, there are over 80 species of amphibole, although variations, as in the pyroxenes, most commonly involve mixtures of Ca2+, Fe2+ and Mg2+. Several amphibole mineral species can have an asbestiform crystal habit. These asbestos minerals form long, thin, flexible, and strong fibres, which are electrical insulators, chemically inert and heat-resistant; as such, they have several applications, especially in construction materials. However, asbestos are known carcinogens, and cause various other illnesses, such as asbestosis; amphibole asbestos (anthophyllite, tremolite, actinolite, grunerite, and riebeckite) are considered more dangerous than chrysotile serpentine asbestos.
Cyclosilicates
Cyclosilicates, or ring silicates, have a ratio of silicon to oxygen of 1:3. Six-member rings are most common, with a base structure of [Si6O18]12−; examples include the tourmaline group and beryl. Other ring structures exist, with 3, 4, 8, 9, 12 having been described. Cyclosilicates tend to be strong, with elongated, striated crystals.
Tourmalines have a very complex chemistry that can be described by a general formula XY3Z6(BO3)3T6O18V3W. The T6O18 is the basic ring structure, where T is usually Si4+, but substitutable by Al3+ or B3+. Tourmalines can be subgrouped by the occupancy of the X site, and from there further subdivided by the chemistry of the W site. The Y and Z sites can accommodate a variety of cations, especially various transition metals; this variability in structural transition metal content gives the tourmaline group greater variability in colour. Other cyclosilicates include beryl, Al2Be3Si6O18, whose varieties include the gemstones emerald (green) and aquamarine (bluish). Cordierite is structurally similar to beryl, and is a common metamorphic mineral.
Sorosilicates
Sorosilicates, also termed disilicates, have tetrahedron-tetrahedron bonding at one oxygen, which results in a 2:7 ratio of silicon to oxygen. The resultant common structural element is the [Si2O7]6− group. The most common disilicates by far are members of the epidote group. Epidotes are found in variety of geologic settings, ranging from mid-ocean ridge to granites to metapelites. Epidotes are built around the structure [(SiO4)(Si2O7)]10− structure; for example, the mineral species epidote has calcium, aluminium, and ferric iron to charge balance: Ca2Al2(Fe3+, Al)(SiO4)(Si2O7)O(OH). The presence of iron as Fe3+ and Fe2+ helps buffer oxygen fugacity, which in turn is a significant factor in petrogenesis.
Other examples of sorosilicates include lawsonite, a metamorphic mineral forming in the blueschist facies (subduction zone setting with low temperature and high pressure), vesuvianite, which takes up a significant amount of calcium in its chemical structure.
Orthosilicates
Orthosilicates consist of isolated tetrahedra that are charge-balanced by other cations. Also termed nesosilicates, this type of silicate has a silicon:oxygen ratio of 1:4 (e.g. SiO4). Typical orthosilicates tend to form blocky equant crystals, and are fairly hard. Several rock-forming minerals are part of this subclass, such as the aluminosilicates, the olivine group, and the garnet group.
The aluminosilicates –bkyanite, andalusite, and sillimanite, all Al2SiO5 – are structurally composed of one [SiO4]4− tetrahedron, and one Al3+ in octahedral coordination. The remaining Al3+ can be in six-fold coordination (kyanite), five-fold (andalusite) or four-fold (sillimanite); which mineral forms in a given environment is depend on pressure and temperature conditions. In the olivine structure, the main olivine series of (Mg, Fe)2SiO4 consist of magnesium-rich forsterite and iron-rich fayalite. Both iron and magnesium are in octahedral by oxygen. Other mineral species having this structure exist, such as tephroite, Mn2SiO4. The garnet group has a general formula of X3Y2(SiO4)3, where X is a large eight-fold coordinated cation, and Y is a smaller six-fold coordinated cation. There are six ideal endmembers of garnet, split into two group. The pyralspite garnets have Al3+ in the Y position: pyrope (Mg3Al2(SiO4)3), almandine (Fe3Al2(SiO4)3), and spessartine (Mn3Al2(SiO4)3). The ugrandite garnets have Ca2+ in the X position: uvarovite (Ca3Cr2(SiO4)3), grossular (Ca3Al2(SiO4)3) and andradite (Ca3Fe2(SiO4)3). While there are two subgroups of garnet, solid solutions exist between all six end-members.
Other orthosilicates include zircon, staurolite, and topaz. Zircon (ZrSiO4) is useful in geochronology as U6+ can substitute for Zr4+; furthermore, because of its very resistant structure, it is difficult to reset it as a chronometer. Staurolite is a common metamorphic intermediate-grade index mineral. It has a particularly complicated crystal structure that was only fully described in 1986. Topaz (Al2SiO4(F, OH)2, often found in granitic pegmatites associated with tourmaline, is a common gemstone mineral.
Non-silicates
Native elements
Native elements are those that are not chemically bonded to other elements. This mineral group includes native metals, semi-metals, and non-metals, and various alloys and solid solutions. The metals are held together by metallic bonding, which confers distinctive physical properties such as their shiny metallic lustre, ductility and malleability, and electrical conductivity. Native elements are subdivided into groups by their structure or chemical attributes.
The gold group, with a cubic close-packed structure, includes metals such as gold, silver, and copper. The platinum group is similar in structure to the gold group. The iron-nickel group is characterized by several iron-nickel alloy species. Two examples are kamacite and taenite, which are found in iron meteorites; these species differ by the amount of Ni in the alloy; kamacite has less than 5–7% nickel and is a variety of native iron, whereas the nickel content of taenite ranges from 7–37%. Arsenic group minerals consist of semi-metals, which have only some metallic traits; for example, they lack the malleability of metals. Native carbon occurs in two allotropes, graphite and diamond; the latter forms at very high pressure in the mantle, which gives it a much stronger structure than graphite.
Sulfides
The sulfide minerals are chemical compounds of one or more metals or semimetals with a chalcogen or pnictogen, of which sulfur is most common. Tellurium, arsenic, or selenium can substitute for the sulfur. Sulfides tend to be soft, brittle minerals with a high specific gravity. Many powdered sulfides, such as pyrite, have a sulfurous smell when powdered. Sulfides are susceptible to weathering, and many readily dissolve in water; these dissolved minerals can be later redeposited, which creates enriched secondary ore deposits. Sulfides are classified by the ratio of the metal or semimetal to the sulfur, such as M:S equal to 2:1, or 1:1. Many sulfide minerals are economically important as metal ores; examples include sphalerite (ZnS), an ore of zinc, galena (PbS), an ore of lead, cinnabar (HgS), an ore of mercury, and molybdenite (MoS2, an ore of molybdenum. Pyrite (FeS2), is the most commonly occurring sulfide, and can be found in most geological environments. It is not, however, an ore of iron, but can be instead oxidized to produce sulfuric acid. Related to the sulfides are the rare sulfosalts, in which a metallic element is bonded to sulfur and a semimetal such as antimony, arsenic, or bismuth. Like the sulfides, sulfosalts are typically soft, heavy, and brittle minerals.
Oxides
Oxide minerals are divided into three categories: simple oxides, hydroxides, and multiple oxides. Simple oxides are characterized by O2− as the main anion and primarily ionic bonding. They can be further subdivided by the ratio of oxygen to the cations. The periclase group consists of minerals with a 1:1 ratio. Oxides with a 2:1 ratio include cuprite (Cu2O) and water ice. Corundum group minerals have a 2:3 ratio, and includes minerals such as corundum (Al2O3), and hematite (Fe2O3). Rutile group minerals have a ratio of 1:2; the eponymous species, rutile (TiO2) is the chief ore of titanium; other examples include cassiterite (SnO2; ore of tin), and pyrolusite (MnO2; ore of manganese). In hydroxides, the dominant anion is the hydroxyl ion, OH−. Bauxites are the chief aluminium ore, and are a heterogeneous mixture of the hydroxide minerals diaspore, gibbsite, and bohmite; they form in areas with a very high rate of chemical weathering (mainly tropical conditions). Finally, multiple oxides are compounds of two metals with oxygen. A major group within this class are the spinels, with a general formula of X2+Y3+2O4. Examples of species include spinel (MgAl2O4), chromite (FeCr2O4), and magnetite (Fe3O4). The latter is readily distinguishable by its strong magnetism, which occurs as it has iron in two oxidation states (Fe2+Fe3+2O4), which makes it a multiple oxide instead of a single oxide.
Halides
The halide minerals are compounds in which a halogen (fluorine, chlorine, iodine, or bromine) is the main anion. These minerals tend to be soft, weak, brittle, and water-soluble. Common examples of halides include halite (NaCl, table salt), sylvite (KCl), and fluorite (CaF2). Halite and sylvite commonly form as evaporites, and can be dominant minerals in chemical sedimentary rocks. Cryolite, Na3AlF6, is a key mineral in the extraction of aluminium from bauxites; however, as the only significant occurrence at Ivittuut, Greenland, in a granitic pegmatite, was depleted, synthetic cryolite can be made from fluorite.
Carbonates
The carbonate minerals are those in which the main anionic group is carbonate, [CO3]2−. Carbonates tend to be brittle, many have rhombohedral cleavage, and all react with acid. Due to the last characteristic, field geologists often carry dilute hydrochloric acid to distinguish carbonates from non-carbonates. The reaction of acid with carbonates, most commonly found as the polymorph calcite and aragonite (CaCO3), relates to the dissolution and precipitation of the mineral, which is a key in the formation of limestone caves, features within them such as stalactite and stalagmites, and karst landforms. Carbonates are most often formed as biogenic or chemical sediments in marine environments. The carbonate group is structurally a triangle, where a central C4+ cation is surrounded by three O2− anions; different groups of minerals form from different arrangements of these triangles. The most common carbonate mineral is calcite, which is the primary constituent of sedimentary limestone and metamorphic marble. Calcite, CaCO3, can have a significant percentage of magnesium substituting for calcium. Under high-Mg conditions, its polymorph aragonite will form instead; the marine geochemistry in this regard can be described as an aragonite or calcite sea, depending on which mineral preferentially forms. Dolomite is a double carbonate, with the formula CaMg(CO3)2. Secondary dolomitization of limestone is common, in which calcite or aragonite are converted to dolomite; this reaction increases pore space (the unit cell volume of dolomite is 88% that of calcite), which can create a reservoir for oil and gas. These two mineral species are members of eponymous mineral groups: the calcite group includes carbonates with the general formula XCO3, and the dolomite group constitutes minerals with the general formula XY(CO3)2.
Sulfates
The sulfate minerals all contain the sulfate anion, [SO4]2−. They tend to be transparent to translucent, soft, and many are fragile. Sulfate minerals commonly form as evaporites, where they precipitate out of evaporating saline waters. Sulfates can also be found in hydrothermal vein systems associated with sulfides, or as oxidation products of sulfides. Sulfates can be subdivided into anhydrous and hydrous minerals. The most common hydrous sulfate by far is gypsum, CaSO4⋅2H2O. It forms as an evaporite, and is associated with other evaporites such as calcite and halite; if it incorporates sand grains as it crystallizes, gypsum can form desert roses. Gypsum has very low thermal conductivity and maintains a low temperature when heated as it loses that heat by dehydrating; as such, gypsum is used as an insulator in materials such as plaster and drywall. The anhydrous equivalent of gypsum is anhydrite; it can form directly from seawater in highly arid conditions. The barite group has the general formula XSO4, where the X is a large 12-coordinated cation. Examples include barite (BaSO4), celestine (SrSO4), and anglesite (PbSO4); anhydrite is not part of the barite group, as the smaller Ca2+ is only in eight-fold coordination.
Phosphates
The phosphate minerals are characterized by the tetrahedral [PO4]3− unit, although the structure can be generalized, and phosphorus is replaced by antimony, arsenic, or vanadium. The most common phosphate is the apatite group; common species within this group are fluorapatite (Ca5(PO4)3F), chlorapatite (Ca5(PO4)3Cl) and hydroxylapatite (Ca5(PO4)3(OH)). Minerals in this group are the main crystalline constituents of teeth and bones in vertebrates. The relatively abundant monazite group has a general structure of ATO4, where T is phosphorus or arsenic, and A is often a rare-earth element (REE). Monazite is important in two ways: first, as a REE "sink", it can sufficiently concentrate these elements to become an ore; secondly, monazite group elements can incorporate relatively large amounts of uranium and thorium, which can be used in monazite geochronology to date the rock based on the decay of the U and Th to lead.
Organic minerals
The Strunz classification includes a class for organic minerals. These rare compounds contain organic carbon, but can be formed by a geologic process. For example, whewellite, CaC2O4⋅H2O is an oxalate that can be deposited in hydrothermal ore veins. While hydrated calcium oxalate can be found in coal seams and other sedimentary deposits involving organic matter, the hydrothermal occurrence is not considered to be related to biological activity.
Recent advances
Mineral classification schemes and their definitions are evolving to match recent advances in mineral science. Recent changes have included the addition of an organic class, in both the new Dana and the Strunz classification schemes. The organic class includes a very rare group of minerals with hydrocarbons. The IMA Commission on New Minerals and Mineral Names adopted in 2009 a hierarchical scheme for the naming and classification of mineral groups and group names and established seven commissions and four working groups to review and classify minerals into an official listing of their published names. According to these new rules, "mineral species can be grouped in a number of different ways, on the basis of chemistry, crystal structure, occurrence, association, genetic history, or resource, for example, depending on the purpose to be served by the classification."
Astrobiology
It has been suggested that biominerals could be important indicators of extraterrestrial life and thus could play an important role in the search for past or present life on Mars. Furthermore, organic components (biosignatures) that are often associated with biominerals are believed to play crucial roles in both pre-biotic and biotic reactions.
In January 2014, NASA reported that studies by the Curiosity and Opportunity rovers on Mars would search for evidence of ancient life, including a biosphere based on autotrophic, chemotrophic and/or chemolithoautotrophic microorganisms, as well as ancient water, including fluvio-lacustrine environments (plains related to ancient rivers or lakes) that may have been habitable. The search for evidence of habitability, taphonomy (related to fossils), and organic carbon on the planet Mars became a primary NASA objective.
See also
Notes
References
General references
Further reading
On the creation of new minerals by human activity.
External links
Mindat mineralogical database, largest mineral database on the Internet
"Mineralogy Database" by David Barthelmy (2009)
"Mineral Identification Key II" Mineralogical Society of America
"American Mineralogist Crystal Structure Database"
Minerals and the Origins of Life (Robert Hazen, NASA) (video, 60m, April 2014).
The private lives of minerals: Insights from big-data mineralogy (Robert Hazen, 15 February 2017)
Natural materials |
19054 | https://en.wikipedia.org/wiki/Marble | Marble | Marble is a metamorphic rock composed of recrystallized carbonate minerals, most commonly calcite or dolomite. Marble is typically not foliated, although there are exceptions. In geology, the term marble refers to metamorphosed limestone, but its use in stonemasonry more broadly encompasses unmetamorphosed limestone. Marble is commonly used for sculpture and as a building material.
Etymology
The word "marble" derives from the Ancient Greek (), from (), "crystalline rock, shining stone", perhaps from the verb (), "to flash, sparkle, gleam"; R. S. P. Beekes has suggested that a "Pre-Greek origin is probable".
This stem is also the ancestor of the English word "marmoreal", meaning "marble-like." While the English term "marble" resembles the French , most other European languages (with words like "marmoreal") more closely resemble the original Ancient Greek.
Physical origins
Marble is a rock resulting from metamorphism of sedimentary carbonate rocks, most commonly limestone or dolomite rock. Metamorphism causes variable recrystallization of the original carbonate mineral grains. The resulting marble rock is typically composed of an interlocking mosaic of carbonate crystals. Primary sedimentary textures and structures of the original carbonate rock (protolith) have typically been modified or destroyed.
Pure white marble is the result of metamorphism of a very pure (silicate-poor) limestone or dolomite protolith. The characteristic swirls and veins of many colored marble varieties are usually due to various mineral impurities such as clay, silt, sand, iron oxides, or chert which were originally present as grains or layers in the limestone. Green coloration is often due to serpentine resulting from originally magnesium-rich limestone or dolomite with silica impurities. These various impurities have been mobilized and recrystallized by the intense pressure and heat of the metamorphism.
Types
Examples of historically notable marble varieties and locations:
Uses
Sculpture
White marble has been prized for its use in sculptures since classical times. This preference has to do with its softness, which made it easier to carve, relative isotropy and homogeneity, and a relative resistance to shattering. Also, the low index of refraction of calcite allows light to penetrate 12.7 to 38 millimeters into the stone before being scattered out, resulting in the characteristic waxy look which brings a lifelike luster to marble sculptures of any kind, which is why many sculptors preferred and still prefer marble for sculpting.
Construction
Construction marble is a stone which is composed of calcite, dolomite or serpentine that is capable of taking a polish. More generally in construction, specifically the dimension stone trade, the term marble is used for any crystalline calcitic rock (and some non-calcitic rocks) useful as building stone. For example, Tennessee marble is really a dense granular fossiliferous gray to pink to maroon Ordovician limestone, that geologists call the Holston Formation.
Ashgabat, the capital city of Turkmenistan, was recorded in the 2013 Guinness Book of Records as having the world's highest concentration of white marble buildings.
Production
According to the United States Geological Survey, U.S. domestic marble production in 2006 was 46,400 tons valued at about $18.1 million, compared to 72,300 tons valued at $18.9 million in 2005. Crushed marble production (for aggregate and industrial uses) in 2006 was 11.8 million tons valued at $116 million, of which 6.5 million tons was finely ground calcium carbonate and the rest was construction aggregate. For comparison, 2005 crushed marble production was 7.76 million tons valued at $58.7 million, of which 4.8 million tons was finely ground calcium carbonate and the rest was construction aggregate. U.S. dimension marble demand is about 1.3 million tons. The DSAN World Demand for (finished) Marble Index has shown a growth of 12% annually for the 2000–2006 period, compared to 10.5% annually for the 2000–2005 period. The largest dimension marble application is tile.
In 1998, marble production was dominated by 4 countries that accounted for almost half of world production of marble and decorative stone. Italy and China were the world leaders, each representing 16% of world production, while Spain and India produced 9% and 8%, respectively.
In 2018 Turkey was the world leader in marble export, with 42% share in global marble trade, followed by Italy with 18% and Greece with 10%. The largest importer of marble in 2018 was China with a 64% market share, followed by India with 11% and Italy with 5%.
Occupational safety
Dust produced by cutting marble could cause lung disease but more research needs to be carried out on whether dust filters and other safety products reduce this risk.
In the United States, the Occupational Safety and Health Administration (OSHA) has set the legal limit (permissible exposure limit) for marble exposure in the workplace as 15 mg/m3 total exposure and 5 mg/m3 respiratory exposure over an 8-hour workday. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 10 mg/m3 total exposure and 5 mg/m3 respiratory exposure over an 8-hour workday.
Degradation by acids
Acids damage marble, because the calcium carbonate in marble reacts with them, releasing carbon dioxide (technically speaking, carbonic acid, but that decomposes quickly to CO2 and H2O) and other soluble salts :
CaCO3(s) + 2H+(aq) → Ca2+(aq) + CO2(g) + H2O (l)
Thus, vinegar or other acidic solutions should never be used on marble. Likewise, outdoor marble statues, gravestones, or other marble structures are damaged by acid rain whether by carbonation, sulfation or the formation of "black-crust" (accumulation of calcium sulphate, nitrates and carbon particles).
Crystallization
Crystallization refers to a sometimes controversial method of imparting a glossy more durable finish on to a marble floor (CaCO3). It involves polishing the surface with an acidic solution and a steel wool pad on a flooring machine. The chemical reaction below shows a typical process using magnesium fluorosilicate (MgSiF6) and hydrochloric acid (HCl) taking place.
3CaCO3(s) + MgSiF6(l) + 2HCl (l) → MgCl2(s) + CaSiF6(s) + CO2(g) + HO2(l)
The resulting calcium hexafluorosilicate (CaSiF6) is bonded to the surface of the marble. This is harder, more glossy and stain resistant compared to the original surface.
The other often used method of finishing marble is the use of polishing with oxalic acid (H2C2O4), an organic acid. The resulting reaction is as follows.
3CaCO3(s) + H2C2O4(l) → CaC2O4(s) + CO2(g) + HO2(l)
In this case the calcium oxalate (CaC2O4) formed in the reaction is washed away with the slurry leaving a surface that has not been chemically changed.
Microbial degradation
The haloalkaliphilic methylotrophic bacterium Methylophaga murata was isolated from deteriorating marble in the Kremlin. Bacterial and fungal degradation was detected in four samples of marble from Milan Cathedral; black Cladosporium attacked dried acrylic resin using melanin.
Cultural associations
As the favorite medium for Greek and Roman sculptors and architects (see classical sculpture), marble has become a cultural symbol of tradition and refined taste. Its extremely varied and colorful patterns make it a favorite decorative material, and it is often imitated in background patterns for computer displays, etc.
Places named after the stone include Marblehead, Massachusetts; Marblehead, Ohio; Marble Arch, London; the Sea of Marmara; India's Marble Rocks; and the towns of Marble, Minnesota; Marble, Colorado; Marble Falls, Texas, and Marble Hill, Manhattan, New York. The Elgin Marbles are marble sculptures from the Parthenon in Athens that are on display in the British Museum. They were brought to Britain by the Earl of Elgin.
Gallery
See also
Marble sculpture
Marmorino
Paper marbling
Pietra dura, inlaying with marble and other stones
Ruin marble, marble that contains light and dark patterns, giving the impression of a ruined cityscape
Scagliola, imitating marble with plasterwork
Verd antique, sometimes (erroneously) called "serpentine marble", and often confused with Connemara marble
References
External links
Dimension Stone Statistics and Information – United States Geological Survey minerals information for dimension stone
USGS 2005 Minerals Yearbook: Stone, Crushed
USGS 2005 Minerals Yearbook: Stone, Dimension
USGS 2006 Minerals Yearbook: Stone, Crushed
USGS 2006 Minerals Yearbook: Stone, Dimension
Marble Institute of America
Sculpture materials
Metasedimentary rocks
Limestone
Stone (material)
Symbols of Alabama |
19055 | https://en.wikipedia.org/wiki/Manufacturing%20Consent%20%28film%29 | Manufacturing Consent (film) | Manufacturing Consent: Noam Chomsky and the Media is a 1992 documentary film that explores the political life and ideas of linguist, intellectual, and political activist Noam Chomsky. Canadian filmmakers Mark Achbar and Peter Wintonick expand the analysis of political economy and mass media presented in Manufacturing Consent, a 1988 book Chomsky wrote with Edward S. Herman.
Overview
The film presents and illustrates Chomsky and Herman's propaganda model thesis that corporate media, as profit-driven institutions, tend to serve and further the agendas and interests of dominant, elite groups in the society. A centerpiece of the film is a long examination of the history of The New York Times''' coverage of the Indonesian occupation of East Timor, which Chomsky says exemplifies the media's unwillingness to criticize an ally of the elite.
Until the release of The Corporation (2003), made by Mark Achbar, Jennifer Abbott and Joel Bakan, it was the most successful feature documentary in Canadian history playing theatrically in over 300 cities around the world. It appeared in more than 50 international film festivals where it received 22 awards. It was broadcast on television in over 30 markets and translated into a dozen languages.
Chomsky confessed in an on-stage interview at the 2013 New York City Documentary festival that he has never actually seen the documentary because "I can't stand watching myself...but I'm told it was a pretty impressive film." In a published conversation with Achbar and several activists, he stated that "the positive impact of it has been astonishing to me" but people mistakenly get the impression that he is the leader of a movement that they should join. He also criticizes The New York Times review of the film, which mistakes his message for being a call for voter organizing rather than for engaging in media critique and political action.
Companion book
Mark Achbar edited a companion book of the same name. It features a transcript of the film annotated with excerpts from referenced and relevant materials as well as several comments from Chomsky interspersed throughout. Eighteen "Philosopher All-Stars" baseball cards (as seen in the film) are also included. On the back of each card is a short summary of the person, titles of their major works, and a series of quotations attributed to the individual. The people featured as cards in the set are: René Descartes, Jean-Jacques Rousseau, Voltaire, Mary Wollstonecraft, Wilhelm von Humboldt, Pierre-Joseph Proudhon, Sojourner Truth, Karl Marx, Sitting Bull, Rosa Luxemburg, Peter Kropotkin, Emma Goldman, Mahatma Gandhi, Martin Luther King Jr., Bertrand Russell, Michel Foucault, and Noam Chomsky. The book made the Globe and Mail national bestseller list in Canada.
The first half of the book, hyperlinked to the relevant portions of the film's audio, is available online from Z Magazine. The entire book is available as a PDF document on the Region 2 DVD of the film.
See also
Concentration of media ownership
Propaganda model
References
External links
NFB Web page
The Herman-Chomsky Propaganda Model Twenty Years On Westminster Papers in Communication and Culture'' 6(2), 2009
Multimedia
Australian films
1992 films
Australian documentary films
Finnish films
Norwegian films
English-language films
Documentary films about public opinion
Canadian films
Canadian documentary films
Works about the information economy
National Film Board of Canada documentaries
Documentary films about writers
Documentary films about journalism
1992 documentary films
Films directed by Peter Wintonick
Works about Noam Chomsky
Films based on non-fiction books |
19058 | https://en.wikipedia.org/wiki/Munich | Munich | Munich ( ; ; ) is the capital and most populous city of the German state of Bavaria. With a population of 1,558,395 inhabitants as of 31 July 2020, it is the third-largest city in Germany, after Berlin and Hamburg, and thus the largest which does not constitute its own state, as well as the 11th-largest city in the European Union. The city's metropolitan region is home to 6 million people.
Straddling the banks of the River Isar (a tributary of the Danube) north of the Bavarian Alps, it is the seat of the Bavarian administrative region of Upper Bavaria, while being the most densely populated municipality in Germany (4,500 people per km2). Munich is the second-largest city in the Bavarian dialect area, after the Austrian capital of Vienna.
The city was first mentioned in 1158. Catholic Munich strongly resisted the Reformation and was a political point of divergence during the resulting Thirty Years' War, but remained physically untouched despite an occupation by the Protestant Swedes. Once Bavaria was established as a sovereign kingdom in 1806, Munich became a major European centre of arts, architecture, culture and science. In 1918, during the German Revolution, the ruling house of Wittelsbach, which had governed Bavaria since 1180, was forced to abdicate in Munich and a short-lived socialist republic was declared. In the 1920s, Munich became home to several political factions, among them the NSDAP. After the Nazis' rise to power, Munich was declared their "Capital of the Movement". The city was heavily bombed during World War II, but has restored most of its traditional cityscape. After the end of postwar American occupation in 1949, there was a great increase in population and economic power during the years of Wirtschaftswunder, or "economic miracle". The city hosted the 1972 Summer Olympics and was one of the host cities of the 1974 and 2006 FIFA World Cups.
Today, Munich is a global centre of art, science, technology, finance, publishing, culture, innovation, education, business, and tourism and enjoys a very high standard and quality of living, reaching first in Germany and third worldwide according to the 2018 Mercer survey, and being rated the world's most liveable city by the Monocle's Quality of Life Survey 2018. According to the Globalization and World Rankings Research Institute, Munich is considered an alpha-world city, . It is one of the most prosperous and fastest growing cities in Germany.
Munich's economy is based on high tech, automobiles, the service sector and creative industries, as well as IT, biotechnology, engineering and electronics among many others. The city houses many multinational companies, such as BMW, Siemens, MAN, Allianz and MunichRE. It is also home to two research universities, a multitude of scientific institutions, and world class technology and science museums like the Deutsches Museum and BMW Museum. Munich's numerous architectural and cultural attractions, sports events, exhibitions and its annual Oktoberfest attract considerable tourism. The city is home to more than 530,000 people of foreign background, making up 37.7% of its population.
History
Etymology
The name of the city is usually interpreted as deriving from the Old/Middle High German term Munichen, meaning "by the monks". A monk is also depicted on the city's coat of arms.
The town is first mentioned as forum apud Munichen in the of 14 June 1158 by Holy Roman Emperor Frederick I.
The name in modern German is , but this has been variously translated in different languages: in English, French, Spanish and various other languages as "Munich", in Italian as "Monaco di Baviera", in Portuguese as "Munique".
Prehistory
Archeological finds in Munich, such as in Freiham/Aubing, indicate early settlements and graves dating back to the Bronze Age (7th–6th century BC).
Evidence of Celtic settlements from the Iron Age have been discovered in areas around Perlach.
Roman period
The ancient Roman road Via Julia, which connected Augsburg and Salzburg, crossed over the Isar River south of modern-day Munich, at the towns of Baierbrunn and Gauting.
A Roman settlement north-east of downtown Munich was excavated in the neighborhood of Denning/Bogenhausen.
Post-Roman settlements
In the 6th Century and beyond, various ethnic groups, such as the Baiuvarii, populated the area around what is now modern Munich, such as in Johanneskirchen, Feldmoching, Bogenhausen and Pasing.
The first known Christian church was built ca. 815 in Fröttmanning.
Origin of medieval town
The origin of the modern city of Munich is the result of a power struggle between a military warlord and an influential Catholic bishop.
Henry the Lion, Duke of Saxony and Duke of Bavaria (d. 1195) was one of the most powerful German princes of his time. He ruled over vast territories in the German Holy Roman Empire from the North and Baltic Sea to the Alps. Henry wanted to expand his power in Bavaria by gaining control of the lucrative salt trade, which the Catholic Church in Freising had under its control.
Bishop Otto von Freising (d. 1158) was a scholar, historian and bishop of a large section of Bavaria that was part of his diocese of Freising.
Years earlier (the exact time is unclear, but may have been in the early 10th century), Benedictine monks helped build a toll bridge and a customs house over the Isar River (most likely in the modern town of Oberföhring) to control the salt trade between Augsburg and Salzburg (which had existed since Roman times).
Henry wanted to control the toll bridge and its income for himself, so he destroyed the bridge and customs house in 1156. He then built a new toll bridge, customs house and a coin market closer to his home downriver (at a settlement around the area of modern oldtown Munich: Marienplatz, Marienhof and the St. Peter's Church). This new toll bridge most likely crossed the Isar where the Museuminsel and the modern Ludwigsbrücke is now located.
Bishop Otto protested to his nephew, Emperor Frederick Barbarosa (d. 1190). However, on 14 June 1158, in Augsburg, the conflict was settled in favor of Duke Henry. The Augsburg Arbitration mentions the name of the location in dispute as forum apud Munichen. Although Bishop Otto had lost his bridge, the arbiters ordered Duke Henry to pay a third of his income to the Bishop in Freising as compensation.
14 June 1158, is considered the official 'founding day' of the city of Munich, not the date when it was first settled.
Archaeological excavations at Marienhof Square (near Marienplatz) in advance of the expansion of the S-Bahn (subway) in 2012 discovered shards of vessels from the 11th century, which prove again that the settlement of Munich must be older than the Augsburg Arbitration of 1158. The old St. Peter's Church near Marienplatz is also believed to predate the founding date of the town.
In 1175 Munich received city status and fortification. In 1180, after Henry the Lion's fall from grace with Emperor Frederick Barbarosa, including his trial and exile, Otto I Wittelsbach became Duke of Bavaria, and Munich was handed to the Bishop of Freising. In 1240, Munich was transferred to Otto II Wittelsbach and in 1255, when the Duchy of Bavaria was split in two, Munich became the ducal residence of Upper Bavaria.
Duke Louis IV, a native of Munich, was elected German king in 1314 and crowned as Holy Roman Emperor in 1328. He strengthened the city's position by granting it the salt monopoly, thus assuring it of additional income.
On 13 February 1327, a large fire broke out in Munich that lasted two days and destroyed about a third of the town.
In 1349 the Black Death ravaged Munich and Bavaria.
In the 15th century, Munich underwent a revival of Gothic arts: the Old Town Hall was enlarged, and Munich's largest Gothic church – the Frauenkirche – now a cathedral, was constructed in only 20 years, starting in 1468.
Capital of reunited Bavaria
When Bavaria was reunited in 1506 after a brief war against the Duchy of Landshut, Munich became its capital. The arts and politics became increasingly influenced by the court (see Orlando di Lasso and Heinrich Schütz). During the 16th century, Munich was a centre of the German counter reformation, and also of renaissance arts. Duke Wilhelm V commissioned the Jesuit Michaelskirche, which became a centre for the counter-reformation, and also built the Hofbräuhaus for brewing brown beer in 1589. The Catholic League was founded in Munich in 1609.
In 1623, during the Thirty Years' War, Munich became an electoral residence when Maximilian I, Duke of Bavaria was invested with the electoral dignity, but in 1632 the city was occupied by Gustav II Adolph of Sweden. When the bubonic plague broke out in 1634 and 1635, about one-third of the population died. Under the regency of the Bavarian electors, Munich was an important centre of Baroque life, but also had to suffer under Habsburg occupations in 1704 and 1742.
After making an alliance with Napoleonic France, the city became the capital of the new Kingdom of Bavaria in 1806 with Elector Maximillian Joseph becoming its first King. The state parliament (the Landtag) and the new archdiocese of Munich and Freising were also located in the city.
During the early to mid-19th century, the old fortified city walls of Munich were largely demolished due to population expansion.
Munich's annual Beer Festival, Oktoberfest, has its origins from a royal wedding in October 1810. The fields are now part of the 'Theresienwiese' near downtown.
In 1826, Landshut University was moved to Munich. Many of the city's finest buildings belong to this period and were built under the first three Bavarian kings. Especially Ludwig I rendered outstanding services to Munich's status as a centre of the arts, attracting numerous artists and enhancing the city's architectural substance with grand boulevards and buildings.
The first Munich railway station was built in 1839, with a line going to Augsburg in the west. By 1849 a newer Munich Central Train Station (München Hauptbahnhof) was completed, with a line going to Landshut and Regensburg in the north.
By the time Ludwig II became king in 1864, he remained mostly aloof from his capital and focused more on his fanciful castles in the Bavarian countryside, which is why he is known the world over as the 'fairytale king'. Nevertheless, his patronage of Richard Wagner secured his posthumous reputation, as do his castles, which still generate significant tourist income for Bavaria. Later, Prince Regent Luitpold's years as regent were marked by tremendous artistic and cultural activity in Munich, enhancing its status as a cultural force of global importance (see Franz von Stuck and Der Blaue Reiter).
World War I to World War II
Following the outbreak of World War I in 1914, life in Munich became very difficult, as the Allied blockade of Germany led to food and fuel shortages. During French air raids in 1916, three bombs fell on Munich.
In March 1916, three separate aircraft-engine and automobile companies joined to form 'Bayerische Motoren Werke' (BMW) in Munich.
After World War I, the city was at the centre of substantial political unrest. In November 1918, on the eve of the German revolution, Ludwig III and his family fled the city. After the murder of the first republican premier of Bavaria Kurt Eisner in February 1919 by Anton Graf von Arco auf Valley, the Bavarian Soviet Republic was proclaimed. When Communists took power, Lenin, who had lived in Munich some years before, sent a congratulatory telegram, but the Soviet Republic was ended on 3 May 1919 by the Freikorps. While the republican government had been restored, Munich became a hotbed of extremist politics, among which Adolf Hitler and the National Socialists soon rose to prominence.
Munich's first film studio (Bavaria Film) was founded in 1919.
In 1923, Adolf Hitler and his supporters, who were concentrated in Munich, staged the Beer Hall Putsch, an attempt to overthrow the Weimar Republic and seize power. The revolt failed, resulting in Hitler's arrest and the temporary crippling of the Nazi Party (NSDAP). The city again became important to the Nazis when they took power in Germany in 1933. The party created its first concentration camp at Dachau, north-west of the city. Because of its importance to the rise of National Socialism, Munich was referred to as the Hauptstadt der Bewegung ("Capital of the Movement"). The NSDAP headquarters were in Munich and many Führerbauten ("Führer buildings") were built around the Königsplatz, some of which still survive.
In March 1924, Munich broadcast its first radio program. The station became 'Bayerischer Rundfunk' in 1931.
The city was the site where the 1938 Munich Agreement signed between Britain and France with Germany as part of the Franco-British policy of appeasement. The British Prime Minister Neville Chamberlain assented to the German annexation of Czechoslovakia's Sudetenland region in the hopes of satisfying Hitler's territorial expansion.
The first airport in Munich was completed in October 1939, in the area of Riem. The airport would remain there until it was moved closer to Freising in 1992.
On November 8, 1939, shortly after the Second World War had begun, a bomb was planted in the Bürgerbräukeller in Munich in a attempt to assassinate Adolf Hitler during a political party speech. Hitler, however, had left the building minutes before the bomb went off. On its site today stands the GEMA Building, the Gasteig Cultural Centre and the Munich City Hilton Hotel.
Munich was the base of the White Rose, a student resistance movement from June 1942 to February 1943. The core members were arrested and executed following a distribution of leaflets in Munich University by Hans and Sophie Scholl.
The city was heavily damaged by Allied bombing during World War II, with 71 air raids over five years. US troops liberated Munich on April 30, 1945.
Postwar
After US occupation in 1945, Munich was completely rebuilt following a meticulous plan, which preserved its pre-war street grid. In 1957, Munich's population surpassed one million. The city continued to play a highly significant role in the German economy, politics and culture, giving rise to its nickname Heimliche Hauptstadt ("secret capital") in the decades after World War II.
In Munich, Bayerischer Rundfunk began its first television broadcast in 1954.
Since 1963, Munich has been the host city for annual conferences on international security policy.
Munich also became known on the political level due to the strong influence of Bavarian politician Franz Josef Strauss from the 1960s to the 1980s. The Munich Airport (built in 1992) was named in his honor.
Munich was the site of the 1972 Summer Olympics, during which 11 Israeli athletes were murdered by Palestinian terrorists in the Munich massacre, when gunmen from the Palestinian "Black September" group took hostage members of the Israeli Olympic team. Mass murders also occurred in Munich in 1980 and 2016.
Munich also hosted the FIFA World Cup finals in 1974.
Munich is also home of the famous Nockherberg Strong Beer Festival during the Lenten fasting period (usually in March). Its origins go back to the 17th/18th century, but has become popular when the festivities were first televised in the 1980s. The fest includes comical speeches and a mini-musical in which numerous German politicians are parodied by look-alike actors.
Munich was one of the host cities for the 2006 FIFA World Cup.
Munich was one of the host cities for the UEFA European 2020 soccer/football championship, (which was delayed for a year due to the COVID-19 pandemic in Germany).
Geography
Topography
Munich lies on the elevated plains of Upper Bavaria, about north of the northern edge of the Alps, at an altitude of about ASL. The local rivers are the Isar and the Würm.
Munich is situated in the Northern Alpine Foreland. The northern part of this sandy plateau includes a highly fertile flint area which is no longer affected by the folding processes found in the Alps, while the southern part is covered with morainic hills. Between these are fields of fluvio-glacial out-wash, such as around Munich. Wherever these deposits get thinner, the ground water can permeate the gravel surface and flood the area, leading to marshes as in the north of Munich.
Climate
By Köppen classification templates and updated data the climate is oceanic (Cfb), independent of the isotherm but with some humid continental (Dfb) features like warm to hot summers and cold winters, but without permanent snow cover. The proximity to the Alps brings higher volumes of rainfall and consequently greater susceptibility to flood problems. Studies of adaptation to climate change and extreme events are carried out, one of them is the Isar Plan of the EU Adaptation Climate.
The city centre lies between both climates, while the airport of Munich has a humid continental climate. The warmest month, on average, is July. The coolest is January.
Showers and thunderstorms bring the highest average monthly precipitation in late spring and throughout the summer. The most precipitation occurs in July, on average. Winter tends to have less precipitation, the least in February.
The higher elevation and proximity to the Alps cause the city to have more rain and snow than many other parts of Germany. The Alps affect the city's climate in other ways too; for example, the warm downhill wind from the Alps (föhn wind), which can raise temperatures sharply within a few hours even in the winter.
Being at the centre of Europe, Munich is subject to many climatic influences, so that weather conditions there are more variable than in other European cities, especially those further west and south of the Alps.
At Munich's official weather stations, the highest and lowest temperatures ever measured are , on 27 July 1983 in Trudering-Riem, and , on 12 February 1929 in Botanic Garden of the city.
Climate change
In Munich, the general trend of global warming with a rise of medium yearly temperatures of about 1 °C in Germany over the last 120 years can be observed as well. In November 2016 the city council concluded officially that a further rise in medium temperature, a higher number of heat extremes, a rise in the number of hot days and nights with temperatures higher than 20 °C (tropical nights), a change in precipitation patterns, as well as a rise in the number of local instances of heavy rain, is to be expected as part of the ongoing climate change. The city administration decided to support a joint study from its own Referat für Gesundheit und Umwelt (department for health and environmental issues) and the German Meteorological Service that will gather data on local weather. The data is supposed to be used to create a plan for action for adapting the city to better deal with climate change as well as an integrated action program for climate protection in Munich. With the help of those programs issues regarding spatial planning and settlement density, the development of buildings and green spaces as well as plans for functioning ventilation in a cityscape can be monitored and managed.
Demographics
From only 24,000 inhabitants in 1700, the city population doubled about every 30 years. It was 100,000 in 1852, 250,000 in 1883 and 500,000 in 1901. Since then, Munich has become Germany's third-largest city. In 1933, 840,901 inhabitants were counted, and in 1957 over 1 million.
Immigration
In July 2017, Munich had 1.42 million inhabitants; 421,832 foreign nationals resided in the city as of 31 December 2017 with 50.7% of these residents being citizens of EU member states, and 25.2% citizens in European states not in the EU (including Russia and Turkey). The largest groups of foreign nationals were Turks (39,204), Croats (33,177), Italians (27,340), Greeks (27,117), Poles (27,945), Austrians (21,944), and Romanians (18,085).
Religion
About 45% of Munich's residents are not affiliated with any religious group; this ratio represents the fastest growing segment of the population. As in the rest of Germany, the Catholic and Protestant churches have experienced a continuous decline in membership. As of 31 December 2017, 31.8% of the city's inhabitants were Catholic, 11.4% Protestant, 0.3% Jewish, and 3.6% were members of an Orthodox Church (Eastern Orthodox or Oriental Orthodox). About 1% adhere to other Christian denominations. There is also a small Old Catholic parish and an English-speaking parish of the Episcopal Church in the city. According to Munich Statistical Office, in 2013 about 8.6% of Munich's population was Muslim.
Government
As the capital of Bavaria, Munich is an important political centre for both the state and country as a whole. It is the seat of the Landtag of Bavaria, the State Chancellery, and all state departments. Several national and international authorities are located in Munich, including the Federal Finance Court of Germany and the European Patent Office.
Mayor
The current mayor of Munich is Dieter Reiter of the centre-left Social Democratic Party (SPD), who was elected in 2014 and re-elected in 2020. Munich has a much stronger left-wing tradition than the rest of the state, which has been dominated by the conservative Christian Social Union in Bavaria (CSU) on a federal, state, and local level since the establishment of the Federal Republic in 1949. Munich, by contrast, has been governed by the SPD for all but six years since 1948. As of the 2020 local elections, green and centre-left parties also hold a majority in the city council (Stadtrat).
The most recent mayoral election was held on 15 March 2020, with a runoff held on 29 March, and the results were as follows:
! rowspan=2 colspan=2|Candidate
! rowspan=2|Party
! colspan=2|First round
! colspan=2|Second round
|-
! Votes
! %
! Votes
! %
|-
|bgcolor=|
|align=left|Dieter Reiter
|align=left|Social Democratic Party
|259,928
|47.9
|401,856
|71.7
|-
|bgcolor=|
|align=left|Kristina Frank
|align=left|Christian Social Union
|115,795
|21.3
|158,773
|28.3
|-
|bgcolor=|
|align=left|Katrin Habenschaden
|align=left|Alliance 90/The Greens
|112,121
|20.7
|-
|bgcolor=|
|align=left|Wolfgang Wiehle
|align=left|Alternative for Germany
|14,988
|2.8
|-
|bgcolor=|
|align=left|Tobias Ruff
|align=left|Ecological Democratic Party
|8,464
|1.6
|-
|bgcolor=|
|align=left|Jörg Hoffmann
|align=left|Free Democratic Party
|8,201
|1.5
|-
|bgcolor=|
|align=left|Thomas Lechner
|align=left|The Left
|7,232
|1.3
|-
|bgcolor=#007E82|
|align=left|Hans-Peter Mehling
|align=left|Free Voters of Bavaria
|5,003
|0.9
|-
|bgcolor=|
|align=left|Moritz Weixler
|align=left|Die PARTEI
|3,508
|0.6
|-
|
|align=left|Dirk Höpner
|align=left|Munich List
|1,966
|0.4
|-
|bgcolor=|
|align=left|Richard Progl
|align=left|Bavaria Party
|1,958
|0.4
|-
|
|align=left|Ender Beyhan-Bilgin
|align=left|FAIR
|1,483
|0.3
|-
|
|align=left|Stephanie Dilba
|align=left|mut
|1,267
|0.2
|-
|
|align=left|Cetin Oraner
|align=left|Together Bavaria
|819
|0.2
|-
! colspan=3|Valid votes
! 542,733
! 99.6
! 560,629
! 99.7
|-
! colspan=3|Invalid votes
! 1,997
! 0.4
! 1,616
! 0.3
|-
! colspan=3|Total
! 544,730
! 100.0
! 562,245
! 100.0
|-
! colspan=3|Electorate/voter turnout
! 1,110,571
! 49.0
! 1,109,032
! 50.7
|-
|colspan=7|Source: Wahlen München (1st round, 2nd round)
|}
City council
The Munich city council (Stadtrat) governs the city alongside the Mayor. The most recent city council election was held on 15 March 2020, and the results were as follows:
! colspan=2|Party
! Lead candidate
! Votes
! %
! +/-
! Seats
! +/-
|-
|bgcolor=|
|align=left|Alliance 90/The Greens (Grüne)
|align=left|Katrin Habenschaden
|11,762,516
|29.1
| 12.5
|23
| 10
|-
|bgcolor=|
|align=left|Christian Social Union (CSU)
|align=left|Kristina Frank
|9,986,014
|24.7
| 7.8
|20
| 6
|-
|bgcolor=|
|align=left|Social Democratic Party (SPD)
|align=left|Dieter Reiter
|8,884,562
|22.0
| 8.8
|18
| 7
|-
|bgcolor=|
|align=left|Ecological Democratic Party (ÖDP)
|align=left|Tobias Ruff
|1,598,539
|4.0
| 1.4
|3
| 1
|-
|bgcolor=|
|align=left|Alternative for Germany (AfD)
|align=left|Iris Wassill
|1,559,476
|3.9
| 1.4
|3
| 1
|-
|bgcolor=|
|align=left|Free Democratic Party (FDP)
|align=left|Jörg Hoffmann
|1,420,194
|3.5
| 0.1
|3
|±0
|-
|bgcolor=|
|align=left|The Left (Die Linke)
|align=left|Stefan Jagel
|1,319,464
|3.3
| 0.8
|3
| 1
|-
|bgcolor=#007E82|
|align=left|Free Voters of Bavaria (FW)
|align=left|Hans-Peter Mehling
|1,008,400
|2.5
| 0.2
|2
|±0
|-
|bgcolor=|
|align=left|Volt Germany (Volt)
|align=left|Felix Sproll
|732,853
|1.8
|New
|1
|New
|-
|bgcolor=|
|align=left|Die PARTEI (PARTEI)
|align=left|Marie Burneleit
|528,949
|1.3
|New
|1
|New
|-
|bgcolor=deeppink|
|align=left|Pink List (Rosa Liste)
|align=left|Thomas Niederbühl
|396,324
|1.0
| 0.9
|1
|±0
|-
|
|align=left|Munich List
|align=left|Dirk Höpner
|339,705
|0.8
|New
|1
|New
|-
|bgcolor=|
|align=left|Bavaria Party (BP)
|align=left|Richard Progl
|273,737
|0.7
| 0.2
|1
|±0
|-
|
|align=left|mut
|align=left|Stephanie Dilba
|247,679
|0.6
|New
|0
|New
|-
|
|align=left|FAIR
|align=left|Kemal Orak
|142,455
|0.4
|New
|0
|New
|-
|
|align=left|Together Bavaria (ZuBa)
|align=left|Cetin Oraner
|120,975
|0.3
|New
|0
|New
|-
|
|align=left|BIA
|align=left|Karl Richter
|86,358
|0.2
| 0.5
|0
|±0
|-
! colspan=3|Valid votes
! 531,527
! 97.6
!
!
!
|-
! colspan=3|Invalid votes
! 12,937
! 2.4
!
!
!
|-
! colspan=3|Total
! 544,464
! 100.0
!
! 80
! ±0
|-
! colspan=3|Electorate/voter turnout
! 1,110,571
! 49.0
! 7.0
!
!
|-
|colspan=8|Source: Wahlen München
|}
Sister cities
Munich is twinned with the following cities (date of agreement shown in parentheses): Edinburgh, Scotland (1954), Verona, Italy (1960), Bordeaux, France (1964), Sapporo, Japan (1972), Cincinnati, Ohio, United States (1989), Kyiv, Ukraine (1989) and Harare, Zimbabwe (1996).
Subdivisions
Since the administrative reform in 1992, Munich is divided into 25 boroughs or Stadtbezirke, which themselves consist of smaller quarters.
Allach-Untermenzing (23), Altstadt-Lehel (1), Aubing-Lochhausen-Langwied (22), Au-Haidhausen (5), Berg am Laim (14), Bogenhausen (13), Feldmoching-Hasenbergl (24), Hadern (20), Laim (25), Ludwigsvorstadt-Isarvorstadt (2), Maxvorstadt (3), Milbertshofen-Am Hart (11), Moosach (10), Neuhausen-Nymphenburg (9), Obergiesing (17), Pasing-Obermenzing (21), Ramersdorf-Perlach (16), Schwabing-Freimann (12), Schwabing-West (4), Schwanthalerhöhe (8), Sendling (6), Sendling-Westpark (7), Thalkirchen-Obersendling-Forstenried-Fürstenried-Solln (19), Trudering-Riem (15) and Untergiesing-Harlaching (18).
Architecture
The city has an eclectic mix of historic and modern architecture because historic buildings destroyed in World War II were reconstructed, and new landmarks were built. A survey by the Society's Centre for Sustainable Destinations for the National Geographic Traveller chose over 100 historic destinations around the world and ranked Munich 30th.
Inner city
At the centre of the city is the Marienplatz – a large open square named after the Mariensäule, a Marian column in its centre – with the Old and the New Town Hall. Its tower contains the Rathaus-Glockenspiel. Three gates of the demolished medieval fortification survive – the Isartor in the east, the Sendlinger Tor in the south and the Karlstor in the west of the inner city. The Karlstor leads up to the Stachus, a square dominated by the Justizpalast (Palace of Justice) and a fountain.
The Peterskirche close to Marienplatz is the oldest church of the inner city. It was first built during the Romanesque period, and was the focus of the early monastic settlement in Munich before the city's official foundation in 1158. Nearby St. Peter the Gothic hall-church Heiliggeistkirche (The Church of the Holy Spirit) was converted to baroque style from 1724 onwards and looks down upon the Viktualienmarkt.
The Frauenkirche serves as the cathedral for the Catholic Archdiocese of Munich and Freising. The nearby Michaelskirche is the largest renaissance church north of the Alps, while the Theatinerkirche is a basilica in Italianate high baroque, which had a major influence on Southern German baroque architecture. Its dome dominates the Odeonsplatz. Other baroque churches in the inner city include the Bürgersaalkirche, the Trinity Church and the St. Anna Damenstiftskirche. The Asamkirche was endowed and built by the Brothers Asam, pioneering artists of the rococo period.
The large Residenz palace complex (begun in 1385) on the edge of Munich's Old Town, Germany's largest urban palace, ranks among Europe's most significant museums of interior decoration. Having undergone several extensions, it contains also the treasury and the splendid rococo Cuvilliés Theatre. Next door to the Residenz the neo-classical opera, the National Theatre was erected. Among the baroque and neoclassical mansions which still exist in Munich are the Palais Porcia, the Palais Preysing, the Palais Holnstein and the Prinz-Carl-Palais. All mansions are situated close to the Residenz, same as the Alte Hof, a medieval castle and first residence of the Wittelsbach dukes in Munich.
Lehel, a middle-class quarter east of the Altstadt, is characterised by numerous well-preserved townhouses. The St. Anna im Lehel is the first rococo church in Bavaria. St. Lukas is the largest Protestant Church in Munich.
Royal avenues and squares
Four grand royal avenues of the 19th century with official buildings connect Munich's inner city with its then-suburbs:
The neoclassical Brienner Straße, starting at Odeonsplatz on the northern fringe of the Old Town close to the Residenz, runs from east to west and opens into the Königsplatz, designed with the "Doric" Propyläen, the "Ionic" Glyptothek and the "Corinthian" State Museum of Classical Art, behind it St. Boniface's Abbey was erected. The area around Königsplatz is home to the Kunstareal, Munich's gallery and museum quarter (as described below).
Ludwigstraße also begins at Odeonsplatz and runs from south to north, skirting the Ludwig-Maximilians-Universität, the St. Louis church, the Bavarian State Library and numerous state ministries and palaces. The southern part of the avenue was constructed in Italian renaissance style, while the north is strongly influenced by Italian Romanesque architecture. The
Siegestor (gate of victory) sits at the northern end of Ludwigstraße, where the latter passes over into Leopoldstraße and the district of Schwabing begins.
The neo-Gothic Maximilianstraße starts at Max-Joseph-Platz, where the Residenz and the National Theatre are situated, and runs from west to east. The avenue is framed by elaborately structured neo-Gothic buildings which house, among others, the Schauspielhaus, the Building of the district government of Upper Bavaria and the Museum of Ethnology. After crossing the river Isar, the avenue circles the Maximilianeum, which houses the state parliament. The western portion of Maximilianstraße is known for its designer shops, luxury boutiques, jewellery stores, and one of Munich's foremost five-star hotels, the Hotel Vier Jahreszeiten.
Prinzregentenstraße runs parallel to Maximilianstraße and begins at Prinz-Carl-Palais. Many museums are on the avenue, such as the Haus der Kunst, the Bavarian National Museum and the Schackgalerie. The avenue crosses the Isar and circles the Friedensengel monument, then passing the Villa Stuck and Hitler's old apartment. The Prinzregententheater is at Prinzregentenplatz further to the east.
Other boroughs
In Schwabing and Maxvorstadt, many beautiful streets with continuous rows of Gründerzeit buildings can be found. Rows of elegant town houses and spectacular urban palais in many colours, often elaborately decorated with ornamental details on their façades, make up large parts of the areas west of Leopoldstraße (Schwabing's main shopping street), while in the eastern areas between Leopoldstraße and Englischer Garten similar buildings alternate with almost rural-looking houses and whimsical mini-castles, often decorated with small towers. Numerous tiny alleys and shady lanes connect the larger streets and little plazas of the area, conveying the legendary artist's quarter's flair and atmosphere convincingly like it was at the turn of the 20th century. The wealthy district of Bogenhausen in the east of Munich is another little-known area (at least among tourists) rich in extravagant architecture, especially around Prinzregentenstraße. One of Bogenhausen's most beautiful buildings is Villa Stuck, famed residence of painter Franz von Stuck.
Two large Baroque palaces in Nymphenburg and Oberschleissheim are reminders of Bavaria's royal past. Schloss Nymphenburg (Nymphenburg Palace), some north west of the city centre, is surrounded by an park and is considered to be one of Europe's most beautiful royal residences. northwest of Nymphenburg Palace is Schloss Blutenburg (Blutenburg Castle), an old ducal country seat with a late-Gothic palace church. Schloss Fürstenried (Fürstenried Palace), a baroque palace of similar structure to Nymphenburg but of much smaller size, was erected around the same time in the south west of Munich.
The second large Baroque residence is Schloss Schleissheim (Schleissheim Palace), located in the suburb of Oberschleissheim, a palace complex encompassing three separate residences: Altes Schloss Schleissheim (the old palace), Neues Schloss Schleissheim (the new palace) and Schloss Lustheim (Lustheim Palace). Most parts of the palace complex serve as museums and art galleries. Deutsches Museum's Flugwerft Schleissheim flight exhibition centre is located nearby, on the Schleissheim Special Landing Field. The Bavaria statue before the neo-classical Ruhmeshalle is a monumental, bronze sand-cast 19th-century statue at Theresienwiese. The Grünwald castle is the only medieval castle in the Munich area which still exists.
St Michael in Berg am Laim is a church in the suburbs. Another church of Johann Michael Fischer is St George in Bogenhausen. Most of the boroughs have parish churches that originate from the Middle Ages, such as the church of pilgrimage St Mary in Ramersdorf. The oldest church within the city borders is Heilig Kreuz in Fröttmaning next to the Allianz-Arena, known for its Romanesque fresco. Moosach features one of the oldest churches, Alt-St. Martin, but a larger one was built in 1925.
Especially in its suburbs, Munich features a wide and diverse array of modern architecture, although strict culturally sensitive height limitations for buildings have limited the construction of skyscrapers to avoid a loss of views to the distant Bavarian Alps. Most high-rise buildings are clustered at the northern edge of Munich in the skyline, like the Hypo-Haus, the Arabella High-Rise Building, the Highlight Towers, Uptown Munich, Münchner Tor and the BMW Headquarters next to the Olympic Park. Several other high-rise buildings are located near the city centre and on the Siemens campus in southern Munich. A landmark of modern Munich is also the architecture of the sport stadiums (as described below).
In Fasangarten is the former McGraw Kaserne, a former US army base, near Stadelheim Prison.
Parks
Munich is a densely-built city but has numerous public parks. In 1789, the Englischer Garten was created just north of Munich's old city center. Covering an area of , it is larger than Central Park in New York City, and it is one of the world's largest urban public parks. It contains a naturist (nudist) area, numerous bicycle and jogging tracks as well as bridle-paths. It was designed and laid out by Benjamin Thompson, Count Rumford, both for pleasure and as a work area for the city's vagrants and homeless. Nowadays it is entirely a park, its southern half being dominated by wide-open areas, hills, monuments and beach-like stretches (along the streams Eisbach and Schwabinger Bach). In contrast, its less-frequented northern part is much quieter, with many old trees and thick undergrowth. Multiple beer gardens can be found in both parts of the Englischer Garten, the most well-known being located at the Chinese Pagoda.
Other large green spaces are the modern Olympiapark, the Westpark, and the parks of Nymphenburg Palace (with the Botanischer Garten München-Nymphenburg to the north), and Schleissheim Palace. The city's oldest park is the Hofgarten, near the Residenz, dating back to the 16th century. The site of the largest beer garden in town, the former royal Hirschgarten was founded in 1780 for deer, which still live there.
The city's zoo is the Tierpark Hellabrunn near the Flaucher Island in the Isar in the south of the city. Another notable park is Ostpark located in the Ramersdorf-Perlach borough which also houses the Michaelibad, the largest water park in Munich.
Sports
Football
Munich is home to several professional football teams including Bayern Munich, Germany's most successful club and a multiple UEFA Champions League winner. Other notable clubs include 1860 Munich, who were long time their rivals on a somewhat equal footing, but currently play in the 3rd Division 3. Liga along with another former Bundesliga club SpVgg Unterhaching.
Basketball
FC Bayern Munich Basketball is currently playing in the Beko Basket Bundesliga. The city hosted the final stages of the FIBA EuroBasket 1993, where the German national basketball team won the gold medal.
Ice hockey
The city's ice hockey club is EHC Red Bull München who play in the Deutsche Eishockey Liga. The team has won three DEL Championships, in 2016, 2017 and 2018.
Olympics
Munich hosted the 1972 Summer Olympics; the Munich Massacre took place in the Olympic village. It was one of the host cities for the 2006 Football World Cup, which was not held in Munich's Olympic Stadium, but in a new football specific stadium, the Allianz Arena. Munich bid to host the 2018 Winter Olympic Games, but lost to Pyeongchang. In September 2011 the DOSB President Thomas Bach confirmed that Munich would bid again for the Winter Olympics in the future.
Road running
Regular annual road running events in Munich are the Munich Marathon in October, the Stadtlauf end of June, the company run B2Run in July, the New Year's Run on 31 December, the Spartan Race Sprint, the Olympia Alm Crosslauf and the Bestzeitenmarathon.
Swimming
Public sporting facilities in Munich include ten indoor swimming pools and eight outdoor swimming pools, which are operated by the Munich City Utilities (SWM) communal company. Popular indoor swimming pools include the Olympia Schwimmhalle of the 1972 Summer Olympics, the wave pool Cosimawellenbad, as well as the Müllersches Volksbad which was built in 1901. Further, swimming within Munich's city limits is also possible in several artificial lakes such as for example the Riemer See or the Langwieder lake district.
River surfing
Munich has a reputation as a surfing hotspot, offering the world's best known river surfing spot, the Eisbach wave, which is located at the southern edge of the Englischer Garten park and used by surfers day and night and throughout the year. Half a kilometre down the river, there is a second, easier wave for beginners, the so-called Kleine Eisbachwelle. Two further surf spots within the city are located along the river Isar, the wave in the Floßlände channel and a wave downstream of the Wittelsbacherbrücke bridge.
Culture
Language
The Bavarian dialects are spoken in and around Munich, with its variety West Middle Bavarian or Old Bavarian (Westmittelbairisch / Altbairisch). Austro-Bavarian has no official status by the Bavarian authorities or local government, yet is recognised by the SIL and has its own ISO-639 code.
Museums
The Deutsches Museum or German Museum, located on an island in the River Isar, is the largest and one of the oldest science museums in the world. Three redundant exhibition buildings that are under a protection order were converted to house the Verkehrsmuseum, which houses the land transport collections of the Deutsches Museum. Deutsches Museum's Flugwerft Schleissheim flight exhibition centre is located nearby, on the Schleissheim Special Landing Field. Several non-centralised museums (many of those are public collections at Ludwig-Maximilians-Universität) show the expanded state collections of palaeontology, geology, mineralogy, zoology, botany and anthropology.
The city has several important art galleries, most of which can be found in the Kunstareal, including the Alte Pinakothek, the Neue Pinakothek, the Pinakothek der Moderne and the Museum Brandhorst. The Alte Pinakothek contains a treasure trove of the works of European masters between the 14th and 18th centuries. The collection reflects the eclectic tastes of the Wittelsbachs over four centuries and is sorted by schools over two floors. Major displays include Albrecht Dürer's Christ-like Self-Portrait (1500), his Four Apostles, Raphael's paintings The Canigiani Holy Family and Madonna Tempi as well as Peter Paul Rubens large Judgment Day. The gallery houses one of the world's most comprehensive Rubens collections. The Lenbachhaus houses works by the group of Munich-based modernist artists known as Der Blaue Reiter (The Blue Rider).
An important collection of Greek and Roman art is held in the Glyptothek and the Staatliche Antikensammlung (State Antiquities Collection). King Ludwig I managed to acquire such pieces as the Medusa Rondanini, the Barberini Faun and figures from the Temple of Aphaea on Aegina for the Glyptothek. Another important museum in the Kunstareal is the Egyptian Museum.
The gothic Morris dancers of Erasmus Grasser are exhibited in the Munich City Museum in the old gothic arsenal building in the inner city.
Another area for the arts next to the Kunstareal is the Lehel quarter between the old town and the river Isar: the Museum Five Continents in Maximilianstraße is the second largest collection in Germany of artefacts and objects from outside Europe, while the Bavarian National Museum and the adjoining Bavarian State Archaeological Collection in Prinzregentenstraße rank among Europe's major art and cultural history museums. The nearby Schackgalerie is an important gallery of German 19th-century paintings.
The former Dachau concentration camp is outside the city.
Arts and literature
Munich is a major international cultural centre and has played host to many prominent composers including Orlando di Lasso, W.A. Mozart, Carl Maria von Weber, Richard Wagner, Gustav Mahler, Richard Strauss, Max Reger and Carl Orff. With the Munich Biennale founded by Hans Werner Henze, and the A*DEvantgarde festival, the city still contributes to modern music theatre. Some of classical music's best-known pieces have been created in and around Munich by composers born in the area, for example, Richard Strauss's tone poem Also sprach Zarathustra or Carl Orff's Carmina Burana.
At the Nationaltheater several of Richard Wagner's operas were premiered under the patronage of Ludwig II of Bavaria. It is the home of the Bavarian State Opera and the Bavarian State Orchestra. Next door, the modern Residenz Theatre was erected in the building that had housed the Cuvilliés Theatre before World War II. Many operas were staged there, including the premiere of Mozart's Idomeneo in 1781. The Gärtnerplatz Theatre is a ballet and musical state theatre while another opera house, the Prinzregententheater, has become the home of the Bavarian Theatre Academy and the Munich Chamber Orchestra.
The modern Gasteig centre houses the Munich Philharmonic Orchestra. The third orchestra in Munich with international importance is the Bavarian Radio Symphony Orchestra. Its primary concert venue is the Herkulessaal in the former city royal residence, the Munich Residenz. Many important conductors have been attracted by the city's orchestras, including Felix Weingartner, Hans Pfitzner, Hans Rosbaud, Hans Knappertsbusch, Sergiu Celibidache, James Levine, Christian Thielemann, Lorin Maazel, Rafael Kubelík, Eugen Jochum, Sir Colin Davis, Mariss Jansons, Bruno Walter, Georg Solti, Zubin Mehta and Kent Nagano. A stage for shows, big events and musicals is the Deutsche Theater. It is Germany's largest theatre for guest performances.
Munich's contributions to modern popular music are often overlooked in favour of its strong association with classical music, but they are numerous: the city has had a strong music scene in the 1960s and 1970s, with many internationally renowned bands and musicians frequently performing in its clubs. Furthermore, Munich was the centre of Krautrock in southern Germany, with many important bands such as Amon Düül II, Embryo or Popol Vuh hailing from the city. In the 1970s, the Musicland Studios developed into one of the most prominent recording studios in the world, with bands such as the Rolling Stones, Led Zeppelin, Deep Purple and Queen recording albums there. Munich also played a significant role in the development of electronic music, with genre pioneer Giorgio Moroder, who invented synth disco and electronic dance music, and Donna Summer, one of disco music's most important performers, both living and working in the city. In the late 1990s, Electroclash was substantially co-invented if not even invented in Munich, when DJ Hell introduced and assembled international pioneers of this musical genre through his International DeeJay Gigolo Records label here. Other examples of notable musicians and bands from Munich are Konstantin Wecker, Willy Astor, Spider Murphy Gang, Münchener Freiheit, Lou Bega, Megaherz, FSK, Colour Haze and Sportfreunde Stiller.
Music is so important in the Bavarian capital that the city hall gives permissions every day to ten musicians for performing in the streets around Marienplatz. This is how performers such as Olga Kholodnaya and Alex Jacobowitz are entertaining the locals and the tourists every day.
Next to the Bavarian Staatsschauspiel in the Residenz Theatre (Residenztheater), the Munich Kammerspiele in the Schauspielhaus is one of the most important German-language theatres in the world. Since Gotthold Ephraim Lessing's premieres in 1775 many important writers have staged their plays in Munich such as Christian Friedrich Hebbel, Henrik Ibsen and Hugo von Hofmannsthal.
The city is known as the second-largest publishing centre in the world (around 250 publishing houses have offices in the city), and many national and international publications are published in Munich, such as Arts in Munich, LAXMag and Prinz.
At the turn of the 20th century, Munich, and especially its suburb of Schwabing, was the preeminent cultural metropolis of Germany. Its importance as a centre for both literature and the fine arts was second to none in Europe, with numerous German and non-German artists moving there. For example, Wassily Kandinsky chose Munich over Paris to study at the Akademie der Bildenden Künste München, and, along with many other painters and writers living in Schwabing at that time, had a profound influence on modern art.
Prominent literary figures worked in Munich especially during the final decades of the Kingdom of Bavaria, the so-called Prinzregentenzeit (literally "prince regent's time") under the reign of Luitpold, Prince Regent of Bavaria, a period often described as a cultural Golden Age for both Munich and Bavaria as a whole. Some of the most notable were Thomas Mann, Heinrich Mann, Paul Heyse, Rainer Maria Rilke, Ludwig Thoma, Fanny zu Reventlow, Oskar Panizza, Gustav Meyrink, Max Halbe, Erich Mühsam and Frank Wedekind. For a short while, Vladimir Lenin lived in Schwabing, where he wrote and published his most important work, What Is to Be Done? Central to Schwabing's bohemian scene (although they were actually often located in the nearby Maxvorstadt quarter) were Künstlerlokale (artist's cafés) like Café Stefanie or Kabarett Simpl, whose liberal ways differed fundamentally from Munich's more traditional localities. The Simpl, which survives to this day (although with little relevance to the city's contemporary art scene), was named after Munich's anti-authoritarian satirical magazine Simplicissimus, founded in 1896 by Albert Langen and Thomas Theodor Heine, which quickly became an important organ of the Schwabinger Bohème. Its caricatures and biting satirical attacks on Wilhelmine German society were the result of countless of collaborative efforts by many of the best visual artists and writers from Munich and elsewhere.
The period immediately before World War I saw continued economic and cultural prominence for the city. Thomas Mann wrote in his novella Gladius Dei about this period: "München leuchtete" (literally "Munich shone"). Munich remained a centre of cultural life during the Weimar period, with figures such as Lion Feuchtwanger, Bertolt Brecht, Peter Paul Althaus, Stefan George, Ricarda Huch, Joachim Ringelnatz, Oskar Maria Graf, Annette Kolb, Ernst Toller, Hugo Ball and Klaus Mann adding to the already established big names. Karl Valentin was Germany's most important cabaret performer and comedian and is to this day well-remembered and beloved as a cultural icon of his hometown. Between 1910 and 1940, he wrote and performed in many absurdist sketches and short films that were highly influential, earning him the nickname of "Charlie Chaplin of Germany". Many of Valentin's works wouldn't be imaginable without his congenial female partner Liesl Karlstadt, who often played male characters to hilarious effect in their sketches. After World War II, Munich soon again became a focal point of the German literary scene and remains so to this day, with writers as diverse as Wolfgang Koeppen, Erich Kästner, Eugen Roth, Alfred Andersch, Elfriede Jelinek, Hans Magnus Enzensberger, Michael Ende, Franz Xaver Kroetz, Gerhard Polt, John Vincent Palatine and Patrick Süskind calling the city their home.
From the Gothic to the Baroque era, the fine arts were represented in Munich by artists like Erasmus Grasser, Jan Polack, Johann Baptist Straub, Ignaz Günther, Hans Krumpper, Ludwig von Schwanthaler, Cosmas Damian Asam, Egid Quirin Asam, Johann Baptist Zimmermann, Johann Michael Fischer and François de Cuvilliés. Munich had already become an important place for painters like Carl Rottmann, Lovis Corinth, Wilhelm von Kaulbach, Carl Spitzweg, Franz von Lenbach, Franz von Stuck, Karl Piloty and Wilhelm Leibl when Der Blaue Reiter (The Blue Rider), a group of expressionist artists, was established in Munich in 1911. The city was home to the Blue Rider's painters Paul Klee, Wassily Kandinsky, Alexej von Jawlensky, Gabriele Münter, Franz Marc, August Macke and Alfred Kubin. Kandinsky's first abstract painting was created in Schwabing.
Munich was (and in some cases, still is) home to many of the most important authors of the New German Cinema movement, including Rainer Werner Fassbinder, Werner Herzog, Edgar Reitz and Herbert Achternbusch. In 1971, the Filmverlag der Autoren was founded, cementing the city's role in the movement's history. Munich served as the location for many of Fassbinder's films, among them Ali: Fear Eats the Soul. The Hotel Deutsche Eiche near Gärtnerplatz was somewhat like a centre of operations for Fassbinder and his "clan" of actors. New German Cinema is considered by far the most important artistic movement in German cinema history since the era of German Expressionism in the 1920s.
In 1919, the Bavaria Film Studios were founded, which developed into one of Europe's largest film studios. Directors like Alfred Hitchcock, Billy Wilder, Orson Welles, John Huston, Ingmar Bergman, Stanley Kubrick, Claude Chabrol, Fritz Umgelter, Rainer Werner Fassbinder, Wolfgang Petersen and Wim Wenders made films there. Among the internationally well-known films produced at the studios are The Pleasure Garden (1925) by Alfred Hitchcock, The Great Escape (1963) by John Sturges, Paths of Glory (1957) by Stanley Kubrick, Willy Wonka & the Chocolate Factory (1971) by Mel Stuart and both Das Boot (1981) and The Neverending Story (1984) by Wolfgang Petersen. Munich remains one of the centres of the German film and entertainment industry.
Festivals
Annual "High End Munich" trade show.
Starkbierfest
March and April, city-wide: Starkbierfest is held for three weeks during Lent, between Carnival and Easter, celebrating Munich's “strong beer”. Starkbier was created in 1651 by the local Paulaner monks who drank this 'Flüssiges Brot', or ‘liquid bread’ to survive the fasting of Lent. It became a public festival in 1751 and is now the second largest beer festival in Munich. Starkbierfest is also known as the “fifth season”, and is celebrated in beer halls and restaurants around the city.
Frühlingsfest
April and May, Theresienwiese:
Held for two weeks from the end of April to the beginning of May, Frühlingsfest celebrates spring and the new local spring beers, and is commonly referred to as the "little sister of Oktoberfest". There are two beer tents, Hippodrom and Festhalle Bayernland, as well as one roofed beer garden, Münchner Weißbiergarten. There are also roller coasters, fun houses, slides, and a Ferris wheel. Other attractions of the festival include a flea market on the festival's first Saturday, a “Beer Queen” contest, a vintage car show on the first Sunday, fireworks every Friday night, and a "Day of Traditions" on the final day.
Auer Dult
May, August, and October, Mariahilfplatz: Auer Dult is Europe's largest jumble sale, with fairs of its kind dating back to the 14th century. The Auer Dult is a traditional market with 300 stalls selling handmade crafts, household goods, and local foods, and offers carnival rides for children. It has taken place over nine days each, three times a year. since 1905.
Kocherlball
July, English Garden:
Traditionally a ball for Munich's domestic servants, cooks, nannies, and other household staff, Kocherlball, or ‘cook’s ball’ was a chance for the lower classes to take the morning off and dance together before the families of their households woke up. It now runs between 6 and 10 am the third Sunday in July at the Chinese Tower in Munich's English Garden.
Tollwood
July and December, Olympia Park: For three weeks in July, and then three weeks in December, Tollwood showcases fine and performing arts with live music, circus acts, and several lanes of booths selling handmade crafts, as well as organic international cuisine. According to the festival's website, Tollwood's goal is to promote culture and the environment, with the main themes of "tolerance, internationality, and openness". To promote these ideals, 70% of all Tollwood events and attractions are free.
Oktoberfest
September and October, Theresienwiese: The largest beer festival in the world, Munich's Oktoberfest runs for 16–18 days from the end of September through early October. Oktoberfest is a celebration of the wedding of Bavarian Crown Prince Ludwig to Princess Therese of Saxony-Hildburghausen which took place on 12 October 1810. In the last 200 years the festival has grown to span 85 acres and now welcomes over 6 million visitors every year. There are 14 beer tents which together can seat 119,000 attendees at a time, and serve beer from the six major breweries of Munich: Augustiner, Hacker-Pschorr, Löwenbräu, Paulaner, Spaten and Staatliches Hofbräuhaus. Over 7 million liters of beer are consumed at each Oktoberfest. There are also over 100 rides ranging from bumper cars to full-sized roller coasters, as well as the more traditional Ferris wheels and swings. Food can be bought in each tent, as well as at various stalls throughout the fairgrounds. Oktoberfest hosts 144 caterers and employees 13,000 people.
Christkindlmarkt
November and December, city-wide: Munich's Christmas Markets, or Christkindlmärkte, are held throughout the city from late November until Christmas Eve, the largest spanning the Marienplatz and surrounding streets. There are hundreds of stalls selling handmade goods, Christmas ornaments and decorations, and Bavarian Christmas foods including pastries, roasted nuts, and gluwein.
Mini-Munich
Late-July to mid-August, city-wide: Mini-Munich provides kids ages 7–15 with the opportunity to participate in a Spielstadt, the German term for a miniature city composed almost entirely of children. Funded by Kultur & Spielraum, this play city is run by young Germans performing the same duties as adults, including voting in city council, paying taxes, and building businesses. The experimental game was invented in Munich in the 1970s and has since spread to other countries like Egypt and China.
Coopers' Dance
The Coopers' Dance () is a guild dance of coopers originally started in Munich. Since early 1800s the custom spread via journeymen in it is now a common tradition over the Old Bavaria region. The dance was supposed to be held every 7 years.
Cultural history trails and bicycle routes
Since 2001, historically interesting places in Munich can be explored via the cultural history trails (KulturGeschichtsPfade). Sign-posted cycle routes are the Outer Äußere Radlring (outer cycle route) and the RadlRing München.
Cuisine and culinary specialities
The Munich cuisine contributes to the Bavarian cuisine. Munich Weisswurst ("white sausage", German: Münchner Weißwurst) was invented here in 1857. It is a Munich speciality. Traditionally eaten only before noon – a tradition dating to a time before refrigerators – these morsels are often served with sweet mustard and freshly baked pretzels.
Munich offers 11 restaurants that have been awarded one or more Michelin stars in the Michelin Guide of 2021.
Beers and breweries
Munich is known for its breweries and the Weissbier (or Weißbier / Weizenbier, wheat beer) is a speciality from Bavaria. Helles, a pale lager with a translucent gold colour is the most popular Munich beer today, although it's not old (only introduced in 1895) and is the result of a change in beer tastes. Helles has largely replaced Munich's dark beer, Dunkles, which gets its colour from roasted malt. It was the typical beer in Munich in the 19th century, but it is now more of a speciality. Starkbier is the strongest Munich beer, with 6%–9% alcohol content. It is dark amber in colour and has a heavy malty taste. It is available and is sold particularly during the Lenten Starkbierzeit (strong beer season), which begins on or before St. Joseph's Day (19 March). The beer served at Oktoberfest is a special type of Märzen beer with a higher alcohol content than regular Helles.
There are countless Wirtshäuser (traditional Bavarian ale houses/restaurants) all over the city area, many of which also have small outside areas. Biergärten (beer gardens) are popular fixtures of Munich's gastronomic landscape. They are central to the city's culture and serve as a kind of melting pot for members of all walks of life, for locals, expatriates and tourists alike. It is allowed to bring one's own food to a beer garden, however, it is forbidden to bring one's own drinks. There are many smaller beer gardens and around twenty major ones, providing at least a thousand seats, with four of the largest in the Englischer Garten: Chinesischer Turm (Munich's second-largest beer garden with 7,000 seats), Seehaus, Hirschau and Aumeister. Nockherberg, Hofbräukeller (not to be confused with the Hofbräuhaus) and Löwenbräukeller are other beer gardens. Hirschgarten is the largest beer garden in the world, with 8,000 seats.
There are six main breweries in Munich: Augustiner-Bräu, Hacker-Pschorr, Hofbräu, Löwenbräu, Paulaner and Spaten-Franziskaner-Bräu (separate brands Spaten and Franziskaner, the latter of which mainly for Weissbier).
Also much consumed, though not from Munich and thus without the right to have a tent at the Oktoberfest, are Tegernseer and Schneider Weisse, the latter of which has a major beer hall in Munich. Smaller breweries are becoming more prevalent in Munich, such as Giesinger Bräu. However, these breweries do not have tents at Oktoberfest.
Circus
The Circus Krone based in Munich is one of the largest circuses in Europe. It was the first and still is one of only a few in Western Europe to also occupy a building of its own.
Nightlife
Nightlife in Munich is located mostly in the city centre (Altstadt-Lehel) and the boroughs Maxvorstadt, Ludwigsvorstadt-Isarvorstadt, Au-Haidhausen and Schwabing. Between Sendlinger Tor and Maximiliansplatz lies the so-called Feierbanane (party banana), a roughly banana-shaped unofficial party zone spanning along Sonnenstraße, characterised by a high concentration of clubs, bars and restaurants. The Feierbanane has become the mainstream focus of Munich's nightlife and tends to become crowded, especially at weekends. It has also been the subject of some debate among city officials because of alcohol-related security issues and the party zone's general impact on local residents as well as day-time businesses.
Ludwigsvorstadt-Isarvorstadt's two main quarters, Gärtnerplatzviertel and Glockenbachviertel, are both considered decidedly less mainstream than most other nightlife hotspots in the city and are renowned for their many hip and laid back bars and clubs as well as for being Munich's main centres of gay culture. On warm spring or summer nights, hundreds of young people gather at Gärtnerplatz to relax, talk with friends and drink beer.
Maxvorstadt has many smaller bars that are especially popular with university students, whereas Schwabing, once Munich's first and foremost party district with legendary clubs such as Big Apple, PN, Domicile, Hot Club, Piper Club, Tiffany, Germany's first large-scale disco Blow Up and the underwater nightclub Yellow Submarine, as well as many bars such as Schwabinger 7 or Schwabinger Podium, has lost much of its nightlife activity in the last decades, mainly due to gentrification and the resulting high rents. It has become the city's most coveted and expensive residential district, attracting affluent citizens with little interest in partying.
Since the mid-1990s, the Kunstpark Ost and its successor Kultfabrik, a former industrial complex that was converted to a large party area near München Ostbahnhof in Berg am Laim, hosted more than 30 clubs and was especially popular among younger people and residents of the metropolitan area surrounding Munich. The Kultfabrik was closed at the end of the year 2015 to convert the area into a residential and office area. Apart from the Kultfarbik and the smaller Optimolwerke, there is a wide variety of establishments in the urban parts of nearby Haidhausen. Before the Kunstpark Ost, there had already been an accumulation of internationally known nightclubs in the remains of the abandoned former Munich-Riem Airport.
Munich nightlife tends to change dramatically and quickly. Establishments open and close every year, and due to gentrification and the overheated housing market many survive only a few years, while others last longer. Beyond the already mentioned venues of the 1960s and 1970s, nightclubs with international recognition in recent history included Tanzlokal Größenwahn, Atomic Cafe and the techno clubs Babalu, Ultraschall, , and . From 1995 to 2001, Munich was also home to the Union Move, one of the largest technoparades in Germany.
Munich has two directly connected gay quarters, which basically can be seen as one: Gärtnerplatzviertel and Glockenbachviertel, both part of the Ludwigsvorstadt-Isarvorstadt district. Freddie Mercury had an apartment near the Gärtnerplatz and transsexual icon Romy Haag had a club in the city centre for many years.
Munich has the highest density of music venues of any German city, followed by Hamburg, Cologne and Berlin. Within the city's limits there are more than 100 nightclubs and thousands of bars and restaurants.
Some notable nightclubs are: popular techno clubs are Blitz Club, Harry Klein, Rote Sonne, Bahnwärter Thiel, Bob Beaman, Pimpernel, Charlie and Palais. Popular mixed music clubs are Call me Drella, Cord, Wannda Circus, Tonhalle, Backstage, Muffathalle, Ampere, Pacha, P1, Zenith, Minna Thiel and the party ship Alte Utting. Some notable bars (pubs are located all over the city) are Charles Schumann's Cocktail Bar, Havana Club, Sehnsucht, Bar Centrale, Ksar, Holy Home, Eat the Rich, Negroni, Die Goldene Bar and Bei Otto (a bavarian-style pub).
Education
Colleges and universities
Munich is a leading location for science and research with a long list of Nobel Prize laureates from Wilhelm Conrad Röntgen in 1901 to Theodor Hänsch in 2005. Munich has become a spiritual centre already since the times of Emperor Louis IV when philosophers like Michael of Cesena, Marsilius of Padua and William of Ockham were protected at the emperor's court. The Ludwig Maximilian University (LMU) and the Technische Universität München (TU or TUM), were two of the first three German universities to be awarded the title elite university by a selection committee composed of academics and members of the Ministries of Education and Research of the Federation and the German states (Länder). Only the two Munich universities and the Technical University of Karlsruhe (now part of Karlsruhe Institute of Technology) have held this honour, and the implied greater chances of attracting research funds, since the first evaluation round in 2006.
Ludwig Maximilian University of Munich (LMU), founded in 1472 in Ingolstadt, moved to Munich in 1826
Technical University of Munich (TUM), founded in 1868
Akademie der Bildenden Künste München, founded in 1808
Bundeswehr University Munich, founded in 1973 (located in Neubiberg)
Deutsche Journalistenschule, founded in 1959
Bayerische Akademie für Außenwirtschaft, founded in 1989
Hochschule für Musik und Theater München, founded in 1830
International Max Planck Research School for Molecular and Cellular Life Sciences, founded in 2005
International School of Management, founded in 1990
Katholische Stiftungsfachhochschule München, founded in 1971
Munich Business School (MBS), founded in 1991
Munich Intellectual Property Law Center (MIPLC), founded in 2003
Munich School of Philosophy, founded in 1925 in Pullach, moved to Munich in 1971
Munich School of Political Science, founded in 1950
Munich University of Applied Sciences (HM), founded in 1971
New European College, founded in 2014
Ukrainian Free University, founded in 1921 (from 1945 – in Munich)
University of Television and Film Munich (Hochschule für Fernsehen und Film), founded in 1966
Primary and secondary schools
Grundschule in Munich:
Grundschule an der Gebelestraße
Grund- und Mittelschule an der Hochstraße
Grundschule an der Kirchenstraße
Grundschule Flurstraße
Grundschule an der Stuntzstraße
Ernst-Reuter-Grundschule
Grundschule Gertrud Bäumer Straße
Grundschule an der Südlichen Auffahrtsallee
Gymnasiums in Munich:
Pestalozzi-Gymnasium
Maria-Theresia-Gymnasium
Gymnasium Max-Josef-Stift
Luitpold Gymnasium
Edith-Stein-Gymnasium der Erzdiözese München und Freising
Maximiliansgymnasium
Oskar-von-Miller-Gymnasium
Städtisches St.-Anna-Gymnasium
Wilhelmsgymnasium
Städtisches Luisengymnasium
Wittelsbacher Gymnasium
Albert-Einstein-Gymnasium
Realschule in Munich:
Städt. Fridtjof-Nansen-Realschule
Städtische Adalbert-Stifter-Realschule
Maria Ward Mädchenrealschule
Städtische Ricarda-Huch-Realschule
Isar Realschule München
Städtische Hermann-Frieb Realschule
International schools in Munich:
Lycée Jean Renoir (French school)
Japanische Internationale Schule München
Bavarian International School
Munich International School
European School, Munich
Scientific research institutions
Max Planck Society
The Max Planck Society, an independent German non-profit research organisation, has its administrative headquarters in Munich. The following institutes are located in the Munich area:
Max Planck Institute for Astrophysics, Garching
Max Planck Institute of Biochemistry, Martinsried
Max Planck Institute for Extraterrestrial Physics, Garching
Max Planck Institute for Foreign and International Social Law, München
Max Planck Institute for Innovation and Competition, München
Max Planck Institute of Neurobiology, Martinsried
Max Planck Institute for Ornithology, Andechs-Erling (Biological Rhythms and Behaviour), Radolfzell, Seewiesen (Reproductive Biology and Behaviour)
Max Planck Institute for Physics (Werner Heisenberg Institute), München
Max Planck Institute for Plasma Physics, Garching (also in Greifswald)
Max Planck Institute of Psychiatry, München
Max Planck Institute for Psychological Research, München (closed)
Max Planck Institute of Quantum Optics, Garching
Fraunhofer Society
The Fraunhofer Society, the German non-profit research organization for applied research, has its headquarters in Munich. The following institutes are located in the Munich area:
Applied and Integrated Security – AISEC
Embedded Systems and Communication - ESK
Modular Solid-State Technologies - EMFT
Building Physics – IBP
Process Engineering and Packaging – IVV
Other research institutes
Botanische Staatssammlung München, a notable herbarium
Ifo Institute for Economic Research, theoretical and applied research in economics and finance
Doerner Institute
European Southern Observatory
Helmholtz Zentrum München
Zoologische Staatssammlung München
German Aerospace Center (GSOC), Oberpfaffenhofen bei München
Economy
Munich has the strongest economy of any German city and the lowest unemployment rate (5.4% in July 2020) of any German city of more than a million people (the others being Berlin, Hamburg and Cologne). The city is also the economic centre of southern Germany. Munich topped the ranking of the magazine Capital in February 2005 for the economic prospects between 2002 and 2011 in 60 German cities.
Munich is a financial center and global city that holds the headquarters of many companies. This includes more companies listed by the DAX than any other German city, as well as the German or European headquarters of many foreign companies such as McDonald's and Microsoft. One of the best-known newly established Munich companies is Flixbus.
Manufacturing
Munich holds the headquarters of Siemens AG (electronics), BMW (car), MAN AG (truck manufacturer, engineering), MTU Aero Engines (aircraft engine manufacturer), Linde (gases) and Rohde & Schwarz (electronics). Among German cities with more than 500,000 inhabitants, purchasing power is highest in Munich (€26,648 per inhabitant) . In 2006, Munich blue-collar workers enjoyed an average hourly wage of €18.62 (ca. $20).
The breakdown by cities proper (not metropolitan areas) of Global 500 cities listed Munich in 8th position in 2009. Munich is also a centre for biotechnology, software and other service industries. Furthermore, Munich is the home of the headquarters of many other large companies such as the injection moulding machine manufacturer Krauss-Maffei, the camera and lighting manufacturer Arri, the semiconductor firm Infineon Technologies (headquartered in the suburban town of Neubiberg), lighting giant Osram, as well as the German or European headquarters of many foreign companies such as Microsoft.
Finance
Munich has significance as a financial centre (second only to Frankfurt), being home of HypoVereinsbank and the Bayerische Landesbank. It outranks Frankfurt though as home of insurance companies such as Allianz (insurance) and Munich Re (re-insurance).
Media
Munich is the largest publishing city in Europe and home to the Süddeutsche Zeitung, one of Germany's biggest daily newspapers. The city is also the location of the programming headquarters of Germany's largest public broadcasting network, ARD, while the largest commercial network, Pro7-Sat1 Media AG, is headquartered in the suburb of Unterföhring. The headquarters of the German branch of Random House, the world's largest publishing house, and of Burda publishing group are also in Munich.
The Bavaria Film Studios are located in the suburb of Grünwald. They are one of Europe's biggest film production studios.
Quality of life
Most Munich residents enjoy a high quality of life. Mercer HR Consulting consistently rates the city among the top 10 cities with the highest quality of life worldwide – a 2011 survey ranked Munich as 4th. In 2007 the same company also ranked Munich as the 39th most expensive in the world and most expensive major city in Germany. Munich enjoys a thriving economy, driven by the information technology, biotechnology, and publishing sectors. Environmental pollution is low, although the city council is concerned about levels of particulate matter (PM), especially along the city's major thoroughfares. Since the enactment of EU legislation concerning the concentration of particulate in the air, environmental groups such as Greenpeace have staged large protest rallies to urge the city council and the State government to take a harder stance on pollution. Due to the high standard of living in and the thriving economy of the city and the region, there was an influx of people and Munich's population surpassed 1.5 million by June 2015, an increase of more than 20% in 10 years.
Transport
Munich has an extensive public transport system consisting of an underground metro, trams, buses and high-speed rail. In 2015, the transport modal share in Munich was 38 percent public transport, 25 percent car, 23 percent walking, and 15 percent bicycle. Its public transport system delivered 566 million passenger trips that year. Munich is the hub of a well-developed regional transportation system, including the second-largest airport in Germany and the Berlin–Munich high-speed railway, which connects Munich to the German capital city with a journey time of about 4 hours. The trade fair transport logistic is held every two years at the Neue Messe München (Messe München International). Flixmobility which offers intercity coach service is headquartered in Munich.
Public transport
For its urban population of 2.6 million people, Munich and its closest suburbs have a comprehensive network of public transport incorporating the Munich U-Bahn (underground railway), the Munich S-Bahn (suburban trains), trams and buses. The system is supervised by the Munich Transport and Tariff Association (Münchner Verkehrs- und Tarifverbund GmbH). The Munich tramway is the oldest existing public transportation system in the city, which has been in operation since 1876. Munich also has an extensive network of bus lines.
The extensive network of subway and tram lines assists and complement pedestrian movement in the city centre. The 700m-long Kaufinger Straße, which starts near the Main train station, forms a pedestrian east–west spine that traverses almost the entire centre. Similarly, Weinstraße leads off northwards to the Hofgarten. These major spines and many smaller streets cover an extensive area of the centre that can be enjoyed on foot and bike. The transformation of the historic area into a pedestrian priority zone enables and invites walking and biking by making these active modes of transport comfortable, safe and enjoyable. These attributes result from applying the principle of "filtered permeability", which selectively restricts the number of roads that run through the centre. While certain streets are discontinuous for cars, they connect to a network of pedestrian and bike paths, which permeate the entire centre. In addition, these paths go through public squares and open spaces increasing the enjoyment of the trip (see image). The logic of filtering a mode of transport is fully expressed in a comprehensive model for laying out neighbourhoods and districts – the Fused Grid.
Statistics
The average amount of time people spend commuting to and from work with public transit in Munich on a weekday is 56 min. 11% of public transit users, spend more than two hours travelling each day. The average amount of time people wait at a stop or station for public transit is ten minutes, whilst 6% of passengers wait for over twenty minutes on average every day. The average distance people usually ride in a single trip with public transit is 9.2 km, while 21% travel for over 12 km in a single direction.
Cycling
Cycling has a strong presence in the city and is recognised as a good alternative to motorised transport. The growing number of bicycle lanes are widely used throughout the year. Cycle paths can be found alongside the majority of sidewalks and streets, although the newer and/or renovated ones are much easier to tell apart from pavements than older ones. The cycle paths usually involve a longer route than by the road, as they are diverted around objects, and the presence of pedestrians can make them quite slow.
A modern bike hire system is available within the area bounded by the Mittlerer Ring.
München Hauptbahnhof
München Hauptbahnhof is the main railway station located in the city centre and is one of three long-distance stations in Munich, the others being München Ost (to the east) and München-Pasing (to the west). All stations are connected to the public transport system and serve as transportation hubs.
München Hauptbahnhof serves about 450,000 passengers a day, which puts it on par with other large stations in Germany, such as Hamburg Hauptbahnhof and Frankfurt Hauptbahnhof. It and München Ost are two of the 21 stations in Germany classified by Deutsche Bahn as a category 1 station. The mainline station is a terminal station with 32 platforms. The subterranean S-Bahn with 2 platforms and U-Bahn stations with 6 platforms are through stations.
ICE highspeed trains stop at Munich-Pasing and Munich-Hauptbahnhof only. InterCity and EuroCity trains to destinations east of Munich also stop at Munich East. Since 28 May 2006 Munich has been connected to Nuremberg via Ingolstadt by the Nuremberg–Munich high-speed railway line. In 2017, the Berlin–Munich high-speed railway opened, providing a journey time of less than 4 hours between the two German cities.
Autobahns
Munich is an integral part of the motorway network of southern Germany. Motorways from Stuttgart (W), Nuremberg, Frankfurt and Berlin (N), Deggendorf and Passau (E), Salzburg and Innsbruck (SE), Garmisch Partenkirchen (S) and Lindau (SW) terminate at Munich, allowing direct access to the different parts of Germany, Austria and Italy.
Traffic, however, is often very heavy in and around Munich. Traffic jams are commonplace during rush hour as well as at the beginning and end of major holidays in Germany. There are few "green waves" or roundabouts, and the city's prosperity often causes an abundance of obstructive construction sites. Other contributing factors are the extraordinarily high rates of car ownership per capita (multiple times that of Berlin), the city's historically grown and largely preserved centralised urban structure, which leads to a very high concentration of traffic in specific areas, and sometimes poor planning (for example bad traffic light synchronisation and a less than ideal ring road).
Munich International Airport
Franz Josef Strauss International Airport (IATA: MUC, ICAO: EDDM) is the second-largest airport in Germany and seventh-largest in Europe after London Heathrow, Paris Charles de Gaulle, Frankfurt, Amsterdam, Madrid and Istanbul Atatürk. It is used by about 46 million passengers a year, and lies some north east of the city centre. It replaced the smaller Munich-Riem airport in 1992. The airport can be reached by suburban train lines from the city. From the main railway station the journey takes 40–45 minutes. An express train will be added that will cut down travel time to 20–25 minutes with limited stops on dedicated tracks. A magnetic levitation train (called Transrapid), which was to have run at speeds of up to from the central station to the airport in a travel time of 10 minutes, had been approved, but was cancelled in March 2008 because of cost escalation and after heavy protests. Lufthansa opened its second hub at the airport when Terminal 2 was opened in 2003.
Other airports
In 2008, the Bavarian state government granted a licence to expand Oberpfaffenhofen Air Station located west of Munich, for commercial use. These plans were opposed by many residents in the Oberpfaffenhofen area as well as other branches of local Government, including the city of Munich, which took the case to court. However, in October 2009, the permit allowing up to 9725 business flights per year to depart from or land at Oberpfaffenhofen was confirmed by a regional judge.
Despite being from Munich, Memmingen Airport has been advertised as Airport Munich West. After 2005, passenger traffic of nearby Augsburg Airport was relocated to Munich Airport, leaving the Augsburg region of Bavaria without an air passenger airport within close reach.
Around Munich
Nearby towns
The Munich agglomeration sprawls across the plain of the Alpine foothills comprising about 2.6 million inhabitants. Several smaller traditional Bavarian towns and cities like Dachau, Freising, Erding, Starnberg, Landshut and Moosburg are today part of the Greater Munich Region, formed by Munich and the surrounding districts, making up the Munich Metropolitan Region, which has a population of about 6 million people.
Recreation
South of Munich, there are numerous nearby freshwater lakes such as Lake Starnberg, Ammersee, Chiemsee, Walchensee, Kochelsee, Tegernsee, Schliersee, Simssee, Staffelsee, Wörthsee, Kirchsee and the Osterseen (Easter Lakes), which are popular among Munich residents for recreation, swimming and watersports and can be quickly reached by car and a few also by Munich's S-Bahn.
Notable people
Born in Munich
Notable residents
Twin towns and sister cities
Munich is twinned with:
Edinburgh, United Kingdom (1954)
Verona, Italy (1960)
Bordeaux, France (1964)
Sapporo, Japan (1972)
Cincinnati, United States (1989)
Kyiv, Ukraine (1989)
Harare, Zimbabwe (1996)
Beersheba, Israel (2021)
See also
Outline of Munich
Notes
References
External links
Official website for the City of Munich
Münchner Verkehrs- und Tarifverbund – public transport network
München Wiki – open city wiki for Munich with more than 15,000 articles
On the brink: Munich 1918–1919
Munichfound – magazine for English speaking Münchners
Destination Munich – online guide
Munich Airport – official website Franz Josef Strauss Airport
münchen.tv – local TV station
Historical Atlas of Munich
Photos
Europe Pictures – Munich
Geocoded Pictures of Munich
Munich City Panoramas – panoramic views and virtual tpurs
Globosapiens Travel Community – travel tips
Tales from Toytown – photos of Munich
Munich photo gallery
Munich |
19064 | https://en.wikipedia.org/wiki/Millsaps%20College | Millsaps College | Millsaps College is a private liberal arts college in Jackson, Mississippi. Founded in 1890 and affiliated with the United Methodist Church, Millsaps is home to 985 students.
History
The college was founded in 1889–90 by a Confederate veteran, Major Reuben Webster Millsaps, who donated the land for the college and $50,000. Dr. William Belton Murrah was the college's first president, and Bishop Charles Betts Galloway of the Methodist Episcopal Church South organized the college's early fund-raising efforts. Both men were honored with halls named in their honor. Major Millsaps and his wife are interred in a tomb near the center of campus. The current United Methodist Church continues to have affiliations with the college.
Navy V-12 program
Millsaps was chosen as one of 131 sites for the training of Navy and Marine officers in the V-12 Navy College Training Program. In April 1943, 380 students arrived for the Navy V-12 program. It offered engineering, pre-medical and pre-dental. Thereafter Millsaps began accepting students year-round for the program. A total of 873 officer candidates went through Millsaps between 1943 and 1945.
Traces of the Navy V-12 unit appear in the Bobashela (school yearbook) in 1944. That year, the Bobashela staff dedicated the yearbook to the unit and "Dr. Sanders," one of the unit's advisers. One section memorialized students who had been killed in action during World War II.
Important dates in Millsaps history
1890: Major Reuben Webster Millsaps founds the college with a personal gift of $50,000.
1901: Millsaps builds the first golf course in Mississippi.
1902: Mary Letitia Holloman becomes the first female graduate of Millsaps.
1908: Sing-Ung Zung of Soochow, China, becomes the first international student to graduate from Millsaps.
1914: Old Main, one of the first buildings on campus, burns and is replaced by Murrah Hall.
1916: Major Millsaps dies and is buried on campus.
1931: The first night football game in Mississippi is played on the Millsaps campus between the Majors and Mississippi A&M (now Mississippi State University).
1936: Millsaps College absorbs bankrupt Grenada College during the Great Depression.
1943: Johnny Carson attends Millsaps for V-12 naval officer training, entertaining his comrades with a magic and humor act.
1944: Louis H. Wilson, who graduated from the college in 1941, received the Medal of Honor for his actions at the Battle of Guam during World War II. Wilson became a General and the 26th Commandant of the Marine Corps in 1975. He was the first Marine Corps Commandant to serve full-time on the Joint Chiefs of Staff.
1953: Dean Martin and Jerry Lewis judge a Millsaps beauty contest.
1965: Millsaps becomes the first all-white college in Mississippi to voluntarily desegregate.
1967: Robert F. Kennedy during his presidential campaign speaks at the college about obligations of young Americans to give back to their country.
1975: President Jimmy Carter speaks to Millsaps students about the crisis in the Middle East.
1988: Millsaps initiates the first campus chapter of Habitat for Humanity in Mississippi.
1989: Millsaps becomes the first school in Mississippi to have a chapter of the Phi Beta Kappa honor society.
Presidents
William Belton Murrah, 1890–1910
David Carlisle Hull, 1910–1912
Dr. Alexander Farrar Watkins, 1912–1923
Dr. David Martin Key, 1923–1938
Dr. Marion Lofton Smith, 1938–1952
Dr. Homer Ellis Finger, Jr., 1952–1964
Dr. Benjamin Barnes Graves, 1965–1970
Dr. Edward McDaniel Collins, Jr., 1970–1978
Dr. George Marion Harmon (1978–2000) – After 22 years of leading Millsaps College, Dr. Harmon announced his resignation in the Spring of 1999. His last day as president of Millsaps College was June 30, 2000.
Dr. Frances Lucas (2000–2010) – Dr. Lucas was the first female to hold the post at Millsaps. Dr. Lucas resigned on April 23, 2009. Lucas cited disagreements with faculty as the reason for her resignation.
Howard McMillan, Dean of Millsaps' Else School of Management took over as Interim President in August 2009.
Dr. Robert Pearigen, Vice President of University Relations at The University of the South, was selected to serve as the eleventh president of the college. He began his term in office on July 1, 2010.
Academics
Despite its religious affiliation, the curriculum is secular. The writing-intensive core curriculum requires each student to compile an acceptable portfolio of written work before completion of the second year. Candidates for an undergraduate degree must also pass oral and written comprehensive exams in their major field of study. These exams last up to three hours, and may cover any required or elective course offered by the major department. Unacceptable performance on comprehensive exams will prevent a candidate from receiving a degree, even if all course work has been completed.
Millsaps offers B.S., B.A., B.B.A., MBA and MAcc degrees and corresponding programs.
The current undergraduate population is 910 students on a 103 acre (417,000 m²) campus near downtown Jackson, Mississippi. The student to faculty ratio is 1:9 with an average class size around 15 students. Millsaps offers 32 majors and 41 minors, including the option of a self-designed major, along with a multitude of study abroad and internship opportunities. Millsaps employs 97 full-time faculty members. Of those, 94 percent of tenure-track faculty hold a PhD or the terminal degree in their field. The professors on the tenure track have the highest degree in their field. The college offers research partnerships for undergraduate students, and a variety of study abroad programs. Millsaps reports that 57% of their student body comes from outside Mississippi; a large portion of out-of-state students are from neighboring Louisiana. Millsaps is home to 910 undergraduate, 75 graduate students from 26 states and territories plus 23 countries. The college also offers a Continuing Education program and the Community Enrichment Series for adults in the Jackson area.
Campus
The Millsaps campus is close to downtown Jackson. It is bordered by Woodrow Wilson Avenue to the north, North State Street to the east, West Street to the west, and Marshall Street to the south.
The center of campus is dominated by "The Bowl," where many events occur, including Homecoming activities, concerts, the Multicultural Festival, and Commencement. Adjacent to the Bowl is the Campbell College Center, renovated in 2000, which contains the campus bookstore, post office, cafeteria, and Student Life offices. This central section of campus also holds the Gertrude C. Ford Academic Complex, Olin Science Hall, Sullivan-Harrell Hall, and the Millsaps-Wilson Library.
The north part of campus includes the Hall Activities Center (commonly called "the HAC"), the sports fields, and the freshman dormitories. On the far northwestern corner is James Observatory, the oldest building on campus. Operational since 1901, the observatory underwent major renovations in 1980. It is open for celestial gazing.
Upperclassmen dormitories are located on the south side of campus, with Fraternity Row and the Christian Center. Originally constructed as a memorial to students and graduates who died in service during World War II, the Christian Center houses an auditorium and the departments of Performing Arts, History and Religious Studies.
Between the Christian Center and Murrah Hall, which houses the Else School of Management, is the tomb of Major Millsaps and the "M" Bench, erected by the classes of 1926, 1927, and 1928. The Nicholson Garden was added to improve the aesthetics of this area.
Rankings and distinctions
Millsaps was ranked 90 out of 251 national liberal arts colleges in the U.S. News & World Report of America's Best Colleges Issue; top ranked liberal arts college in Mississippi, Louisiana, and Alabama; also, named to the list of "High School Counselors' Picks" for 2011 and 2012.
Millsaps College professors are ranked among the best in the nation, according to The Princeton Review's The Best 377 Colleges – 2013 Edition. The Millsaps faculty won praise in The Princeton Review's special Top 20 category: Professors Get High Marks, where Millsaps was ranked twelfth in the country.
The Princeton Review also named the Else School of Management at Millsaps College one of the Best Business Schools in the Southeast in the 2011 edition of its book, The Best 300 Business Schools.
Millsaps is one of 40 schools in Loren Pope's Colleges That Change Lives.
Millsaps is among 21 private universities and colleges nationwide named a "best buy" in the Fiske Guide to Colleges 2013. Millsaps is the only institution in Mississippi to earn the "best buy" honor from the annual guide. The guide names Millsaps as "the strongest liberal arts college in the deep, Deep South and by far the most progressive" and notes that what differentiates the school is "its focus on scholarly inquiry, spiritual growth, and community service, along with its Heritage Program, an interdisciplinary approach to world culture."
Millsaps leads the list of 13 United Methodist–related colleges named among the top 100 liberal arts colleges by the 2012 Washington Monthly College Guide.
Athletics
The school's sports teams are known as the Majors, and their colors are purple and white. They participate in the NCAA Division III and the Southern Athletic Association.
Men's sports include: baseball, basketball, cheerleading, cross country, football, golf, lacrosse, soccer, tennis, and track and field, and the addition of a 2019–2020 swim team. Women's sports include basketball, cheerleading, cross country, dance team, golf, lacrosse, soccer, softball, tennis, track and field, and volleyball, and the addition of a 2019–2020 swim team.
The Majors had a fierce football and basketball rivalry with Mississippi College in nearby Clinton through the 1950s before competition was suspended after an infamous student brawl at a basketball game. Campus legend says the brawl was sparked by the alleged theft of the body of Millsaps founder Major Millsaps by Mississippi College students. The rivalry was considered by many as the best in Mississippi, featuring a prank by Mississippi College students who painted "TO HELL WITH MILSAPS" (sic) on the Millsaps Observatory. The football rivalry resumed in 2000 as the "Backyard Brawl", with games at Mississippi Veterans Memorial Stadium. The rivalry took a one-year hiatus in 2005 but resumed in 2006.
Millsaps was the summer training camp home for the NFL's New Orleans Saints in 2006, 2007, and 2008.
Millsaps was also home to the famous game-ending play in the 2007 Trinity vs. Millsaps football game, in which Trinity University executed 15 laterals on the way to a touchdown, defeating Millsaps by a score of 28–24. The play later won the Pontiac Game-Changing Performance of the Year award, which had never before been bestowed upon a play outside of the NCAA's Bowl Subdivision.
In 2008, Millsaps quarterback Juan Joseph was awarded the Conerly Trophy, which goes to the best football player in the state of Mississippi.
Greek organizations
The school is home to six different fraternities: Kappa Alpha Order, Sigma Alpha Epsilon, Pi Kappa Alpha, Lambda Chi Alpha, Kappa Sigma, and Alpha Phi Alpha; as well as six sororities: Delta Delta Delta, Kappa Delta, Phi Mu, Chi Omega, Alpha Kappa Alpha, and Zeta Phi Beta.
Notable faculty and alumni
Bidwell Adam (Class of 1913), Democratic politician; Lieutenant Governor of Mississippi from 1928 to 1932, lawyer in Gulfport
Rodney J. Bartlett, quantum chemist and Guggenheim Fellowship winner
Michael Beck, actor
Jim C. Barnett, physician and surgeon from Brookhaven; member of the Mississippi House of Representatives from 1992 to 2008.
Turner Cassity, poet
Roy Clyde Clark, Bishop of the United Methodist Church
Lisa D'Amour, Obie Award winning playwright
David Herbert Donald, historian
Nancy Plummer Faxon, organist and composer
Ellen Gilchrist, author
James E. Graves Jr., judge, Supreme Court of Mississippi
Winifred Green, American activist from Mississippi during the civil rights movement
Scott Tracy Griffin, author
Ben M. Hall, author, historian
William Hester (1933), president of the United States Tennis Association from 1977 to 1978.
Alan Hunter, MTV VJ
James Kimbrell, poet and Guggenheim Fellowship winner
Clay Foster Lee Jr, Bishop of the United Methodist Church
Ray Marshall, Secretary of Labor during the Carter administration
Robert S. McElvaine history professor, author, and political commentator
Greg Miller, poet
Lewis Nordan, author
Kiese Laymon, writer and professor
Christopher Lee Nutter, author
Claude Passeau, All-Star pitcher in Major League Baseball during the 1930s and 1940s
Rubel Phillips, Republican gubernatorial nominee in 1963 and 1967
Paul Ramsey, ethicist
Tate Reeves, Governor of Mississippi
Chelsea Rick, Miss Mississippi 2013
Robert C. Robbins, 22nd and current President of The University of Arizona and former CEO of the Texas Medical Center
Vic Roby, former NBC staff announcer
Myron S. McNeil, Mississippi state legislator
Kevin Sessums, journalist and author
Donald Triplett, first person to be diagnosed with autism
Eudora Welty, author
Cassandra Wilson, jazz vocalist and musician
General Louis H. Wilson, Medal of Honor recipient and 26th Commandant of the Marine Corps (1975—1979)
Gary Burghoff, actor who played Radar O'Reilly on the TV series M*A*S*H
Johnny Carson, longtime host of The Tonight Show, V12 Alumnus
See also
References
External links
Millsaps Athletics website
Buildings and structures in Jackson, Mississippi
Education in Hinds County, Mississippi
Education in Jackson, Mississippi
Educational institutions established in 1890
1890 establishments in Mississippi
Universities and colleges accredited by the Southern Association of Colleges and Schools
Liberal arts colleges in Mississippi
Universities and colleges in the Jackson metropolitan area, Mississippi
Private universities and colleges in Mississippi |
19066 | https://en.wikipedia.org/wiki/M%C3%A4laren | Mälaren | Mälaren ( , , or ), historically referred to as Lake Malar in English, is the third-largest freshwater lake in Sweden (after Vänern and Vättern). Its area is 1,140 km2 and its greatest depth is 64 m. Mälaren spans 120 kilometers from east to west. The lake drains, from south-west to north-east, into the Baltic Sea through its natural outlets Norrström and Söderström (as it flows around Stadsholmen island) and through the artificial Södertälje Canal and Hammarbyleden waterway. The easternmost bay of Mälaren, in central Stockholm, is called Riddarfjärden. The lake is located in Svealand and bounded by the provinces of Uppland, Södermanland, Närke, and Västmanland. The two largest islands in Mälaren are Selaön (91 km2) and Svartsjölandet (79 km2).
The Viking Age settlements Birka on the island of Björkö and Hovgården on the neighbouring island Adelsö have been a UNESCO World Heritage Site since 1993, as has Drottningholm Palace on the island of Lovön.
The barrow of Björn Ironside is on the island of Munsö, within the lake.
Etymology
The etymological origin of the name stems from the Old Norse word appearing in historical records in the 1320s and meaning gravel. The lake was previously known as , which is Old Norse for "The Lake".
Geology
By the end of the last ice age about 11,000 years ago, much of northern Europe and North America was covered by ice sheets up to 3 km thick. At the end of the ice age when the glaciers retreated, the removal of the weight from the depressed land led to a post-glacial rebound. Initially the rebound was rapid, proceeding at about 7.5 cm/year. This phase lasted for about 2,000 years, and took place as the ice was being unloaded. Once deglaciation was complete, uplift slowed to about 2.5 cm/year, and decreased exponentially after that. Today, typical uplift rates are of the order of 1 cm/year or less, and studies suggest that rebound will continue for about another 10,000 years. The total uplift from the end of deglaciation can be up to 400 m.
In the Viking Age Mälaren was still a bay of the Baltic Sea, and seagoing vessels could sail up it far into the interior of Sweden. Birka was conveniently near the trade routes through the Södertälje Canal. Due to the post-glacial rebound, Södertälje canal and the mouth of Riddarfjärden bay had become so shallow by about the year 1200 that ships had to unload their cargoes near the entrances, and progressively the bay became a lake. The decline of Birka and the subsequent foundation of Stockholm at the choke point of Riddarfjärden were in part due to the post-glacial rebound changing the topography of the Mälaren basin. The lake's surface currently averages 0.7 meters above sea level.
Mythology
According to Norse mythology as contained in the thirteenth-century Icelandic work Prose Edda, the lake was created by the goddess Gefjon when she tricked Gylfi, the Swedish king of Gylfaginning. Gylfi promised Gefjon as much land as four oxen could plough in a day and a night, but she used oxen from the land of the giants, and moreover uprooted the land and dragged it into the sea, where it became the island of Zealand. Snorra Edda says that 'the inlets in the lake correspond to the headlands in Zealand'; since modern maps show this to be more true of Lake Vänern, the myth has been suggested to have been originally about Vänern, not Mälaren.
Geography
A selection, in alphabetical order:
Ecology
The most common nesting birds on the skerries of Mälaren are also the most common in the Baltic Sea. After a survey in 2005, the ten most common species were found to be common tern, herring gull, black-headed gull, common gull, mallard, tufted duck, Canada goose, common goldeneye, lesser black-backed gull and common sandpiper. White-tailed eagle, greylag goose, barnacle goose, black-throated diver, red-breasted merganser and gadwall are less common, and some of these latter are endangered in the Mälaren area. Since 1994 a subspecies of great cormorant Phalacrocorax carbo sinensis, has nested there as well. A 2005 survey tallied 23 breeding colonies with 2178 nests, of which the largest colony had 235 nests. Most experts believe the great cormorant population has peaked and will stabilize at around 2000 nests.
One of the characteristic species is the osprey which has one of its strongest presences in Lake Mälaren. The osprey nests in almost all bays of the lake.
The Zebra mussel is considered an invasive species and is causing some problems in Lake Mälaren.
Trivia
Mälardrottningen (Lake Mälar Queen) is a poetic name for Stockholm well known in Swedish literature.
Utter Inn, an underwater hotel designed by the artist Mikael Genberg, is in the lake.
The area around the lake hosted the cycling events at the 1912 Summer Olympics.
See also
Mälaren Valley (Mälardalen)
Lakes of Sweden
Geography of Stockholm
Almarestäket
Kanaanbadet
References
External links
Mälarguiden - Guide to Mälaren (mostly in Swedish but a lot of maps and some English text)
Castles around Mälaren
Norrström basin
Venues of the 1912 Summer Olympics
Olympic cycling venues
Lakes of Södermanland County
Lakes of Stockholm County
Landforms of Uppsala County
Landforms of Västmanland County |
19068 | https://en.wikipedia.org/wiki/Macau | Macau | Macau or Macao (; ; ; ), officially the Macao Special Administrative Region of the People's Republic of China (MSAR), is a city and special administrative region of the People's Republic of China in the western Pearl River Delta by the South China Sea. With a population of about 680,000 and an area of , it is the most densely populated region in the world.
Formerly a Portuguese colony, the territory of Portuguese Macau was first leased to Portugal as a trading post by the Ming dynasty in 1557. Portugal paid an annual rent and administered the territory under Chinese sovereignty up until 1887. Portugal later gained perpetual colonial rights in the Sino-Portuguese Treaty of Peking. The colony remained under Portuguese rule until 1999, when it was transferred to China. Macau is a special administrative region of China, which maintains separate governing and economic systems from those of mainland China under the principle of "one country, two systems". The unique blend of Portuguese and Chinese architecture in the city's historic center led to its inscription on the UNESCO World Heritage List in 2005.
Originally a sparsely populated collection of coastal islands, Macau, often referred to as the "Las Vegas of the East", has become a major resort city and a top destination for gambling tourism, with a gambling industry seven times larger than that of Las Vegas. The city has one of the highest per capita incomes in the world, and its GDP per capita by purchasing power parity is one of the highest in the world. It has a very high Human Development Index, as calculated by the Macau government, and the fourth-highest life expectancy in the world. The territory is highly urbanized; two-thirds of the total land area is built on land reclaimed from the sea.
Etymology
The first known written record of the name "Macau", rendered as "Ya/A Ma Gang" (), is found in a letter dated 20 November 1555. The local inhabitants believed that the sea goddess Matsu (alternatively called A-Ma) had blessed and protected the harbor and called the waters around A-Ma Temple using her name. When Portuguese explorers first arrived in the area and asked for the place name, the locals thought they were asking about the temple and told them it was "Ma Kok" (). The earliest Portuguese spelling for this was Amaquão. Multiple variations were used until Amacão / Amacao and Macão / Macao became common during the 17th century. The 1911 reform of Portuguese orthography standardized the spelling Macau; however, the use of Macao persisted in English and other European languages.
The Macau Peninsula had many names in Chinese, including Jing'ao (), Haojing (), and Haojing'ao (). The islands Taipa, Coloane, and Hengqin were collectively called Shizimen (). These names would later become Aomen (), Oumún in Cantonese and translating as "bay gate" or "port gate", to refer to the whole territory.
History
During the Qin dynasty (221–206 BC), the region was under the jurisdiction of Panyu County, Nanhai Prefecture of the province of Guangdong. The region is first known to have been settled during the Han dynasty. It was administratively part of Dongguan Prefecture in the Jin dynasty (266–420 AD), and alternated under the control of Nanhai and Dongguan in later dynasties. In 1152, during the Song dynasty (960–1279 AD), it was under the jurisdiction of the new Xiangshan County. In 1277, approximately 50,000 refugees fleeing the Mongol conquest of China settled in the coastal area.
Macau did not develop as a major settlement until the Portuguese arrived in the 16th century. The first European visitor to reach China by sea was the explorer Jorge Álvares, who arrived in 1513. Merchants first established a trading post in Hong Kong waters at Tamão (present-day Tuen Mun), beginning regular trade with nearby settlements in southern China. Military clashes between the Ming and Portuguese navies followed the expulsion of the Tamão traders in 1521. Despite the trade ban, Portuguese merchants continued to attempt to settle on other parts of the Pearl River estuary, finally settling on Macau. In their first attempts at obtaining trading posts by force, the Portuguese were defeated by the Ming Chinese at the Battle of Tunmen in Tamão or Tuen Mun in 1521 where the Portuguese lost 2 ships and Battle of Sincouwaan in Lantau Island where the Portuguese also lost 2 ships and Shuangyu in 1548 where several Portuguese were captured and near the Dongshan Peninsula in 1549 where two Portuguese junks and Galeote Pereira were captured. During these battles the Ming Chinese captured weapons from the defeated Portuguese which they then reverse engineered and mass produced in China such as matchlock musket arquebuses which they named bird guns and Breech loading swivel guns which they named as Folangji (Frankish) cannon because the Portuguese were known to the Chinese under the name of Franks at this time. The Portuguese later returned to China peacefully and presented themselves under the name Portuguese instead of Franks in the Luso-Chinese agreement (1554) and rented Macau as a trading post from China by paying annual lease of hundreds of silver taels to Ming China. Luso-Canton trade relations were formally reestablished in 1554 and Portugal soon after acquired a permanent lease for Macau in 1557, agreeing to pay 500 taels of silver as annual land rent.
The initially small population of Portuguese merchants rapidly became a growing city. The Roman Catholic Diocese of Macau was created in 1576, and by 1583, the Senate had been established to handle municipal affairs for the growing settlement. Macau was at the peak of its prosperity as a major entrepôt during the late 16th century, providing a crucial connection in exporting Chinese silk to Japan during the Nanban trade period. Although the Portuguese were initially prohibited from fortifying Macau or stockpiling weapons, the Fortaleza do Monte was constructed in response to frequent Dutch naval incursions. The Dutch attempted to take the city in the 1622 Battle of Macau, but were repelled successfully by the Portuguese. Macau entered a period of decline in the 1640s following a series of catastrophic events for the burgeoning colony: Portuguese access to trade routes was irreparably severed when Japan halted trade in 1639, Portugal revolted against Spain in 1640, and Malacca fell to the Dutch in 1641.
Maritime trade with China was banned in 1644 following the Qing conquest under the Haijin policies and limited only to Macau on a lesser scale while the new dynasty focused on eliminating surviving Ming loyalists. While the Kangxi Emperor lifted the prohibition in 1684, China again restricted trade under the Canton System in 1757. Foreign ships were required to first stop at Macau before further proceeding to Canton. Qing authorities exercised a much greater role in governing the territory during this period; Chinese residents were subject to Qing courts and new construction had to be approved by the resident mandarin beginning in the 1740s. As the opium trade became more lucrative during the 18th century, Macau again became an important stopping point en route to China.
Following the First Opium War and the establishment of Hong Kong, Macau lost its role as a major port. Firecracker and incense production, as well as tea and tobacco processing, were vital industries in the colony during this time. Portugal was able to capitalize on China's postwar weakness and assert its sovereignty; the Governor of Macau began refusing to pay China annual land rent for the colony in the 1840s, and annexed Taipa and Coloane, in 1851 and 1864 respectively. Portugal also occupied nearby Lapa and Montanha, but these would be returned to China by 1887, when perpetual occupation rights over Macau were formalized in the Sino-Portuguese Treaty of Peking. This agreement also prohibited Portugal from ceding Macau without Chinese approval. Despite occasional conflict between Cantonese authorities and the colonial government, Macau's status remained unchanged through the republican revolutions of both Portugal in 1910 and China in 1911. The Kuomintang further affirmed Portuguese jurisdiction in Macau when the Treaty of Peking was renegotiated in 1928.
During the Second World War, the Empire of Japan did not occupy the colony and generally respected Portuguese neutrality in Macau. However, after Japanese troops captured a British cargo ship in Macau waters in 1943, Japan installed a group of government "advisors" as an alternative to military occupation. The territory largely avoided military action during the war except in 1945, when the United States ordered air raids on Macau after learning that the colonial government was preparing to sell aviation fuel to Japan. Portugal was later given over US$20 million in compensation for the damage in 1950.
Refugees from mainland China swelled the population as they fled from the Chinese Civil War. Access to a large workforce enabled Macau's economy to grow as the colony expanded its clothing and textiles manufacturing industry, developed its tourism industry, and legalized casino gaming. However, at the height of the Cultural Revolution, residents dissatisfied with the colonial administration rioted in the 1966 12-3 incident, in which 8 people were killed and over 200 were injured. Portugal lost full control over the colony afterwards, and agreed to cooperate with the Chinese Communist Party in exchange for continued administration of Macau.
Following the 1974 Carnation Revolution, Portugal formally relinquished Macau as an overseas province and acknowledged it as a "Chinese territory under Portuguese administration". After China first concluded arrangements on Hong Kong's future with the United Kingdom, it entered negotiations with Portugal over Macau in 1986. They were concluded with the signing of the 1987 Joint Declaration on the Question of Macau, in which Portugal agreed to transfer the colony in 1999 and China would guarantee Macau's political and economic systems for 50 years after the transfer. In the waning years of colonial rule, Macau rapidly urbanized and constructed large-scale infrastructure projects, including the Macau International Airport and a new container port. Macau was transferred to China on 20 December 1999, after 442 years of Portuguese rule.
Following the transfer, Macau liberalized its casino industry (which previously operated under a government-licensed monopoly) to allow foreign investors, starting a new period of economic development. The regional economy grew by a double-digit annual growth rate from 2002 to 2014, making Macau one of the richest economies in the world on a per capita basis. Political debates have centered on the region's jurisdictional independence and the central government's adherence of "one country, two systems". While issues such as national security legislation have been controversial, Macanese residents generally have high levels of trust in the government.
Lusophonia
Macau is the last Portuguese colony to gain independence from Portugal and the only one which is not a member of the Community of Portuguese Language Countries, despite Portuguese being one of its official languages. In 2006, during the II Ministerial meeting between China and Portuguese Speaking Countries, the CPLP Executive Secretary and Deputy ambassador Tadeu Soares invited the Chief Executive of the Government of the Macau Special Administrative Region, Edmund Ho, to request the Associate Observer status for Macau. The Government of Macau has yet to make this request. In 2016, Murade Murargy, then executive secretary of CPLP said in an interview that Macau's membership is a complicated question, since like the Galicia region in Spain, it is not an independent country, but only a part of China. However, the Instituto Internacional de Macau () and the University of São José are Consultative Observers of the CPLP.
Government and politics
Macau is a special administrative region of China, with executive, legislative, and judicial powers devolved from the national government. The Sino-Portuguese Joint Declaration provided for economic and administrative continuity through the transfer of sovereignty, resulting in an executive-led governing system largely inherited from the territory's history as a Portuguese colony. Under these terms and the "one country, two systems" principle, the Basic Law of Macao is the regional constitution. Because negotiations for the Joint Declaration and Basic Law began after transitional arrangements for Hong Kong were made, Macau's structure of government is very similar to Hong Kong's.
The regional government is composed of three branches:
Executive: The Chief Executive is responsible for enforcing regional law, can force reconsideration of legislation, and appoints Executive Council members, a portion of the legislature, and principal officials. Acting with the Executive Council, the Chief Executive can propose new bills, issue subordinate legislation, and has authority to dissolve the legislature.
Legislature: The unicameral Legislative Assembly enacts regional law, approves budgets, and has the power to impeach a sitting Chief Executive.
Judiciary: The Court of Final Appeal and lower courts, whose judges are appointed by the Chief Executive on the advice of a recommendation commission, interpret laws and overturn those inconsistent with the Basic Law.
The Chief Executive is the head of government, and serves for a maximum of two five-year terms. The State Council (led by the Premier of China) appoints the Chief Executive after nomination by the Election Committee, which is composed of 400 business, community, and government leaders.
The Legislative Assembly has 33 members, each serving a four-year term: 14 are directly elected, 12 indirectly elected, and 7 appointed by the Chief Executive. Indirectly elected assemblymen are selected from limited electorates representing sectors of the economy or special interest groups. All directly elected members are chosen with proportional representation.
Twelve political parties had representatives elected to the Legislative Assembly in the 2017 election. These parties have aligned themselves into two ideological groups: the pro-establishment (the current government) and pro-democracy camps. Macau is represented in the National People's Congress by 12 deputies chosen through an electoral college, and 29 delegates in the Chinese People's Political Consultative Conference appointed by the central government.
Chinese national law does not generally apply in the region, and Macau is treated as a separate jurisdiction. Its judicial system is based on Portuguese civil law, continuing the legal tradition established during colonial rule. Interpretative and amending power over the Basic Law and jurisdiction over acts of state lie with the central authority, however, making regional courts ultimately subordinate to the mainland's socialist civil law system. Decisions made by the Standing Committee of the National People's Congress can also override territorial judicial processes. In 2021, after similar actions were taken in Hong Kong following the protests associated with the Anti-Extradition Law Amendment Bill Movement, 21 candidates running for office in the territorial elections were disqualified as a result of allegedly failing to support the Basic Law, although no specific violations were noted by the territory's electoral commission.
The territory's jurisdictional independence is most apparent in its immigration and taxation policies. The Identification Department issues passports for permanent residents which differ from those issued by the mainland or Hong Kong, and the region maintains a regulated border with the rest of the country. All travelers between Macau and China and Hong Kong must pass border controls, regardless of nationality. Chinese citizens resident in mainland China do not have the right of abode in Macau and are subject to immigration controls. Public finances are handled separately from the national government, and taxes levied in Macau do not fund the central authority.
The Macao Garrison is responsible for the region's defense. Although the Chairman of the Central Military Commission is supreme commander of the armed forces, the regional government may request assistance from the garrison. Macau residents are not required to perform military service and the law also has no provision for local enlistment, so its defense force is composed entirely of nonresidents.
The State Council and the Ministry of Foreign Affairs handle diplomatic matters, but Macau retains the ability to maintain separate economic and cultural relations with foreign nations. The territory negotiates its own trade agreements and actively participates in supranational organisations, including agencies of the World Trade Organization and United Nations. The regional government maintains trade offices in Greater China and other nations.
Administrative divisions
The territory is divided into seven parishes. Cotai, a major area developed on reclaimed land between Taipa and Coloane, and areas of the Macau New Urban Zone do not have defined parishes. Historically, the parishes belonged to one of two municipalities (the Municipality of Macau or the Municipality of Ilhas) that were responsible for administering municipal services. The municipalities were abolished in 2001 and superseded by the Civic and Municipal Affairs Bureau in providing local services.
Geography
Macau is located on China's southern coast, west of Hong Kong, on the western side of the Pearl River estuary. It is surrounded by the South China Sea in the east and south, and neighbors the Guangdong city of Zhuhai to the west and north. The territory consists of Macau Peninsula, Taipa, and Coloane. A parcel of land in neighboring Hengqin island that hosts the University of Macau also falls under the regional government's jurisdiction. The territory's highest point is Coloane Alto, above sea level.
Urban development is concentrated on peninsular Macau, where most of the population lives. The peninsula was originally a separate island with hilly terrain, which gradually became a tombolo as a connecting sandbar formed over time. Both natural sedimentation and land reclamation expanded the area enough to support urban growth. Macau has tripled its land area in the last century, increasing from in the late 19th century to in 2018.
Cotai, the area of reclaimed land connecting Taipa and Coloane, contains many of the newer casinos and resorts established after 1999. The region's jurisdiction over the surrounding sea was greatly expanded in 2015, when it was granted an additional of maritime territory by the State Council. Further reclamation is currently underway to develop parts of the Macau New Urban Zone. The territory also has control over part of an artificial island to maintain a border checkpoint for the Hong Kong–Zhuhai–Macau Bridge.
Climate
Macau has a humid subtropical climate (Köppen Cwa), characteristic of southern China. The territory is dual season dominant – summer (May to September) and winter (November to February) are the longest seasons, while spring (March and April) and autumn (October) are relatively brief periods. The summer monsoon brings warm and humid air from the sea, with the most frequent rainfall occurring during the season. Typhoons also occur most often then, bringing significant spikes in rainfall. During the winter, northern winds from the continent bring dry air and much less rainfall. The highest and lowest temperatures recorded at the Macao Meteorological and Geophysical Bureau are on both 2 July 1930 and 6 July 1930 and on 26 January 1948.
Demographics
The Statistics and Census Service estimated Macau's population at 667,400 at the end of 2018. With a population density of 21,340 people per square kilometer, Macau is the most densely populated region in the world. The overwhelming majority (88.7 percent) are Chinese, many of whom originate from Guangdong (31.9 percent) or Fujian (5.9 percent). The remaining 11.6 percent are non ethnic Chinese minorities, primarily Filipinos (4.6 percent), Vietnamese (2.4 percent), and Portuguese (1.8 percent). Several thousand residents are of Macanese heritage, native-born multiracial people with mixed Portuguese ancestry. Of the total population (excluding migrants), 49.4 percent were born in Macau, followed by 43.1 percent in Mainland China. A large portion of the population are Portuguese citizens, a legacy of colonial rule; at the time of the transfer of sovereignty in 1999, 107,000 residents held Portuguese passports.
The predominant language is Cantonese, a variety of Chinese originating in Guangdong. It is spoken by 87.5 percent of the population, 80.1 percent as a first language and 7.5 percent as a second language. Only 2.3 percent can speak Portuguese, the other official language; 0.7 percent are native speakers, and 1.6 percent use it as a second language. Increased immigration from mainland China in recent years has added to the number of Mandarin speakers, making up about half of the population (50.4 percent); 5.5 percent are native speakers and 44.9 percent are second language speakers. Traditional Chinese characters are used in writing, rather than the simplified characters used on the mainland. English is considered an additional working language and is spoken by over a quarter of the population (27.5 percent); 2.8 percent are native speakers, and 24.7 percent speak English as a second language. Macanese Patois, a local creole generally known as Patuá, is now spoken only by a few in the older Macanese community.
According to the Government Information Bureau, 80 percent of the population practices Buddhism, 6.7 percent follow Christianity and 13.7 percent follow other religion. Folk practices are also common among the citizens. According to Pew Research Center, Chinese folk religions have the most adherents (58.9 percent) and are followed by Buddhism (17.3 percent) and Christianity (7.2 percent), while 15.4 percent of the population profess no religious affiliation at all. Small minorities adhering to other religions (less than 1 percent), including Hinduism, Judaism, and Islam, are also resident in Macau.
Life expectancy in Macau was 81.6 years for males and 87.7 years for females in 2018, the fourth highest in the world. Cancer, heart disease, and respiratory disease are the territory's three leading causes of death. Most government-provided healthcare services are free of charge, though alternative treatment is also heavily subsidized.
Migrant workers living in Macau account for over 25 percent of the entire workforce. They largely work in lower wage sectors of the economy, including construction, hotels, and restaurants. As a growing proportion of local residents take up employment in the gaming industry, the disparity in income between local and migrant workers has been increasing. Rising living costs have also pushed a large portion of nonresident workers to live in Zhuhai.
Economy
Macau has a capitalist service economy largely based on casino gaming and tourism. It is the world's 83rd-largest economy, with a nominal GDP of approximately MOP433 billion (US$53.9 billion). Although Macau has one of the highest per capita GDPs, the territory also has a high level of wealth disparity. Macau's gaming industry is the largest in the world, generating over MOP195 billion (US$24 billion) in revenue and about seven times larger than that of Las Vegas. Macau's gambling revenue was $37 billion in 2018.
The regional economy is heavily reliant on casino gaming. The vast majority of government funding (79.6 percent of total tax revenue) comes from gaming. Gambling as a share of GDP peaked in 2013 at over 60 percent, and continues to account for 49.1 percent of total economic output. The vast majority of casino patrons are tourists from mainland China, making up 68 percent of all visitors. Casino gaming is illegal in both the mainland and Hong Kong, giving Macau a legal monopoly on the industry in China. Revenue from Chinese high rollers has been falling and was forecast to fall as much as 10% more in 2019. Economic uncertainty may account for some of the drop, but alternate Asian gambling venues do as well. For example, Chinese visitors to the Philippines more than doubled between 2015 and 2018, since the City of Dreams casino opened in Manila.
Casino gambling was legalized in 1962 and the gaming industry initially operated under a government-licensed monopoly granted to the Sociedade de Turismo e Diversões de Macau. This license was renegotiated and renewed several times before ending in 2002 after 40 years. The government then allowed open bidding for casino licenses to attract foreign investors. Along with an easing of travel restrictions on mainland Chinese visitors, this triggered a period of rapid economic growth; from 1999 to 2016, Macau's gross domestic product multiplied by 7 and the unemployment rate dropped from 6.3 to 1.9 percent. The Sands Macao, Wynn Macau, MGM Macau, and Venetian Macau were all opened during the first decade after liberalisation of casino concessions. Casinos employ about 24 percent of the total workforce in the region. "Increased competition from casinos popping up across Asia to lure away Chinese high rollers and tourists" in Singapore, South Korea, Japan, Nepal, the Philippines, Australia, Vietnam and the Russian Far East led in 2019 to the lowest revenues in three years.
Export-oriented manufacturing previously contributed to a much larger share of economic output, peaking at 36.9 percent of GDP in 1985 and falling to less than 1 percent in 2017. The bulk of these exports were cotton textiles and apparel, but also included toys and electronics. At the transfer of sovereignty in 1999, manufacturing, financial services, construction and real estate, and gaming were the four largest sectors of the economy. Macau's shift to an economic model entirely dependent on gaming caused concern over its overexposure to a single sector, prompting the regional government to attempt re-diversifying its economy.
The government traditionally had a non-interventionist role in the economy and taxes corporations at very low rates. Post-handover administrations have generally been more involved in enhancing social welfare to counter the cyclical nature of the gaming industry. Economic growth has been attributed in large part to the high number of mainlander visits to Macau, and the central government exercises a role in guiding casino business growth through its control of the flow of tourists. The Closer Economic Partnership Arrangement formalized a policy of free trade between Macau and mainland China, with each jurisdiction pledging to remove remaining obstacles to trade and cross-boundary investment.
Due to a lack of available land for farming, agriculture is not significant in the economy. Food is exclusively imported to Macau and almost all foreign goods are transshipped through Hong Kong.
Infrastructure
Transport
Macau has a highly developed road system, with over of roads. Automobiles drive on the left (unlike in both mainland China and Portugal), due to historical influence of the Portuguese Empire. Vehicle traffic is extremely congested, especially in the oldest part of the city, where streets are the narrowest. Public bus services operate over 80 routes, supplemented by free hotel shuttle buses that also run routes to popular tourist attractions and downtown locations. About 1,500 black taxicabs are licensed in the territory. The Hong Kong–Zhuhai–Macau Bridge, opened in 2018, provides a direct link with the eastern side of the Pearl River estuary. Cross-boundary traffic to mainland China may also pass through border checkpoints at the Portas do Cerco and Lótus Bridge.
Macau International Airport serves over 8 million passengers each year and is the primary hub for local flag carrier Air Macau. Ferry services to Hong Kong and mainland China operate out of ferry terminals such as Taipa Ferry Terminal. Daily helicopter service is also available to Hong Kong and Shenzhen. Phase 1 of the territory's first rail network, the Macau Light Rapid Transit, began operations in December 2019. The Taipa line connects 11 metro stations throughout Taipa and Cotai.
Healthcare
Macau is served by one major public hospital, the Hospital Conde S. Januário, and one major private hospital, the Kiang Wu Hospital, both located in Macau Peninsula, as well as a university associated hospital called Macau University of Science and Technology Hospital in Cotai. In addition to hospitals, Macau also has numerous health centers providing free basic medical care to residents. Consultation in traditional Chinese medicine is also available.
None of the Macau hospitals are independently assessed through international healthcare accreditation. A Western-style medical school was opened in Macau in 2019 by the Macau University of Science and Technology, with an annual intake of 50 students. Local nurses are trained at the Macau Polytechnic Institute and the Kiang Wu Nursing College. Currently there are no training courses in midwifery in Macau. A study by the University of Macau, commissioned by the Macau SAR government, concluded that Macau is too small to have its own medical specialist training center.
The Fire Services Bureau is responsible for ambulance service (Ambulância de Macau). The Macau Red Cross also operates ambulances (Toyota HiAce vans) for emergency and non-emergencies to local hospitals with volunteer staff. The organization has a total of 739 uniformed firefighters and paramedics serving from 7 stations in Macau.
The Health Bureau in Macau is mainly responsible for coordinating the activities between the public and private organizations in the area of public health, and assure the health of citizens through specialized and primary health care services, as well as disease prevention and health promotion. The Macau Center for Disease Control and Prevention was established in 2001, which monitors the operation of hospitals, health centers, and the blood transfusion center in Macau. It also handles the organization of care and prevention of diseases affecting the population, sets guidelines for hospitals and private healthcare providers, and issues licenses.
Macau healthcare authorities send patients to Queen Mary Hospital in Hong Kong in instances where the local Macau hospitals are not equipped to deal with their scenarios, and many Macau residents intentionally seek healthcare in Hong Kong because they place more trust in Hong Kong doctors than in Mainland-trained doctors operating in Macau.
Education
Education in Macau does not have a single centralized set of standards or curriculum. Individual schools follow different educational models, including Chinese, Portuguese, Hong Kong, and British systems. Children are required to attend school from the age of five until completion of lower secondary school, or at age 15. Of residents aged 3 and older, 69 percent completed lower secondary education, 49 percent graduated from an upper secondary school, 21 percent earned a bachelor's degree or higher. Mandatory education has contributed to an adult literacy rate of 96.5 percent. While lower than that of other developed economies, the rate is due to the influx of refugees from mainland China during the post-war colonial era. Much of the elderly population were not formally educated due to war and poverty.
Most schools in the territory are private institutions. Out of the 77 non-tertiary schools, 10 are public and the other 67 are privately run. The Roman Catholic Diocese of Macau maintains an important position in territorial education, managing 27 primary and secondary schools. The government provides 15 years of free education for all residents enrolled in publicly run schools, and subsidizes tuition for students in private schools. Students at the secondary school level studying in neighboring areas of Guangdong are also eligible for tuition subsidies.
The vast majority of schools use Cantonese as the medium of instruction, with written education in Chinese and compulsory classes in Mandarin. A minority of private schools use English or Portuguese as the primary teaching language. Portuguese-Chinese schools mainly use Chinese, but additionally require mandatory Portuguese-language classes as part of their curriculum.
Macau has ten universities and tertiary education institutes. The University of Macau, founded in 1981, is the territory's only public comprehensive university. The Kiang Wu Nursing College of Macau is the oldest higher institute, specializing in educating future nursing staff for the college's parent hospital. The University of Saint Joseph, Macau University of Science and Technology, and the City University of Macau were all established in subsequent years. Five other institutes specialize in specific vocations or provide continuing education.
Culture
The mixing of Chinese and Portuguese culture and religious traditions for more than four centuries has left Macau with an inimitable collection of holidays, festivals and events. The biggest event of the year is the Macau Grand Prix each November, when the main streets of the Macau Peninsula are converted to a racetrack bearing similarities with the Monaco Grand Prix. Other annual events include Macau Arts festival in March, the International Fireworks Display Contest in September, the International Music festival in October and/or November, and the Macau International Marathon in December.
The Lunar Chinese New Year is the most important traditional festival, and celebration normally takes place in late January or early February. The Pou Tai Un Temple in Taipa is the place for the Feast of Tou Tei, the Earth god, in February. The Procession of the Passion of Our Lord is a well-known Roman Catholic rite and journey, which travels from Saint Austin's Church to the cathedral, also taking place in February.
The A-Ma Temple, which honors the Goddess Matsu, is in full swing in April with many worshipers celebrating the A-Ma festival. In May it is common to see dancing dragons at the Feast of the Drunken Dragon and twinkling-clean Buddhas at the Feast of the Bathing of Lord Buddha. In Coloane Village, the Taoist god Tam Kong is also honored on the same day. Dragon Boat Festival is brought into play on Nam Van Lake in June and Hungry Ghosts' festival, in late August and/or early September every year. All events and festivities of the year end with Winter Solstice in December.
Macau preserves many historical properties in the urban area. Its historic center, which includes some twenty-five historic locations, was officially listed as a World Heritage Site by UNESCO on 15 July 2005 during the 29th session of the World Heritage Committee, held in Durban, South Africa.
However, the Macao government is criticized for ignoring the conservation of heritage in urban planning. In 2007, local residents of Macao wrote a letter to UNESCO complaining about construction projects around world heritage Guia Lighthouse (Focal height ), including the headquarter of the Liaison Office (). UNESCO then issued a warning to the Macau government, which led former Chief Executive Edmund Ho to sign a notice regulating height restrictions on buildings around the site. In 2015, the New Macau Association submitted a report to UNESCO claiming that the government had failed to protect Macao's cultural heritage against threats by urban development projects. One of the main examples of the report is that the headquarter of the Liaison Office of the Central People's Government, which is located on the Guia foothill and obstructs the view of the Guia Fortress (one of the world heritages symbols of Macao). One year later, Roni Amelan, a spokesman from UNESCO Press service, said that the UNESCO has asked China for information and is still waiting for a reply. In 2016, the Macau government approved an -tall construction limit for the residential project, which reportedly goes against the city's regulations on the height of buildings around world heritage site Guia Lighthouse.
Cuisine
Food in Macau is mainly based on both Cantonese and Portuguese cuisine, drawing influences from Indian and Malay dishes as well, reflecting a unique cultural and culinary blend after centuries of colonial rule. Portuguese recipes were adapted to use local ingredients, such as fresh seafood, turmeric, coconut milk, and adzuki beans. These adaptations produced Macanese variations of traditional Portuguese dishes including caldo verde, minchee, and cozido à portuguesa. While many restaurants claim to serve traditional Portuguese or Macanese dishes, most serve a mix of Cantonese-Portuguese fusion cuisine. Galinha à portuguesa is an example of a Chinese dish that draws from Macanese influences, but is not part of Macanese cuisine. Cha chaan teng, a type of fast casual diner originating in Hong Kong that serves that region's interpretation of Western food, are also prevalent in Macau. Pastel de nata, pork chop buns, and almond biscuits are popular street food items.
Sports
Despite its small area, Macau is home to a variety of sports and recreational facilities that have hosted a number of major international sporting events, including the 2005 East Asian Games, the 2006 Lusophony Games, and the 2007 Asian Indoor Games.
The territory regularly hosts the Macau Grand Prix, one of the most significant annual motorsport competitions that uses city streets as the racetrack. It is the only street circuit that hosts Formula Three, touring car, and motorcycle races in the same event. The Guia Circuit, with narrow corner clearance and a winding path, is considered an extremely challenging course and a serious milestone for prospective Formula One racers.
Macau represents itself separately from mainland China with its own sports teams in international competitions. The territory maintains its own National Olympic Committee, but does not compete in the Olympic Games. International Olympic Committee rules specify that new NOCs can only be admitted if they represent sovereign states (Hong Kong has participated in the Olympics since before the regulation change in 1996).
Twin towns and sister cities
Macau has six sister cities, listed chronologically by year joined:
Lisbon, Portugal (1982)
Porto, Portugal (1997)
Linköping, Sweden (1997)
Coimbra, Portugal (1998)
São Paulo, Brazil (2000)
Praia, Cape Verde (2007)
Additionally, Macau has other cultural agreements with the following cities:
Brussels, Belgium (1991)
San Francisco, United States (2001)
Da Nang, Vietnam (2006)
Phuket, Thailand (2018)
Union of Luso-Afro-Americo-Asiatic Capital Cities
Macau is part of the Union of Luso-Afro-Americo-Asiatic Capital Cities from 28 June 1985, establishing brotherly relations with the following cities:
Bissau, Guinea-Bissau
Dili, East Timor
Lisbon, Portugal
Luanda, Angola
Maputo, Mozambique
Panaji (Panjim), India
Praia, Cape Verde
Rio de Janeiro, Brazil
São Tomé, São Tomé and Príncipe
See also
Foreign relations of Macau
Outline of Macau
Index of Macau-related articles
Cuiheng New Area
Notes
References
Citations
Sources
Government reports
Academic publications
Legislation
Print
News articles
External links
Macau. The World Factbook. Central Intelligence Agency.
Macau from BBC News
Government
Gov.MO Macau SAR Government Portal
Macao Government Tourism Office
Macau SAR News
Trade
World Bank Summary Trade Statistics Macao
Maps
People's Republic of China
1557 establishments in Asia
Cities in China
Former colonies in Asia
Former Portuguese colonies
Pearl River Delta
Populated coastal places in China
Port cities and towns in China
Portuguese-speaking countries and territories
Special administrative regions of China
States and territories established in 1999
South China
South China Sea |
19069 | https://en.wikipedia.org/wiki/History%20of%20Macau | History of Macau | Macau is a Special Administrative Region (SAR) of the People's Republic of China. In 1557 it was leased to Portugal as a trading post in exchange for a symbolic annual rent of 500 tael in order to stay in Macau, it remained under Chinese sovereignty and authority until 1887, the Portuguese came to consider and administer it as a de facto colony. Following the signing of the Treaty of Nanking between China and Britain in 1842, and the signing of treaties between China and foreign powers during the 1860s, establishing the benefit of "the most favoured nation" for them, the Portuguese attempted to conclude a similar treaty in 1862, but the Chinese refused, owing to a misunderstanding over the sovereignty of Macau. In 1887 the Portuguese finally managed to secure an agreement from China that Macao was Portuguese territory. In 1999 it was handed over to China. Macau was the last extant European territory in continental Asia.
Early history
The human history of Macau stretches back up to 6,000 years, and includes many different and diverse civilisations and periods of existence. Evidence of human and culture dating back 4,000 to 6,000 years has been discovered on the Macau Peninsula and dating back 5,000 years on Coloane Island.
During the Qin Dynasty (221–206 BC), the region was under the jurisdiction of Panyu County, Nanhai Prefecture of the province of Guangdong. The region is first known to have been settled during the Han dynasty. It was administratively part of Dongguan Prefecture in the Jin dynasty (266–420 AD), and alternated under the control of Nanhai and Dongguan in later dynasties.
Since the 5th century, merchant ships travelling between Southeast Asia and Guangzhou used the region as a port for refuge, fresh water, and food. In 1152, during the Song dynasty (960–1279 AD), it was under the jurisdiction of the new Xiangshan County. In 1277, approximately 50,000 refugees fleeing the Mongol conquest of China settled in the coastal area.
Mong Há has long been the centre of Chinese life in Macau and the site of what may be the region's oldest temple, a shrine devoted to the Buddhist Guanyin (Goddess of Mercy). Later in the Ming dynasty (1368–1644 AD), fishermen migrated to Macau from various parts of Guangdong and Fujian provinces and built the A-Ma Temple where they prayed for safety on the sea. The Hoklo Boat people were the first to show interest in Macau as a trading centre for the southern provinces. However, Macau did not develop as a major settlement until the Portuguese arrived in the 16th century.
Portuguese settlement
During the age of discovery Portuguese sailors explored the coasts of Africa and Asia. The sailors later established posts at Goa in 1510, and conquered Malacca in 1511, driving the Sultan to the southern tip of the Malay Peninsula from where he kept making raids on the Portuguese. The Portuguese under Jorge Álvares landed at Lintin Island in the Pearl River Delta of China in 1513 with a hired junk sailing from Portuguese Malacca. They erected a stone marker at Lintin Island claiming it for the King of Portugal, Manuel I. In the same year, the Indian Viceroy Afonso de Albuquerque commissioned Rafael Perestrello — a cousin of Christopher Columbus to sail to China in order to open up trade relations. Rafael traded with the Chinese merchants in Guangzhou in that year and in 1516, but was not allowed to move further.
Portugal's king Manuel I in 1517 commissioned a diplomatic and trade mission to Guangzhou headed by Tomé Pires and Fernão Pires de Andrade. The embassy lasted until the death of the Zhengde Emperor in Nanjing. The embassy was further rejected by the Chinese Ming court, which now became less interested in new foreign contacts. The Ming Court was also influenced by reports of misbehaviour of Portuguese elsewhere in China, and by the deposed Sultan of Malacca seeking Chinese assistance to drive the Portuguese out of Malacca.
In 1521 and 1522 several more Portuguese ships reached the trading island Tamão off the coast near Guangzhou, but were driven away by the now hostile Ming authorities. Pires was imprisoned and died in Canton.
In their first attempts at obtaining trading posts by force, the Portuguese were defeat by the Ming Chinese at the Battle of Tunmen in Tamão or Tuen Mun in 1521 where the Portuguese lost 2 ships and Battle of Sincouwaan in Lantau Island where the Portuguese also lost 2 ships and Shuangyu in 1548 where several Portuguese were captured and near the Dongshan Peninsula in 1549 where two Portuguese junks and Galeote Pereira were captured. During these battles the Ming Chinese captured weapons from the defeated Portuguese which they then reverse engineered and mass produced in China such as matchlock musket arquebuses which they named bird guns and Breech loading swivel guns which they named as Folangji (Frankish) cannon because the Portuguese were known to the Chinese under the name of Franks at this time. The Portuguese later returned to China peacefully and presented themselves under the name Portuguese instead of Franks in the Luso-Chinese agreement (1554) and rented Macau as a trading post from China by paying annual lease of hundreds of silver taels to Ming China.
Good relations between the Portuguese and Chinese Ming dynasty resumed in the 1540s, when Portuguese aided China in eliminating coastal pirates. The two later began annual trade missions to the offshore Shangchuan Island in 1549. A few years later, Lampacau Island, closer to the Pearl River Delta, became the main base of the Portuguese trade in the region.
Diplomatic relations were further improved and salvaged by the Leonel de Sousa agreement with Cantonese authorities in 1554. In 1557, the Ming court finally gave consent for a permanent and official Portuguese trade base at Macau. In 1558, Leonel de Sousa became the second Portuguese Governor of Macau.
They later built some rudimentary stone-houses around the area now called Nam Van. But not until 1557 did the Portuguese establish a permanent settlement in Macau, at an annual rent of 500 taels (~) of silver. Later that year, the Portuguese established a walled village there. Ground rent payments began in 1573. China retained sovereignty and Chinese residents were subject to Chinese law, but the territory was under Portuguese administration. In 1582 a land lease was signed, and annual rent was paid to Xiangshan County. The Portuguese continued to pay an annual tribute up to 1863 in order to stay in Macau.
The Portuguese often married Tanka women since Han Chinese women would not have relations with them. Some of the Tanka's descendants became Macanese people. Some Tanka children were enslaved by Portuguese raiders. The Chinese poet Wu Li wrote a poem, which included a line about the Portuguese in Macau being supplied with fish by the Tanka.
Macau's golden age
After the Portuguese were allowed to permanently settle in Macau, both Chinese and Portuguese merchants flocked to Macau, although the Portuguese were never numerous (numbering just 900 in 1583 and 1200 out of 26,000 in 1640). It quickly became an important node in the development of Portugal's trade along three major routes: Macau–Malacca–Goa–Lisbon, Guangzhou–Macau–Nagasaki and Macau–Manila–Mexico. The Guangzhou–Macau–Nagasaki route was particularly profitable because the Portuguese acted as middlemen, shipping Chinese silks to Japan and Japanese silver to China, pocketing huge markups in the process. This already lucrative trade became even more so when Chinese officials handed Macau's Portuguese traders a monopoly by banning direct trade with Japan in 1547, due to piracy by Chinese and Japanese nationals.
Macau's golden age coincided with the union of the Spanish and Portuguese crowns, between 1580 and 1640. King Philip II of Spain was encouraged to not harm the status quo, to allow trade to continue between Portuguese Macau and Spanish Manila, and to not interfere with Portuguese trade with China. In 1587, Philip promoted Macau from "Settlement or Port of the Name of God" to "City of the Name of God" (Cidade do Nome de Deus de Macau).
The alliance of Portugal with Spain meant that Portuguese colonies became targets for the Netherlands, which was embroiled at the time in a lengthy struggle for its independence from Spain, the Eighty Years' War. After the Dutch East India Company was founded in 1602, the Dutch unsuccessfully attacked Macau several times, culminating in a full-scale invasion attempt in 1622, when 800 attackers were successfully repelled by 150 Macanese and Portuguese defenders and a large number of African slaves. One of the first actions of Macau's next governor, who arrived the following year, was to strengthen the city's defences, which included the construction of the Guia Fortress.
Religious activity
As well as being an important trading post, Macau was a centre of activity for Catholic missionaries, as it was seen as a gateway for the conversion of the vast populations of China and Japan. Jesuits had first arrived in the 1560s and were followed by Dominicans in the 1580s. Both orders soon set about constructing churches and schools, the most notable of which were the Jesuit Cathedral of Saint Paul and the St. Dominic's Church built by the Dominicans. In 1576, Macau was established as an episcopal see by Pope Gregory XIII with Melchior Carneiro appointed as the first bishop.
1637–1844: Decline
In 1637, increasing suspicion of the intentions of Spanish and Portuguese Catholic missionaries in Japan finally led the shōgun to seal Japan off from foreign influence. Later named the sakoku period, this meant that no Japanese were allowed to leave the country (or return if they were living abroad), and no foreign ship was allowed to dock in a Japanese port. An exception was made for the Protestant Dutch, who were allowed to continue to trade with Japan from the confines of a small man-made island in Nagasaki, Deshima. Macau's most profitable trade route, that between Japan and China, had been severed. The crisis was compounded two years later by the loss of Malacca to the Dutch in 1641, damaging the link with Goa.
The news that the Portuguese House of Braganza had regained control of the Crown from the Spanish Habsburgs took two years to reach Macau, arriving in 1642. A ten-week celebration ensued, and despite its new-found poverty, Macau sent gifts to the new King João IV along with expressions of loyalty. In return, the King rewarded Macau with the addition of the words "There is none more Loyal" to its existing title. Macau was now "City of the Name of God in China, There is none more loyal". ("Não há outra mais Leal" []).
In 1685, the privileged position of the Portuguese in trade with China ended, following a decision by the Kangxi Emperor of China to allow trade with all foreign countries. Over the next century, Britain, the Dutch Republic, France, Denmark, Sweden, the United States and Russia moved in, establishing factories and offices in Guangzhou and Macau. British trading dominance in the 1790s was unsuccessfully challenged by a combined French and Spanish naval squadron at the Macau Incident of 27 January 1799.
Until 20 April 1844 Macau was under the jurisdiction of Portugal's Indian colonies, the so-called "Estado português da India" (Portuguese State of India), but after this date, it, along with East Timor, was accorded recognition by Lisbon (but not by Beijing) as an overseas province of Portugal. The Treaty of Peace, Amity, and Commerce between China and the United States was signed in a temple in Macau on 3 July 1844. The temple was used by a Chinese judicial administrator, who also oversaw matters concerning foreigners, and was located in the village of Mong Há. The Templo de Kun Iam was the site where, on 3 July 1844, the treaty of Wangxia (named after the village of Mong Ha where the temple was located) was signed by representatives of the United States and China. This marked the official beginning of Sino-US relations.
1844–1938: The Hong Kong effect
After China ceded Hong Kong to the British in 1842, Macau's position as a major regional trading centre declined further still because larger ships were drawn to the deep water port of Victoria Harbour. In an attempt to reverse the decline, Portugal declared Macau a free port, expelled Chinese officials and soldiers, and thereafter levied taxes on Chinese residents. In 1848, there was a revolt of the boatmen that was put down.
Portugal continued to pay rent to China until 1849, when the Portuguese abolished the Chinese customs house and declared Macau's "independence", a year which also saw Chinese retaliation and finally the assassination of Gov. Ferreira do Amaral during the so-called Baishaling Incident. Portugal gained control of the island of Wanzai (Lapa by the Portuguese and now as Wanzaizhen), to the northwest of Macau and which now is under the jurisdiction of Zhuhai (Xiangzhou District), in 1849 but relinquished it in 1887. Control over Taipa and Coloane, two islands south of Macau, was obtained between 1851 and 1864. Macau and East Timor were again combined as an overseas province of Portugal under control of Goa in 1883. The Protocol Respecting the Relations Between the Two Countries (signed in Lisbon 26 March 1887) and the Beijing Treaty (signed in Beijing on 1 December 1887) confirmed "perpetual occupation and government" of Macau by Portugal (with Portugal's promise "never to alienate Macau and dependencies without agreement with China" in the treaty). Taipa and Coloane were also ceded to Portugal, but the border with the mainland was not delimited. Ilha Verde () was incorporated into Macau's territory in 1890, and, once a kilometre offshore, by 1923 it had been absorbed into peninsula Macau through land reclamation.
In 1871, the Hospital Kiang Wu was founded as a traditional Chinese medical hospital. It was in 1892 that doctor Sun Yat-sen brought Western medicine services to the hospital.
In the 1930s, Macau's traditional income streams related to illegal opium sales dried up, as the Royal Navy's Eastern Fleet suppressed piracy and smuggling in support of Hong Kong's growing commercial status. Traditional local industries of fishing, firecrackers and incense, as well as tea and tobacco processing, were all small scale, while Macau Government income from 'Fan-Tan' gambling was only around US$5000 (about US$100,000 in modern money) per day. So the financially pressed Portuguese government urged the colony's administrators to develop greater economic self-sufficiency. One channel that bore fruit was as a transit point for the new trans-Pacific passenger and postal flights, for competing airlines from the US and Japan – which was at the time engaged in conflict with China. In 1935, Pan-Am secured sea-landing rights in Macau and immediately set about building related communications infrastructure in the enclave, allowing a service from San Francisco to begin in November that year.
Intertwined with this economic progress was an alleged and much discussed offer (never officially confirmed) in 1935 by Japan to buy Macau from Portugal, for US$100 million. Concerns were raised by the British, and others. In May, the Portuguese government twice denied that it would accept any such offer, and the matter was closed.
1848–1870s: Slave trade
From 1848 to about the early 1870s, Macau was the infamous transit port of a trade of coolies (or slave labourers) from southern China. Most of them were kidnapped from the Guangdong province and were shipped off in packed vessels to Cuba, Peru, or other South American ports to work on plantations or in mines. Many died on the way there due to malnutrition, disease, or other mistreatment. The Dea del Mar which had set sail to Callao from Macau in 1865 with 550 Chinese on board, arrived in Tahiti with only 162 of them still alive.
1938–1949: World War II
Macau became a refugee centre during World War II, causing its population to climb from about 200,000 to about 700,000 people within a few years. Refugee operations were organized through the Santa Casa da Misericordia.
Unlike in the case of Portuguese Timor, which was occupied by the Japanese in 1942 along with Dutch Timor, the Japanese respected Portuguese neutrality in Macau, but only up to a point. As such, Macau enjoyed a brief period of economic prosperity, being the only neutral port in South China, after the Japanese had occupied Guangzhou (Canton) and Hong Kong. In August 1943, Japanese troops seized the British steamer Sian in Macau and killed about 20 guards. The next month, they demanded the installation of Japanese "advisors" under the alternative of military occupation. The result was that a virtual Japanese protectorate was created over Macau.
When it was discovered that neutral Macau was planning to sell aviation fuel to Japan, aircraft from the USS Enterprise bombed and strafed the hangar of the Naval Aviation Centre on 16 January 1945 to destroy the fuel. American air raids on targets in Macau were also made on 25 February and 11 June 1945. Following Portuguese government protest in 1950, the United States paid US$20,255,952 compensation to the government of Portugal.
1949–1999: Macau and communist China
When the Chinese communists came to power in 1949, they declared the Protocol of Lisbon to be invalid as an "unequal treaty" imposed by foreigners on China. However, Beijing was not ready to settle the treaty question, leaving the maintenance of "the status quo" until a more appropriate time. Beijing took a similar position on treaties relating to the Hong Kong territories of the United Kingdom.
In 1951, the Salazar regime declared Macau, as well as other Portuguese colonies, an "Overseas Province" of Portugal.
During the 1950s and 1960s Macau's border crossing to China Portas do Cerco was also referred to as Far Eastern Checkpoint Charlie with a major border incident happening in 1952 with Portuguese African Troops exchanging fire with Chinese Communist border guards. According to reports, the exchange lasted for one-and-three-quarter hours, leaving one dead and several dozens injured on the Macau side and more than 100 casualties claimed on the Communist Chinese side.
In 1954, the Macau Grand Prix was established, first as a treasure hunt throughout the city, and in later years as a formal car racing event.
In 1962, the gambling industry of Macau saw a major breakthrough when the government granted the Sociedade de Turismo e Diversões de Macau (STDM), a syndicate jointly formed by Hong Kong and Macau businessmen, the monopoly rights to all forms of gambling. The STDM introduced western-style games and modernised the marine transport between Macau and Hong Kong, bringing millions of gamblers from Hong Kong every year.
Riots broke out in 1966 during the communist Cultural Revolution, when local Chinese and the Macau authority clashed, the most serious one being the so-called 12-3 incident. This was sparked by the overreaction of some Portuguese officials to what was a regular minor dispute concerning building permits. The riots caused 8 deaths and the end was a total climbdown by the Portuguese Government.
On 29 January 1967, the Portuguese Governor, José Manuel de Sousa e Faro Nobre de Carvalho, with the endorsement of Portuguese Prime Minister Salazar, signed a statement of apology at the Chinese Chamber of Commerce, under a portrait of Mao Zedong, with Ho Yin, the Chamber's president, presiding.
Two agreements were signed, one with Macau's Chinese community, and the other with mainland China. The latter committed the Government to compensate local Chinese community leaders with as much as 2 million Macau Patacas and to prohibit all Kuomintang activities in Macau. This move ended the conflict, and relations between the government and the leftist organisations remained largely peaceful.
This success in Macau encouraged leftists in Hong Kong to "do the same", leading to riots by leftists in Hong Kong in 1967.
A Portuguese proposal to return the province to China was declined by China.
Also in 1966, the Church of our Lady of Sorrows on Coloane opened up.
In 1968, the Taipa-Coloane Causeway linking Taipa island and Coloane island was opened up.
In 1974, following the anti-colonialist Carnation Revolution, Portugal relinquished all claims over Macau and proposed to return Macau back to Chinese sovereignty.
In 1990, the Academy of Public Security Forces was founded in Coloane.
In 1994, the Bridge of Friendship was completed, the second bridge connecting Macau and Taipa.
In November 1995, the Macau International Airport was inaugurated. Before then the territory only had 2 temporary airports for small aeroplanes, in addition to several permanent heliports.
In 1997, the Macau Stadium was completed in Taipa.
1999: Handover to the People's Republic of China
Portugal and the People's Republic of China established diplomatic relations on 8 February 1979, and Beijing acknowledged Macau as "Chinese territory under Portuguese administration." A year later, Gen. Melo Egidio became the first governor of Macau to pay an official visit to Beijing.
The visit underscored both parties' interest in finding a mutually agreeable solution to Macau's status. A joint communique signed 20 May 1986 called for negotiations on the Macau question, and four rounds of talks followed between 30 June 1986 and 26 March 1987. The Joint Declaration on the Question of Macau was signed in Beijing on 13 April 1987, setting the stage for the return of Macau to full Chinese sovereignty as a Special Administrative Region on 20 December 1999.
After four rounds of talks, "the Joint Declaration of the Government of the People's Republic of China and the Government of the Republic of Portugal on the Question of Macau" was officially signed in April 1987. The two sides exchanged instruments of ratification on 15 January 1988 and the Joint Declaration entered into force. During the transitional period, between the date of the entry into force of the Joint Declaration and 19 December 1999, the Portuguese government was responsible for the administration of Macau.
The Basic Law of the Macau Special Administrative Region of the People's Republic of China, was adopted by the National People's Congress (NPC) on 31 March 1993 as the constitutional law for Macau, taking effect on 20 December 1999.
The PRC has promised that, under its "one country, two systems" formula, China's socialist economic system will not be practised in Macau and that Macau will enjoy a high degree of autonomy in all matters except foreign and defence affairs until, at least, 2049, fifty years after the handover.
Although offered control of Macau as early as the 1960s, the Chinese deemed the time "not yet ripe" and preferred to wait until December 1999 – the very end of the millennium, two years after the Hong Kong handover—to close this chapter of history.
Upon the handover of Macau European colonization of Asia ended.
Recent history of Macau (1999–present)
1999–2007: The rise of Macau as the Las Vegas of Asia
In 2002, the Macau government ended the gambling monopoly system and 3 (later 6) casino operating concessions (and subconcessions) were granted to Sociedade de Jogos de Macau (SJM, an 80% owned subsidiary of STDM), Wynn Resorts, Las Vegas Sands, Galaxy Entertainment Group, the partnership of MGM Mirage and Pansy Ho Chiu-king, and the partnership of Melco and PBL, thus marking the begin of the rise of Macau as the new gambling hub in Asia.
As one of the measures to develop the gambling industry, the Cotai reclaimation was completed after the handover to China, with construction of the hotel and casino industry starting in 2004. In 2007, the first of many resorts opened, The Venetian Macao. Many other resorts followed, both in Cotai and on Macau island, providing for a major tax income stream to Macau government and a drop in overall unemployment over the years down to a mere 2% in 2013.
In 2004, the Sai Van Bridge was completed, the third bridge between Macau island and Taipa island.
In 2005, the Macau East Asian Games Dome, the principal venue for the 4th East Asian Games, was inaugurated.
Also in 2005, Macau government started a wave of social housing construction (lasting until 2013 at least), constructing over 8000 apartment units in the process.
2007–2008: The Financial Crisis hits Macau
Similar to other economies in the world, the financial crisis of 2007–08 hit Macau, leading to a stall in construction of major construction works (Sands Cotai Central) and a spike in unemployment.
2008–2013: Expansion into Hengqin and further Casino boom
With residential and development space being sparse, Macau government officially announced on 27 June 2009 that the University of Macau will build its new campus on Hengqin island, in a stretch directly facing the Cotai area, south of the current border post. Along with this development, several other residential and business development projects on Hengqin are in the planning.
In 2011 to 2013, further major construction on several planned mega-resorts in Cotai commenced.
2014–present: Slowing down of the gambling industry and diversification of economy
2014 marked the first time that the gambling revenues in Macau declined on a year-to-year basis. Starting in June 2014, gambling revenues declined for the second half of the year on a month-to-month basis (compared with 2013) causing the Macau Daily Times to announce that the "Decade of gambling expansion end[ed]". Some reasons for the slowdown are China's anti-corruption drive reaching Macau, China's economy slowing down and changes of Mainland Chinese tourists' preference of visiting other countries as a travel destination.
This led the Macau government to attempt to reconstruct the economy, to depend less on gambling revenues and focus on building world-class non-gambling tourism and leisure centres, as well as developing itself as a platform for economic and trade cooperation between China and Portuguese-speaking countries.
In 2015, the borders of Macau were redrawn by the state council, shifting the land border north to the Canal dos Patos and expanding the maritime border significantly. The changes increased the size of Macau's maritime territory by 85 square kilometers.
Typhoon Hato hit Southern China in August 2017, causing widespread damage to Macau, never before experienced – major flooding and property damages, with citywide power and water outages lasting for at least 24 hours after the passage of the storm. Overall, 10 deaths and at least 200 injuries were reported. This caused widespread anger against the Macau government, accused of being unprepared for the typhoon as well as the delay of raising the No. 10 tropical cyclone signal; this caused the head of the Macao Meteorological and Geophysical Bureau to resign. At the request of the Macau government, the Chinese People's Liberation Army Macau Garrison (for the first time in Macau's history) deployed around 1,000 troops to assist in disaster relief and cleaning up.
On 12 December 2019, Macau officially opened its first rail transit system: the Macau Light Rapid Transit.
See also
Anders Ljungstedt
Culture of Macau
Gambling in Macau
Military of Macau under Portuguese rule
Jorge Álvares
Names of Macau
Religion in Macau
History of Hong Kong
References
Further reading
Collis, Maurice. "Macao: The City of the Name of God." History Today (Apr 1951) 1#4 pp 42–49 online.
Gunn, Geoffrey C. Encountering Macau, A Portuguese City-State on the Periphery of China, 1557–1999 (Boulder: Westview Press, 1996) In Portuguese (1998) Ao Encontro de Macau: Uma cidade-estado portuguesa a periferia da China, 1557-1999 (Macau: Fundação Macau]. In Chinese (2009) 澳门史:1557~1999 (中央编译出版社).
Gunn, Geoffrey C. (ed.) Wartime Macau: Under the Japanese Shadow (Hong Kong: Hong Kong University Press, 2016).
Porter, Jonathan. "'The Past Is Present': The Construction of Macau's Historical Legacy," History and Memory Volume 21, Number 1, Spring/Summer 2009 pp. 63–100
Porter, Jonathan. Macau: The Imaginary City, Culture and Society, 1557 to the Present (Boulder: Westview Press, 1996)
Souza, George Bryan. The Survival of Empire: Portuguese Trade and Society in China and the South China Sea, 1630–1754 (Cambridge: Cambridge University Press, 1986)
Coates, Austin: A Macao Narrative
Shipp, Steve: Macau, China: A Political History of the Portuguese Colony's Transition to Chinese Rule
External links
Macau handover: Asia's last colony
http://multimedia.scmp.com/macau/
How Did Portugal Get Macau?
European colonisation in Asia |
19070 | https://en.wikipedia.org/wiki/Geography%20of%20Macau | Geography of Macau |
Macau is a Special Administrative Region on the southern coast of China. It is located at the south of Guangdong Province, on the tip of the peninsula formed by the Zhujiang (Pearl River) estuary on the east and the Xijiang (West River) on the west. Macau is situated west of Hong Kong, and southwest of Guangzhou, the capital of Guangdong Province. It is situated immediately east and south of Zhuhai.
The region comprises the Macau Peninsula and the islands of Taipa and Coloane. Macau was once an island but gradually a connecting sandbar turned into a narrow isthmus. Land reclamation in the 17th century made Macau into a peninsula, and a barrier gate was built to mark the separation between the peninsula and the mainland. Pre-colonial records show that Macau totalled only but began to increase as a result of Portuguese settlement. Land growth has accelerated since the last quarter of the 20th century, from in 1972 to in 1983 to in 1994. Macau's size has gradually increased as result of continued land reclamation, especially on Taipa and Coloane. In 2014, the total land area was approximately .
There is a long border between Macau and mainland China and a forty-kilometre-long coastline. The main border crossing between Macau and China is the Portas do Cerco (Barrier Gate) Frontier Checkpoint on the Macau side, and the Gongbei checkpoint on the Chinese side.
Location, size, border, and coastline
Geographic coordinates:
Area
Total: 115.4 km2
Land: 30.4 km2
Water: 85 km2
Land boundaries
Total: 0.34 km
Border city: Zhuhai, Guangdong Province 0.34 km
Coastline
Coastline: 50.63 km
Maritime claims: not specified
Topography
Location: Eastern Asia, bordering the South China Sea and China
Terrain: generally flat
Elevation extremes:
lowest point: South China Sea 0 m
highest point: Coloane Alto
List of highest hills in Macau SAR
Macau has generally flat terrain resulting from extensive land reclamation, but numerous steep hills mark the original natural land mass. The modern high-rise skyline of Macau obscures much of the hilly landscape. The Macau skyline both defines and obscures its topography.
The Macau Peninsula is narrow in shape but varies in terrain.
Climate
Although Macau is located in the tropics, it has a humid subtropical climate (Köppen climate classification Cwa), because the Siberian pressure system in the winter pushes cool air further south than similar semipermanent permanent high pressure systems. Its average year-round temperature is . Summers are very hot and humid: the July average temperature is and the highest daytime temperature could reach . However, the heat is generally less intense than many places in mainland China due to the coastal location. Winters are short and mild: the January average is and the lowest temperature could drop to , but very rarely any lower. There is about of rainfall annually, with drier winters.
Macau is exposed to tropical storms originating from the southern Pacific Ocean during the summer. Major destruction occurred in September 1874, when a devastating typhoon hit Macau and high seas swept across the low-lying area of the peninsula. There are always a few tropical storm occurrences in Macau each year (typically between May to October), although they vary in strengths. When they occur, they usually bring strong winds, rainfall and lower temperatures.
Prevailing winds and weather types change follow the monsoon pattern. It is warm and moist when the southeast and southwest winds are coming from the Pacific Ocean, and typhoons are relatively common during summertime. It is dry and slightly cold when the north winds are coming from Siberia or the northern part of Mainland China.
During the transition period from northeast monsoon to southwest monsoon (March and April), the weather is moist and foggy. It is Macau's spring season. Summer is from May to September, when the southeast and southwest monsoon prevailing. It is rather hot and rainy. The weather in autumn (the end of September and October) is sunny and warm, when the southwest monsoon withdrawing gradually and the northeast monsoon advancing south. It is generally regarded as the most comfortable season there. Winter is from November to February next year, when the northeast monsoon prevailing. It is mainly dry, with occasional cold fronts arriving.
There are moderate to high levels of humidity year-round, with an annual average of 79.3%. Annual sunshine totals are moderate, at more than 1800 hours.
Natural resources
Negligible. In the past, large amounts of granite were extracted from Macau's hills for use as building material.
Fresh water
Relying on water supply from the Xijiang River, in 2006 Macau suffered its worse crisis of salinity in freshwater during the dry season, which takes place in late winter and early spring.
To address salinity issues, as of 2018 three water supply pipelines to Macau have been built and a fourth pipeline was planned for completion in 2019.
Land use and reclamation
Until early 20th century, the Macau peninsula was dotted with small farms on its northern area, beyond the walls protecting the city. Currently, in the Macau peninsula, no arable land, natural pastures or woodland exists and forests have been cleared and plant species have been subjected to profound changes. Coloane on the other hand, due to its later colonisation, still has its forests and is dotted with small farms, namely around the Coloane, Hac Sa and Ka Ho villages.
arable land: 0%
permanent crops: 0%
other: 100% (2011)
In 2010 plans were announced for an additional 3.5 square kilometres of land reclamation in Macau, to be carried out over five years and divided into six phases. These areas cover an area east of the Outer Harbour Ferry Terminal, an area south of Avenida Sun Yat Sen, and the north side of Taipa Island.
The change of total area of Macau (in km square) since the year of 1912:
Note
* - not included in "Total area of Macau"
Environmental factors
Dense urban environment.
Geography – note: essentially urban; three bridges connect the two islands of Coloane and Taipa to the peninsula on mainland, and an isthmus connects Coloane and Taipa.
See also
Geography of China
Geography of Hong Kong
References
External links
Map of Macau in 1997 - University of Macau
Macau
Macau
Macau |
19071 | https://en.wikipedia.org/wiki/Demographics%20of%20Macau | Demographics of Macau | This article is about the demographic features of the population of Macau, including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.
Macau's population is 95% Chinese, primarily Cantonese and some Hakka, both from nearby Guangdong Province. The majority of the remainder are of Portuguese or mixed Chinese-Portuguese ancestry. Some Japanese, including descendants of Japanese Catholics who were expelled by shōguns, also live in Macau.
The official languages are Portuguese and Cantonese Chinese. The residents commonly (85.7%) speak Cantonese, Mandarin is spoken by 3.2% at home, about 40% are able to communicate in standard Mandarin. English and Portuguese are spoken as a first language by 1.5% and 0.6% respectively, while English is widely taught as a second language. The other popular topolect is Hokkien (Min Nan), spoken by a small percentage of the population. The creole Macanese language (Patuá or Macaista Chapado) is almost extinct.
Vital statistics
The following are data on vital statistics.
Current vital statistics
Structure of the population
Estimates as of 1 July 2012:
Life expectancy at birth
Macao is the territory with the world's second highest life expectancy behind Hong Kong.
Source: UN World Population Prospects
Ethnic groups
The following are information on ethnicity and nationalities based on data from the Statistics and Census Service.
Place of birth
Immigration is an essential component of the population. Results of the 2011 Population Census indicated that 326,376 (59.1% of the total population) were born outside Macau, an increase of 3.0 percentage points over the last ten years. Analysed by place of birth, 255,186 (46.2%) were born in Mainland China, down by 1.2 percentage points from 2001. 226,127 (40.9%) were born in Macau, 19,355 (3.5%) in Hong Kong and 1,835 (0.3%) in Portugal. There were more persons born in other countries or territories as the number of non-resident workers increased. Among them, 14,544 were born in the Philippines, 7,199 in Vietnam and 6,269 in Indonesia, altogether taking up 5.1% of the total population. 1,942 were born in Europe other than Portugal, 2,252 in Americas, 959 in Africa and 672 in Oceania. Analysed by age group, 85.2% of the youth population (aged 0–14) were born in Macau, and 62.9% of those aged 35 and above were born in Mainland China.
35,578 people in Macau were originally from Fujian province in Mainland China, making up about 25% of the Mainland China-born people. The number of Fujianese in Macau increased after the 1999 handover.
Nationality
Analysed by nationality, 509,788 (92.3% of the total population) were of Chinese nationality, down by 2.9 percentage points from the 2001 Census; meanwhile, only 0.9% was of Portuguese nationality, a decrease of 1.1 percentage points. These figures can be misleading, because more than a 100,000 people in Macau are holders of a Portuguese passport, making them in effect Portuguese citizens. Over the last ten years, diversity of the various components of the population is enhanced as economic development has drawn people to invest, work or study in Macau; consequently, 37,695 (6.8%) were of other nationalities, up by 4.0 percentage points, with 2.7% being Filipinos.
Macau is a Chinese community and those of Chinese ethnicity totaled 510,383, an increase of 94,030 over the past ten years; however, its proportion to the total population decreased by 3.3 percentage points to 92.4%. Those of wholly or partly Portuguese ethnicity totaled 8,106, up slightly by 333 compared with 2001; its proportion to the total decreased by 0.3 percentage point to 1.5%.
CIA World Factbook demographic statistics
The following demographic statistics are from the CIA World Factbook, unless otherwise indicated.
Ethnic group
Chinese 92.4%, other 7.6% (includes Macanese – mixed Portuguese and Asian ancestry) (2011 census)
Population
624,000 (2014 Qtr2 est.)
Male and Female pattern
Male: 307,200 (2014 Qtr2 est.)
Female: 316,800 (2014 Qtr2 est.)
Age structure
below age 15: 76,305 15.63%
age 20–29: 82,547 16.91%
age 30–39: 70,965 14.54%
age 40–49: 91,438 18.73%
age 49 or above: 40,349 8.27%
Infant mortality rate
4.35 deaths/1,000 live births (2006 est.)
Total fertility rate
0.91 children born/woman (2010 est.) The lowest fertility rate in the world after Taiwan.
Nationality
noun: Macau
adjective: Macanese
Religions
30% Shenism, 10% Buddhism or Taoism, 5% Christianity, 50% not declaring religious affiliation, 10% others (2009). Another survey conducted between 2005, 2007 and 2009 has found that 30% of the population follows folk faiths, 10% are adherents of Buddhism or Taoism, 5% are Christians, and the remaining part do not declare religious adherence.
Languages
Portuguese and Chinese are official languages. The Chinese standard (Cantonese or Mandarin) is not specified in the law.
Literacy
definition: age 15 and over can read and write
total population: 94.5%
male: 97.2%
female: 92% (2003 est.)
Immigration and crime
Persons authorized to reside in Macau: total: 50,159 (by the end of 2005)
Non-resident workers authorized to enter Macau: total: 39,411 (by the end of 2005)
Legal immigrants from Mainland China: 1,133 (Qtr1 2006) 947 (Qtr2 2006)
No. of criminal cases: 2,634 (Qtr1 2006) 2,708 (Qtr2 2006)
Health
No. of residents per doctor (excluding dentists): 473
No. of residents per nurse: 430
No. of residents per hospital bed: 496
Main causes of death
Diseases of the circulatory system: 518 cases, 32.1%
Neoplasm: 455 cases, 28.2%
Diseases of the respiratory system: 267, cases 16.5%
See also
Macau people
References
External links
Demographic Statistics – Statistics and Census Service |
19072 | https://en.wikipedia.org/wiki/Politics%20of%20Macau | Politics of Macau | Politics of Macau is a framework of a politically constrained multi-party presidential system, dominated by the People's Republic of China. It includes the legislature, the judiciary, the government, and a multi-party system. Executive power is exercised by the government, led by the Chief Executive.
Constitutional role of Macau
In accordance with Article 31 of the Constitution of the People's Republic of China, Macau has Special Administrative Region status, which provides constitutional guarantees for implementing the policy of "one country, two systems" and the constitutional basis for enacting the Basic Law of the Macau Special Administrative Region. Although geographically part of Guangdong Province, the Macau Special Administrative Region is directly under the authority of the central government of the People's Republic of China in Beijing, which controls the foreign affairs and defence of Macau but otherwise grants the region "a high degree of authority." The Basic Law took force upon handover of sovereignty from Portugal on 20 December 1999, and is to remain in effect for fifty years (that is, until 2049).
Macau's seven deputies to the National People's Congress (NPC) are selected by an electoral conference; they attended their first session of the NPC in Beijing in March 2000. Previously, in December 1999, the NPC Standing Committee approved the membership of the NPC Committee for the Basic Law of the Macau Special Administrative Region, chaired by NPC Vice Chairman Qiao Xiaoyang, for a five-year term. Half of the ten members are from Macau, the others from mainland China. Macau also has representation on the National Committee of the Chinese People's Political Consultative Conference.
Head of Government
| General Secretary of the CPC (paramount leader)
|Xi Jinping
|Communist Party of China
|15 November 2012
|-
| President of the PRC (head of state)
|Xi Jinping
|Communist Party of China
|14 March 2013
|-
|Premier of the State Council (head of central government)
|Li Keqiang
|Communist Party of China
|15 March 2013
|-
|Chief Executive of the Macau SAR (head of region AND head of regional government)
|Ho Iat Seng
|Non-partisan
|20 December 2019
|}
The Chief Executive of Macau is appointed by the People's Republic of China's central government after selection by an election committee, whose members are nominated by corporate bodies. The chief executive appears before a cabinet, the Executive Council, of between 7 and 11 members. The term of office of the chief executive is 5 years, and no individual may serve for more than two consecutive terms. The governor has strong policymaking and executive powers similar to those of a president. These powers are, however, limited from above by the central government in Beijing, to whom the governor reports directly, and from below (to a more limited extent) by the legislature.
In May 1999, Edmund Ho, a community leader and banker, was the first PRC-appointed chief executive of the Macau SAR, having replaced General de Rocha Viera on 20 December 1999. He was elected by the 200-member Chief Executive Selection Committee. Ho, born in Macau in 1955, was the first Chinese person to govern the region since the 1550s. Prior to 20 December 1999, Ho nominated major officials in the new government and carried out other transfer tasks. Ho was re-elected for a second term in 2004 and was succeeded by Fernando Chui in 2009.
The executive branch of the Macau government has the following cabinet departments, each headed by a secretary: Administration and Justice, Economic and Financial Affairs, Security, Social Affairs and Culture, and Transport and Public Works. There also are two commissions, Against Corruption and Audit, and a chief public prosecutor. Upon Macau's reversion to China, the executive offices were moved from Macau Government House temporarily to the Banco Tai Fung.
Executive
The Executive Council decides on matters of policy, the introduction of bills to the Legislative Assembly of Macau and the drafting of subordinate legislation. The Council consists of 11 members including the Chief Executive.
Cabinet
The cabinet consists of 5 secretariats of departments led by a Chief:
Chief of Cabinet (Macau)
Secretariat for Transport and Public Works
Secretariat for Social Affairs and Culture
Secretariat for Security
Secretariat for Economy and Finance
Secretariat for Administration and Justice
Principal officials
Commissioner of the Macau Customs Service
Commissioner of the Unitary Police Service of Macau
Commissioner Against Corruption
Procurator General of Macau
Legislative branch
The legislative organ of the territory is the Legislative Assembly, a 33-member body comprising fourteen directly elected members, twelve indirectly elected members representing functional constituencies and seven members appointed by the chief executive. The Legislative Assembly is responsible for general lawmaking, including taxation, the passing of the budget and socioeconomic legislation. Terms are for four years, with annual sessions running from 15 October to 16 August. There are several standing committees in the assembly that perform the following functions: examination and issuance of reports and statements on projects and proposals of law, on resolutions and deliberations, and on proposals of alteration presented to the Legislative Assembly; examination of petitions submitted to the Legislative Assembly; voting on issues as approved in general by the Legislative Assembly General Meeting; and answering questions raised by the president or the General Meeting.
The last election was held in 2017 and the current Legislative Assembly is chaired by its president, businessman Ho Iat Seng (賀一誠), who is assisted by the vice president, Chui Sai Cheong (崔世昌), the elder brother of Chief Executive Fernando Chui Sai On.
Elections
Judiciary
The Court of Final Appeal is the court of last resort in the Macau Special Administrative Region.
The legal system is based largely on Portuguese law. The territory has its own independent judicial system, with a high court. Judges are selected by a committee and appointed by the chief executive. Foreign judges may serve on the courts. In July 1999 the chief executive appointed a seven-person committee to select judges for the SAR. Twenty-four judges were recommended by the committee and were then appointed by Mr. Ho. Included are three judges who serve on the Macau SAR's highest court, the Court of Final Appeal (CFA): 39-year-old Sam Hou Fai (who will be chief justice), 32-year-old Chu Kin, and the 46-year-old Viriato Manuel Pinhiero de Lima.
Political pressure groups and leaders
Roman Catholic Church (José Lai, bishop)
Macau Society of Tourism and Entertainment or STDM (Stanley Ho, managing director)
Union for Democracy Development (Antonio Ng Kuok cheong, leader)
Foreign affairs
The central government in Beijing controls the foreign affairs of Macau. The Office of the Commissioner of the Ministry of Foreign Affairs of the People's Republic of China in the Macao Special Administrative Region opened its office in Macau on 20 December 1999. A central government agency, the commission interacts with the Macau government in matters of foreign policy. It also processes applications from foreign nations and international organisations wishing to establish consulates or representative offices in Macau. Macau is also authorised to handle some external affairs on its own. These affairs include economic and cultural relations and agreements it concludes with states, regions, and international organisations. In such matters, Macau functions under the name "Macao, China." Macau displays the flag and national emblem of the People's Republic of China but is also authorised to display its own regional flag and emblem. Taiwanese organisations in Macau are allowed to continue operations and are required to abide by the Basic Law.
International organisation participation
CCC, ESCAP (associate), International Maritime Organization (associate), Interpol (subbureau), UNESCO (associate), WMO, WToO (associate), WTrO
See also
Politics of the People's Republic of China
References
Macau
Macau |
19073 | https://en.wikipedia.org/wiki/Economy%20of%20Macau | Economy of Macau | The economy of Macau has remained one of the most open in the world since its handover to China in 1999. Apparel exports and gambling-related tourism are mainstays of the economy. Since Macau has little arable land and few natural resources, it depends on mainland China for most of its food, fresh water, and energy imports. Japan and Hong Kong are the main suppliers of raw materials and capital goods. Although Macau was hit hard by the 1997–98 Asian financial crisis and the early 2000s recession, its economy grew approximately 13.1% annually on average between 2001 and 2006. Macau is a full Member of the World Trade Organization. Public Security has greatly improved after handover to the People's Republic of China. With the tax revenue from the profitable gambling industry, the Macau government is able to introduce the social welfare program of 15 years of free education to all Macau citizens. In 2015, Macau's economy saw a sharp decrease (-26.4% year-on-year in Q2 2015) due to the reduced spending by visitors from Mainland China since the Anti-corruption campaign under Xi Jinping.
During the first three-quarters of 2007, Macau registered year-on-year GDP increases of 31.4%. A rapid rise in the number of mainland visitors due to China's easing of travel restrictions, increased public works expenditures, and significant investment inflows associated with the liberalisation of Macau's gaming industry drove the five-year recovery. The budget also returned to surplus after 2002 because of the surge in visitors from China and a hike in taxes on gambling profits, which generated about 70% of government revenue. The Hong Kong dollar is itself a reserve currency for the Macanese pataca, which is pegged at the official rate of around 1 Hong Kong dollar to 1.03 Macanese pataca. In 2020, because of the COVID-19 pandemic, Macau has seen a massive decline of the economy, as it collapsed by 50%, nearly destroying the economy.
History
Macau was a barren fishing village with a population of about 400 before the Portuguese arrived in the 16th century, during the Age of Discovery. In 1535, the Portuguese traders obtained by bribing the right to anchor ships in Macau harbours and engage in trading activities. Portuguese and Chinese merchants flocked to Macau, and it quickly became an important regional trading center in Portugal's lucrative trade along three major routes: Macau-Malacca-Goa-Lisbon, Guangzhou-Macau-Nagasaki and Macau-Manila-Mexico. However, with the decline of Portugal as a world power in the 17th and 18th centuries, the trading routes were challenged by other powers such as the Dutch and the British. After China ceded Hong Kong to the British in 1842, Macau's position as a major regional trading center declined further still because larger ships were drawn to the deep water port of Victoria Harbour. In an attempt to reverse the decline, from 1848 to the early 1870s Macau engaged in the infamous trade of coolies (slave labourers) as a transit port, shipping locals from southern China to Cuba, Peru, and other South American ports to work on plantations or in mines.
Fishing re-emerged as a dominant economic activity in Macau as it lost its position as a regional trading center. In the early 1920s, over 70% of Macau's 84,000 residents were engaged in fishing. Meanwhile, some other businesses started to develop, such as matches, firecrackers, incense and fishing-boat building. But the most notable was the gambling business. Gambling was first legalised in the 19th century in an attempt to generate revenues for the government. The first casino monopoly concession was granted to the Tai Xing Company in 1937. The company was, however, too conservative to fully exploit the economic potential of gambling. The industry saw a major breakthrough in 1962 when the government granted the Sociedade de Turismo e Diversoes de Macau (STDM), a syndicate jointly formed by Hong Kong and Macau businessmen, the monopoly rights to all forms of gambling. The STDM introduced western-style games and modernised the marine transport between Macau and Hong Kong, bringing millions of gamblers from Hong Kong every year.
In the 1970s Macau also saw a rapid development in its manufacturing sector. With Macau's low-cost operating environment and its surplus quotas under the Multi Fiber Arrangement (MFA), many Hong Kong industrialists established textile and garment manufacturing bases in Macau. At its golden age in the 1980s, the manufacturing sector accounted for about 40% of Macau's GDP; textiles and garments accounted for about 90% of Macau's total visible exports. However, the manufacturing sector has experienced a gradual decline since the early 1990s due to phasing out of the MFA quota system and the rising labour costs relative to mainland China and Southeast Asian countries.
Labor and employment
The work force in Macau is mainly composed of manufacturing; construction; wholesale and retail; hotels and restaurants; financial services, real estate, and other business activities; public administration and other personal and social services, including gaming; transport, storage and communications. Due to the double-digit economic growth in recent years, the unemployment rate dropped from the record high 6.8% in 2000 to 3.1% in Qtr 3, 2007.
With the opening of several casino resorts and other major constructions underway, it is reported that many sectors, especially the construction sector, experience a shortage of labour. The government responds by importing labour from other neighbouring regions, including mainland China, Hong Kong, the Philippines and India. Currently the number of imported labours stands at a record high of 75,391 (Q2 2007), representing more than a quarter of the labour force in Macau. Some local workers complain about the lack of jobs due to the influx of cheap imported labour. Some also claim that the problem of illegal labour is severe. Another concern is the widening of income inequality in the region: Macau's Gini coefficient, a popular measure of income inequality where a low value indicates a more equal income distribution, rises from 0.43 in 1998 to 0.48 in 2006. It is higher than those of other neighbouring regions, such as mainland China (0.447), South Korea (0.316) and Singapore (0.425).
The monetary system
Macau adopts the so-called currency board system under which the legal tender, pataca (MOP), is 100 percent backed by foreign exchange reserves, the Hong Kong dollar (HKD). Moreover, the currency board, Monetary Authority of Macao (AMCM), has a statutory obligation to issue and redeem pataca on demand against Hong Kong dollar at a fixed exchange rate and without limit. The pataca is pegged to the Hong Kong dollar at a rate of 1.03 MOP per HKD, which is maintained by the AMCM.
Each pataca divides into 100 avos. Coins are issued in 10, 20, and 50 avos and 1, 2, 5, and 10 patacas (2 and 10 patacas coins are rarely used in the territory); notes are in 5, 10, 20, 50, 100, 500, and 1000 pataca denominations. Hong Kong dollar is freely used and accounts for more than half of the total deposits in Macau's banks. In addition, Chinese yuan is also widely accepted. Two banks issue currency: the Banco Nacional Ultramarino and the Bank of China (starting from October 1995).
The historical exchange rates between the pataca and the US dollar (USD) are given below.
Trade
In 2011, Macau's free-market economy produced total exports of US$1.119 billion (MOP 8.94 billion) and consisted mainly of clothing, textiles, footwear, toys, electronics, machinery and parts. Total imports for the same period reached US$8.926 billion (MOP 71.32 billion), and consisted mostly of raw materials and semi-manufactured goods, consumer goods (foodstuffs, beverages, tobacco), capital goods, mineral fuels and oils. Macau's primary export partner in 2011 was Hong Kong (44.6%). Other exports go to Mainland China (15.9%) and United States (7.9%). Macau import partners are Mainland China (30.4%), Hong Kong (12%), France (10.4%), Switzerland (7.5%), Italy (7.5%), Japan (6.2%), and United States (6.1%).
In the second half of the 20th century, Macau's economy was diversified with the development of light industry, the influx of migrants from mainland China to serve as a labour force, and increased tourism. Portugal's efforts to develop economic and cultural links between Macau and Brazil and Portuguese holdings in Africa, however, were not successful. Economic ties to the European Union and Taiwan are considered important aspects of Macau's economic role as part of the People's Republic of China. Direct access to the neighbouring Zhuhai Special Economic Zone facilitates trade with mainland China. As a special administrative region, Macau functions as a free port and as a separate customs territory.
Sectors
Tourism and gambling
Tourism is the backbone of Macau's economy, and much of it geared towards gambling, which was legalised in the 19th century and has since been the linchpin of the economy and an important source of revenue for the government. From 1962, the gambling industry operated under a government-issued monopoly licence by Stanley Ho's Sociedade de Turismo e Diversões de Macau (STDM), which replaced the Tai Heng Entertainment Corporation that had held a gaming monopoly for the previous 24 years. In the 1990s Macau had nine casinos and gambling reportedly represented 20 to 25% of Macau's GDP. The monopoly ended in 2001 when the gaming industry was liberalised and several casino operators from Las Vegas entered the market. These new operators include Las Vegas Sands, which opened Sands Macao , the largest casino in the world as measured by total number of table games, in 2004 and Venetian Macau in 2007; Wynn Resorts, which opened Wynn Macau in 2006; and MGM Mirage, which opened MGM Grand Macau in 2007.
In addition, other casino owners, including Australian Crown Casino and Hong Kong Galaxy Entertainment Group have also opened several hotel casinos in Macau. As a result of the surge in number of casinos and construction from other new casino entrants, Macau's economy has been growing rapidly in recent years. Gaming revenues from Macau's casinos are now greater than those of Las Vegas Strip, making Macau the highest-volume gambling center in the world. Numerous other hotel casinos, including Galaxy Cotai Megaresort and Ponte 16, are also to be opened in near future.
Due to the opening of the new hotel casinos and China's easing of travel restrictions, there has been a rapid rise in the number of mainland visitors. From 9.1 million visitors in 2000, arrivals to Macau has grown to 18.7 million visitors in 2005 and 22 million visitors in 2006, with over 50% of the arrivals coming from mainland China and another 30% from Hong Kong. Macau is expected to receive between 24 and 25 million visitors in 2007. Macau also received the Future Award 2007, voted by 26,000 German travel trade members of GoAsia, for being regarded as the most promising future tourism destination in Asia. Macau is currently rated as one of the world's top tourism destinations by the World Tourism Organization.
The eastern Chinese city of Wenzhou had issued an arrest warrant for SunCity Gaming Promotion Company owner Alvin Chau who has been accused of setting up overseas gambling platforms and conducting illegal online gambling through cross-border gambling operations. The arrest of Alvin Chau had a great impact on the Macau economy: the authorities attempted to introduce additional laws for the distribution of profits. These measures will be aimed at enhanced government control over casinos.
Manufacturing
Macau's manufacturing industries emerged in the first few decades of the 20th century, which mainly consisted of junk building, factories for matches, firecrackers and incense. Modern industries, however, did not take off until the 1970s when the textiles and garments industry was rising rapidly, while other light industries such as plastics, electronics, toys, and artificial flowers also experienced respectable growth. Textiles and garments further increased its dominance in the manufacturing sector towards the end of the 1980s.
Much of Macau's textile industry has moved to the mainland as the Multi-Fiber Agreement is phased out. The territory has relied more on gambling and tourism-related services to generate growth.
Banking
Macau is an offshore financial centre, a tax haven, and a free port with no foreign exchange control regimes.
The offshore finance business is regulated and supervised by the Monetary Authority of Macao, while the regulation and supervision of the offshore non-finance business is mainly controlled by the Macau Trade and Investment Promotion Institute. In 2007, Moody's Investors Service upgraded Macau's foreign and local currency government issuer ratings to 'Aa3' from 'A1', citing its government's solid finances as a large net creditor. The rating agency also upgraded Macau's foreign currency bank deposit ceiling to 'Aa3' from 'A1'.
There are twenty other licensed banks, sixteen of which are foreign. Macau has five of the top 500 commercial banks in Asia, including Banco Tai Fung and Industrial and Commercial Bank of China.
Construction
In 2014, the construction sectors in Macau engaged 45,368 people. The value of construction was MOP78.15 billion, in which MOP66.88 billion belong to the private sectors. The intermediate consumption was MOP61.03 billion and labor cost was MOP11.35 billion.
Transportation companies
Air Macau, the island's airline, is headquartered in Macau.
Media
Macau has reportedly the highest "media density" in the world - nine Chinese-language dailies, three Portuguese-language dailies, two English-language dailies and about half a dozen Chinese-language weeklies and one Portuguese-language weekly. About two dozen newspapers from Hong Kong, mainland China, Taiwan and the Philippines are shipped to Macau every early morning.
Economic diversification
The large role of gaming and tourism underscores a degree of risk for Macau's economy. Because the economy is so reliant on tourism and gambling for its well-being, if the flow of tourists slows, it could come as a shock to the small market. The push for diversification came in the closing years of Portuguese administration, under Governor General Vasco Rocha Vieira, and has continued to the present, under Chief Executive Edmund Ho. The government is seeking foreign investment as a means of economic diversification as well. Much of the foreign investment into Macau, however, has gone into the gaming sector after the end of the monopoly in 2001. Otherwise, foreign companies have entered into the mobile phone market and internet services after telecommunications market liberalisation in 2001.
Political economy and social welfare
Prior to the 1930s Macau had a Laissez-Faire type of welfare provision. Publicly funded schools available were taught in Portuguese. The first welfare program was created in the late 1930s – it was called the Public Charity Society. The main objective of the organization is to provide for the poor and orphans. The development of a welfare state was gradual and primitive. In 1947, a number of reforms were made. Most notably, the social relief card was established which was only given to those in need. In the 60s the Public Relief Society became the Public Relief Branch. Services broaden to cover other areas such as disaster reliefs. This is an important addition because Macau have high risks of frequent typhoons. In addition, many facilities were also built, including rehabilitation centers and center for blind and deaf assistance. Throughout the 60s and 70s, housing was provided to the poor, disabled and elderly. Financial aid for health care and education is also provided to poor. During this period the government have also started subsidizing private schools. Another restructuring of the system happened in 1980. The Department of Social Welfare was officially established. Further adjustments were made in the late 80s that separated the department into three branches, including the Macao Governor, Social Welfare Committee and the Department for Social Welfare. It established four principles "equality, efficiency, mutual assistance and participation". Four offices were also set up in Santo António e São Lázaro, São Lourenço e Sé, Nossa Senhora de Fátima, and Ilias. The purpose of these offices is to make it more convenient for people to make a visit and for the workers to also get closer to the locals in their region. In the 90s, an additional office was set up in llhas Verde due to high demand in the Northern region. The department also became increasingly involved in familial issues by offering counseling.
The Social Welfare Bureau – which remained to this day - was established after the handover to China in 1999. Initially Macau faced challenges from a weak economy and high unemployment rate but in 2002, gaming was legalized and increased the government revenue. Due to the rapid economic growth driven by the gambling industry, foreign investments and tourism, the government is now able to provide more public services. Macau's social welfare programs have grown to be comparable to the most developed countries in the world. Free healthcare is universal and offered in public hospitals but private services is also subsidized by 30%, for pregnant women, students, civil servants and people 65 and above, it is completely subsidized. The government extend benefits for many of these citizens. Improvements in the rise of employment and income is also linked to higher satisfaction with quality of life. The government provide 15 years of free education, social insurance and social assistance to all citizens. Similar to a lot of East Asian countries, the social welfare model in Macau does not fit neatly in "the three worlds of welfare capitalism". It has been argued that it functions more like a regulatory welfare regime.
Nevertheless, Macau's public sector appears to be quite small. Workers in the public sector is one of the highest paid occupation due to constitutional law that was set during the handover. Therefore, as a result the government often offer short-term or part-time contracts to make it more affordable although contracts usually get renew. It is reported that many workers in the police force have left to work in casinos for better pay. Economic growth also brings inequality, competition is getting higher as more foreigner and mainland workers are overtaking local poor in skills. This evidently produced an increase in citizen participation in elections and protests. The focus on the gambling and tourism industry also come at the expense of other sectors. As of 2009, 44.9% of labor work in the tourist industry. It is reported in 2006 that 44 times the population of Macau visited the city that year. Furthermore, all profitable big business like hotels and casinos are owned by foreign investors, which comes at the expense of local family businesses. This had led to a violent protest on Labor Day in 2007. No such civil unrest has ever been record in Macau history before or after the handover but it caught real attention because the city had a GDP growth of 17% the year prior.
Energy
Electricity – production: 1.893 billion kWh (2004)
fossil fuel: 100%
hydro: 0%
nuclear: 0%
other: 0% (1998)
Electricity – consumption: 1.899 billion kWh (2004)
Electricity – exports: 0 kWh (2004)
Electricity – imports: 153.3 million kWh (2004)
See also
Economy of China
Gambling in Macau
Tourism in Macau
Individual Visit Scheme
Shipyards in Macau
References
Notes
Further reading
https://www.amazon.com/dp/B07T96VCSF
External links
Portal of the government of Macau
Statistics and Census Service of Macau
Macau |
19074 | https://en.wikipedia.org/wiki/Telecommunications%20in%20Macau | Telecommunications in Macau | With Macau's small population (about 500,000) and market, only a few media options are available for the local people. Because radio signals, newspapers and magazines from Hong Kong are available in Macau, the local media are always a minority group in terms of sales and number of viewers.
Newspapers
There are eighteen newspapers (twelve in Chinese, four in Portuguese and two in English). O Mun Yat Po or Macau Daily News) is reportedly owned by the Communist Party of China and has the largest circulation (4,000). Additionally, Chinese-language newspapers from Hong Kong are popular.
Macau has eight Chinese-language, three Portuguese-language and two English-language dailies. The Macau Daily Times is Macau's only English-language newspaper edited seven days a week. Macau Post Daily is published from Monday to Friday. It is owned by a local publishing company, Everbright Co. Ltd., which is locally owned.
Radio
There are 250,000 radios; two twenty-hour FM radio stations, one Portuguese, one Chinese; and four AM stations. Hong Kong radio stations also are popular in Macau.
Radio broadcast stations: AM 1, FM 2, shortwave 0 (2005)
Radios: 160,000 (1997)
Television
There are 70,300 television sets (1997 estimate); two television channels: one Portuguese and one Chinese. Hong Kong television networks TVB and ViuTV can be received and are widely watched by Macau residents.
Television broadcast stations: 3 (2006)
Televisions: 49,000 (1997)
Macau also owns its very own television station called TDM. It has 16 digital television channels (6 channels are own channel, 1 channel for transmitting own radio, 9 channels are transmitting television channels from mainland China).
Telephone
The number of telephone lines has been increasing since the mid-1990s. In 1997 there were 222,456 telephones; by 1999, 300,066 lines were in use. In 1999 there were 686 telephone lines per 1,000 people. Cellular-telephone-use statistics were not available. International access is via Hong Kong and Mainland China and via Intelsat (Indian Ocean). Alcatel-Lucent was granted a contract in February 2007 to collocate a CDMA2000 1xEV-DO (Revision A) high-speed wireless network in Macau for China Unicom. Following the completion of the upgrades in related software and hardware, China Unicom will be equipped with the facilities needed to provide high-speed mobile data services for users in Macau, including broadcasting and video telephony.
Telephone main lines in use: 175,592 (July 2006)
Mobile cellular telephones: 325,016 (July 2006)
Telephone system: fairly modern communication facilities maintained for domestic and international services
domestic: N/A
international: HF radiotelephone communication facility; access to international communications carriers provided via Hong Kong and Mainland China; satellite earth station - 1 Intelsat (Indian Ocean)
Users: 88,653 (2005)
Mobile phone operators
Decommissioning of GSM
GSM mobile phone networks for consumers in Macau were set to be decommissioned in July 2012. Networks will only be left in place for visitors to roam onto. The planned shutdown will make Macau be the first region in the world to phase out networks using the GSM standard, but it was postponed until 2019.
Internet
Internet Service Providers (ISPs): CTM (Companhia de Telecomunicações de Macau S.A.R.L.)
Country code (Top level domain): .mo
Broadband Internet access
The Macao Telecommunications Company (CTM) in 2000 launched the first broadband Internet access in the territory, on a network built by Cisco Systems.
MTel Telecommunications also provides fixed line services as well as broadband and is CTM's main competitor, though much smaller market share.
See also
Media of Macau
Communications in Hong Kong
Communications in China
List of Chinese-language television channels
CTM (Macau)
References and notes
External links
CIA - The World Factbook - Macau
Macau
Macau |
19075 | https://en.wikipedia.org/wiki/Transport%20in%20Macau | Transport in Macau | Transport in Macau includes road, sea, rail and air transport. Road transport is the primary mode of transport within Macau, although a new rail system opened in December 2019 serving the areas of Taipa and Cotai. The main forms of public transport are buses and taxis.
Modes of transport out of Macau include ferries to Hong Kong and mainland China from two ferry terminals, as well as helicopter service to Hong Kong. International flights are available from Macau International Airport.
Internal
Road
Buses and taxis are the major modes of public transport in Macau. Bus services are frequent and inexpensive, linking the Macau peninsula, Taipa, Cotai and Coloane. Transmac and TCM are the only operators of Macau's bus services. Nova Era (zh), which took over the operations of Reolian, merged with TCM on 1 August, 2018. Most hotels (four-starred or above) and gaming venues operate their own fleet of shuttle bus service between the Hong Kong-Macau Ferry Terminal, Taipa Ferry Terminal or Portas do Cerco (Macau's border to mainland China) and their premises.
Taxis are plentiful near the airport/Taipa ferry terminal, the Hong Kong-Macau and Taipa ferry terminal, and major gaming venues/hotels in the city though it is harder to get one during rush hours on the streets. Most of Macau's taxis have a black body with cream color top livery. Radio taxis are available for the black cabs.
In order to enhance the quality of taxi services, such as eliminate the language barrier between taxi drivers and passengers, the Tourist Office has provided most taxis with a destination guide which includes the names of the most requested destinations in Chinese, Portuguese and English.
The trishaw, a hybrid of the tricycle and the rickshaw, is a unique mode of transport in Macau, though it is mainly for sightseeing purposes but they were a type of mainly used transportation system before the 1970s because of their cheap price. They can easily be found next to Hotel Lisboa and the Macau ferry terminal waiting for passengers.
Railways
There is one railway line open in Macau called the Macau Light Rail Transit system. Phase 1 of the Taipa line opened for operations in December 2019. Similar to the Singapore Light Rapid Transit system, the tracks will be a mix of elevated guideways and tunnels, ensuring a dedicated right-of-way separated from road traffic. When completed it will serve passengers on Macau Peninsula, Taipa island, the Cotai reclamation area, the Macau International Airport and the Hong Kong–Zhuhai–Macau Bridge.
Proposals have been put forward to link Macau to the Chinese railway network by extending the Guangzhou Railway (or, possibly, Guangzhou-Zhuhai Intercity Mass Rapid Transit) to Cotai through Hengqin Island. However, no decisions have yet been made so far.
Zhuhai Railway Station of the Guangzhou–Zhuhai Intercity Railway terminates adjacent to the northern border entrance into Macau at Portas do Cerco.
Other systems include the Teleférico da Guia gondola lift system on Guia Hill, and the Elevador Inclinado da Colina da , an inclined lift.
Others
The Macau Maritime Museum used to have two sailing vessels (which were based on the ancient "junk" form but were remodeled) serving for touring trips between the inner and outer harbours. Along the trip, the crew would introduce the general lifestyle and customs of the local boat dwellers. However, due to the land reclamation works in the harbour and the maintenance of the boats, all trips have been suspended.
External
Sea
Over 150 sea-crossing services are scheduled daily between Macau and Hong Kong, and the Outer Harbour Ferry Terminal serves as the major terminal for Macau's passenger traffic by sea. The route is served by high speed catamarans (with passenger capacity of about 400) and jetfoils (with passenger capacity of about 260) and the journey takes approximately one hour. There are also daily scheduled ferry services between Macau and Shenzhen. At present the services are operated by TurboJET from Sheung Wan, Tsim Sha Tsui and Hong Kong International Airport. Cotai Water Jet also operates services between Taipa Ferry Terminal and the Sheung Wan, Tsim Sha Tsui and Hong Kong International Airport. Apart from the sea routes there are also regular scheduled helicopter services between Hong Kong and Macau, which are operated by Sky Shuttle. The trip takes approximately 20 minutes.
A sea-crossing service has been launched by TurboJET which travels between the Hong Kong International Airport and Macau. This differs from the above Macau-Hong Kong route since travelers who arrive in Hong Kong by air do not have to go through Hong Kong immigration's passport control and can board a direct ferry to Macau through a special transfer terminal within the airport. On the return trip, travelers can directly reach the Hong Kong International Airport by ferry (a dedicated check-in desk for the service is available at the Hong Kong-Macau Ferry Terminal) and arrive at the airport without going through Hong Kong immigration's passport control, though airline check-in has to be done for some airlines within the airport prior to boarding a plane. Later on, the Cotai Water Jet launched the same service linking Hong Kong Airport and Macau but mostly embarked at Taipa Ferry Terminal.
A new ferry terminal in Taipa, which is adjacent to the Macau International Airport, was opened in 2017 and some of the passenger traffic by sea will be diverted to the new facility. It is expected to act as a major hub for passenger transfer between the Hong Kong International Airport and the Macau International Airport.
From the Inner Harbour Ferry Terminal (Terminal Marítimo de Passageiros do Porto Interior), ferry services were available between Macau and Wanzai, Zhuhai until January, 2016 due to safety issues at the Wanzai Ferry Terminal. On 31 December 2019, the Macau government announced that the Wanzai Port will officially reopen on January 23 with an hourly immigration capacity of 3,840 crossings. To transport passengers between Macau and Zhuhai, the mainland ferry company Yuet Tung will arrange one ferry every 15 minutes, amounting to four ferries every hour. Each ferry can take a maximum of 280 passengers.
Air
Air service in Macau began in the 1930s with Pan American Airways operating seaplanes from Macau to Hong Kong and lasted until 1941. In 1948 Cathay Pacific Airways commenced Hong Kong to Macau seaplane service under their subsidiary Macau Air Transport Company (MATCO). MATCO operated from the Outer Harbour Terminal along Avenida da Amizade to Kai Tak Airport in Hong Kong. The scheduled passenger service continued until 1961 when MATCO ceased operations.
The Macau International Airport, located at Taipa, serves as the terminal for Macau's international air traffic. It was inaugurated on 9 November 1995 and has since established a number of regular flights between Macau and major cities in Northeast and Southeast Asia, such as Bangkok, Beijing, Kaohsiung, Kuala Lumpur, Manila, Osaka, Seoul, Shanghai, Singapore, and Taipei.
Passengers who would like to enter mainland China by land can use the "Two Customs, One Checkpoint" service (or the AIR-TO-LAND Flow Express Bus - Two Customs, One Checkpoint) provided by the Macau International Airport. Passengers can request the "Express Link" service at the check-in counter of their respective airlines. When arriving at the Macau International Airport, they can simply follow the "Express Link" signs and board the Air-to-Land transfer. Passengers do not have to go through Macau's immigration and customs checkpoint until they reach the border of mainland China.
Owing to its relatively low landing fees and the business opportunities brought by the booming gaming industry in Macau, the airport has attracted several of Asia's low-cost carriers such as AirAsia, Tigerair, Cebu Pacific, etc. to establish regular flights between Macau and several major cities in Southeast Asia. As a result, it has been gradually developing into a major hub for low-cost air travel within the region. Other traditional carriers, such as the local flag carrier Air Macau, the Taiwanese carrier EVA Air, and even carriers which operate similar routes from Hong Kong, are facing potential challenges from these newcomers.
Due to a lack of intercontinental flights from Macau, air passengers are also served by Hong Kong International Airport and Shenzhen Bao'an International Airport. Passengers can take ferries from the Outer Harbor and Taipa terminals to the Skypier in Hong Kong, or Fuyong Ferry Terminal in Shenzhen, without clearing customs or immigration at the other side. There is also a helicopter service to Shenzhen.
Roads, bridges and tunnels
Macau has 321 kilometres of public roads, three bridges (viaducts) linking the Macau Peninsula and Taipa, and a tunnel through the Guia Hill linking the Horta e Costa area and the New Port Area (NAPE). The three bridges are (from east to west) the Friendship Bridge (Ponte de Amizade); the Macau-Taipa Bridge (Ponte Governador Nobre de Carvalho); and the Sai Van Bridge (Ponte de Sai Van).
The Lotus Bridge links Cotai with Hengqin New Area of Zhuhai. Unlike mainland China, where traffic drives on the right, traffic in Macau and Hong Kong drives on the left, therefore a special design has been used to build this bridge to facilitate the change in driving directions.
Roads are generally narrow at the heart of the city and parked cars are always found on both sides of the road. Traffic congestion has been a major problem throughout the day owing to the lack of an efficient mass transit system and a relatively high car to population ratio.
There are four land cross-border checkpoints, Portas do Cerco, Parque Industrial Transfronteiriço, located at Ilha Verde, Cotai (Lotus) Checkpoint, and the Hong Kong–Zhuhai–Macau Bridge Checkpoint for connection Mainland China. Except for Portas do Cerco, which operates from 06:00 to 01:00, the other checkpoints are in 24-hour operation.
The recent opening of the Hong Kong–Zhuhai–Macau Bridge, opened in October 2018 has formed the first single road link between Hong Kong, Macau and the Chinese mainland at Zhuhai. This 50 km link consists of a series of bridges and tunnels crossing the Lingdingyang channel, that connects these three major cities on the Pearl River Delta in China.
Ports
Macau Container Port, located at the Inner Harbour area on the west side of the Macau peninsula
Ká Hó Port, located on the Coloane Island
References
External links
Macau Ferry Information
Land, Public Works and Transport Bureau of Macau
City Guide of Macau
Macau SAR Government Official Website
Macau International Airport Official Website |
19076 | https://en.wikipedia.org/wiki/Macao%20Garrison | Macao Garrison | The People's Liberation Army Macao Garrison is a garrison of the People's Liberation Army (PLA), responsible for defense duties in the Macau Special Administrative Region (SAR) since the sovereignty of Macau was transferred to China in 1999.
The PLA stations between 500 and 600 troops in Macau, primarily as a symbolic presence to underscore Chinese sovereignty. The remainder of the 1,200-strong Macau garrison resides just across the Chinese border in Zhuhai.
Although the Macao Basic Law states that the Macau SAR government may "when necessary" ask the central government to allow the garrison to assist in maintaining public order or disaster relief, Chief Executive Edmund Ho has said that, in keeping with the Basic Law the garrison will play no role in internal security. The garrison has maintained a low profile, with soldiers generally wearing civilian clothing when off base and not engaging in business activities.
Mission
According to the Law on Stationing Troops in the Macau Special Administrative Region (or Macao Garrison Law, passed by the NPC Standing Committee on June 28, 1999), the mission of the PLA in Macau is to defend the special administrative region by "preventing and resisting aggression; safe-guarding the security of Macau; undertaking defence services; managing military facilities; and handling related foreign military affairs." The PLA can also be called upon by the chief executive to help maintain public order and assist with disaster relief efforts. The members of the garrison are mainly ground force troops.
2017 Typhoon Hato
At the request of Macau SAR Government, the PLA Macao Garrison was deployed to assist in disaster relief and cleaning up in the aftermath of Typhoon Hato in August 2017, the first time for domestic affairs in Macau history. About 1,000 troops were called in to help remove debris and clear roads.
Organization
The PLA Macao Garrison is under the command and control of the Central Military Commission and under the operational supervision of the Southern Theater Command, and its budget is administered by the central government in Beijing. A PLA major general heads the Macao Garrison.
Garrison Commanders
Maj. General Liu Yuejun 1999–2002
Maj. General Liu Lianhua 2002–2008
Maj. General Wang Yuren 2008–2010
Maj. General Zhu Qingsheng 2010–2014
Maj. General Wang Wen 2014–2018
Maj. General Liao Zhengrong 2018
Maj. General Xu Liangcai 2019–present
Political Commissars
Maj. General He Xianshu 1999–2001
Maj. General Liu Liangkai 2001–2003
Maj. General Yang Zhongmin 2003–2006
Maj. General Li Wenchao 2006–2007
Maj. General Zhao Cunsheng 2007–2008
Maj. General Xu Jinlin 2008–2013
Maj. General Ma Biqiang 2013–2014
Maj. General Zhang Zhimeng 2014–2017
Maj. General Zhou Wugang 2017–present
Troops
1 motorized infantry
1 armoured company
Equipment
Bases
The garrison was temporarily stationed at the 11 storey Edificação Long Cheng/Long Cheng Mansion. It is now stationed on Taipa located amongst the new casinos in Cotai (Estrada da Baía de Nossa Sra. da Esperança across from Hotel Venetian and Galaxy Macau).
There are more troops at the barracks in Zhuhai (Zhengling).
See also
Military of Macau under Portuguese rule
Hong Kong Garrison
Macau Liaison Office
Notes
References
External links
People's Liberation Army Ground Force
Military in Macau
Southern Theater Command
1999 establishments in Macau
Military units and formations established in 1999 |
19078 | https://en.wikipedia.org/wiki/Macedonia%20%28region%29 | Macedonia (region) | Macedonia () is a geographical and historical region of the Balkan Peninsula in Southeast Europe. Its boundaries have changed considerably over time; however, it came to be defined as the modern geographical region by the mid 19th century. Today the region is considered to include parts of six Balkan countries: larger parts in Greece, North Macedonia, and Bulgaria, and smaller parts in Albania, Serbia, and Kosovo. It covers approximately and has a population of 4.76 million.
Its oldest known settlements date back approximately to 7,000 BC. From the middle of the 4th century BC, the Kingdom of Macedon became the dominant power on the Balkan Peninsula; since then Macedonia has had a diverse history.
Etymology
Both proper nouns Makedṓn and Makednós are morphologically derived from the Ancient Greek adjective makednós meaning "tall, slim", and are related to the term Macedonia.
Boundaries and definitions
Ancient times
The definition of Macedonia has changed several times throughout history. Prior to its expansion under Alexander the Great, the ancient kingdom of Macedonia, to which the modern region owes its name, lay entirely within the central and western parts of the current Greek province of Macedonia and consisted of 17 provinces/districts or eparchies (Ancient Greek: επαρχία).
Expansion of Kingdom of Macedon:
Kingdom of Perdiccas I: Macedonian Kingdom of Emathia consisting of six provinces Emathia, Pieria, Bottiaea, Mygdonia, Eordaea and Almopia.
Kingdom of Alexander I: All the above provinces plus the eastern annexations Crestonia, Bisaltia and the western annexations Elimiotis, Orestis and Lynkestis.
Kingdom of Philip II: All the above provinces plus the appendages of Pelagonia and Macedonian Paeonia to the north, Sintike, Odomantis and Edonis to the east and the Chalkidike to the south.
Roman era
In the 2nd century, Macedonia covered approximately the area where it is considered to be today, but the northern regions of today Republic of North Macedonia were not identified as Macedonian lands. For reasons that are still unclear, over the next eleven centuries Macedonia's location was changed significantly. The Roman province of Macedonia consisted of what is today Northern and Central Greece, much of the geographical area of the Republic of North Macedonia and southeast Albania. Simply put, the Romans created a much larger administrative area under that name than the original ancient Macedon. In late Roman times, the provincial boundaries were reorganized to form the Diocese of Macedonia, consisting of most of modern mainland Greece right across the Aegean to include Crete, southern Albania, southwest Bulgaria, and most of Republic of North Macedonia.
Byzantine era
In the Byzantine Empire, a province under the name of Macedonia was carved out of the original Theme of Thrace, which was well east of the Struma River. This thema variously included parts of Thrace and gave its name to the Macedonian dynasty. Hence, Byzantine documents of this era that mention Macedonia are most probably referring to the Macedonian thema. The region of Macedonia, on the other hand, which was ruled by the First Bulgarian Empire throughout the 9th and the 10th century, was incorporated into the Byzantine Empire in 1018 as the Themе of Bulgaria.
Ottoman era
With the gradual conquest of southeastern Europe by the Ottomans in the late 14th century, the name of Macedonia disappeared as an administrative designation for several centuries and was rarely displayed on maps. The name was again revived to mean a distinct geographical region in the 19th century, defining the region bounded by Mount Olympus, the Pindus range, mounts Shar and Osogovo, the western Rhodopes, the lower course of the river Mesta (Greek Nestos) and the Aegean Sea, developing roughly the same borders that it has today.
Demographics
During medieval and modern times, Macedonia has been known as a Balkan region inhabited by many ethnic groups. Today, as a frontier region where several very different cultures meet, Macedonia has an extremely diverse demographic profile. The current demographics of Macedonia include:
Macedonian Greeks self-identify culturally and regionally as "Macedonians" (Greek: Μακεδόνες, Makedónes). They form the majority of the region's population (~51%). They number approximately 2,500,000 and, today, they live almost entirely in Greek Macedonia. The Greek Macedonian population is mixed, with other indigenous groups and with a large influx of Greek refugees descending from Asia Minor, Pontic Greeks, and East Thracian Greeks in the early 20th century. This is due to the population exchange between Greece and Turkey, during which over 1.2 million Orthodox Christian refugees from Turkey were settled in Greece, 638,000 of whom were settled in the Greek province of Macedonia. Smaller Greek minorities exist in Bulgaria and the Republic of North Macedonia, although their numbers are difficult to ascertain. In official census results, only 86 persons declared themselves Greeks in Bulgarian Macedonia (Blagoevgrad Province) in 2011, out of a total of 1,379 in all Bulgaria; while only 442 persons described themselves as Greeks in the 2002 census in the Republic of North Macedonia.
Ethnic Macedonians self-identify as "Macedonians" (Macedonian: Македонци, Makedonci) in an ethnic sense as well as in the regional sense. They are the second largest ethnic group in the region. Being a South Slavic ethnic group they are also known as "Macedonian Slavs" and "Slav Macedonians" (Greek: Σλαβομακεδόνες, "Slavomakedones") in Greece, though this term can be viewed as derogatory by ethnic Macedonians, including those in Greek Macedonia. They form the majority of the population in the Republic of North Macedonia where according to the 2002 census, approximately 1,300,000 people declared themselves as Macedonians. In 1999, the Greek Helsinki Monitor estimated a significant minority of ethnic Macedonians ranging from 10,000 to 30,000 that exist among the Slavic-speakers of Greek Macedonia. There has not been a census in Greece on the question of mother tongue since 1951, when the census recorded 41,017 Slavic-speakers, mostly in the West Macedonia periphery of Greece. The linguistic classification of the Slavic dialects spoken by these people are nowadays typically classified as Macedonian, with the exception of some eastern dialects which can also be classified as Bulgarian, although the people themselves call their native language a variety of terms, including makedonski, makedoniski ("Macedonian"), slaviká (, "Slavic"), dópia or entópia (, "local/indigenous [language]"), balgàrtzki, bògartski ("Bulgarian") along with naši ("our own") and stariski ("old"). Most Slavic-speakers declare themselves as ethnic Greeks (Slavophone Greeks), although there are small groups espousing ethnic Macedonian and Bulgarian national identities, however some groups reject all these ethnic designations and prefer terms such as "natives" instead. The Macedonian minority in Albania are an officially recognised minority in Albania and are primarily concentrated around the Prespa region and Golo Brdo and are primarily Eastern Orthodox Christian with the exception of the later region where Macedonians are predominantly Muslim. In the 2011 Albanian census, 5,870 Albanian citizens declared themselves Macedonians. According to the latest Bulgarian census held in 2011, there are 561 people declaring themselves ethnic Macedonians in the Blagoevgrad Province of Bulgaria (Pirin Macedonia). The official number of ethnic Macedonians in Bulgaria is 1,654.
Macedonian Bulgarians are ethnic Bulgarians who self-identify regionally as "Macedonians" (Bulgarian: Mакедонци, Makedontsi). They represent the bulk of the population of Bulgarian Macedonia (also known as "Pirin Macedonia"). They number approximately 250,000 in the Blagoevgrad Province where they are mainly situated. There are small Bulgarian-identifying groups in Albania, Greece and the Republic of North Macedonia with an uncertain size. In the Republic of North Macedonia, 1,417 people claimed a Bulgarian ethnic identity in the 2002 census. Paradoxically, during the last few years around 53,000 Macedonians have applied for Bulgarian citizenship and more than 70,000 ethnic Macedonians have already obtained Bulgarian passports. Bulgaria's admission to the European Union is evidently a powerful motivation factor. In order to obtain it they must sign a statement proving they are Bulgarian by origin, effectively not recognizing their rights as a minority.
Albanians are another major ethnic group in the region. Ethnic Albanians make up the majority in certain northern and western parts of the Republic of North Macedonia, and account for 25.2% of the total population of the Republic of North Macedonia, according to the 2002 census.
Smaller numbers of Turks, Bosniaks, Roma, Serbs, Aromanians, Megleno-Romanians, Egyptians, Armenians and Jews (Sephardim and Romaniotes) can also be found in Macedonia.
Religion
Most present-day inhabitants of the region are Eastern Orthodox Christians, principally of the Bulgarian Orthodox, Greek Orthodox, Macedonian Orthodox and Serbian Orthodox Churches. Notable Muslim minorities are present among the Albanian, Bulgarian (Pomaks), Macedonian (Torbeš), Bosniak, and Turkish populations.
During the period of classical antiquity, main religion in the region of Macedonia was the Ancient Greek religion. After the Roman conquest of Macedonia, the Ancient Roman religion was also introduced. Many ancient religious monuments, dedicated to Greek and Roman deities are preserved in this region. During the period of Early Christianity, ecclesiastical structure was established in the region of Macedonia, and the see of Thessaloniki became the metropolitan diocese of the Roman province of Macedonia. The archbishop of Thessaloniki also became the senior ecclesiastical primate of the entire Eastern Illyricum, and in 535 his jurisdiction was reduced to the administrative territory of the Diocese of Macedonia. Later it came under the jurisdiction of the Ecumenical Patriarch of Constantinople.
During the Middle Ages and up to 1767, western and northern regions of Macedonia were under the jurisdiction of the Archbishopric of Ohrid. Northern fringes of the region (areas surrounding Skopje and Tetovo) had temporary jurisdiction under the Serbian Patriarchate of Peć. Both the Archbishopric of Ohrid and the Patriarchate of Peć became abolished and absorbed into the Ecumenical Patriarch of Constantinople in the middle of the 18th century. During the period of Ottoman rule, a partial islamization was also recorded. In spite of that, the Eastern Orthodox Christianity remained the dominant religion of local population.
During the 19th century, religious life in the region was strongly influenced by rising national movements. Several major ethnoreligious disputes arose in the region of Macedonia, main of them being schisms between the Ecumenical Patriarch of Constantinople and the newly created Bulgarian Exarchate (1872), and later between the Serbian Orthodox Church and the newly created Macedonian Orthodox Church (1967).
History
Early Neolithic
While Macedonia shows signs of human habitation as old as the paleolithic period (among which is the Petralona cave with the oldest European humanoid), the earliest known settlements, such as Nea Nikomedeia in Imathia (today's Greek Macedonia), date back 9,000 years. The houses at Nea Nikomedeia were constructed—as were most structures throughout the Neolithic in northern Greece—of wattle and daub on a timber frame. The cultural assemblage includes well-made pottery in simple shapes with occasional decoration in white on a red background, clay female figurines of the 'rod-headed' type known from Thessaly to the Danube Valley, stone axes and adzes, chert blades, and ornaments of stone including curious 'nose plugs' of uncertain function. The assemblage of associated objects differs from one house to the next, suggesting some degree of craft specialisation had already been established from the beginning of the site's history. The farming economy was based on the cultivation of cereal crops such as wheat and barley and pulses and on the herding of sheep and goats, with some cattle and pigs. Hunting played a relatively minor role in the economy. Surviving from 7000 to 5500 BCE, this Early Neolithic settlement was occupied for over a thousand years.
Middle Neolithic
The Middle Neolithic period (c. 5500 to 4500 BCE) is at present best represented at Servia in the Haliacmon Valley in western Macedonia, where the typical red-on-cream pottery in the Sesklo style emphasises the settlement's southern orientation. Pottery of this date has been found at a number of sites in Central and Eastern Macedonia but so far none has been extensively excavated.
Late Neolithic
The Late Neolithic period (c. 4500 to 3500 BCE) is well represented by both excavated and unexcavated sites throughout the region (though in Eastern Macedonia levels of this period are still called Middle Neolithic according to the terminology used in the Balkans). Rapid changes in pottery styles, and the discovery of fragments of pottery showing trade with quite distant regions, indicate that society, economy and technology were all changing rapidly. Among the most important of these changes were the start of copper working, convincingly demonstrated by Renfrew to have been learnt from the cultural groups of Bulgaria and Roumania to the North. Principal excavated settlements of this period include Makryialos and Paliambela near the western shore of the Thermaic gulf, Thermi to the south of Thessaloniki and Sitagroi and Dikili Tas in the Drama plain. Some of these sites were densely occupied and formed large mounds (known to the local inhabitants of the region today as 'toumbas'). Others were much less densely occupied and spread for as much as a kilometer (Makryialos). Both types are found at the same time in the same districts and it is presumed that differences in social organisation are reflected by these differences in settlement organisation. Some communities were clearly concerned to protect themselves with different kinds of defensive arrangements: ditches at Makryialos and concentric walls at Paliambela. The best preserved buildings were discovered at Dikili Tas, where long timber-framed structures had been organised in rows and some had been decorated with bulls' skulls fastened to the outside of the walls and plastered over with clay.
Remarkable evidence for cult activity has been found at Promachonas-Topolnica, which straddles the Greek Bulgarian border to the north of Serres. Here a deep pit appeared to have been roofed to make a subterranean room; in it were successive layers of debris including large numbers of figurines, bulls' skulls, and pottery, including several rare and unusual shapes.
The farming economy of this period continued the practices established at the beginning of the Neolithic, although sheep and goats were less dominant among the animals than they had previously been, and the cultivation of vines (Vitis vinifera) is well attested.
Only a few burials have been discovered from the whole of the Neolithic period in northern Greece and no clear pattern can be deduced. Grave offerings, however, seem to have been very limited.
Ancient Macedonia (500 to 146 BCE)
In classical times, the region of Macedonia comprised parts of what at the time was known as Macedonia, Illyria and Thrace. Among others, in its lands were located the kingdoms of Paeonia, Dardania, Macedonia and Pelagonia, historical tribes like the Agrianes, and colonies of southern Greek city states. Prior to the Macedonian ascendancy, parts of southern Macedonia were populated by the Bryges, while western, (i. e., Upper) Macedonia, was inhabited by Macedonian and Illyrian tribes. Whilst numerous wars are later recorded between the Illyrian and Macedonian Kingdoms, the Bryges might have co-existed peacefully with the Macedonians. In the time of Classical Greece, Paionia, whose exact boundaries are obscure, originally included the whole Axius River valley and the surrounding areas, in what is now the northern part of the Greek region of Macedonia, most of the Republic of North Macedonia, and a small part of western Bulgaria. By 500 BCE, the ancient kingdom of Macedon was centered somewhere between the southern slopes of Lower Olympus and the lowest reach of the Haliakmon River. Since 512/511 BCE, the kingdom of Macedonia was subject to the Persians, but after the battle of Plataia it regained its independence. Under Philip II and Alexander the Great, the kingdom of Macedonia forcefully expanded, placing the whole of the region of Macedonia under their rule.
Alexander's conquests produced a lasting extension of Hellenistic culture and thought across the ancient Near East, but his empire broke up on his death. His generals divided the empire between them, founding their own states and dynasties. The kingdom of Macedon was taken by Cassander, who ruled it until his death in 297 BC. At the time, Macedonian control over the Thracoillyrian states of the region slowly waned, although the kingdom of Macedonia remained the most potent regional power. This period also saw several Celtic invasions into Macedonia. However, the Celts were each time successfully repelled by Cassander, and later Antigonus, leaving little overall influence on the region.
Roman Macedonia
Macedonian sovereignty in the region was brought to an end at the hands of the rising power of Rome in the 2nd century BC. Philip V of Macedon took his kingdom to war against the Romans in two wars during his reign (221–179 BC). The First Macedonian War (215–205 BC) was fairly successful for the Macedonians but Philip was decisively defeated in the Second Macedonian War in (200–197 BC). Although he survived war with Rome, his successor Perseus of Macedon (reigned 179–168 BC) did not; having taken Macedon into the Third Macedonian War in (171–168 BC), he lost his kingdom when he was defeated. Macedonia was initially divided into four republics subject to Rome before finally being annexed in 146 BC as a Roman province. Around this time, vulgar Latin was introduced in the Balkans by Latin-speaking colonists and military personnel.
With the division of the Roman Empire into west and east in 298 AD, Macedonia came under the rule of Rome's Byzantine successors. The population of the entire region was, however, depleted by destructive invasions of various Gothic and Hun tribes c. 300 – 5th century AD. Despite this, other parts of the Byzantine empire continued to flourish, in particular some coastal cities such as Thessaloniki became important trade and cultural centres. Despite the empire's power, from the beginning of the 6th century the Byzantine dominions were subject to frequent raids by various Slavic tribes which, in the course of centuries, eventually resulted in drastic demographic and cultural changes in the Empire's Balkan provinces. Although traditional scholarship attributes these changes to large-scale colonizations by Slavic-speaking groups, it has been proposed that a generalized dissipation of Roman identity might have commenced in the 3rd century, especially among rural provincials who were crippled by harsh taxation and famines. Given this background, penetrations carried by successive waves of relatively small numbers of Slavic warriors and their families might have been capable of assimilating large numbers of indigenes into their cultural model, which was sometimes seen as a more attractive alternative. In this way and in the course of time, great parts of Macedonia came to be controlled by Slavic-speaking communities. Despite numerous attacks on Thessaloniki, the city held out, and Byzantine-Roman culture continued to flourish, although Slavic cultural influence steadily increased.
The Slavic settlements organized themselves along tribal and territorially based lines which were referred to by Byzantine Greek historians as "Sklaviniai". The Sklaviniai continued to intermittently assault the Byzantine Empire, either independently, or aided by Bulgar or Avar contingents. Around 680 AD a "Bulgar" group (which was largely composed of the descendants of former Roman Christians taken captive by the Avars), led by Khan Kuber (theorized to have belonged to the same clan as the Danubian Bulgarian khan Asparukh), settled in the Pelagonian plain, and launched campaigns to the region of Thessaloniki. When the Empire could spare imperial troops, it attempted to regain control of its lost Balkan territories. By the time of Constans II a significant number of the Slavs of Macedonia were captured and transferred to central Asia Minor where they were forced to recognize the authority of the Byzantine emperor and serve in his ranks. In the late 7th century, Justinian II again organized a massive expedition against the Sklaviniai and Bulgars of Macedonia. Launching from Constantinople, he subdued many Slavic tribes and established the Theme of Thrace in the hinterland of the Great City, and pushed on into Thessaloniki. However, on his return he was ambushed by the Slavo-Bulgars of Kuber, losing a great part of his army, booty, and subsequently his throne. Despite these temporary successes, rule in the region was far from stable since not all of the Sklaviniae were pacified, and those that were often rebelled. The emperors rather resorted to withdrawing their defensive line south along the Aegean coast, until the late 8th century. Although a new theme—that of "Macedonia"—was subsequently created, it did not correspond to today's geographic territory, but one farther east (centred on Adrianople), carved out of the already existing Thracian and Helladic themes.
Medieval Macedonia
There are no Byzantine records of "Sklaviniai" after 836/837 as they were absorbed into the expanding First Bulgarian Empire. Slavic influence in the region strengthened along with the rise of this state, which incorporated parts of the region to its domain in 837. In the early 860s Saints Cyril and Methodius, two Byzantine Greek brothers from Thessaloniki, created the first Slavic Glagolitic alphabet in which the Old Church Slavonic language was first transcribed, and are thus commonly referred to as the apostles of the Slavic world. Their cultural heritage was acquired and developed in medieval Bulgaria, where after 885 the region of Ohrid (present-day Republic of North Macedonia) became a significant ecclesiastical center with the nomination of the Saint Clement of Ohrid for "first archbishop in Bulgarian language" with residence in this region. In conjunction with another disciple of Saints Cyril and Methodius, Saint Naum, Clement created a flourishing Slavic cultural center around Ohrid, where pupils were taught theology in the Old Church Slavonic language and the Glagolitic and Cyrillic script at what is now called Ohrid Literary School. The Bulgarian-Byzantine boundary in the beginning of 10th century passed approximately north of Thessaloniki according to the inscription of Narash. According to the Byzantine author John Kaminiates, at that time the neighbouring settlements around Thessaloniki were inhabited by "Scythians" (Bulgarians) and the Slavic tribes of Drugubites and Sagudates, in addition to Greeks.
At the end of the 10th century, what is now the Republic of North Macedonia became the political and cultural heartland of the First Bulgarian Empire, after Byzantine emperors John I Tzimiskes conquered the eastern part of the Bulgarian state during the Rus'–Byzantine War of 970–971. The Bulgarian capital Preslav and the Bulgarian Tsar Boris II were captured, and with the deposition of the Bulgarian regalia in the Hagia Sophia, Bulgaria was officially annexed to Byzantium. A new capital was established at Ohrid, which also became the seat of the Bulgarian Patriarchate. A new dynasty, that of the Comitopuli under Tsar Samuil and his successors, continued resistance against the Byzantines for several more decades, before also succumbing in 1018. The western part of Bulgaria including Macedonia was incorporated into the Byzantine Empire as the province of Bulgaria (Theme of Bulgaria) and the Bulgarian Patriarchate was reduced in rank to an Archbishopric.
Intermittent Bulgarian uprisings continued to occur, often with the support of the Serbian princedoms to the north. Any temporary independence that might have been gained was usually crushed swiftly by the Byzantines. It was also marked by periods of war between the Normans and Byzantium. The Normans launched offensives from their lands acquired in southern Italy, and temporarily gained rule over small areas in the northwestern coast.
At the end of the 12th century, some northern parts of Macedonia were temporarily conquered by Stefan Nemanja of Serbia. In the 13th century, following the Fourth Crusade, Macedonia was disputed among Byzantine Greeks, Latin crusaders of the short-lived Kingdom of Thessalonica, and the revived Bulgarian state. Most of southern Macedonia was secured by the Despotate of Epirus and then by the Empire of Nicaea, while the north was ruled by Bulgaria. After 1261 however, all of Macedonia returned to Byzantine rule, where it largely remained until the Byzantine civil war of 1341–1347. Taking advantage of this conflict, the Serb ruler Stefan Dushan expanded his realm and founded the Serbian Empire, which included all of Macedonia, northern and central Greece – excluding Thessaloniki, Athens and the Peloponnese. Dushan's empire however broke up shortly after his death in 1355. After his death local rulers in the regions of Macedonia were despot Jovan Uglješa in eastern Macedonia, and kings Vukašin Mrnjavčević and his son Marko Mrnjavčević in western regions of Macedonia.
Ottoman Macedonia
Since the middle of the 14th century, the Ottoman threat was looming in the Balkans, as the Ottomans defeated the various Christian principalities, whether Serb, Bulgarian or Greek. After the Ottoman victory in the Battle of Maritsa in 1371, most of Macedonia accepted vassalage to the Ottomans and by the end of the 14th century the Ottoman Empire gradually annexed the region. The final Ottoman capture of Thessalonica (1430) was seen as the prelude to the fall of Constantinople itself. Macedonia remained a part of the Ottoman Empire for nearly 500 years, during which time it gained a substantial Turkish minority. Thessaloniki later become the home of a large Sephardi Jewish population following the expulsions of Jews after 1492 from Spain.
Birth of nationalism and of Macedonian identities
Over the centuries Macedonia had become a multicultural region. The historical references mention Greeks, Bulgarians, Turks, Albanians, Gypsies, Jews, Aromanians and Megleno-Romanians. It is often claimed that macédoine, the fruit or vegetable salad, was named after the area's very mixed population, as it could be witnessed at the end of the 19th century. From the Middle Ages to the early 20th century the Slavic-speaking population in Macedonia was identified mostly as Bulgarian.
During the period of Bulgarian National Revival many Bulgarians from these regions supported the struggle for creation of Bulgarian cultural educational and religious institutions, including Bulgarian Exarchate. Eventually, in the 20th century, 'Bulgarians' came to be understood as synonymous with 'Macedonian Slavs' and, eventually, 'ethnic Macedonians'. Krste Misirkov, a philologist and publicist, wrote his work "On the Macedonian Matters" (1903), for which he is heralded by Macedonians as one of the founders of the Macedonian nation.
After the revival of Greek, Serbian, and Bulgarian statehood in the 19th century, the Ottoman lands in Europe that became identified as "Macedonia", were contested by all three governments, leading to the creation in the 1890s and 1900s of rival armed groups who divided their efforts between fighting the Turks and one another. The most important of these was the Bulgarian Macedonian-Adrianople Revolutionary Committee (BMARC, SMARO from 1902) (an alternative version says that it consisted of the Macedonian Revolutionary Organization (MRO, TMORO from 1902), under Gotse Delchev who in 1903 rebelled in the so-called Ilinden-Preobrazhenie Uprising, fighting for an autonomous or independent Macedonian state (before 1902 only Bulgarians could join, but afterward, it invited "any Macedonian or Odrinian, irrespective of nationality, to join together"), and the Greek efforts from 1904 until 1908 (Greek Struggle for Macedonia). Diplomatic intervention by the European powers led to plans for an autonomous Macedonia under Ottoman rule.
The restricted borders of the modern Greek state at its inception in 1830 disappointed the inhabitants of northern Greece (Epirus and Macedonia). Addressing these concerns in 1844, the Greek Prime Minister Kolettis addressed the constitutional assembly in Athens that "the Kingdom of Greece is not Greece; it is only a part, the smallest and poorest, of Greece. The Greek is not only he who inhabits the kingdom, but also he who lives in Ioannina, or Thessaloniki, or Serres, or Odrin" . He mentions cities and islands that were under Ottoman possession as composing the Great Idea (Greek: Μεγάλη Ιδέα, Megáli Idéa) which meant the reconstruction of the classical Greek world or the revival of the Byzantine Empire. The important idea here is that for Greece, Macedonia was a region with large Greek populations expecting annexation to the new Greek state.
The 1878 Congress of Berlin changed the Balkan map again. The treaty restored Macedonia and Thrace to the Ottoman Empire. Serbia, Romania and Montenegro were granted full independence, and some territorial expansion at the expense of the Ottoman Empire. Russia would maintain military advisors in Bulgaria and Eastern Rumelia until May 1879. Austria-Hungary was permitted to occupy Bosnia, Herzegovina and the Sanjak of Novi Pazar. The Congress of Berlin also forced Bulgaria, newly given autonomy by the 1878 Treaty of San Stefano, to return over half of its newly gained territory to the Ottoman Empire. This included Macedonia, a large part of which was given to Bulgaria, due to Russian pressure and the presence of significant numbers of Bulgarians and adherents to the Bulgarian Exarchate. The territorial losses dissatisfied Bulgaria; this fuelled the ambitions of many Bulgarian politicians for the following seventy years, who wanted to review the treaty – by peaceful or military means and to reunite all lands which they claimed had a Bulgarian majority. Besides, Serbia was now interested in the Macedonian lands, until then only Greece was Bulgaria's main contender, which after the addition of Thessaly to Greece in (1881) was bordering Macedonia. Thus, the Berlin Congress renewed the struggle for Turkey in Europe, including the so-called Macedonia region, rather than setting up a permanent regime. In the following years, all of the neighboring states struggled over Turkey in Europe; they were only kept at bay by their own restraints, the Ottoman Army and the territorial ambitions of the Great Powers in the region.
Serbian policy had a distinct anti-Bulgarian flavor, attempting to prevent the Bulgarian influencing the inhabitants of Macedonia. On the other hand, Bulgaria was using the power of its religious institutions (Bulgarian Exarchate established in 1870) to promote its language and make more people identify with Bulgaria. Greece, in addition, was in an advantageous position for protecting its interests through the influence of Patriarchate of Constantinople which traditionally sponsored Greek-language and Greek-culture schools also in villages with few Greeks. This put the Patriarchate in dispute with the Exarchate, which established schools with Bulgarian education. Indeed, belonging to one or another institution could define a person's national identity. Simply, if a person supported the Patriarchate they were regarded as Greek, whereas if they supported the Exarchate they were regarded as Bulgarian. Locally, however, villagers were not always able to express freely their association with one or the other institution as there were numerous armed groups trying to defend and/or expand the territory of each. Some were locally recruited and self-organized while others were sent and armed by the protecting states.
The aim of the adversaries, however, was not primarily to extend their influence over Macedonia but merely to prevent Macedonia succumbing to the influence of the other. This often violent attempt to persuade the people that they belonged to one ethnic group or another pushed some people to reject both. The severe pressure on the peaceful peasants of Macedonia worked against the plans of the Serbians and Bulgarians to make them adopt their ethnic idea and eventually a social divide became apparent. The British Ambassador in Belgrade in 1927 said: "At present the unfortunate Macedonian peasant is between the hammer and the anvil. One day 'comitadjis' come to his house and demand under threat lodging, food and money and the next day the gendarm hales him off to prison for having given them; the Macedonian is really a peaceable, fairly industrious agriculturist and if the (Serbian) government give him adequate protection, education, freedom from malaria and decent communications, there seems no reason why he should not become just as Serbian in sentiment as he was Bulgarian 10 years ago". As a result of this game of tug-of-war, the development of a distinct Macedonian national identity was impeded and delayed. Moreover, when the imperialistic plans of the surrounding states made possible the division of Macedonia, some Macedonian intellectuals such as Misirkov mentioned the necessity of creating a Macedonian national identity which would distinguish the Macedonian Slavs from Bulgarians, Serbians or Greeks.
Baptizing Macedonian Slavs as Serbian or Bulgarian aimed therefore to justify these countries' territorial claims over Macedonia. The Greek side, with the assistance of the Patriarchate that was responsible for the schools, could more easily maintain control, because they were spreading Greek identity. For the very same reason the Bulgarians, when preparing the Exarchate's government (1871) included Macedonians in the assembly as "brothers" to prevent any ethnic diversification. On the other hand, the Serbs, unable to establish Serbian-speaking schools, used propaganda. Their main concern was to prevent the Slavic-speaking Macedonians from acquiring Bulgarian identity through concentrating on the myth of the ancient origins of the Macedonians and simultaneously by the classification of Bulgarians as Tatars and not as Slavs, emphasizing their 'Macedonian' characteristics as an intermediate stage between Serbs and Bulgarians. To sum up the Serbian propaganda attempted to inspire the Macedonians with a separate ethnic identity to diminish the Bulgarian influence. This choice was the 'Macedonian ethnicity'. The Bulgarians never accepted an ethnic diversity from the Slav Macedonians, giving geographic meaning to the term. In 1893 they established the Internal Macedonian Revolutionary Organization (VMRO) aiming to confront the Serbian and Greek action in Macedonia. VMRO hoped to answer the Macedonian question through a revolutionary movement, and so they instigated the Ilinden Uprising (1903) to release some Ottoman territory. Bulgaria used this to internationalize the Macedonian question. Ilinden changed Greece's stance which decided to take Para-military action. In order to protect the Greek Macedonians and Greek interests, Greece sent officers to train guerrillas and organize militias (Macedonian Struggle), known as makedonomahi (Macedonian fighters), essentially to fight the Bulgarians. After that it was obvious that the Macedonian Question could be answered only with a war.
The rise of the Albanian and the Turkish nationalism after 1908, however, prompted Greece, Serbia and Bulgaria to bury their differences with regard to Macedonia and to form a joint coalition against the Ottoman Empire in 1912. Disregarding public opinion in Bulgaria, which was in support of the establishment of an autonomous Macedonian province under a Christian governor, the Bulgarian government entered a pre-war treaty with Serbia which divided the region into two parts. The part of Macedonia west and north of the line of partition was contested by both Serbia and Bulgaria and was subject to the arbitration of the Russian Tsar after the war. Serbia formally renounced any claims to the part of Macedonia south and east of the line, which was declared to be within the Bulgarian sphere of interest. The pre-treaty between Greece and Bulgaria, however, did not include any agreement on the division of the conquered territories – evidently both countries hoped to occupy as much territory as possible having their sights primarily set on Thessaloniki.
In the First Balkan War, Bulgaria, Serbia, Greece and Montenegro occupied almost all Ottoman-held territories in Europe. Bulgaria bore the brunt of the war fighting on the Thracian front against the main Ottoman forces. Both her war expenditures and casualties in the First Balkan War were higher than those of Serbia, Greece and Montenegro combined. Macedonia itself was occupied by Greek, Serbian and Bulgarian forces. The Ottoman Empire in the Treaty of London in May 1913 assigned the whole of Macedonia to the Balkan League, without, specifying the division of the region, to promote problems between the allies. Dissatisfied with the creation of an autonomous Albanian state, which denied her access to the Adriatic, Serbia asked for the suspension of the pre-war division treaty and demanded from Bulgaria greater territorial concessions in Macedonia. Later in May the same year, Greece and Serbia signed a secret treaty in Thessaloniki stipulating the division of Macedonia according to the existing lines of control. Both Serbia and Greece, as well as Bulgaria, started to prepare for a final war of partition.
In June 1913, Bulgarian Tsar Ferdinand, without consulting the government, and without any declaration of war, ordered Bulgarian troops to attack the Greek and Serbian troops in Macedonia, initiating the Second Balkan War. The Bulgarian army was in full retreat in all fronts. The Serbian army chose to stop its operations when achieved all its territorial goals and only then the Bulgarian army took a breath. During the last two days the Bulgarians managed to achieve a defensive victory against the advancing Greek army in the Kresna Gorge. However at the same time the Romanian army crossed the undefended northern border and easily advanced towards Sofia. Romania interfered in the war, in order to satisfy its territorial claims against Bulgaria. The Ottoman Empire also interfered, easily reassuming control of Eastern Thrace with Edirne. The Second Balkan War, also known as Inter-Ally War, left Bulgaria only with the Struma valley and a small part of Thrace with minor ports at the Aegean sea. Vardar Macedonia was incorporated into Serbia and thereafter referred to as South Serbia. Southern (Aegean) Macedonia was incorporated into Greece and thereafter was referred to as northern Greece. The region suffered heavily during the Second Balkan War. During its advance at the end of June, the Greek army set fire to the Bulgarian quarter of the town of Kilkis and over 160 villages around Kilkis and Serres driving some 50,000 refugees into Bulgaria proper. The Bulgarian army retaliated by burning the Greek quarter of Serres and by arming Muslims from the region of Drama which led to a massacre of Greek civilians.
In September 1915, the Greek government authorized the landing of the troops in Thessaloniki. In 1916 the pro-German King of Greece agreed with the Germans to allow military forces of the Central Powers to enter Greek Macedonia to attack Bulgarian forces in Thessaloniki. As a result, Bulgarian troops occupied the eastern part of Greek Macedonia, including the port of Kavala. The region was, however, restored to Greece following the victory of the Allies in 1918. After the destruction of the Greek Army in Asia Minor in 1922 Greece and Turkey exchanged most of Macedonia's Turkish minority and the Greek inhabitants of Thrace and Anatolia, as a result of which Aegean Macedonia experienced a large addition to its population and became overwhelmingly Greek in ethnic composition. Serbian-ruled Macedonia was incorporated into the Kingdom of Serbs, Croats and Slovenes (later the Kingdom of Yugoslavia) in 1918. Yugoslav Macedonia was subsequently subjected to an intense process of "Serbianization" during the 1920s and 1930s.
During World War II the boundaries of the region shifted yet again. When the German forces occupied the area, most of Yugoslav Macedonia and part of Aegean Macedonia were transferred for administration to Bulgaria. During the Bulgarian administration of Eastern Greek Macedonia, some 100,000 Bulgarian refugees from the region were resettled there and perhaps as many Greeks were deported or fled to other parts of Greece. Western Aegean Macedonia was occupied by Italy, with the western parts of Yugoslav Macedonia being annexed to Italian-occupied Albania. The remainder of Greek Macedonia (including all of the coast) was occupied by Nazi Germany. One of the worst episodes of the Holocaust happened here when 60,000 Jews from Thessaloniki were deported to extermination camps in occupied Poland. Only a few thousand survived.
Macedonia was liberated in 1944, when the Red Army's advance in the Balkan Peninsula forced the German forces to retreat. The pre-war borders were restored under U.S. and British pressure because the Bulgarian government was insisting to keep its military units on Greek soil. The Bulgarian Macedonia returned fairly rapidly to normality, but the Bulgarian patriots in Yugoslav Macedonia underwent a process of ethnic cleansing by the Belgrade authorities, and Greek Macedonia was ravaged by the Greek Civil War, which broke out in December 1944 and did not end until October 1949.
After this civil war, a large number of former ELAS fighters who took refuge in communist Bulgaria and Yugoslavia and described themselves as "ethnic Macedonians" were prohibited from reestablishing to their former estates by the Greek authorities. Most of them were accused in Greece for crimes committed during the period of the German occupation.
Macedonia in the Balkan Wars, World War I and II
Balkan Wars
The imminent collapse of the Ottoman Empire was welcomed by the Balkan states, as it promised to restore their European territory. The Young Turk Revolution of 1908 proved a nationalistic movement thwarting the peoples' expectations of the empire's modernization and hastened the end of the Ottoman occupation of the Balkans. To this end, an alliance was struck among the Balkan states in Spring 1913. The First Balkan War, which lasted six weeks, commenced in August 1912, when Montenegro declared war on the Ottoman Empire, whose forces ultimately engaged four different wars in Thrace, Macedonia, Northern and Southern Albania and Kosovo. The Macedonian campaign was fought in atrocious conditions. The retreat of the Ottoman army from Macedonia succeeded the desperate effort of the Greek and Bulgarian forces to reach the city of Thessalonica, the "single prize of the first Balkan War" for whose status no prior agreements were done. In this case possession would be equal to acquisition. The Greek forces entered the city first liberating officially, a progress only positive for them. Glenny says: "for the Greeks it was a good war".
The first Balkan War managed to liberate Balkans from Turks and settled the major issues except Macedonia. In the spring 1913 the Serbs and Greeks begun the 'Serbianization' and the 'Hellenization' of the parts in Macedonia they already controlled, while Bulgarians faced some difficulties against the Jews and the Turkish populations. Moreover, the possession of Thessalonica was a living dream for the Bulgarians that were preparing for a new war. For this, the Bulgarian troops had a secret order in June 1913 to launch surprise attacks on the Serbs. Greece and Serbia signed a previous bilateral defensive agreement (May 1913). Consequently, Bulgaria decided to attack Greece and Serbia. After some initial gains the Bulgarians were forced to retreat back to Bulgaria proper and lose nearly all of the land they had conquered during the first war.
The Treaty of Bucharest (August 1913) took off most of the Bulgarian conquests of the previous years. A large part of Macedonia became southern Serbia, including the territory of what today is the Republic of North Macedonia, and southern Macedonia became northern Greece. Greece almost doubled its territory and population size and its northern frontiers remain today, more or less the same since the Balkan Wars. However, when Serbia acquired 'Vardarska Banovina' (the present-day Republic of North Macedonia), it launched having expansionist views aiming to descend to the Aegean, with Thessalonica as the highest ambition. However, Greece after the population exchange with Bulgaria, soon after its victory in the Balkan wars, managed to give national homogeneity in the Aegean and any remaining Slavic-speakers were absorbed.
Many volunteers from Macedonia joined Bulgarian army and participated in the battles against Bulgarian enemies in these wars—on the strength of the Macedonian-Adrianopolitan Volunteer Corps and other units.
World War I
After World War I Macedonian Campaign the status quo of Macedonia remained the same. The establishment of the 'Kingdom of Serbians, Croats and Slovenes' in 1918, which in 1929 was renamed 'Yugoslavia' (South Slavia) predicted no special regime for Skopje neither recognized any Macedonian national identity. In fact, the claims to Macedonian identity remained silent at a propaganda level because, eventually, North Macedonia had been a Serbian conquest.
The situation in Serbian Macedonia changed after the Communist Revolution in Russia (1918–1919). According to Sfetas, Comintern was handling Macedonia as a matter of tactics, depending on the political circumstances. In the early 1920s it supported the position for a single and independent Macedonia in a Balkan Soviet Democracy. Actually, the Soviets desired a common front of the Bulgarian communist agriculturists and the Bulgarian-Macedonian societies to destabilize the Balkan Peninsula. The Internal Macedonian Revolutionary Organization (IMRO), under the protection of Comintern, promoted the idea of an independent Macedonia in a Federation of Balkan states, unifying all Macedonians. However, the possible participation of Bulgaria in a new war, on the Axis side, ended the Soviet support some years later.
World War II
Bulgaria joined the Axis powers in 1941, when German troops prepared to invade Greece from Romania reached the Bulgarian borders and demanded permission to pass through Bulgarian territory. Threatened by direct military confrontation, Tsar Boris III had no choice but to join the Tripartite pact, which officially happened on 1 March 1941. There was little popular opposition, since the Soviet Union was in a non-aggression pact with Germany.
On 6 April 1941, despite having officially joined the Axis Powers, the Bulgarian government maintained a course of military passivity during the initial stages of the invasion of Yugoslavia and the Battle of Greece. As German, Italian, and Hungarian troops crushed Yugoslavia and Greece, the Bulgarians remained on the sidelines. The Yugoslav government surrendered on 17 April. The Greek government was to hold out until 30 April. On 20 April, the period of Bulgarian passivity ended. The Bulgarian Army entered the Aegean region. The goal was to gain an Aegean Sea outlet in Thrace and Eastern Macedonia and much of eastern Serbia. The so-called Vardar Banovina was divided between Bulgaria and Italians which occupied West Macedonia. The Bulgarian occupation of Macedonia was technically viewed as interim administration in anticipation of a conclusive internationally recognized settlement of the legal status of the so-called "New Lands" after the end of the Second World War. Bulgarian administration greatly contributed to economic rebirth of the region – the poorest one in the former Kingdom of Yugoslavia – through introducing measures such as allotment of arable lands to local landless peasantry and by establishing plenty of new elementary and secondary schools. Local population with Bulgarian ethnic origins was given full Bulgarian citizenship. In general, Bulgarians themselves regarded the incorporation of former Yugoslav Vardar Banovina as a way to achieve national unity. Two new oblasts (provinces) were formed and most public vacancies were filled up with representatives of the local population.
During the German occupation of Greece (1941–1944) the Greek Communist Party-KKE was the main resistance factor with its military branch EAM-ELAS (National Liberation Front). Although many members of EAM were Slavic-speaking, they had either Bulgarian, Greek or distinct Macedonian conscience. To take advantage of the situation KKE established SNOF with the cooperation of the Yugoslav leader Tito, who was ambitious enough to make plans for Greek Macedonia. For this he established the Anti-Fascistic Assembly for the National Liberation of Macedonia (ASNOM) giving an actual liberating character to the whole region of Macedonia. Besides, KKE was very positive to the option of a greater Macedonia, including the Greek region, since it realized that a victory in the Greek Civil War was utopic. Later EAM and SNOF disagreed in issues of policy and they finally crashed and the latter was expelled from Greece (1944).
Post–World War II
The end of the War did not bring peace to Greece and a strenuous civil war between the Government forces and EAM broke out with about 50,000 casualties for both sides. The defeat of the Communists in 1949 forced their Slav-speaking members to either leave Greece or fully adopt Greek language and surnames. The Slav minorities were discriminated against, and not even recognised as a minority. Since 1923 the only internationally recognized minority in Greece are the Muslims in Western Thrace.
Yugoslav Macedonia was the only region where Yugoslav communist leader Josip Broz Tito had not developed a Partisan movement because of the Bulgarian occupation of a large part of that area. To improve the situation, in 1943 the Communist Party of 'Macedonia' was established in Tetovo with the prospect that it would support the resistance against the Axis. In the meantime, the Bulgarians' violent repression led to loss of moral support from the civilian population. By the end of the war "a Macedonian national consciousness hardly existed beyond a general conviction, gained from bitter experience, that rule from Sofia was as unpalatable as that from Belgrade. But if there were no Macedonian nation there was a Communist Party of Macedonia, around which the People's Republic of Macedonia was built".
Tito thus separated Yugoslav Macedonia from Serbia after the war. It became a republic of the new federal Yugoslavia (as the Socialist Republic of Macedonia) in 1946, with its capital at Skopje. Tito also promoted the concept of a separate Macedonian nation, as a means of severing the ties of the Slav population of Yugoslav Macedonia with Bulgaria. Although the dialects spoken in Macedonia were overwhelmingly considered of being part of the Bulgarian dialectic continuum and exhibited all the essential grammatical traits of the overall Bulgarian language, a separate entity termed Macedonian language was deliberately promoted by intentionally Serbianizing the spelling and the lexis in order to alienate local vernacular from Bulgarian, the differences were deliberately emphasized and the region's historical figures were promoted as being uniquely Macedonian (rather than Serbian or Bulgarian). A separate Macedonian Orthodox Church was established, splitting off from the Serbian Orthodox Church, but it has not been recognized by any other Orthodox Church, including the Ecumenical Patriarchate of Constantinople. The Communist Party sought to deter pro-Bulgarian sentiment, which was punished severely; convictions were still being handed down as late as 1991.
Tito had a number of reasons for doing this. First, as an ethnic Croat, he wanted to reduce Serbia's dominance in Yugoslavia; establishing a territory formerly considered Serbian as an equal to Serbia within Yugoslavia achieved this effect. Secondly, he wanted to sever the ties of the Macedonian Slav population with Bulgaria because recognition of that population as Bulgarian would have undermined the unity of the Yugoslav federation. Third of all, Tito sought to justify future Yugoslav claims towards the rest of Macedonia (Pirin and Aegean), in the name of the "liberation" of the region. The potential "Macedonian" state would remain as a constituent republic within Yugoslavia, and so Yugoslavia would manage to get access to the Aegean Sea.
Tito's designs on Macedonia were asserted as early as August 1944, when in a proclamation he claimed that his goal was to reunify "all parts of Macedonia, divided in 1912 and 1913 by Balkan imperialists". To this end, he opened negotiations with communist Bulgaria for a new federal state, which would also probably have included Albania, and supported the Greek Communists in the Greek Civil War. The idea of reunification of all of Macedonia under Communist rule was abandoned as late as 1949 when the Greek Communists lost and Tito fell out with the Soviet Union and pro-Soviet Bulgaria.
Across the border in Greece, Slavophones were seen as a potentially disloyal "fifth column" within the Greek state by both the US and Greece, and their existence as a minority was officially denied. Greeks were resettled in the region many of whom emigrated (especially to Australia) along with many Greek-speaking natives, because of the hard economic conditions after the Second World War and the Greek Civil War. Although there was some liberalization between 1959 and 1967, the Greek military dictatorship re-imposed harsh restrictions. The situation gradually eased after Greece's return to democracy, although even as recently as the 1990s Greece has been criticised by international human rights activists for "harassing" Macedonian Slav political activists, who, nonetheless, are free to maintain their own political party (Rainbow). Elsewhere in Greek Macedonia, economic development after the war was brisk and the area rapidly became the most prosperous part of the region. The coast was heavily developed for tourism, particularly on the Halkidiki peninsula.
Under Georgi Dimitrov, Soviet loyalist and head of the Comintern, Bulgaria initially accepted the existence of a distinctive Macedonian identity. It had been agreed that Pirin Macedonia would join Yugoslav Macedonia and for this reason the population was forced to declare itself "Macedonian" in the 1946 census. This caused resentment and many people were imprisoned or interned in rural areas outside Pirin Macedonia. After Tito's split from the Soviet bloc this position was abandoned and the existence of a Macedonian ethnicity or language was denied.
Attempts of Macedonian historians after the 1940s to claim a number of prominent figures of the 19th century Bulgarian cultural revival and armed resistance movement as Macedonians has caused ever since a bitter resentment in Sofia. Bulgaria has repeatedly accused the Republic of North Macedonia of appropriating Bulgarian national heroes and symbols and of editing works of literature and historical documents so as to prove the existence of a Macedonian Slav consciousness before the 1940s. The publication in the Republic of North Macedonia of the folk song collections 'Bulgarian Folk Songs' by the Miladinov Brothers and 'Songs of the Macedonian Bulgarians' by Serbian archaeologist Verković under the "politically correct" titles 'Collection' and 'Macedonian Folk Songs' are some of the examples quoted by the Bulgarians. A common practice in Skopje-driven publishing activity was to substitute any single mention of the word "Bulgarian" in old texts with "Macedonian". The issue has soured the relations of Bulgaria with former Yugoslavia and later with the Republic of North Macedonia for decades.
Foundation of North Macedonia as an independent state
Kiro Gligorov, the president of Yugoslav Macedonia, sought to keep his republic outside the fray of the Yugoslav wars in the early 1990s. Yugoslav Macedonia's very existence had depended on the active support of the Yugoslav state and Communist Party. As both began to collapse, the Macedonian authorities allowed and encouraged a stronger assertion of Macedonian national identity than before. This included toleration of demands from Macedonian nationalists for the reunification of Macedonia. The Albanians in the Republic of Macedonia were unhappy about an erosion of their national rights in the face of a more assertive Macedonian nationalism. Some nationalist Serbs called for the republic's re-incorporation into Serbia, although in practice this was never a likely prospect, given Serbia's preoccupation with the wars in Bosnia and Croatia and the relatively small number of Serbs in the Republic of Macedonia compared to Croatia and Bosnia and Herzegovina.
As communism fell throughout Eastern Europe in the late 20th century, Yugoslav Macedonia followed its other federation partners and declared its independence from Yugoslavia in late 1991. In 1991, the (then Socialist) Republic of Macedonia held a referendum on independence which produced an overwhelming majority in favour of independence. The referendum was boycotted by the ethnic Albanians, although they did create ethnic political parties and actively contributed in the Macedonian government, parliament etc. The republic seceded peacefully from the Yugoslav federation, declaring its independence as the Socialist Republic of Macedonia. Bulgaria was consequently the first country to officially recognize the Republic of Macedonia's independence – as early as February 1992, followed by other countries as well. The new Macedonian constitution took effect 20 November 1991 and called for a system of government based on a parliamentary democracy. Kiro Gligorov became the first President of the new independent state, succeeded by Boris Trajkovski. In early January 2001 armed conflict took place between the ethnic Albanian National Liberation Army (UÇK) militant group and the Republic of Macedonia's security forces. The conflict partially ended with the signing of the Ohrid Framework Agreement by the government of the Republic of Macedonia and Albanian representatives on 13 August 2001, which provided for greater rights for Macedonian Albanian population. In January 2002, the Macedonian conflict ended when the amnesty was announced to Albanian irregulars and rebels. Occasional unrest continued throughout 2002.
Controversy between North Macedonia and Greece
Slavs first arrived in the region late 6th and early 7th centuries AD when Slavic-speaking populations overturned Macedonia's ethnic composition. As a result, the appropriation by the "Republic of Macedonia" of what Greece held as its "Greek symbols", raised concerns in Greece as well as fuelling nationalist anger. This anger was reinforced by the legacy of the Civil War and the view in some quarters, that members of Greece's Slavic-speaking minority were pro-Yugoslavian and presented a danger to its borders. The status of the Republic of Macedonia became a heated political issue in Greece where demonstrations took place in Athens while one million Macedonian Greeks took to the streets in Thessaloniki in 1992, under the slogan: "Macedonia is Greek", referring to the name and ancient history of the region, not posing a territorial claim against their northern neighbor. Initially, the Greek government objected formally to any use of the name Macedonia (including any derivative names) and also to the use of symbols such as the Vergina Sun. On the other hand, also in 1992, demonstrations by more than 100,000 ethnic Macedonians took place in Skopje, the capital of the Republic of Macedonia.
The controversy was not just nationalist, but it also played out in Greece's internal politics. The two leading Greek political parties, the ruling conservative New Democracy under Constantine Mitsotakis and the socialist PASOK under Andreas Papandreou, sought to outbid each other in whipping up nationalist sentiment and the long-term (rather than immediate) threat posed by the apparent irredentist policies of Skopje. To complicate matters further, New Democracy itself was divided; the then prime minister, Mitsotakis, favored a compromise solution on the Macedonian question, while his foreign minister Adonis Samaras took a hard-line approach. The two eventually fell out and Samaras was sacked, with Mitsotakis reserving the foreign ministry for himself. He failed to reach an agreement on the Macedonian issue despite United Nations mediation; he fell from power in October 1993, largely as a result of Samaras causing the government's majority of one to fall in September 1993.
When Andreas Papandreou took power following the October 1993 elections, he established a "hard line" position on the issue. The United Nations recommended recognition of the Republic of Macedonia under the temporary name of the "former Yugoslav Republic of Macedonia", which would be used internationally while the country continued to use "Republic of Macedonia" as its constitutional name. The United States and European Union (therefore, including Greece) agreed to this proposal and duly recognised the Republic of Macedonia. This was followed by new, though smaller demonstrations in Greek cities against what was termed a "betrayal" by Greece's allies. Papandreou supported and encouraged the demonstrations, boosting his own popularity by taking the "hard line" against Macedonia. In February 1994, he imposed a total trade embargo on the country, with the exception of food, medicines and humanitarian aid. The effect on Macedonia's economy was limited, mainly because the real damage to its economy had been caused by the collapse of Yugoslavia and the loss of central European markets due to the war. Also, many Greeks broke the trade embargo by entering through Bulgaria. However, the embargo had bad impact on Macedonia's economy as the country was cut off from the port of Thessaloniki and became landlocked because of the UN embargo on Yugoslavia to the north, and the Greek embargo to the south. Later, the signing of the Interim accord between Greece and Macedonia marked the increased cooperation between the two neighboring states. The blockade had a political cost for Greece, as there was little understanding or sympathy for the country's position, and exasperation over what was seen as Greek obstructionism from some of its European Union partners. Athens was criticized in some quarters for contributing to the rising tension in the Balkans, even though the wars in the former Yugoslavia were widely seen as having been triggered by the premature recognition of its successor republics, a move to which Greece had objected from the beginning. It later emerged that Greece had only agreed to the dissolution of Yugoslavia in return for EU solidarity on the Macedonian issue. In 1994, the European Commission took Greece to the European Court of Justice in an effort to overturn the embargo, but while the court provisionally ruled in Greece's favor, the embargo was lifted by Athens the following year before a final verdict was reached. This was for the Republic of Macedonia and Greece to enter into an "interim agreement" in which Macedonia agreed to remove any implied territorial claims to the greater Macedonia region from its constitution and to drop the Vergina Sun from its flag. In return, Greece lifted the blockade.
Before 2019, most countries recognized North Macedonia under its former constitutional name, the Republic of Macedonia, notably the United States, the People's Republic of China and Russia, and also its neighbours Bulgaria, Serbia, (See: List of countries' positions in the Macedonia naming dispute) although as the country was referred in the UN only under the provisional reference the "former Yugoslav Republic of Macedonia", the constitutional name was generally used only in bilateral relations and in relations where a state not recognising the former constitutional name was not a party.
Discussions continued over the Greek objection regarding the country's name, with the Greek government linking progress on the issue to the Republic of Macedonia's accession to the European Union and NATO (for more on this, see Accession of Macedonia to the European Union).
Macedonia, Croatia and Albania were qualified to join NATO and an invitation for those three countries was planned to be issued on the NATO summit in Bucharest (Romania), in April 2008. Before the beginning of the summit, the American president Bush said that NATO would make a historic decision on the admission of three Balkan nations: Croatia, Albania and Macedonia; and that the United States strongly supported inviting these nations to join NATO. However, during the summit NATO leaders decided not to extend a membership invitation to Macedonia because Greece vetoed the move after the dispute over the name issue. The Macedonian representative and negotiator with Greece in the name issue complained that the Republic of Macedonia was punished not because it had failed to fulfill NATO accession criteria, but because it had been trying to defend its national identity. The NATO leaders agreed to extend a membership invitation for Macedonia as soon as the name issue with Greece is resolved.
In November 2008, Republic of Macedonia filed a lawsuit against Greece before the International Court of Justice in The Hague accusing Athens that it violated the Interim Accord by blocking its NATO membership. In 1995, the two countries signed an agreement by which Macedonia agreed to use the provisional reference in international organizations, while Greece pledged not to block Macedonia's integration into the European Union and NATO.
In March 2009, the European Parliament expressed support for the Republic of Macedonia's EU candidacy and asked the EU to grant the country a date for the start of accession talks by the end of 2009, regretting that the country is waiting three years after the country was granted a candidate status, which makes a demoralizing effect on Macedonia and brings risks of destabilizing the whole region. The parliament also recommended a speedy lifting of the visa regime for the country's citizens.
Controversy between North Macedonia and Bulgaria
The number of ethnic Macedonians in Bulgaria is controversial as several Bulgarian censuses showed conflicting numbers of ethnic Macedonians living in that country. As the Bulgarian authorities did not publish the results of the 1946 census regarding the number of ethnic Macedonians in Bulgaria, Yugoslav sources claimed that some 252,000 people declared themselves as Macedonians in that census. Bulgarian embassy in London in 1991 stated that some 169,000 people were recorded as Macedonians on the same census. The census in 1956 registered 187,789 ethnic Macedonians in Bulgaria. During this period the Macedonian Language was to be the official language of Pirin Macedonia. In 1992 the number of the ethnic Macedonians was 10,803 and in 2001 only 5,071 citizens declared as ethnic Macedonians. Bulgarian governments and public opinion throughout the period continued their policy of non-recognition of Macedonians as a distinct ethnic group. The recent Bulgarian view on the issue is that the Bulgarian policy after the Second World War regarding the Macedonians in Bulgaria was conducted despite the unwillingness of the local population to cooperate, in the conditions of the pressure and reprisals by the Bulgarian communists authorities against the Bulgarians in Pirin Macedonia. After 1958 when the pressure from Moscow decreased, Sofia turned back to the view that the separate Macedonian language did not exist and that the Macedonians in Blagoevgrad province (Pirin Macedonia) were actually Bulgarians.
There are several ethnic Macedonian organizations in Bulgaria: "Traditional Macedonian Organization Ilinden", later renamed the "IMRO independent – Ilinden", registered in 1992 at the Sofia City Court. Later, in 1998, the organization was registered as a public NGO. The "United Macedonian Organization (UMO) – Ilinden" is another organization. In 1990, the Blagoevgrad District Court refused to register this organization as some parts of the organization statute were not in accordance with the Bulgarian Constitution. In October 1994 this association split up on three different factions. Later two wings were unified under the "UMO Ilinden – PIRIN" organization. In 1998 the European Commission of Human Rights gave admissibility to two out of five complaints of Macedonians from Pirin Macedonia. After the Bulgarian Electoral Committee endorsed in 2001 the registration of a wing of UMO Ilinden, which had dropped separatist demands from its Charter, the mother organization became largely inactive. In 2007, the Sofia City Court refused registration of UMO Ilinden Pirin organization, despite an October 2005 ruling by the European Court of Human Rights that a previous ban of the party violated rights to freedom of association and assembly. In November the European Parliament Rapporteur on Bulgaria and the Enlargement Commissioner of the European Commission urged the government to register the organization.
There were repeated complaints of official harassment of ethnic Macedonian activists in the 1990s. Attempts of ethnic Macedonian organization UMO Ilinden to commemorate the grave of revolutionary Yane Sandanski throughout the 1990s were usually hampered by the Bulgarian police. Several incidents of mobbing of UMO Ilinden members by Bulgarian Macedonian organization IMRO activists were also reported.
There is a newspaper published by the Macedonian organizations in Bulgaria, Narodna Volja ("People's Will"), which is printed in 2,500 copies.
Some cases of harassment of organisations of the Bulgarians in Republic of Macedonia and activists have been reported. In 2000 several teenagers threw smoke bombs at the conference of Bulgarian organisation Radko in Skopje, causing panic and confusion among the delegates. The Macedonian Constitutional Court annulled the status and program of the organisation (hence terminating its existence), as those documents question the constitutional establishment of Macedonia and creating national and religious hatred and intolerance. Since then, apparently there are very little or not reported public activities of that organization.
In 2001 Radko issued in Skopje the original version of the folk song collection Bulgarian Folk Songs by the Miladinov Brothers (issued under an edited name in the Republic of Macedonia and viewed as a collection of Slav Macedonian lyrics). The book triggered a wave of other publications, among which the memoirs of the Greek bishop of Kastoria, in which he talked about the Greek-Bulgarian church struggle at the beginning of the 20th century, as well the Report of the Carnegie Commission on the causes and conduct of the Balkan Wars from 1913. Neither of these addressed the ethnic Macedonian population of Macedonia as Macedonians but as Bulgarians. Being the first publications to question the official Macedonian position of the existence of a distinct Macedonian identity going back to the time of Alexander the Great (Macedonism), the books triggered a reaction of shock and disbelief in Macedonian public opinion. The scandal after the publication of Bulgarian Folk Songs resulted in the sacking of the Macedonian Minister of Culture, Dimitar Dimitrov.
As of 2000, Bulgaria started to grant Bulgarian citizenship to members of the Bulgarian minorities in a number of countries, including the Republic of Macedonia. The vast majority of the applications have been from Macedonian citizens. As of May 2004, some 14,000 Macedonians had applied for a Bulgarian citizenship on the grounds of Bulgarian origin and 4,000 of them had already received their Bulgarian passports. According to the official Bulgarian sources, in the period between 2000 and 2006 some 30,000 Macedonian citizens applied for Bulgarian citizenship, attracted by the Bulgaria's recent positive development and the opportunity to get European Union passports after Bulgaria joined EU on the beginning of 2007. In 2006 the former Macedonian Premier and chief of IMRO-DPMNE Ljubčo Georgievski became a Bulgarian citizen. As of 2020, some 77,000 ethnic Macedonians have applied for Bulgarian citizenship.
The rules governing good neighbourly relations agreed between Bulgaria and the Republic of Macedonia were set in the Joint Declaration of 22 February 1999 reaffirmed by a joint memorandum signed on 22 January 2008 in Sofia. There are regular contacts between the Macedonian and Bulgarian officials, confirming the relatively good relationships between the two neighboring countries.
Bulgaria has proposed to sign a treaty (based on that 1999 Joint Declaration) guaranteeing the good neighbourly relations between the two countries, to enable Bulgarian support for the accession of the Republic of Macedonia to the European Union.
See also
Macedonia (terminology)
Demographic history of Macedonia
Macedonia (Greece)
Republic of North Macedonia
Blagoevgrad Province
History of Albania
History of the Balkans
History of Bulgaria
History of Greece
History of Greek Macedonia
History of the Republic of North Macedonia
History of Serbia
Macedonian nationalism
Irredentism
List of homonymous states and regions
Notes
References
Sources
External links
Historical regions
Geography of Southeastern Europe
Divided regions
Historical regions in Albania
Historical regions in Bulgaria
Historical regions in Greece
Historical regions in Serbia |
19079 | https://en.wikipedia.org/wiki/History%20of%20North%20Macedonia | History of North Macedonia | The history of North Macedonia encompasses the history of the territory of the modern state of North Macedonia.
Prehistory
Ancient period
In antiquity, most of the territory that is now North Macedonia was included in the kingdom of Paeonia, which was populated by the Paeonians, a people of Thracian origins, but also parts of ancient Illyria, Ancient Macedonians populated the area in the south, living among many other tribes and Dardania, inhabited by various Illyrian peoples, and Lyncestis and Pelagonia populated by the ancient Greek Molossian tribes. None of these had fixed boundaries; they were sometimes subject to the Kings of Macedon, and sometimes broke away.
In the late 6th century BC, the Achaemenid Persians under Darius the Great conquered the Paeonians, incorporating what is today North Macedonia within their vast territories. Following the loss in the Second Persian invasion of Greece in 479 BC, the Persians eventually withdrew from their European territories, including from what is today North Macedonia.
In 336 BC Philip II of Macedon fully annexed Upper Macedonia, including its northern part and southern Paeonia, which both now lie within North Macedonia. Philip's son Alexander the Great conquered most of the remainder of the region, incorporating it in his empire, with exclusion of Dardania. The Romans included most of the Republic in their province of Macedonia, but the northernmost parts (Dardania) lay in Moesia; by the time of Diocletian, they had been subdivided, and the Republic was split between Macedonia Salutaris and Moesia prima. Little is known about the Slavs before the 5th century.
Medieval period
At this period the area divided from the Jireček Line was populated from people of Thraco-Roman or Illyro-Roman origins, as well from Hellenized citizens of the Byzantine Empire and Byzantine Greeks. The ancient languages of the local Thraco-Illyrian people had already gone extinct before the arrival of the Slavs, and their cultural influence was highly reduced due to the repeated barbaric invasions on the Balkans during the early Middle Ages, accompanied by persistent hellenization, romanisation and later slavicisation. South Slavic tribes settled in the territory of present-day North Macedonia in the 6th century. The Slavic settlements were referred to by Byzantine Greek historians as "Sklavinies". The Sklavinies participated in several assaults against the Byzantine Empire - alone or aided by Bulgars or Avars. Around 680 AD the Bulgar group, led by khan Kuber (who belonged to the same Dulo clan as the Danubian Bulgarian khan Asparukh), settled in the Pelagonian plain, and launched campaigns to the region of Thessaloniki.
In the late 7th century Justinian II organized massive expeditions against the Sklaviniai of the Greek peninsula, in which he reportedly captured over 110,000 Slavs and transferred them to Cappadocia. By the time of Constans II (who also organized campaigns against the Slavs), the significant number of the Slavs of Macedonia were captured and transferred to central Asia Minor where they were forced to recognize the authority of the Byzantine emperor and serve in its ranks.
Use of the name "Sklavines" as a nation on its own was discontinued in Byzantine records after circa 836 as those Slavs in the Macedonia region became a population in the First Bulgarian Empire. Originally two distinct peoples, Sklavines and Bulgars, the Bulgars assimilated the Slavic language/identity whilst maintaining the Bulgarian demonym and name of the empire. Slavic influence in the region strengthened along with the rise of this state, which incorporated the entire region to its domain in AD 837. Saints Cyril and Methodius, Byzantine Greeks born in Thessaloniki, were the creators of the first Slavic Glagolitic alphabet and Old Church Slavonic language. They were also apostles-Christianizators of the Slavic world. Their cultural heritage was acquired and developed in medieval Bulgaria, where after 885 the region of Ohrid became a significant ecclesiastical center with the nomination of the Saint Clement of Ohrid for "first archbishop in Bulgarian language" with residence in this region. In conjunction with another disciple of Saints Cyril and Methodius, Saint Naum, he created a flourishing Bulgarian cultural center around Ohrid, where over 3,000 pupils were taught in the Glagolitic and Cyrillic script in what is now called Ohrid Literary School.
At the end of the 10th century, much of what is now North Macedonia became the political and cultural center of the First Bulgarian Empire under Tsar Samuel; while the Byzantine emperor Basil II came to rule the eastern part of the empire (what is now Bulgaria), including the then capital Preslav, in 972. A new capital was established at Ohrid, which also became the seat of the Bulgarian Patriarchate. From then on, the Bulgarian model became an integral part of wider Slavic culture as a whole. After several decades of almost incessant fighting, Bulgaria came under Byzantine rule in 1018. The whole of North Macedonia was incorporated into the Byzantine Empire as Theme of Bulgaria and the Bulgarian Patriarchate was reduced in rank to an archbishopric, the Archbishopric of Ohrid.
Dobromir Chrysos rebelled against the emperor and after an unsuccessful imperial campaign in autumn 1197, the emperor sued for peace and recognized Dobromir-Chrysus’ rights to lands between the Strymon and Vardar, including Strumica and the fortress of Prosek.
In the 13th and 14th centuries, Byzantine control was punctuated by periods of Bulgarian and Serbian rule. For example, Konstantin Asen - a former nobleman from Skopje - ruled as tsar of Bulgaria from 1257 to 1277. Later, Skopje became a capital of the Serbian Empire under Stefan Dušan. After the dissolution of the empire, the area became a domain of independent local Serbian rulers from the Mrnjavčević and Dragaš houses. The domain of the Mrnjavčević house included western parts of present-day North Macedonia and domains of the Dragaš house included eastern parts. The capital of the state of Mrnjavčević house was Prilep. There are only two known rulers from the Mrnjavčević house - king Vukašin Mrnjavčević and his son, king Marko. King Marko became a vassal of the Ottoman Empire and later died in the Battle of Rovine.
During the period in the 12th, 13th and early 14th century, parts of modern western North Macedonia were under the rule of the Albanian Noble Gropa family, which ruled territories between Ohrid and Debar. The city of Debar and some other territories after the ending rule of Gropa Noble family, were ruled by the Albanian Royal House of Kastrioti which ruled the Principality of Kastrioti during the end of the 14th century and the first half of the 15th century. After the death of the Albanian Prince Gjon Kastrioti in 1437, many parts of his domains were conquered by the Ottoman Empire and shortly after this, during the 15th century were again restored into the Albanian rule of League of Lezhë led by Gjergj Kastrioti Skanderbeg. During this period, western territories of modern North Macedonia became battleground between the Albanian and Ottoman armies. Some of the battles that took place in the territory of Macedonia were the Battle of Polog, Battle of Mokra, Battle of Ohrid, Battle of Otonetë, Battle of Oranik and many others. Skanderbeg's Campaign into Macedonia also took place. With the death of Skanderbeg on the 17th of January 1468 the Albanian Resistance began to fall. After the death of Skanderbeg the Albanian League was led by Lekë Dukagjini, but it did not have the same success as before and the last Albanian strongholds were conquered in 1479 in the Siege of Shkodër.
Ottoman period
Conquered by the Ottoman army at the end of the 14th century, the region remained a part of the Ottoman Empire for over 500 years, as part of the province or Eyalet of Rumelia. During this in the second half of the 15th century the Albanian Leader of the League of Lezhë, Skanderbeg was able to occupy places in modern western North Macedonia that were under Ottoman rule like the then well known city of Ohrid (Albanian Ohër) in the Battle of Ohrid. Tetovo (Battle of Polog) and many other places. The Albanian forces under Skanderbeg penetrated deep into modern North Macedonia in the Battle of Mokra. But this did not last long and the places were again occupied by the Ottomans. Rumelia (Turkish: Rumeli) means "Land of the Romans" in Turkish, referring to the lands conquered by the Ottoman Turks from the Byzantine Empire.). Over the centuries Rumelia Eyalet was reduced in size through administrative reforms, until by the nineteenth century it consisted of a region of central Albania and north-western part of the current state of North Macedonia with its capital at Manastir or present day Bitola. Rumelia Eyalet was abolished in 1867 and the territory of North Macedonia subsequently became part of the provinces of Manastir Vilayet, Kosovo Vilayet and Salonica Vilayet until the end of Ottoman rule in 1912.
During the period of Ottoman rule the region gained a substantial Turkish minority, especially in the religious sense of Muslim; some of those Muslims became so through conversions. During the Ottoman rule, Skopje and Monastir (Bitola) were capitals of separate Ottoman provinces (eyalets). The valley of the river Vardar, which was later to become the central area of North Macedonia, was ruled by the Ottoman Empire prior to the First Balkan War of 1912, with the exception of the brief period in 1878 when it was liberated from Ottoman rule after the Russo-Turkish War (1877–78), becoming part of Bulgaria. In 1903, a short-lived Kruševo Republic was proclaimed in the south-western part of present-day North Macedonia by the rebels of the Ilinden–Preobrazhenie Uprising. Most of the ethnographers and travellers during Ottoman rule classified Slavic speaking people in Macedonia as Bulgarians. Examples include the 17th century traveller Evliya Çelebi in his Seyahatname: Book of Travels to the Ottoman census of Hilmi Pasha in 1904 and later. However, they also remarked that the language spoken in Macedonia had somewhat of a distinctive character — often described as a "Western Bulgarian dialect" as other Bulgarian dialects in modern western Bulgaria. Evidence also exists that certain Macedonian Slavs, particularly those in the northern regions, considered themselves as Serbs, on the other hand the intention to join Greece predominated in southern Macedonia where it was supported by substantial part of the Slavic-speaking population too. Although references are made referring to Slavs in Macedonia being identified as Bulgarians, some scholars suggest that ethnicity in medieval times was more fluid than what we see it to be today, an understanding derived from nineteenth century nationalistic ideals of a homogeneous nation-state.
During the period of Bulgarian National Revival, many Bulgarians from Vardar Macedonia supported the struggle for creation of Bulgarian cultural educational and religious institutions, including Bulgarian Exarchate.
1912–1944
The region was captured by the Kingdom of Serbia during First Balkan War of 1912 and was subsequently annexed to Serbia in the post-war peace treaties except Strumica region was part of Bulgaria between 1912 and 1919. It had no administrative autonomy and was called South Serbia () or "Old Serbia" (). It was occupied by the Kingdom of Bulgaria between 1915 and 1918. After the First World War, the Kingdom of Serbia joined the newly formed Kingdom of Serbs, Croats and Slovenes. In 1929, the kingdom was officially renamed the Kingdom of Yugoslavia and was divided into provinces called banovinas. The territory of Vardar Banovina had Skopje as its capital and it included what eventually became modern North Macedonia.
After World War I (1914–1918) the Slavs in Serbian Macedonia ("Vardar Macedonia") were regarded as southern Serbs and the language they spoke a southern Serbian dialect. The Bulgarian, Greek and Romanian schools were closed, the Bulgarian priests and all non-Serbian teachers were expelled. The policy of Serbianization in the 1920s and 1930s clashed with pro-Bulgarian sentiment stirred by Internal Macedonian Revolutionary Organization (IMRO) detachments infiltrating from Bulgaria, whereas local communists favoured the path of self-determination.
In 1925, D. J. Footman, the British vice consul at Skopje, addressed a lengthy report for the Foreign Office. He wrote that "the majority of the inhabitants of Southern Serbia are Orthodox Christian Macedonians, ethnologically more akin to the Bulgarians than to the Serbs. He also pointed to the existence of the tendency to seek an independent Macedonia with Salonica as its capital." During World War II, the Vardar Banovina was occupied between 1941 and 1944 by Italian-ruled Albania, which annexed the Albanian-populated western regions, and pro-German Bulgaria, which occupied the remainder. The occupying powers persecuted those inhabitants of the province who opposed the regime; this prompted some of them to join the Communist resistance movement of Josip Broz Tito. However, the Bulgarian army was well received by most of the population when it entered Macedonia and it was able to recruit from the local population, which formed as much as 40% to 60% of the soldiers in certain battalions.
1944–1949
Following World War II, Yugoslavia was reconstituted as a federal state under the leadership of Tito's Yugoslav Communist Party. When the former Vardar province was established in 1944, most of its territory was transferred into a separate republic while the northernmost parts of the province remained with Serbia. In 1946, the new republic was granted federal status as an autonomous "People's Republic of Macedonia" within the new Socialist Federal Republic of Yugoslavia. In the 1963 Constitution of Yugoslavia it was slightly renamed, to bring it in line with the other Yugoslav republics, as the Socialist Republic of Macedonia.
Greece was concerned by the initiatives of the Yugoslav government, as they were seen as a pretext for future territorial claims against the Greek region of Macedonia, which formed the bulk of historical Macedonia. The Yugoslav authorities also promoted the development of the Macedonians' ethnic identity and Macedonian language. The Macedonian language was codified in 1944 (Keith 2003), from the Slavic dialect spoken around Veles. This further angered both Greece and Bulgaria, because of the possible territorial claims of the new states to the Greek and Bulgarian parts of the historic region of Macedonia received after the Balkan Wars.
During the Greek Civil War (1944–1949), many Macedonians (regardless of ethnicity) participated in the ELAS resistance movement organized by the Communist Party of Greece. ELAS and Yugoslavia were on good terms until 1949, when they split due to Tito's lack of allegiance to Joseph Stalin (cf. Cominform). After the end of the war, the ELAS fighters who took refuge in southern Yugoslavia and Bulgaria were not all permitted by Greece to return: only those who considered themselves Greeks were allowed, whereas who considered themselves Bulgarian or Macedonian Slavs were barred. These events also contributed to the bad state of Yugoslav-Greek relations in the Macedonia region.
Independence
In 1990, the form of government peacefully changed from socialist state to parliamentary democracy. The first multi-party elections were held on 11 and 25 November and 9 December 1990. After the collective presidency led by was dissolved, Kiro Gligorov became the first democratically-elected president of the Republic of Macedonia on 31 January 1991. On 16 April 1991, the parliament adopted a constitutional amendment removing "Socialist" from the official name of the country, and on 7 June of the same year, the new name, "Republic of Macedonia", was officially established.
On 8 September 1991, the country held an independence referendum where 95.26% voted for independence from Yugoslavia, under the name of the Republic of Macedonia. The question of the referendum was formulated as "Would you support independent Macedonia with the right to enter future union of sovereign states of Yugoslavia?" (Macedonian: Дали сте за самостојна Македонија со право да стапи во иден сојуз на суверени држави на Југославија?). On 25 September 1991 the Declaration of Independence was formally adopted by the Macedonian Parliament making the Republic of Macedonia an independent country - although in Macedonia independence day is still celebrated as the day of the referendum 8 September. A new Constitution of the Republic of Macedonia was adopted on 17 November 1991.
Following the breakup of Yugoslavia, the position of ethnic Albanians was uncertain in the early years of the new Macedonian republic. Various Albanian political parties emerged, of which the Party for Democratic Prosperity (PDP) was the largest and most prominent. The PDP called for the improvement of the status of Albanians in North Macedonia, such as extended education rights and Albanian language usage, constitutional changes, release of political prisoners, proportional voting system and an end to discrimination. Discontent with the lack of constitutional recognition of collective rights for Albanians resulted in PDP leader Nevzat Halili declaring his party would regard the constitution as invalid and move toward seeking autonomy, declaring a Republic of Ilirida in 1992 and again in 2014. The proposal has been declared unconstitutional by the Macedonian government.
Bulgaria was the first country to recognize the new Macedonian state under its constitutional name. However, international recognition of the new country was delayed by Greece's objection to the use of what it considered a Hellenic name and national symbols, as well as controversial clauses in the Republic's constitution, a controversy known as the Macedonia naming dispute. To compromise, the country was admitted to the United Nations under the provisional name of "the former Yugoslav Republic of Macedonia" on 8 April 1993.
Greece was still dissatisfied and it imposed a trade blockade in February 1994. The sanctions were lifted in September 1995 after Macedonia changed its flag and aspects of its constitution that were perceived as granting it the right to intervene in the affairs of other countries. The two neighbours immediately went ahead with normalizing their relations, but the state's name remains a source of local and international controversy. The usage of each name remains controversial to supporters of the other.
After the state was admitted to the United Nations under the temporary reference "the former Yugoslav Republic of Macedonia", other international organisations adopted the same convention. More than half of the UN's member states have recognized the country as the Republic of Macedonia, including the United States of America while the rest use the temporary reference "the former Yugoslav Republic of Macedonia" or have not established any diplomatic relations with the country.
In 1999, the Kosovo War led to 340,000 Albanian refugees from Kosovo fleeing into the Republic of Macedonia, greatly disrupting normal life in the region and threatening to upset the balance between Macedonians and Albanians. Refugee camps were set up in the country. Athens did not interfere with the Republic's affairs when NATO forces moved to and from the region ahead a possible invasion of the Federal Republic of Yugoslavia. Thessaloniki was the main depot for humanitarian aid to the region. The Republic of Macedonia did not become involved in the conflict.
In end the war, Yugoslav president Slobodan Milošević reached an agreement with NATO which allowed refugees to return under UN protection. However, the war increased tensions and relations between ethnic Macedonians and Albanian Macedonians became strained. On the positive side, Athens and Ankara presented a united front of 'non-involvement'. In Greece, there was a strong reaction against NATO and the United States.
2000s
In the spring of 2001, ethnic Albanian insurgents calling themselves the National Liberation Army (some of whom were former members of the Kosovo Liberation Army) took up arms in the north and northwest of the Republic of Macedonia. They demanded that the constitution be rewritten to enshrine certain Albanian minority interests such as language rights. The guerillas received support from Albanians in NATO-controlled Kosovo and Albanian guerrillas in the demilitarized zone between Kosovo and the rest of Serbia. The fighting was concentrated in and around Tetovo, the fifth largest city in the country, and in the wider regions of Skopje, the capital, and Kumanovo, the third largest city.
After a joint NATO-Serb crackdown on Albanian guerrillas in Kosovo, European Union (EU) officials were able to negotiate a cease-fire in June. The government would give Macedonian Albanians greater civil rights, and the guerrilla groups would voluntarily relinquish their weapons to NATO monitors. This agreement was a success, and in August 2001 3,500 NATO soldiers conducted "Operations Essential Harvest" to retrieve the arms. Directly after the operation finished in September the NLA officially dissolved itself. Ethnic relations have since improved significantly, although hardliners on both sides have been a continued cause for concern and some low level violence continues particularly directed against police.
On 26 February 2004, President Boris Trajkovski died in a plane crash near Mostar, Bosnia and Herzegovina. The results of the official investigation revealed that the cause of the plane accident was procedural mistakes by the crew, committed during the approach to land at Mostar Airport.
In March 2004, the country submitted an application for membership of the European Union, and on 17 December 2005 was listed by the EU Presidency conclusions as an accession candidate (as "the former Yugoslav Republic of Macedonia"). However, accession proceedings were delayed due to opposition by Greece until the 2018 resolution of the Macedonia naming dispute, and later by Bulgaria due to unresolved differences between the two countries on the history of the region and what is perceived as "anti-Bulgarian ideology".
2010s - 2020s
In June 2018, the Prespa agreement was reached between the governments of Greece and the then-Republic of Macedonia to rename the latter the Republic of North Macedonia, or North Macedonia for short. This agreement, after it had been accepted by the respective legislatures of both countries, came into effect on 12 February 2019, thus ending the disputes.
In June 2017, Zoran Zaev of Social Democratic Party, became new Prime Minister six months after early elections. The new center-left government ended 11 years of conservative VMRO-DPMNE rule led by former Prime Minister Nikola Gruevski.
The early parliamentary elections took place on July 15, 2020. Zoran Zaev has served as the Prime Minister of the Republic of North Macedonia again since August 2020. Stevo Pendarovski was sworn in as North Macedonia's new president in May 2019. Prime minister Zoran Zaev announced his resignation after his party, the Social Democratic Union, suffered losses in local elections in October 2021
See also
Breakup of Yugoslavia
History of Albania
History of the Balkans
History of Bulgaria
History of Europe
History of Greece
History of Kosovo
History of Serbia
History of Turkey
History of Yugoslavia
Macedonia (region)
Macedonian nationalism
United Macedonia
Military history of North Macedonia
Independent State of Macedonia
League of Communists of Yugoslavia
President of the Republic of North Macedonia
List of prime ministers of North Macedonia
List of presidents of Yugoslavia
List of prime ministers of Yugoslavia
Politics of North Macedonia
References
Dalibor Jovanovski, “Greek Historiography and the Balkan Wars”, On Macedonian Matters. From the partition and annexation of Macedonia in 1913 to the present (Verlag Otto Sagner: Munich, Berlin, 2015). http://s3.amazonaws.com/academia.edu.documents/38056455/dalibor_statija.pdf [archive]
Notes
Further reading
External links
The Holocaust in Macedonia, 1941-1945: 7,000 Jews were deported from Bulgarian annexed Macedonia.
The Holocaust in Bitola, 1941-1945: 3,000 Jews were deported from Bulgarian annexed Macedonia.
The Mariovo in Macedonia, 1564: Mariovo People and Macedonia.
New Power – Federated Yugoslavia
History of Macedonia: Primary Documents
Discover Macedonia – Discover North Macedonia on Facebook |
19080 | https://en.wikipedia.org/wiki/Geography%20of%20North%20Macedonia | Geography of North Macedonia | North Macedonia is a country situated in southeastern Europe with geographic coordinates , bordering Kosovo and Serbia to the north, Bulgaria to the east, Greece to the south and Albania to the west. The country is part of the wider region of Macedonia and makes up most of Vardar Macedonia. The country is a major transportation corridor from Western and Central Europe to Southern Europe and the Aegean Sea. North Macedonia is a landlocked country but has three major natural lakes: Lake Ohrid, Lake Prespa and Lake Dojran. It has a water area of 857 km2, while its land area is 24,856 km2.
Phytogeographically, Macedonia belongs to the Illyrian province of the Circumboreal Region within the Boreal Kingdom. According to the WWF and Digital Map of European Ecological Regions by the European Environment Agency, North Macedonia's territory can be subdivided into four ecoregions: the Pindus Mountains mixed forests, Balkan mixed forests, Rhodopes mixed forests and Aegean sclerophyllous and mixed forests.
Climate
North Macedonia has a unique climate explained by its location and topography. The climate of the plains is a Mediterranean climate combined with the influence of the Black Sea. The country also holds continental characteristics, which are accentuated by the mountains in the south which prevent hot air from the south from moving to the north. Conversely, the Šar Mountains, which are located in the northwestern part, block cold northern winds. In whole, the northern and western parts of the country are relatively close to a Continental climate and the southern and eastern to a Mediterranean climate.
North Macedonia has four seasons, but the lengths of the seasons varies based on geography. The spring is often very short. Summers are subtropical and it is not uncommon to see temperatures of above during this season, especially in the plains along the valley of the Vardar river. Winters, although moderate, can be quite cold. Snowfalls during winter are common and occasionally heavy. The average annual temperature of the air is , but the plains experience higher temperatures, . The warmest month is July, which has an average temperature of and the coldest is January, with a temperature of . The maximum and minimum temperatures recorded in North Macedonia to date are and , respectively.
The rainfall is abundant in the western and eastern parts of the country, but the temperature decreases significantly in the Vardar region. This region sees warmer winters through the Vardarec wind. This wind comes up from the mouth of the Vardar river and brings warm air. Skopje, considered a low-lying city, has an average of 64 rainy days per year. The month of October is the wettest with 61 mm; the driest is August with 28 mm. Rains are most common in the spring and fall.
Climate Facts:
Climatic data for Skopje :
Physical Geography
Boundaries
The country has some 766 km of boundaries, shared with Kosovo (159 km or 99 mi) to the northwest, Serbia (62 km or 39 mi) to the North, Bulgaria (148 km) to the east, Greece (246 km) to the south, and Albania (151 km) to the west.
The north border with Serbia and Kosovo is 221 kilometers in length. The border was made after World War II, between SR Macedonia and SR Serbia. But in 2008 when Kosovo declared independence the border with it was remarked again. Rather more than half of the boundary separates North Macedonia from Kosovo. From the tripoint with Albania, the boundary trends north-eastwards along the watershed of Šar Mountain. It describes a curve to the south across the River Lepenec and then turns to north-east to traverse Mount Crna before taking a course slightly to the north of east across the landscape features to the tripoint with Bulgaria.
The east border with Bulgaria has length of approximately 148 km. The settled boundary from Yugoslavia and the People's Republic of Bulgaria was accepted after the independence in 1992. The boundary starts from the tripoint with Greece, the boundary runs north, crossing the River of Strumica and then rising to the watershed which it follows northwards and then north-westwards to the tripoint with Serbia.
The south border that splits North Macedonia from Greece is 228 km long and it is the longest border. It was marked with the Treaty of Bucharest on 10 August 1913. The border starts from the tripoint with Albania, in Lake Prespa, the boundary runs in a straight line eastwards across the lake and then continues in the north of east trend across the relief to the Voras Oros (Nidže), where it turns north-eastwards. It traverses the watershed of the Voras Oros and then continues eastwards along the watershed before dropping to the valley of Vardar river. The boundary continues eastwards and then turns north across the Dojran lake, before, on the latitude of Valandovo, turning east to the tripoint with Bulgaria on Mount Tumba.
The boundary with Albania was marked first in 1926 and then remarked with the Treaty of Paris in 1947. The boundary starts from the tripoint with Kosovo and follows a watershed before crossing, and for a short distance, following the Black Drin river and continuing along a crest line to Ohrid Lake. It crosses the lake, leaving approximately one-third in Albania, traverses a high ridge and meets the tripoint with Greece in Lake Prespa.
Topography
North Macedonia is a landlocked country that is geographically clearly defined by a central valley formed by the Vardar river and framed along its borders by mountain ranges. The terrain is mostly rugged, located between the Šar Mountains and Osogovo, which frame the valley of the Vardar river. Three large lakes — Lake Ohrid, Lake Prespa and Dojran Lake — lie on the southern borders, bisected by the frontiers with Albania and Greece. Ohrid is considered to be one of the oldest lakes and biotopes in the world. The region is seismically active and has been the site of destructive earthquakes in the past, most recently in 1963 when Skopje was heavily damaged by a major earthquake, killing over 1,000.
North Macedonia also has scenic mountains. They belong to two different mountain ranges: the first is the Šar Mountains that continues to the West Vardar/Pelagonia group of mountains (Baba Mountain, Nidže, Kozuf and Jakupica), also known as the Dinaric range. The second range is the Osogovo–Belasica mountain chain, also known as the Rhodope range. The mountains belonging to the Šar Mountains and the West Vardar/Pelagonia range are younger and higher than the older mountains that are part of the Osogovo-Belasica mountain group. The ten highest mountains in North Macedonia are:
Hydrography
In North Macedonia there are 1,100 large sources of water. The rivers flow into three different basins: the Aegean, the Adriatic and that Black Sea basin.
The Aegean basin is the largest. It covers 87% of the country's territory, which is 22,075 km2 . Vardar, the largest river in this basin, drains 80% of the territory or 20,459 km2. Its valley plays an important part in the economy and the communication system of the country. The project named The Vardar Valley is considered to be crucial for the strategic development of the country.
The river Black Drim forms the Adriatic basin, which covers an area of about 3,320 km2, i. e. 13% of the territory. It issues from Lakes Prespa and Ohrid.
The Black Sea basin is the smallest with only 37 km2 It covers the northern side of Mount Skopska Crna Gora. Here is the source of the river Binačka Morava which joins the South Morava and later the Danube, which eventually flows into the Black Sea.
Despite being a landlocked country, North Macedonia has three large lakes (Ohrid, Prespa, and Dojran), three artificial lakes and roughly 50 ponds.
There are nine spa resorts in North Macedonia: Banište, Banja Bansko, Istibanja, Katlanovo, Kežovica, Kosovrasti, Banja Kočani, Kumanovski Banji and Negorci.
River Vardar
The Vardar is the longest and most important river in North Macedonia. It is long, and drains an area of around .
The river rises at Vrutok, a few kilometers north of Gostivar in the Republic of North Macedonia. It passes through Gostivar, Skopje and into Veles, crosses the Greek border near Gevgelija, Polykastro and Axioupoli, before emptying into the Aegean Sea in Central Macedonia west of Thessaloniki in northern Greece.
The Vardar basin includes two-thirds of the territory of the Republic of North Macedonia. For that the area is called "Vardar Macedonia" after the river, to distinguish it from "Aegean Macedonia" (in Greece) and "Pirin Macedonia" (in Bulgaria).
The valley comprises fertile lands in Polog, Gevgelija and other parts. The river is surrounded by mountains elsewhere. The M1 / E75, connecting with Greek National Road 1, runs through the valley along the river's entire length to near Skopje.
The river is depicted on the coat of arms of Skopje, which in turn is incorporated in the city's flag.
Lake Ohrid
Lake Ohrid (Macedonian: Охридско Езеро, Ohridsko Ezero) straddles the mountainous border between southwestern North Macedonia and eastern Albania. Lake Ohrid is the deepest lake of the Balkans, with a maximum depth of 288 m (940 ft) and a mean depth of 155 m (508 ft). It covers an area of , containing an estimated 55.4 km³ of water. It is 30.4 km long by 14.8 km wide at its maximum extent with a shoreline length of 87.53 km, shared between North Macedonia (56.02 km) and Albania (31.51 km). The lake drains an area of around 2600 km2 and is fed primarily by underground springs on the eastern shore (about 50% of total inflow), with roughly 25% shares from rivers and direct precipitation. Over 20% of the lake's water comes from nearby Lake Prespa, about to the southeast and at 150 m higher altitude than Lake Ohrid.
Similar to Lake Baikal and Lake Tanganyika, Lake Ohrid harbors endemic species covering the whole food-chain, from phytoplankton and sestile algae (20 species; e.g., Cyclotella fottii), over plant species (2 species; e.g., Chara ohridana), zooplankton (5 species; e.g., Cyclops ochridanus), cyprinid fish (8 species; e.g., Pachychilon pictus), to predatory fish (2 trout species; Ohrid trout Salmo letnica and "Belvica" Acantholingua ohridana) and finally its diverse endemic bottom fauna (176 species; e.g. Ochridagammarus solidus), with particularly large endemism among crustaceans, molluscs, sponges and planarians.
There are three cities on the lake's shores: Ohrid and Struga on North Macedonia's side; Pogradec in Albania. There are also several fishing villages, although tourism is now a more significant part of their income. The catchment area of the lake has a population of around 170,000 people, with 131,000 people living directly at the lake shore (43,000 in Albania and 88,000 in North Macedonia).
Lake Prespa
The Great Prespa Lake (Macedonian: Преспанско Езеро, Prespansko Ezero) is divided between Albania, Greece and North Macedonia. The biggest island in the Great Prespa Lake, on North Macedonia's side, is called Golem Grad ("Large Fortress"), or Snake Island (Змиски Остров). The other island Mal Grad ("Small Fortress", in Albania) is the site of a ruined 14th century monastery dedicated to St. Peter. Today, both islands are uninhabited. (See also: List of islands of the Republic of North Macedonia).
Because Great Prespa Lake sits about 150m above Lake Ohrid, which lies only about to the west, its waters run through underground channels in the karst and emerge from springs which feed streams running into Lake Ohrid.
Dojran Lake
Dojran Lake, located in southeastern North Macedonia, is the smallest of the three major lakes with an area of 42.7 km2. It is shared between North Macedonia (27.1 km2) and Greece (15.6 km2). The town of Dojran is situated on the west coast of the lake, while the Greek village of Mouries lies to the east. To the north is the mountain Belasica and to the south is the Greek town of Doirani. The lake is round in shape, has a maximum depth of 10 metres, has a north-to-south length of 8.9 km, and is 7.1 km at its widest.
Flora and fauna
The flora of North Macedonia is represented with around 210 families, 920 genera, and around 3,700 plant species. The most abundant group are the flowering plants with around 3,200 species, which is followed by mosses (350 species) and ferns (42).
Phytogeographically, North Macedonia belongs to the Illyrian province of the Circumboreal Region within the Boreal Kingdom. According to the WWF and Digital Map of European Ecological Regions by the European Environment Agency, the territory of the Republic can be subdivided into four ecoregions: the Pindus Mountains mixed forests, Balkan mixed forests, Rhodopes mixed forests and Aegean sclerophyllous and mixed forests.
Minerals and ores
North Macedonia is rich in low-grade iron ore, copper, lead, zinc, chromite, manganese, nickel, tungsten, gold, silver, asbestos, and gypsum. Also it is one of possibly two places in the world where the lorandite mineral is found.
Land use
16.1% of the country's territory is arable land.
1.36% of permanent crops
82.54% – other. (2011).
According to 2004 estimates, there are 1278 km2 of irrigated land, and 6.4 km3 of total renewable water resources.
Degradation and protection of the environment
In July 2007, fires were particularly visible in Greece, Albania and North Macedonia.
The environment is preserved in areas impractical and sparsely populated. In addition, the country has three major national parks, created under the Yugoslav regime of 1948–1958. The parks of Pelister, Mavrovo and Galičica cover an area of and allow for the protection of natural areas by their exceptional geological setting, their fauna and flora. The ornithological reserve of Ezerani, north of Lake Prespa, is 2,000 hectares big and is home to sixty animals protected by the Bern Convention.
However, if it is protected where man has little access, nature is threatened the outskirts of towns and villages. Indeed, in order to make North Macedonia, formerly rural and poor, a modern and prosperous country, the Yugoslav communist regime established many factories, often highly polluting. These factories, located mainly in the regions of Veles and Skopje are still functioning. The emissions of waste pollutants have decreased after 1991, after independence, because many companies have gone bankrupt or have reduced their activity after the transition to a market economy.
The other danger of degradation of nature lies in waste. Indeed, only the city of Skopje has a processing center for household waste in the rest of the country, so they are left in open dumps. The lack of resources and political will behind these fatal neglect for the environment.
North Macedonia is also experiencing serious problems in water management. The country, however should be able to secure its water through its dams and its sources. In summer, water restrictions are common. The summer period is also marked by the devastation of forests by wildfire. In 2008, six million trees were planted in North Macedonia to regenerate damaged forests.
The environmental degradation nevertheless mobilizes local groups and North Macedonia is a signatory to international treaties like the Kyoto Protocol.
The three national parks :
Human geography
Differences in population and urbanization
The Republic of North Macedonia consists primarily of rural country towns, with only 45% of the population concentrated in the larger towns and cities. Skopje, with more than 500,000 inhabitants, is by far the largest city in the country. The surrounding region, one of the few plains of the country, includes several other cities, like Tetovo and Gostivar. Bitola, Prilep and other significant cities, are located in the plain of Pelagonia in the south. The rest of the population is concentrated in the valley of the Vardar and the few other basins and plains of the country.
Urbanization, which is developing very fast since the communist era of Yugoslavia, has led to uncontrolled and illegal constructions. Other cities have not grown as fast as the capital, which has gained more than 300,000 inhabitants between 1948 and 1981. Bitola, Prilep and Kumanovo, the three other major cities, did not exceed 30,000 inhabitants in 1948 and have barely reached 100,000 people since. Kumanovo, which is the second largest city of North Macedonia, had only 105,000 inhabitants in 2002, which is substantial difference comparing it with the population of the capital Skopje – 506,000 inhabitants. This makes Skopje a primate city.
Population of the most populous municipalities
Ethnic distribution
The Macedonians are the largest ethnic group in the country, accounting for 64.2% of the total population, according to the 2002 census. They speak the Macedonian language and most are Eastern Orthodox Christians. Ethnic Albanians are the country's largest minority, making up one-quarter of the total population. They live mainly in the west and northwest. The Turks, who comprise nearly 4% of the population, are mostly scattered, though they form a majority in two municipalities (Plasnica and Centar Župa). The Romani make up 2.7% of the population and are also concentrated throughout North Macedonia, while the Serbs, who form just under 2% of the total population, live mostly in the north of the country.
Administrative divisions
North Macedonia is divided into eight statistical regions: Skopje, Pelagonia, Polog, Vardar, Eastern, Southeastern, Northeastern and Southwestern.
The country is further divided into 84 municipalities. Until 1996, there were 123 municipalities, but several laws aimed at increasing the rights of minorities decreased the number of municipalities and modified their overall role. Skopje, the nation's capital, is itself divided into ten municipalities.
Economic geography
North Macedonia, like most countries in Eastern Europe, has a developing economy. Under Yugoslavia, North Macedonia saw the establishment of many factories and the significant modernisation of the country, especially after the devastating Skopje earthquake of 1963. Since independence in 1991, it has suffered the transition to market economy. Greece, which believed that the republic was monopolising the cultural and historical heritage of Macedonia, imposed a temporary embargo in 1993 and had prevented the country's accession to organisations like the European Union and NATO, until the implementation of the Prespa agreement in 2019.
In 1995, the Greek embargo was lifted and Macedonia was able to access the IMF and World Bank. The country still suffers, however, from its isolation and lack of foreign investment, to which Greece is one of the largest contributors. In 2007, the unemployment rate was estimated at 32% and the black market provided about 20% of the Gross Domestic Product.
Characteristics and advantages
North Macedonia's geographical positioning provides it with many advantages. One advantage is the geographical position of the country. It is the center of the Balkans, between Belgrade and Athens, Tirana and Sofia, between the Adriatic and Black Sea. The Vardar valley forms a natural corridor, which connects Greece to the rest of Europe. This corridor is crossed by the highway E75, which crosses in Europe and connects Scandinavia with Attica. This highway has also been renovated in North Macedonia with the European Agency for Reconstruction, and the communication channels that connect the Adriatic to the Black Sea, called the Corridor VIII, were also upgraded and maintained through international assistance including the Italian one.
North Macedonia is also rich with minerals. The country in fact has substantial deposits of chromium and other nonferrous metals like copper, zinc, manganese and nickel. The country also has gypsum mines, marble and granite, located in Pelagonia. Lignite, provides 80% of the electricity in North Macedonia. In addition to mines and quarries, the country has large cement plants and large complexes of metal, created by the communist regime.
Agriculture is encouraged by the significant water resources, managed by dams and canals. The presence of hot springs of volcanic origin can heat the greenhouses in winter, particularly in the Strumica region, whose products include tomatoes and cucumbers in the month of February. Different climates provide opportunities for various productions in the geographical area, so the vine and tobacco are operated in the south, the rice in the region of Kočani which is largely irrigated, and the wood industry is concentrated around Štip. Agriculture contributes a significant share of exports, especially with the wine and tobacco. The low cost of labor also helps the textile industry.
North Macedonia receives about 1,000,000 tourists annually and experiences a constant increase of visitors. The number of domestic tourists in the period from January to March 2008 compared to the same period of the previous year, increased 23.5%. While the number of foreign tourists in March 2008 compared to March 2007 increased 44.7%. In 2007, Lake Ohrid had received about 250,000 domestic and foreign tourists. In February 2009, nearly 28,000 tourists, or 3.2% more than the same month last year, visited North Macedonia. There was also an 8% increase in the number of foreign visitors to the country. The summer of 2009 was the city of Dojran's best tourist season with 135,000 overnight visitors, an increase of 12.5% compared to the previous year.
The tourist capital of North Macedonia, Ohrid, has been listed as an UNESCO World Heritage Site since 1979.
See also
Atlas of North Macedonia
Economy of North Macedonia
North Macedonia
Tourism in North Macedonia
References and notes
External links
ExploringMacedonia.com
Macedonia.org (dead link)
COLISEE – Tourism in North Macedonia |
19081 | https://en.wikipedia.org/wiki/Demographics%20of%20North%20Macedonia | Demographics of North Macedonia | This article is about the demographic features of the population of North Macedonia, including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.
The latest population census was held in 2002 due to ethnic issues between Albanians and Macedonians, therefore demographic information may be unreliable as it is based on estimates. According to Apostol Simovski, the director of the State Statistical Office, the population of North Macedonia is around 1.5 million.
Total population
2,022,547 (2002)
2,038,514 (2006)
2,057,284 (2010)
2,065,719 (2015)
2,073,702 (2016)
2,084,367 (2017)
1,832,696 (2021)
International statistics and estimates
According to statistics from the European Union, the actual population has been reduced by at least 230,000 people who emigrated into European Union member states between 1998 and 2011. Further Albanian news sources estimated at October 2012 that the real population is closer to the sum of 1,744,237 people who are accounted within all of the health funds of the country. According to Bozhidar Dimitrov, the Bulgarian authorities have granted 87,000 to many of those emigrants a Bulgarian passport, as of 2012, which requires that they declare to be ethnic Bulgarians. Since Bulgaria's entry into the European Union, and under pressure from fellow European Union members, Bulgaria imposed more stringent rules and measures for the acquisition of a Bulgarian citizenship and passport.
The provisions of the Ohrid agreement to elevate any minority language if the minority in question is above 20% of the population of any municipality into a co-official language for that municipality has created friction within the government, and between officials of different political and ethnic interests, resulting in the indefinite postponement of the census for almost twenty years until it was finally conducted in 2021.
Vital statistics
Source: State Statistical Office of the Republic of Macedonia
Current vital statistics
Marriages and divorces
Vital statistics, marriages and divorces by decade
Births and fertility rates
Ethnic groups
The process of industrialization and urbanization after the Second World War that caused the population growth to decrease involved the ethnic Macedonians to a greater extent than Muslims. Rates of increase were very high among rural Muslims: Turks and Torbesh (Macedonian Muslims) had rates 2.5 times those of the Macedonian majority, while Roma had rates 3 times as high. In 1994, Macedonians had a TFR of 2.07, while the TFR of others were: Albanian (2.10), Turkish (3.55), Roma (4.01), Serb (2.07), Vlachs (1.88) and Others (3.05). The TFR by religions was: Christian (2.17, with 2.20 for Catholics and 2.06 for Orthodox), Islam (4.02) and others (2.16).
However, it is unlikely that this high minority TFR has continued since then in North Macedonia, as Balkan fertility elsewhere (Albania, Bosnia and Herzegovina, Kosovo) has dropped sharply toward the European average. A more recent survey pegs Muslim fertility in North Macedonia at 1.7, versus 1.5 for non-Muslims.
In 2017, 21,754 children were born in North Macedonia. The ethnic affiliation of these newborns was: 11,260 (51.76%) Macedonian; 7,404 (34.03%) Albanian; 940 (4.32%) Turkish; 1,276 (5.87%) Roma; 40 (0.18%) Vlach; 129 (0.59%) Serbian; 213 (0.98%) Bosniaks; 492 (2,26%) other ethnic affiliation and unknown. In the school year 2016/2017 there were 192 715 students in elementary schools from which 104,756 (55%) were Macedonian, and 60,971 (32%) were Albanian, and in High schools there were 72 482 students from which 43,658 (60.1%) were Macedonian and 22 419 (30.9%) were Albanians. Furthermore, in 1999 Albanians accounted for 34.6% of newborns and 26.1% of students who finished high school in 2016, which was regulated by the Ministry of Education.
Languages
Macedonian: 1,344,815 (66.49%)
Albanian: 507,989 (25.12%)
Turkish: 71,757 (3.55%)
Romani: 38,528 (1.90%)
Serbian: 24,773 (1.22%)
Bosnian: 8,560 (0.42%)
Aromanian: 6,884 (0.35%)
Other: 19,241 (0.95%)
TOTAL: 2 022 547 (100.00%?)
Religion
Orthodox Christianity (Macedonian Orthodox Church and Serbian Orthodox Church Ohrid Archbishopric): 1,300,000 or 61.6%
Islam: 771,672 or 36.6%
Catholicism (Roman Catholic Diocese of Skopje and Macedonian Greek Catholic Church): 8,229 or 0.4%
other: 28,801 or 1.4% (2010)
CIA World Factbook demographic statistics
The following demographic statistics are from the CIA World Factbook, unless otherwise indicated.
Age structure
0–14 years: 19.5% (male 210,078; female 203,106)
15–64 years: 67.8% (male 707,298; female 696,830)
65 years and over: 12.7% (male 97,437; female 124,661) (2004 est)
Sex ratio
at birth: 1.08 male(s)/female
under 15 years: 1.08 male(s)/female
15–64 years: 1.02 male(s)/female
65 years and over: 0.78 male(s)/female
total population: 1 male(s)/female (2004 est.)
Infant mortality rate
total: 11.74 deaths/1,000 live births
female: 10.73 deaths/1,000 live births (2004 est.)
male: 12.67 deaths/1,000 live births
Life expectancy at birth
total population: 74.73 years
male: 72.45 years
female: 77.2 years (2004 est.)
Total fertility rate
1.50 children born/woman (2015 est.)
HIV/AIDS
adult prevalence rate: less than 0.1% (2001 est.)
people living with HIV/AIDS: less than 100 (1999 est.)
deaths: less than 100 (2001 est.)
Nationality
noun: Macedonian/citizen of the Republic of North Macedonia
adjective: Macedonian / of North Macedonia
See also
Demographic history of North Macedonia
Rumelia
Demographics of the Socialist Federal Republic of Yugoslavia
Demographics of Albania
Demographics of Bulgaria
Demographics of Greece
Demographics of Kosovo
Demographics of Serbia
References
Other sources
Statistical Yearbook of the Republic of Macedonia 2004 (CD version)
External links
Results of the 2002 census
CIA World Factbook entry on North Macedonia
Society in North Macedonia
Demographics of Yugoslavia |
19082 | https://en.wikipedia.org/wiki/Politics%20of%20North%20Macedonia | Politics of North Macedonia | Politics in North Macedonia occur within the framework of a parliamentary representative democratic republic, whereby the Prime Minister is the head of government, and of a multi-party system. Executive power is exercised by the government. Legislative power is vested in both the government and parliament. The Judiciary is independent of the executive and the legislature.
Political system
The political system of North Macedonia consists of three branches: Legislative, Executive and Judicial. The Constitution is the highest law of the country. The political institutions are constituted by the will of its citizens by secret ballot at direct and general elections. Its political system of parliamentary democracy was established with the Constitution of 1991, which stipulates the basic principles of democracy and guarantees democratic civil freedom. The Elections for Representatives in the Assembly of North Macedonia is held in October. The Assembly is composed of 123 Representatives, who are elected for a period of four years. Out of this number, 120 are elected proportionally in 6 constituencies of 20 each, and 3 according to the majority principle, specifically for the diaspora (depending on turnout) (the territory of the Republic of North Macedonia representing one constituency). There are approximately 1.5 million voters registered in the General Electoral Roll for the election of Representatives in the Assembly of North Macedonia in 2.973 polling stations. The voting for the representatives is conducted according to the list system.
Presidents
Kiro Gligorov (1991–1999)
Boris Trajkovski (1999–2004)
Branko Crvenkovski (2004–2009)
Gjorge Ivanov (2009–2019)
Stevo Pendarovski (2019–present)
Executive branch
|President
|Stevo Pendarovski
|SDSM
|12 May 2019
|-
|Prime Minister
|Dimitar Kovačevski
|SDSM
|17 January 2022
|}
Although in Macedonian, these roles have very similar titles ( "President of the Republic of North Macedonia" and "President of the Government of the Republic of North Macedonia") it is much less confusing to refer to them in English as President and Prime Minister respectively. These are also the terms used in the English translation of the constitution.
The President
cannot hold any other public office or position in a political party
is elected for a 5-year term and can serve a maximum of two terms
is Commander-in-Chief of the Armed Forces and President of the Security Council
nominates a candidate from the majority party or parties in the Assembly who then proposes the Government who are elected by the Assembly
makes diplomatic appointments and some judicial and Security Council appointments
grants decorations, honours and pardons
The Government
The power of the President is fairly limited with all other executive power being vested in what the Constitution describes as the Government, i.e., the Prime Minister and Ministers.
Ministers:
cannot be Representatives in the Assembly
cannot hold any other public office or follow a profession while in office
are elected by a majority vote in the Assembly
are granted legal immunity
cannot be called for service in the Armed Forces
propose laws, budget and regulations to be adopted by the Assembly
control diplomatic policy
make other state appointments
Current Cabinet
The current cabinet is a coalition of SDSM, the Democratic Union for Integration, the New Social Democratic Party, Liberal Democratic Party, Party for the Full Emancipation of the Roma of Macedonia, Democratic Party of Turks and the Party for the Movement of Turks in Macedonia.
The members of the Cabinet of North Macedonia are chosen by the Prime Minister and approved by the national Parliament, however certain cabinet level positions are chosen by both President and Prime Minister, and approved by the Parliament.
New government as of 17 January 2022
Legislative branch
The Assembly (Sobranie) has 120 members, elected for a four-year term, by proportional representation.
There are between 120 and 140 seats, currently there are 120; members are directly elected in multi-seat constituencies by closed list proportional representation vote. There is a possibility of three people being directly elected in diaspora constituencies by a simple majority vote provided there is sufficient voter turnout.
The last election to be held was on 11 December 2016, with a second round held in one polling station on 25 December 2016. The next election is to be held in 2020.
The result of this election was as follows: percent of vote by party/coalition - VMRO-DPMNE 38.1%, SDSM coalition 36.7%, BDI 7.3%, Besa Movement 4.9%, AfA 3.1%, PDSh 2.7%, other 7.2%; seats by party - VMRO-DPMNE 51, SDSM coalition 49, BDI 10, Besa Movement 5, AfA 3, PDSh 2; note - the 3 seats for diaspora went unfilled because none of the candidates won the 6,500 minimum vote threshold.
Seats by party/coalition as of May 2019 - ruling coalition 68 (SDSM coalition 49, BDI 10, Besa Movement 3, PDSh 2, other 5), opposition coalition 52 (VMRO-DPMNE coalition 48, Besa Movement 2, AfA 2); composition - men 75, women 45, percent of women 37.5%
2020 election result
Judicial branch
Judiciary power is exercised by courts, with the court system being headed by the Judicial Supreme Court, Constitutional Court and the Republican Judicial Council. The assembly appoints the judges, of which there are 22 in the Supreme Court, and 9 in the Constitutional Court. Supreme Court judges nominated by the Judicial Council, a 7-member body of legal professionals, and appointed by the Assembly; Constitutional Court judges appointed by the Assembly for nonrenewable, 9-year terms
Administrative divisions
With the passage of a new law and elections held in 2005, local government functions are divided between 78 municipalities (, ; singular: , . The capital, Skopje, is governed as a group of ten municipalities collectively referred to as "the City of Skopje". Municipalities in North Macedonia are units of local self-government. Neighbouring municipalities may establish cooperative arrangements.
Ethnic diversity
The country's main political divergence is between the largely ethnically-based political parties representing the country's Macedonian majority and Albanian minority. The issue of the power balance between the two communities led to a brief war in 2001, following which a power-sharing agreement was reached. In August 2004, the Republic's parliament passed legislation redrawing local boundaries and giving greater local autonomy to ethnic Albanians in areas where they predominate.
Foreign relations
North Macedonia is member of the ACCT,
BIS,
CE,
CEI,
EAPC,
EBRD,
ECE,
FAO,
IAEA,
IBRD,
ICAO,
ICCt,
ICRM,
IDA,
IFAD,
IFC,
IFRCS,
ILO,
IMF,
IMO,
Interpol,
IOC,
IOM (observer),
ISO,
ITU,
NATO,
OPCW,
OSCE,
PCA,
PFP,
UN,
UNCTAD,
UNESCO,
UNIDO,
UPU,
WCL,
WCO,
WHO,
WIPO,
WMO,
WToO,
WTrO (observer)
Most notable relations with other countries include: Greece, China the US and Kosovo amongst others.
Greece
North Macedonia and Greece have excellent economic, trade and business relations, with Greece being the largest investor in the country. Until the Prespa Agreement (2018), the indeterminate status of North Macedonia's former name arose from a long-running dispute with Greece. The main points of the dispute were:
The flag: the use of Vergina Sun, a Greek state symbol, on the initial national flag used between 1992 and 1995
Constitutional issues: certain articles of the constitution that were seen as claims on Greek territory.
The naming issue was "parked" in a compromise agreed at the United Nations in 1993. However, Greece refused to grant diplomatic recognition to the Republic and imposed an economic blockade that lasted until the flag and constitutional issues were resolved in 1995 with the Interim Accord. The naming dispute was resolved with the Prespa Agreement, which was signed in 2018 and entered into force in February 2019.
United States
The United States and North Macedonia enjoy excellent bilateral relations. The United States formally recognised North Macedonia on 8 February 1994, and the two countries established full diplomatic relations on 13 September 1995. The U.S. Liaison Office was upgraded to an embassy in February 1996, and the first U.S. Ambassador to Skopje arrived in July 1996. The development of political relations between the United States and North Macedonia has ushered in a whole host of other contacts between the two states. In 2004, the United States recognised the country under its constitutional name of that time – Republic of Macedonia.
China
On 12 October 1993, the Government of the Republic of North Macedonia and the Government of the People's Republic of China (PRC) established diplomatic relations with North Macedonia expressly declaring that the Government of the PRC is the sole legal government of China, and Taiwan as an inalienable part of the Chinese territory. The Government of North Macedonia affirmed it would not establish any form of official relations with Taiwan.
See also
Electoral units of North Macedonia
Notes
References
Further reading |
19083 | https://en.wikipedia.org/wiki/Economy%20of%20North%20Macedonia | Economy of North Macedonia | The economy of North Macedonia has become more liberalized, with an improved business environment, since its independence from Yugoslavia in 1991, which deprived the country of its key protected markets and the large transfer payments from Belgrade. Prior to independence, North Macedonia was Yugoslavia's poorest republic (only 5% of the total federal output of goods and services). An absence of infrastructure, United Nations sanctions on its largest market (the Federal Republic of Yugoslavia), and a Greek economic embargo hindered economic growth until 1996.
Worker remittances and foreign aid have softened the subsequent volatile recovery period. The country's GDP has increased each year except in 2001, rising by 5% in 2000. However, growth in 1999 was held down by the severe regional economic dislocations caused by the Kosovo War.
Successful privatization in 2000 boosted the country's reserves to over $700 million. Also, the leadership demonstrated a continuing commitment to economic reform, free trade, and regional integration. The economy can meet its basic food, coal and hydroelectric power needs but depends on outside sources for all of its petroleum and natural gas and most of its modern machinery and parts. Inflation jumped to 11% in 2000 largely due to higher oil prices, but the currency has calmed since the exchange rate was normalised when the EU Stabilization and Association Agreement entered into force in 2004.
North Macedonia experiences one of Europe's biggest growth rates at an average of 4% (even during the political crisis) making it comparable to nations such as Romania and Poland.
History
North Macedonia's economy has almost always been completely agricultural in nature from the beginning of the Ottoman Empire when it was part of the District of Üsküp and Province of Salonika. It concentrated on pasture farming and vineyard growing. Opium poppy, introduced into the region in 1835, became an important crop as well by the late 19th century, and remained so until the 1930s.
The role of industry in the region's economy increased during the industrial age. The geographical region of Macedonia was responsible for large outputs of textiles and several other goods in the Ottoman Empire. However, outdated techniques to produce the goods persisted. The stagnation of the regional economy began under the rule of the Kingdom of Serbia.
When World War II ended, the local economy began to experience revitalization by way of subsidies from Federal Belgrade. The subsidies assisted North Macedonia to redevelop its "lost" industry and shift its agricultural-centered economy to an industry-centered economy with new hearts of industry emerging all over the country in Veles, Bitola, Štip and Kumanovo. Previously, Skopje was the only industrial centre in North Macedonia, this expanded to several other cities during Socialist Yugoslavia.
After the fall of Socialist Yugoslavia, the economy experienced several shocks that damaged the local economy. Starting with the Western embargo on the Yugoslavian common market, and ending with the Greek embargo on North Macedonia over the country's former name, Republic of Macedonia. The economy began to recover in 1995 and experienced a full recovery after the 2001 insurgency by ethnic Albanians. North Macedonia's GDP grew by an average of 6% annually until the financial crisis of 2007–2008 when its economy contracted. The crisis had little impact on the country. North Macedonia today maintains a low debt-to-GDP ratio and is experiencing a revitalized investment interest by companies from Turkey, Algeria, Albania, and others.
Economic Activity
North Macedonia is vulnerable to economic developments in Europe - due to strong banking and trade ties - and dependent on regional integration and progress toward EU membership for continued economic growth. At independence in September 1991, North Macedonia was the least developed of the Yugoslav republics, producing a mere 5% of the total federal output of goods and services. The collapse of the Socialist Federal Republic of Yugoslavia ended transfer payments from the central government and eliminated advantages from inclusion in a de facto free trade area. An absence of infrastructure, UN sanctions on the downsized Yugoslavia, and a Greek economic embargo over a dispute about the country's constitutional name and flag hindered economic growth until 1996. Since then, North Macedonia has maintained macroeconomic stability with low inflation, but it has so far lagged the region in attracting foreign investment and creating jobs, despite making extensive fiscal and business sector reforms. Official unemployment remains high at 24.6% (2015, Q4), but may be overstated based on the existence of an extensive gray market that is not captured by official statistics. In the wake of the global economic downturn, North Macedonia has experienced decreased foreign direct investment, lowered credit availability, and a large trade deficit. However, as a result of conservative fiscal policies and a sound financial system, in 2010 the country credit rating improved slightly to BB+ and was kept at that level in 2011. Macroeconomic stability has been maintained by a prudent monetary policy, which keeps the domestic currency pegged against the euro. As a result, GDP growth was modest, but positive, in 2010 and 2011, and inflation was under control. Latest data from North Macedonia's State Statistical Office show that overall, output for 2012 dropped by 6.6 percent compared to 2011.
As of 2020, the country had signed free trade agreements with the CEFTA, the Stabilization and Association Agreement with the European Union, the EFTA with Switzerland, Norway, Iceland, and Liechtenstein, and bilateral agreements with Turkey and Ukraine.
Free Economic Zones
In a bid to attract more interest from domestic and foreign investors after 2000 the government has pursued a Free Economic Zone (FEZ) policy, in which more than a dozen geographically disparate FEZs have sprouted. One benefit is a tax holiday for 10 years. The social contribution rate hovered at approximately 30% for the five-year period to 2019.
Agriculture
North Macedonia produced in 2018:
294,000 tons of grape;
241,000 tons of wheat;
190,000 tons of maize;
182,000 tons of bell pepper;
181,000 tons of potato;
173,000 tons of cabbage;
161,000 tons of tomato;
140,000 tons of apple;
132,000 tons of watermelon;
130,000 tons of barley;
59,000 tons of onion;
54,000 tons of cucumber;
In addition to smaller productions of other agricultural products.
Energy
In September 2019, it was said that "thermal power plants account for 842 MW of North Macedonia’s total power generation capacity of 1.41 GW, with hydroelectricity and wind accounting for 553.6 MW and 36.8 MW, respectively." There are 20 economically-exploitable locations for coal in the country, whose total geological reserves are estimated at 2,5 billion tons. There exist four hydroelectric reservoirs, located at: Pelagonia, Kicevo, Mariovo and Tikves. The first two produce energy, while the latter two are speculative.
Mining and metallurgy
The country has been home to mines since at least the Roman era. Gold, silver, lead, copper, iron, nickel, zinc, gypsum and sulfur have been or are now being economically exploited. Marble has since Ancient Greek days been quarried at Sivec.
Trade
North Macedonia remains committed to pursuing membership in the European Union (EU) and NATO. It became a full World Trade Organization (WTO) member in April 2003. Following a 1997 cooperation agreement with the EU, North Macedonia signed a Stabilization and Association Agreement with the EU in April 2001, giving North Macedonia duty-free access to European markets. In December 2005, it moved a step forward, obtaining candidate country status for EU accession. North Macedonia has had a foreign trade deficit since 1994, which reached a record high of $2.873 billion in 2008, or 30.2% of GDP. Total trade in 2010 (imports plus exports of goods and services) was $8.752 billion, and the trade deficit amounted to $2.149 billion, or 23.4% of GDP. In the first 8 months of 2011, total trade was $7.470 billion and the trade deficit was $1.778 billion. A significant 56.5% of North Macedonia's total trade was with EU countries. North Macedonia's major trading partners are Germany, Greece, Serbia, Bulgaria, Russia, and Italy. In 2010, total trade between North Macedonia and the United States was $116.6 million, and in the first 8 months of 2011 it was $65 million. U.S. meat, mainly poultry, and electrical machinery and equipment have been particularly attractive to North Macedonia importers. Principal Macedonian exports to the United States are tobacco, apparel, iron, and steel.
North Macedonia has bilateral free trade agreements with Ukraine, Turkey, and the European Free Trade Association (EFTA—Switzerland, Norway, Iceland, and Liechtenstein). Bilateral agreements with Albania, Bosnia and Herzegovina, Croatia, Serbia, Montenegro, Rep. of Kosovo, and Moldova were replaced by membership in the Central European Free Trade Agreement (CEFTA). North Macedonia also has concluded an "Agreement for Promotion and Protection of Foreign Direct Investments" with Albania, Austria, Bosnia and Herzegovina, Bulgaria, Belarus, Belgium, Luxembourg, Germany, Egypt, Iran, Italy, India, Spain, Serbia, Montenegro, People's Republic of China, Republic of Korea, Malaysia, Poland, Romania, Russia, Slovenia, Turkey, Ukraine, Hungary, Finland, France, the Netherlands, Croatia, Czech Republic, Switzerland, and Sweden.
Unemployment
Unemployment is a continuing problem in the Republic's economy where a large percentage of the Republic's qualified labor force cannot find work. Many Macedonians lost their jobs with the collapse of Yugoslavia. As a result, national unemployment was above 35% (37.30% in 2005), but that number has since dropped to 16.6% (2019), with population below the poverty line also dropping from 30.4% (2011) to 21.5% (2015), it is reasonable to assume that based on the trend over the past few years, further declines are likely for both unemployment and poverty. Full-time employment has risen steadily over the last few years, with part-time employment trending slightly downward over the same period resulting in an overall increase to employment, wages increased sharply after 2008, with steady increases continuing into 2016
Tourism
Tourism is a significant part of the economy.
Macroeconomics
Real GDP in the first half of 2011 increased by 5.2%. This robust growth was mainly driven by 23.6% growth in the construction sector; 13.2% in mining, quarrying, and manufacturing; 12.4% in wholesale and retail trade; and 4.2% in transport and communication services. Industrial output in the first 8 months of 2011 was 7.5% higher than in the same period of 2010. Low public and external debt and a comfortable level of foreign exchange reserves allowed for further relaxation of monetary policy, with the reference interest rate of the Central Bank decreasing to 4%. Due to rising prices for energy, fuel, and food on international markets, inflation increased in the first half of 2011, but later decreased to an annualized rate of 3.4% at the end of September. The official unemployment rate dropped to 24.6% in the fourth quarter of 2015, but remained one of the highest in Europe. Many people work in the gray economy, and many experts estimate North Macedonia's actual unemployment is lower.
The government budget has generally kept within projections. The budget deficit at the end of August 2011 reached about 2% of GDP, and fiscal authorities seemed committed to keeping it under the projected target of 2.5% of GDP by the end of the year. In addition to 220 million euros (approx. $298 million) drawn from an IMF Precautionary Credit Line (PCL) in March, financing mostly came from domestic borrowing. However, by the end of the year a financing gap remained of about 50 million to 60 million euros (approx. $67 million to $81 million), which the government plans to cover by borrowing from international capital markets, supported by a policy-based guarantee by the World Bank. The central government's public debt remained low at 26% of GDP, but represents a gradual increase from previous years. Despite lowering the Central Bank bills rate, the Central Bank has not changed liquidity indicators for banks or the reserve requirement since 2009, curbing credit growth to 7.5% in the first three-quarters of 2011. Nikola Gruevski says the government will pay off its entire debt to the private sector by February 2013 in order to improve the economy's overall liquidity.
North Macedonia's external trade struggled in 2010 due to the slow recovery from the economic crisis of its main trading partners, particularly EU members. Starting from a very low base, export growth in the first 8 months of 2011 reached 41.7%, topping import growth of 36.8%. The trade deficit has widened to 18.3% of GDP, approaching the end-year target of 21.9% of GDP. At the same time, the current account balance deficit significantly improved and the end-year projection was revised upward to 5.5% of GDP. This was due primarily to a 4.4% higher inflow of current transfers, mostly during the summer, and came despite a poor level of foreign direct investment (FDI) of only $237.2 million by end-July 2011. Foreign currency reserves remained at about $2.6 billion, a level that comfortably covers 4 months of imports and about 110% of the country's short-term debt.
In October 2010, the World Bank Board of Directors approved a new Country Partnership Strategy (CPS) with North Macedonia for the period 2011–2014. This CPS will provide the country assistance of about $100 million in funding for the first 2 years to improve competitiveness, strengthen employability and social protection, and increase the use of sustainable energy. This assistance also includes a commitment of $30 million in direct budget support in the form of a policy-based guarantee by the World Bank to the government to facilitate its access to financing from international capital markets, a process that had been started as of November 2011.
North Macedonia became the first country eligible for the IMF's Precautionary Credit Line in January 2011. This program gives North Macedonia a line of credit worth 475 million euros (about $675 million) over 2 years, intended to be accessed only in case of need brought about by external shocks. The credit line was approved after extensive consultations with the IMF in October and December 2010. The IMF expects that there will be no additional withdrawals from the PCL.
North Macedonia has the best economic freedom in the region, according to the 2012 Index of Economic Freedom, released in January, 2012 by the conservative U.S. think tank Heritage Foundation and the Wall Street Journal.
Macroeconomic trends
{| border=1 cellpadding=4 cellspacing=0 class="toccolours" style="align: left; margin: 0.5em 0 0 0; border-style: solid; border: 1px solid #7f7f7f; border-right-width: 2px; border-bottom-width: 2px; border-collapse: collapse; font-size: 95%;"
|-
! colspan=27 style="background: #efefef; border-bottom: 2px solid gray;" | GDP
|-
|-
| Year
| 1991
| 1992
| 1993
| 1994
| 1995
| 1996
| 1997
| 1998
| 1999
| 2000
| 2001
| 2002
| 2003
| 2004
| 2005
| 2006
| 2007
| 2008
| 2009
| 2010
| 2011
| 2012
| 2013
| 2014
| 2015
| 2016
|-
| GDP (USD Billions)
| 15.5
| 2.3
| 2.5
| 3.3
| 4.4
| 4.4
| 3.7
| 3.5
| 3.6
| 3.5
| 3.4
| 3.7
| 5.0
| 5.9
| 5.7
| 6.9
| 8.6
| 9.1
| 9.7
| 9.1
| 10.1
| 10.7
| 11.4
| 12.2
| 13.0
| 13.8
|-
| GDP (PPP) (USD Billions)
| 10.7
| 10.3
| 9.7
| 9.7
| 9.8
| 10.1
| 10.5
| 10.9
| 11.6
| 12.4
| 12.1
| 12.4
| 13.0
| 14.3
| 15.4
| 16.7
| 18.3
| 19.6
| 19.6
| 19.9
| 20.8
| 21.8
| 23.0
| 24.3
| 25.7
| 27.2
|-
| GDP growth rate
| n/a
| -6.6%
| -7.5%
| -1.8%
| -1.1%
| 1.2%
| 1.3%
| 3.3%
| 4.3%
| 4.5%
| -4.5%
| 0.8%
| 2.8%
| 4.6%
| 4.3%
| 4.9%
| 6.1%
| 5.0%
| 0.9%
| 0.7%
| 2.9%
| 3.6%
| 4.1%
| 4.0%
| 3.9%
| 3.9%
|-
| GDP Per Capita (USD)
| 8115
| 1201
| 1315
| 1734
| 2269
| 2232
| 1883
| 1795
| 1837
| 1785
| 1704
| 1861
| 2489
| 2930
| 2801
| 3387
| 4252
| 4468
| 4749
| 4431
| 4911
| 5228
| 5525
| 5908
| 6290
| 6654
|-
| GDP (PPP) per capita
| 5617
| 5341
| 5025
| 5013
| 5031
| 5153
| 5298
| 5512
| 5811
| 6182
| 6016
| 6149
| 6443
| 7049
| 7599
| 8225
| 8962
| 9600
| 9584
| 9727
| 10112
| 10608
| 11176
| 11176
| 12430
| 13135
|-
| colspan="27" | Source: IMF
|}
References
Further reading
External links
Ministry of Economy of Republic of North Macedonia
Invest North Macedonia
Directorate for Technological Industrial Development Zones
North Macedonia |
19084 | https://en.wikipedia.org/wiki/Telecommunications%20in%20North%20Macedonia | Telecommunications in North Macedonia | Telecommunications in North Macedonia include radio, television, fixed and mobile telephones, and the Internet.
Radio and television
Radio stations: the public radio broadcaster operates over multiple stations; 3 privately owned radio stations broadcast nationally; there are about 70 local commercial radio stations (2012).
Radios: 410,000 in use (2008).
Television stations:
the public TV broadcaster operates 3 national channels and a satellite network; 5 privately owned TV channels broadcast nationally using terrestrial transmitters and about 15 broadcast nationally via satellite; there are roughly 75 local commercial TV stations; and a large number of cable operators offering domestic and international programming (2012);
136 stations (1997).
Television sets: 1.9 million sets in use (2008).
Television is North Macedonia's most popular news medium. Most private media are tied to political or business interests and state media tend to support the government. Public broadcast networks face stiff competition from commercial stations, which dominate the ratings. A European Union sponsored report says that with scores of TV and radio networks, the market is overcrowded and many local broadcasters are struggling to survive financially.
Telephones
Calling code: +389
International call prefix: 00
Main lines:
407,900 lines in use, 103rd in the world (2012);
550,000 lines in use (2005).
Mobile cellular:
2.2 million lines, 142nd in the world;
2.1 million lines (2008).
The combined fixed-line and mobile-cellular telephone subscribership was about 130 per 100 persons in 2012. Competition from mobile-cellular phones has led to a drop in fixed-line telephone subscriptions.
Internet
Top-level domains: .mk and .мкд (Cyrillic).
Internet users:
1.3 million users, 109th in the world; 63.1% of the population, 58th in the world (2012);
1.1 million users, 97th in the world, 52% of the population (2009).
Fixed broadband: 304,547 subscriptions, 79th in the world; 14.6% of the population, 58th in the world (2012).
Wireless broadband: 449,646 subscriptions, 93rd in the world; 21.6% of the population, 68th in the world (2012).
Internet hosts: 62,826 hosts, 92nd in the world (2012).
IPv4: 657,664 addresses allocated, less than 0.05% of the world total, 315.8 addresses per 1000 people (2012).
Internet service providers: 20 ISPs (2005).
Wi-Fi coverage: 95% of the population (2006).
The United States Agency for International Development sponsored a project called "Macedonia Connects" which in 2006 helped to make Macedonia the first all-broadband wireless country in the world, where Internet access is available to virtually anyone with a wireless-enabled computer. Wireless access is available to about 95 percent of Macedonians, even those living in remote sheepherding mountain villages where people don't have phones. The Ministry of Education and Sciences reported that all 461 primary and secondary schools were connected to the Internet. An Internet Service Provider (On.net), created a MESH Network to provide WIFI services in the 11 largest cities/towns in the country.
Internet censorship and surveillance
There are no government restrictions on access to the Internet or credible reports that the government monitors e-mail or Internet chat rooms without judicial oversight. Individuals and groups engage in the peaceful expression of views via the Internet, including by e-mail.
The constitution provides for freedom of speech and press; however, the government does not always respect these rights in practice. The law prohibits speech that incites national, religious, or ethnic hatred, and provides penalties for violations. In November 2012 the defamation, libel and slander laws were decriminalized. Editors and media owners expressed concerns that steep fines under the revised law would cause self-censorship. The law prohibits arbitrary interference with privacy, family, home, or correspondence, and the government generally respects these prohibitions in practice.
See also
Media in North Macedonia
Macedonian Radio Television, the public broadcaster of North Macedonia.
Makedonski Telekom
MRT Sat or MKTV Sat, Macedonian Radio Television's satellite service.
Republic of North Macedonia
References
External links
IT and Internet usage in Macedonia , Republic of Macedonia State Statistical Office, 29 August 2008.
Macedonian Academic Research Network (MARnet) .
Makedonski Telekom
National Radio-Television .
Makedonski Radio – Radio Skopje .
Macedonia, Republic of
Macedonia, Republic of |
19085 | https://en.wikipedia.org/wiki/Transport%20in%20North%20Macedonia | Transport in North Macedonia | The following is a summary of the transport system of the Republic of North Macedonia.
Railways
total:
(699 km (437 miles) of open track and of station/industrial track)
standard gauge:
1.435-m gauge (312 km electrified, all 25 kV 50 Hz)
note:
a new extension of the Kumanovo-Beljakovci line to the Bulgarian border is under construction.
Restructuring of national railway MZ into infrastructure and operating companies completed in July 2007.
Railway links with adjacent countries
Serbia - yes
Kosovo - yes
Bulgaria - no
Greece - yes
Albania - no
Maps
UN Map
UNHCR Atlas Map
Roads
total (2002)
228 km of motorways (2008)
Motorways
The main network consists of 7 corridors, a good length of which already have motorways.
A-1
Tabanovce - Kumanovo - Miladinovci - Petrovec - Veles - Gradsko - Negotino - Demir Kapija - Gevgelija
A-2
Kumanovo - Kriva Palanka - Deve Bair
A-3
Petrovec - (through inner)Skopje - Stenkovec - [Blace]
A-4
Miladinovci - Skopje - Tetovo - Gostivar - Kičevo - Struga - K'afasan
A-5
Ohrid - Resen - Bitola - Prilep - Veles - Štip - Kočani - Delčevo
(M-5K1 Bitola - Medžitlija)
A-6
Štip - Radoviš - Strumica - Novo Selo
A-7
Debar - Kičevo - Makedonski Brod - Prilep - Kavadarci - Negotino - Radoviš
The first motorway in the country was the Kumanovo-Petrovec section of the A-1, opened for traffic in 1979 as part of the Brotherhood and Unity Highway which linked Central Europe to Athens.
In 2008 the country had of motorways, with additional under construction and the beginning of works on (the Demir Kapija - Smokvica section of A-1) being postponed for 2009.
In 2008 the government also carried out an ambitious public tender for giving concessions for of motorways. The outcome will be known in 2009.
E-roads
The E-road network in North Macedonia consists of:
E65
E75
E852
E871
Road rules
The traffic signs adhere to the Vienna Convention on Road Signs and Signals.
Lights must be on all the time, seatbelts are mandatory for passengers in the front and drivers are forbidden to speak on a mobile phone while driving.
The general speed limits are:
in inhabited areas
outside of inhabited areas
on expressways
on motorways
Waterways
None.
Lake transport (tourist and recreational boats) only, on the Greek and Albanian borders.
Pipelines
Oil (2004)
Gas (2004)
Ports and harbours
North Macedonia has no sea access.
There are marinas for mostly recreational traffic on Ohrid Lake and other natural and artificial lakes.
Airports
Air transport in North Macedonia began after the end of the First World War, when airmail traffic route was created between Novi Sad–Belgrade–Niš–Skoplje. Later, the Yugoslav flag carrier Aeroput inaugurated in 1930 a regular scheduled flight between Belgrade and Thessaloniki with a stop in Skopje airfield. Later, in 1933, Aeroput extended the route to Athens, while in 1935 Skopje was linked to Niš, Bitola, and Podujevo in 1936.
After the end of Second World War, passenger and cargo air transport reestablished, Aeroput was rebranded as JAT Yugoslav Airlines, and routes linking Belgrade, through Skopje, to Athens and Istanbul, using a Douglas DC-3, were inaugurated. During SFRY period JAT linked Skopje with Belgrade and other domestic destinations, but through Belgrade passengers from Skopje were able to catch connecting flights to all five continents. In the 1980s the Skopje airport was majorly expanded, and by late 1980s and early 1990s several companies with hub in Skopje were created, such as Palair, Avioimpex, Air Vardar, and others we created. After independence of North Macedonia, most became flag carriers of the newly independent country.
Beside Skopje, in North Macedonia, during second half of the 20th century, Ohrid airport was also developed, starting with the opening of regular scheduled flights between Belgrade–Skopje–Ohrid during the 1960s. Until 1990 charted flights were also inaugurated linking Ohrid with international destinations.
17 (2002 est.)
Airports - with paved runways
total:
11
8,000 to 9,999 ft:
2
under 3,000 ft:
8 (2000 est.)
Airports - with unpaved runways
total:
6
3,000 to 4,999 ft:
3
under 3,000 ft:
3 (2000 est.)
See also
Republic of North Macedonia
References |
19086 | https://en.wikipedia.org/wiki/Army%20of%20North%20Macedonia | Army of North Macedonia | The Army of the Republic of North Macedonia () is a defense force consisting of an army and air force; it is responsible for defending the sovereignty and territorial integrity of North Macedonia. Since 2005, it is a fully professional defense force compatible with NATO standards.
Defence structure
Basis of the National Defence Policy and Doctrine
The national defence policy and doctrine are determined and based upon the following basic security policy goals of North Macedonia:
To protect the lives and the personal safety of the civilians;
To guarantee the independence and the territorial integrity of the state;
To guarantee the material well-being and the prosperity of the civilians.
Its security policy aims to accomplish the following goals:
Political and economic integration in the EU;
Political, that is military integration in the Collective Security and Defence Systems – UN, NATO, OSCE, WEU;
Maintaining of good equal neighbourly relations with all of our neighbours;
Organising of our own defence system.
Starting out from the security policy provisions and goals, the defence policy of North Macedonia is based upon the following principles:
Organising of the defence as a system which enables fulfillment of the rights and the commitments of each citizen to defend the country which is guaranteed by the Constitution;
Organising the defence in order to fulfill the right to an individual and collective self-defence by an armed combat in case of an armed attack, guaranteed by Article 51 of the UN Charter;
Assuring the defensive character of the defence system;
Organisation of the Armed Forces as a deterring factor for aggression and other threats to the security of the country and capable of armed resistance in case of an aggression;
Organising of the defence for full protection of the air sovereignty;
Uniformity in the use of the Armed Forces.
The political defence strategy of North Macedonia is based upon:
Deterring aggression;
Defending the country in case of an aggression;
Uniformity and conformity in the international co-operation in the area of defence.
North Macedonia maintains a defensive potential and combat readiness of its Armed Forces which function as a deterring factor in case of a potential aggression in accordance with its capabilities and international arrangements.
In accordance with the Article 123 of the Constitution of North Macedonia, no one in the state has the right to declare capitulation. Therefore, the defence system of North Macedonia is based on the determination to give resistance by use of an armed force against any possible aggression and for a defensive combat on the whole territory. For that purpose, the defence system is responsible to provide conditions so that all of the state authorities and institutions function and conditions for joining the collective defence and security systems as a protection of the independence and sovereignty are provided.
North Macedonia could maintain all the guarantees for its security through the collective defence and security systems. That is why North Macedonia supports the reinforcement of these collective systems and determines itself to actively participate in these systems and to cooperate with regard to the construction of the new European security architecture based upon NATO, OSCE and WEU.
To fulfill these principles and strategic goals, the defence system of North Macedonia is a completed with the peacetime and warfare organisation, the basic development goals, the preparations and the use of the Armed Forces as well as the full civilian control over the Armed Forces. The defence system comprises the whole defence potential of the country: civilians, state authorities, civil protection forces, local self-management, public institutions and services and enterprises of special significance for the defence.
The preparations for a successful defence are conducted during peacetime. These include preparations of the state authorities; preparations and training of the Armed Forces and their deployment on the territory of North Macedonia; preparation of the public institutions and the local self-management; preparations of the civil population and participation in joint exercises and other forms of co-operation with the PfP and NATO member countries.
National Command Management
The management and the procedures in the field of defence of North Macedonia are defined by the Constitution, the Defence Law and by the responsibilities of the executive and judicial authorities.
The commanding with the Armed Forces is based upon the uniformity in command when using the forces and the resources, and the responsibility to execute the decisions and the orders of the one that is superior in command.
The President of the Republic is the Commander-in-Chief of the Armed Forces.
The President passes the defence plan and strategy, the decisions for readiness conducting, organisation and formation structure of the Army, passes documents on development, decision on mobilization etc.
The President at the same time is the Chairman of the Security Council of North Macedonia. The Security Council considers all the defence and security related issues of North Macedonia and makes recommendations to the Parliament and to the Government.
The Parliament of North Macedonia supervises the competence of the Government with regard to the defence, it passes decisions on the existing of a direct threat from a war, declares warfare situation and peace and passes the defence budget.
The Parliamentary Interior Policy and Defence Commission has similar responsibilities.
The Government of North Macedonia has the following responsibilities: proposes the defence plan, the defence budget etc.
The Ministry of Defence develops the defence strategy and works out the assessment of the possible threats and risks. The MOD is also responsible for the defence system, training, readiness of the Armed Forces, the equipment and the development and it proposes the defence budget, etc.
History
In 2008, the Macedonian army had roughly 8,000 soldiers.
War in Afghanistan
The then-Republic of Macedonia began its participation in the NATO-led ISAF operation in August 2002, with the allocation of two officers to the Turkish contingent. On 8 September, independence day of the Republic of Macedonia, the Macedonian flag was flown for the first time in Kabul. In March 2003, the Army of the Republic of Macedonia increased its contribution in the ISAF mission by sending one section from the 2nd Infantry Brigade as part of the German contingent. As a result of the successful execution of the mission and the high marks received for participation in ISAF, from August 2004 until the end of 2006, the ARM participated with one mechanized infantry platoon from the Leopard unit. At the same time, in August 2005 medical personnel was sent in ISAF as part of the Combined Medical Team in the A3 format (Macedonia, Albania, Croatia), which successfully carried out tasks at the Kabul airport, firstly in the composition of the Greek Field Hospital, and later in the composition of the Czech Field Hospital.
Based on the assessments of the Alliance in the part of the declared units from the ARM, which achieved the required strict standards in the field of training and operational procedures, and in line with the Operational Capabilities Concept (OCC), the ARM in June 2006 sent also one mechanized infantry company, part of the first mechanized infantry brigade, in the composition of the British contingent in ISAF. The trust shown from the United Kingdom towards the ninety "Scorpions" from the first infantry brigade, was justified in full.
The high marks from the highest command structures for the work of the unit as well as the learned lessons are only an imperative for continuing the successful mission. In the second rotation of the company for securing the ISAF command, the Republic of Macedonia increased the participation from ninety to one hundred and twenty seven participants, and from January 2008 it sent three staff officers in the ISAF Command in Kabul.
As a support to the efforts for self-sustainability of the Afghanistan National Army (ANA), beginning from March 2008, the Republic of Macedonia sent two soldiers (one officer and one NCO) as part of the Combined Multinational Operational Mentoring and Liaison Team (OMLT) in Mazar-i-Sharif while, beginning from December 2008, in cooperation with the Kingdom of Norway, a Macedonian medical team is included through one Surgical team in the organizational structure of the surgical unit of the Norwegian Provincial Reconstruction Team (PRT) in Meymanah, Afghanistan.
EUFOR Althea
North Macedonia has reaffirmed its strategic commitment for attaining membership to the EU by its resolute political commitment to support the Common Foreign and Security Policy (CSFP) and by declaring a concrete contribution to the civilian and military operations in the framework of the Common Security and Defence Policy (CSDP).
The participation of the then-Republic of Macedonia in the EU crisis management military operation Althea in Bosnia and Herzegovina marked the first in the series of concrete and substantial contributions that the country provided in the framework of the civilian and military CSDP operations aimed at enhancing the EU capacities.
The Agreement with the EU for its participation in Althea was signed on 3 July 2006, in Brussels. The contribution of the Republic of Macedonia to the EU operation Althea has confirmed its progress from a consumer of the first EU military operation (Concordia 2003) into an active contributor to the CSDP (Althea 2006).
The country's first contribution to an EU-led operation began in July 2006, by declaring a helicopter detachment, consisting of two Mi-8/17 helicopters and 21crew.
In November 2006, the Republic of Macedonia enhanced its own contribution to the EU operation Althea in Bosnia and Herzegovina by declaring a medical team composed of 10 personnel for providing Role 1 medical support in Camp Butmir.
Iraq War
With the political consensus of all political entities in the RM as well as the overall Macedonian public in terms of the support of the Coalition in the "fight against terrorism", the Republic of Macedonia took active participation by sending its units in the Iraqi Freedom Mission. Based on all legal authorizations, the Assembly of the Republic of Macedonia adopted decisions for sending its units to the Iraqi Freedom Mission in the period between June 2003 and December 2008 for each mission separately every 6 months during the term of the mission. The Mission started by sending two officers in the US Central Command in Tampa, in March 2003. Upon the completion of the major combat operations, the toppling of Saddam Hussein's regime, and the adoption of Resolution 1546 of the United Nations Security Council, in June 2003 on sending a special task platoon that executed the tasks as part of the 4th infantry division of the Multi-National Force Iraq. In 2008, participation in the Iraqi Freedom Mission was increased by an additional platoon. A total of 11 rotations were conducted between June 2003 and December 2008. The eleventh rotation was the last, which completed participation in the Iraqi Mission. The overall number of personnel that participated in this mission is 490.
Support for KFOR
Having in mind the priorities in the part of logistics not only in national terms, but even more in proportion with the requirements and requests of the Alliance, the Host Nation Support Coordination Centre began to work in April 2005 as part of the NATO HQ in Skopje, a project implemented for the first time with a member nation from the Partnership for Peace. The project at the beginning was implemented on proposal of General Blease, who at that time was the Commander of NATO forces in Skopje. At the beginning, the project included 11 officers from the ARM, who successfully completed the training for the obligations related to giving support from the host nation. Promoting the personal professionalism and achievements, in 2006 these officers became the basis of the Coordination Centre, which gradually began the preparations for undertaking the tasks for support to KFOR.
In June 2007, having in mind the large meaning and the projected goals, the Coordination Centre was included in the formation of the Logistics Support Command in the General Staff of the ARM. In this manner as an addition to the participation in the mission in Iraq, Afghanistan, Bosnia and Herzegovina and Lebanon, the ARM participates also in the mission for support to Kosovo.
UNIFIL
Macedonia participated in the peacekeeping mission of the United Nations in Lebanon, UNIFIL.
The security and prosperity in global terms depend more and more on the effective multilateral system. The strategic partnership with the Organization of the United Nations, whose Treaty represents the fundamental framework of the international relations, are the priority of the European Union and NATO on the international security scene. Hence, the contribution of the Republic of Macedonia in the military part with respect to the missions led by the Organization of the United National is a confirmation of the effective membership of the Republic of Macedonia in the Organization and its strategic determinations.
Organization
The primary arm of the military in North Macedonia is the Army of the Republic of North Macedonia; it is commanded by the Minister of Defense through the Chief of the General Staff (CGS). Two Deputy CGS positions include the Deputy CGS for planning, operations and readiness, under whom operates the General Staff of the ARM, and the Deputy CGS for civil-military cooperation.
Joint Operations Command
Controls and co-ordinates the Mechanized Infantry, Aviation and Logistics Support Brigades
Mechanized Infantry Brigade of North Macedonia
It plays the key role in securing the safety and unity of the territory of the country. The army is divided into the rapid reaction force and strategic reserve forces. The rapid reaction forces represent the main active combat capability of the military and consist of the 1st Mechanized Infantry Brigade. The strategic reserve forces provide reserve brigades that can be called up in times of emergency.
Aviation Brigade of North Macedonia
Air Warfare and Air Defence of North Macedonia has an important role as air support element of ground forces and in enhancing flight safety. One of the main goals of the Aviation Brigade is to build up an air surveillance system, which will be the cornerstone of the air traffic safety and airspace control. The air component is made up by the Aviation and the Air Defense Forces. It is located in Skopje International Airport (near Skopje)
Aviation Brigade Headquarters
Pilot Training Center (Bell 206B-3)
Training Squadron (Zlin 242L and Zlin 143L)
Combat Helicopter Squadron "Night Thunders" (Mi-24V x 4)
Transport Helicopter Squadron "Bucephalus" (Mi-8MT/17 x 6)
Air Surveillance and Air Target Acquisition Transmission Company
Air Defence Battalion "Cobras" (9K35 Strela-10 x 21)
Logistical Support Squadron
Special Parachute Air Operations Platoon "Falcons"(An-2R)
Special Operations Regiment
Special Operations Regiment, is the main command for Special Units of the Army of Republic of North Macedonia. Under the command of the Special Operations Regiment are, The Special Forces Battalion "Wolves" and The Rangers Battalion as well as a Regimental Headquarters Company and Logistical Support Company.
Special Forces Battalion "Wolves" was formed in 1994. It consists of a Headquarters and an undisclosed number of Special Forces detachments and specializes in covert actions, Foreign Internal Defence assistance, Special Reconnaissance, Counter Terrorist operations, and Drug interdiction tasks. Its members wear the Maroon Beret.
The Rangers Battalion was formed in 2004. It consists of a Headquarters and 3 Reconnaissance and Direct Action Companies, its members wear the Ranger Green Beret. The Rangers Battalion is well respected by its allies and is continually preparing for success in conducting its missions. Since 2004 the unit has gone through an intensive development period and has put maximum effort into improving its operative ability and its readiness to manage all challenges of modern time conflicts.
The Mission of Special Operations Regiment is to provide fully organized, trained and equipped units to perform special operations and conventional specific operations, independently or in cooperation with other units of the Army and other coalition forces, in all weather and land conditions during peace, crisis and war and to support peace and conflict prevention as part of overall efforts to support internal security and foreign policy of the Republic of North Macedonia.
Missions outside the Republic of North Macedonia
Special Operations Regiment from June 2003 to June 2008 attended by 11 contingents of rotations in the "Iraqi Freedom".
Participation in Peacekeeping "ISAF-Phoenix" in Afghanistan from May to December 2010.
Participation of individuals within the missions in Bosnia, Lebanon and Afghanistan.
Decorations awarded
Order of Merit assigned to 14 August 2012, the President of the Republic of North Macedonia, Mr. Dr. Ivanov marking the 20th anniversary of the establishment of the Army of Republic of North Macedonia;
Medal for bravery (6)
Bronze Star (8)
Achievement medal (43)
ARCOM medal (68)
NATO medal (46)
Altea medal (2)
Logistics Support Brigade
Formed in 2001, the Logistics Command oversees all combat service support operations, and controls the Land Forces Logistic Base and the Military Hospital.
Mission:
Planning, organizing, coordinating and executing logistical support to commands and units of the Army of the Republic of North Macedonia, of level II and III.
Tasks:
1. Planning, organizing, coordinating and executing logistical support in the following functional areas:
supply
maintenance and repair
movement and transport
medical and veterinary support
infrastructure
services
2. Management with materials of all classes of supply for the commands and units of the Army
3. Storage and maintenance of material supplies for ARM according to specified criteria
4. Strengthening the logistics capacity of the Army in conducting training, work in field conditions, combat engagement and participation in missions
5. Coordinating support of allied forces in transit or maintain in the territory of the Republic of North Macedonia
6. Execution of logistical support for the administrative bodies and bodies of local self-governments, organizations, associations, etc. (in special circumstances and for special orders and instructions)
Other commands
Chief of General Staff include ELINT Center and the Honor Guard Unit.
Command for Training and Doctrines
Command for Training and Doctrines
Organization, coordination and dimensional task of training the individual soldiers, cadets, NCOs and officers of the active and reserve forces, support collective training commands and units of the Army of the Republic and the development of doctrine and lessons learned in the Army of Republic of North Macedonia.In particular for meeting NATO requirements.
In order to improve the quality of training of the Army in 1996, were established several centers for basic and specialized training of individual soldiers, and collective training was done in the units. Centers were established to train: infantry, artillery, logistics, border guards, military police and reconnaissance.
Equipment
Artillery
Small arms
Air Force
Air defense
Retired equipment
Su-25x4 – retired
T-34/85 x4 – inherited from JNA, turned into museum pieces
BRDM-2 x10 – retired
T-55A x115 – 31(military aid from Bulgaria), retired
BTR-60P x31 – retired
See also
The Rangers Battalion
1st Mechanized Infantry Brigade
Ceremonial Guard Battalion
Military Reserve Force (North Macedonia)
Military Service for Security and Intelligence
Operation MH - 2
Gallery
Citations
References
Further reading
A description of the total equipment of the Army of North Macedonia, including Yugoslav-inherited M84 Tanks stored. Viewing version. (download)
External links
Official website of the Army of the Republic of North Macedonia
Ministry of Defence official site in English
VV i PVO ARM (Air Force and Air Defence of the Army of the Republic of North Macedonia)
U.S. Embassy Skope assessment of progress towards NATO membership, February 2006, via United States diplomatic cables leak
Military of North Macedonia
Military units and formations established in 1992
Government of North Macedonia |
19087 | https://en.wikipedia.org/wiki/Foreign%20relations%20of%20North%20Macedonia | Foreign relations of North Macedonia | The foreign relations of North Macedonia since its independence in 1991 have been characterized by the country's efforts to gain membership in international organizations such as NATO and the European Union and to gain international recognition under its constitutional name, overshadowed by a long-standing, dead-locked dispute with neighboring Greece. Greek objections to the country's name have led to it being admitted to the United Nations and several other international fora only under the provisional designation Former Yugoslav Republic of Macedonia.
Diplomatic relations
North Macedonia became a member state of the United Nations on April 8, 1993, eighteen months after its independence from the former Socialist Federal Republic of Yugoslavia. It was referred within the UN as "the former Yugoslav Republic of Macedonia", pending a resolution, to the long-running dispute about the country's name. Unusually, the country's flag was not raised at UN Headquarters when the state joined the UN. It was not until after the country's flag was changed that it was raised at the UN Headquarters. Other international bodies, such as the European Union, European Broadcasting Union, and the International Olympic Committee had adopted the same naming convention. NATO also used that name in official documents but added an explanation on which member countries recognise the constitutional name.
All UN member states currently recognise North Macedonia as a sovereign state. A number of countries recognised the country by its former constitutional name – the Republic of Macedonia – rather than the UN reference, notably four of the five permanent UN Security Council members (the United Kingdom, the United States,
List of countries
List of countries with North Macedonia has diplomatic relations with:
– 17 March 1992
– 30 March 1992
– 26 August 1992
– 20 January 1993
– 8 April 1993
– 12 May 1993
– 25 May 1993
– 22 July 1993
– 12 August 1993
– 12 October 1993
– 2 November 1993
– 10 November 1993
– 16 December 1993
– 16 December 1993
– 16 December 1993
– 16 December 1993
– 16 December 1993
– 20 December 1993
– 20 December 1993
– 22 December 1993
– 24 December 1993
– 27 December 1993
– 27 December 1993
– 29 December 1993
– 30 December 1993
– 31 January 1994
– 31 January 1994
– 31 January 1994
– 14 February 1994
– 1 March 1994
– 2 March 1994
– 4 March 1994
– 6 June 1994
– 10 June 1994
– 15 June 1994
– 20 July 1994
– 29 August 1994
– 19 September 1994
– 14 November 1994
– 15 November 1994
– 13 December 1994
– 21 December 1994
– 23 December 1994
– 31 December 1994
– 11 January 1995
– 11 January 1995
– 27 January 1995
– 9 February 1995
– 21 February 1995
– 10 March 1995
– 10 March 1995
– 14 April 1995
– 20 April 1995
– 8 May 1995
– 1 June 1995
– 27 June 1995
– 28 June 1995
– 17 July 1995
– 13 September 1995
– 13 October 1995
– 20 October 1995
– 7 December 1995
– 28 December 1995
– 4 January 1996
– 25 January 1996
– 7 February 1996
– 13 February 1996
– 14 February 1996
– 6 March 1996
– 28 March 1996
– 8 April 1996
– 18 April 1996
– 25 April 1996
– 26 April 1996
– 27 May 1996
– 21 June 1996
– 26 June 1996
– 4 July 1996
– 17 July 1996
– 11 September 1996
– 15 October 1996
– 18 October 1996
– 28 October 1996
– 29 October 1996
– 22 January 1997
– 28 February 1997
– 12 June 1997
– 16 June 1997
– 28 November 1997
– 7 January 1998
– 30 March 1998
– 10 April 1998
– 14 April 1998
– 17 July 1998
– 3 September 1998
– 29 September 1998
– 6 October 1998
– 14 October 1998
– 24 September 1999
– 27 September 1999
– 27 September 1999
– 13 October 1999
– 7 February 2000
– 5 May 2000
– 22 June 2000
– 22 June 2000
– 29 June 2000
– 29 June 2000
– 11 July 2000
– 17 July 2000
– 26 July 2000
– 24 August 2000
– 13 September 2000
– 14 September 2000
– 15 September 2000
– 18 September 2000
– 13 November 2000
– 13 November 2000
– 15 November 2000
– 7 February 2001
– 7 February 2001
– 7 February 2001
– 6 April 2001
– 11 April 2001
– 4 October 2001
– 16 November 2001
– 16 November 2001
– 21 March 2002
– 18 April 2002
– 18 April 2002
– 17 May 2002
– 9 July 2002
– 18 September 2002
– 18 October 2002
– 20 October 2002
– 20 October 2002
– 19 March 2003
– 25 March 2003
– 1 April 2003
– 24 April 2003
– 15 May 2003
– 9 July 2003
– 22 September 2003
– 26 November 2004
– 27 November 2004
– 30 November 2004
– 2 December 2004
– 10 December 2004
– 23 January 2005
– 17 February 2005
– 23 March 2005
– 10 June 2005
– 29 June 2005
– 18 August 2005
– 1 February 2006
– 14 June 2006
– 12 April 2007
– 6 July 2007
– 1 August 2007
– 26 October 2007
– 15 September 2008
– 31 July 2009
– 17 October 2009
– 15 March 2010
– 4 September 2010
– 23 September 2010
– 13 January 2011
– 29 June 2011
– 21 December 2011
– 25 January 2017
– 16 February 2019
– 18 July 2019
– 30 August 2019
– 12 September 2019
– 26 September 2019
– 26 September 2019
– 27 September 2019
– 27 September 2019
– 23 September 2021
Bilateral relations
Africa
Americas
Asia
Europe
Oceania
Issues
Flag issue
North Macedonia's first post-independence flag caused a major controversy when it was unveiled. The use of the Vergina Sun on the flag was seen by Greece as territorial claim to the northern Greek region of Macedonia, where the golden larnax containing the symbol was unearthed in 1977 during excavations in Vergina by Greek archaeologist Manolis Andronikos. The Greek viewpoint was summed up in an FAQ circulated on the Internet in the late 1990s:
The Vergina Sun, claimed by Greece as an exclusive state symbol, was removed from the flag under an agreement reached between the Republic of North Macedonia and Greece in September 1995. The Republic agreed to meet a number of Greek demands for changes to its national symbols and constitution, while Greece agreed to establish diplomatic relations with the Republic and end its economic blockade.
As of 2019, under the Prespa Agreement, North Macedonia recognises (among other Ancient Macedonian elements) the Vergina Sun as a Hellenic symbol and agrees to remove from all display the Vergina Sun in all State-owned organisations, products, logos, etc. The implementation of this clause started on August 12, 2019. Within six months following the entry into force of this Agreement, the Second Party [i.e. North Macedonia] shall review the status of monuments, public buildings and infrastructures on its territory, and insofar as they refer in any way to ancient Hellenic history and civilization constituting an integral component of the historic or cultural patrimony of the First Party, shall take appropriate corrective action to effectively address the issue and ensure respect for the said patrimony.—Article 8, paragraph 2 of the Prespa agreement
The Second Party [i.e. North Macedonia] shall not use again in any way and in all its forms the symbol formerly displayed on its former national flag [i.e. the Vergina Sun]. Within six months of the entry into force of this Agreement, the Second Party shall proceed to the removal of the symbol displayed on its former national flag from all public sites and public usages on its territory. Archaeological artefacts do not fall within the scope of this provision.—Article 8, paragraph 3 of the Prespa agreement
Constitutional issue
North Macedonia's first post-independence constitution, adopted on November 17, 1991 included a number of clauses that Greece interpreted as promoting secessionist sentiment among the Slavophone population of northern Greece, and making irredentist claims on Greek territory. Article 49 of the constitution caused particular concern. It read:
(1) The Republic cares for the status and rights of those persons belonging to the Macedonian people in neighboring countries, as well as Macedonian expatriates, assists their cultural development and promotes links with them. In the exercise of this concern the Republic will not interfere in the sovereign rights of other states or in their internal affairs.
(2) The Republic cares for the cultural, economic and social rights of the citizens of the Republic abroad.
The Greek government interpreted this as a licence for North Macedonia to interfere in Greek internal affairs. Given long-standing Greek sensitivities over the position of the country's minority groups, the government saw this as being the most serious of the three main issues affecting relations between the two countries; the issue of the republic's symbols, by contrast, was seen as being of much less substantive importance, even though it aroused the loudest political controversy. The Greek prime minister at the time, Constantine Mitsotakis, later commented that
What concerned me from the very first moment was not the name of the state. The problem for me was that [we should not allow] the creation of a second minority problem in the area of western [Greek] Macedonia [the first minority being the Turkish-speaking Greeks of western Thrace]. My main aim was to convince the Republic to declare that there is no Slavomacedonian minority in Greece. This was the real key of our difference with Skopje.
The offending articles were removed under the 1995 agreement between the two sides.
See also
List of diplomatic missions in North Macedonia
List of diplomatic missions of North Macedonia
List of state visits made by Gjorge Ivanov
Passport of North Macedonia
References
External links
Ministry of Foreign Affairs of the Republic of North Macedonia |
19088 | https://en.wikipedia.org/wiki/Malawi | Malawi | Malawi (; or [maláwi]), officially the Republic of Malawi, is a landlocked country in Southeastern Africa that was formerly known as Nyasaland. It is bordered by Zambia to the west, Tanzania to the north and northeast, and Mozambique to the east, south and southwest. Malawi spans over and has an estimated population of 19,431,566 (as of January 2021). Malawi's capital (and largest city) is Lilongwe. Its second-largest is Blantyre, its third-largest is Mzuzu and its fourth-largest is its former capital, Zomba. The name Malawi comes from the Maravi, an old name for the Chewa people who inhabit the area. The country is nicknamed "The Warm Heart of Africa" because of the friendliness of its people.
The part of Africa now known as Malawi was settled around the 10th century by migrating Bantu groups. Centuries later, in 1891, the area was colonized by the British and became a protectorate of the United Kingdom known as Nyasaland. In 1953, it became a protectorate within the semi-independent Federation of Rhodesia and Nyasaland. The Federation was dissolved in 1963. In 1964, the protectorate was ended: Nyasaland became an independent country under Queen Elizabeth II, and was renamed Malawi. Two years later it became a republic. It gained full independence from the United Kingdom, and by 1970 had become a totalitarian one-party state under the presidency of Hastings Banda, who remained in this role until 1994. Today, Malawi has a democratic, multi-party republic headed by an elected president. Lazarus Chakwera of the Malawi Congress Party led the Tonse Alliance grouping of nine political parties and won the court-mandated Presidential Election rerun held on 23 June 2020 after the May 2019 Presidential Election was annulled due to massive electoral irregularities. The country's military, the Malawian Defence Force, includes an army, a navy, and an air wing. Malawi's foreign policy is pro-Western. It maintains positive diplomatic relations with most countries, and participates in several international organisations, including the United Nations, the Commonwealth of Nations, the Southern African Development Community (SADC), the Common Market for Eastern and Southern Africa (COMESA), and the African Union (AU).
Malawi is among the world's least-developed countries. The economy is heavily based on agriculture, and it has a largely rural and rapidly growing population. The Malawian government depends heavily on outside aid to meet its development needs, although the amount needed (and the aid offered) has decreased since 2000. The Malawian government faces challenges in its efforts to build and expand the economy, improve education, healthcare, and environmental protection, and become financially independent despite widespread unemployment. Since 2005, Malawi has developed several programs that focus on addressing these issues, and the country's outlook appears to be improving: Key indicators of progress in the economy, education, and healthcare were seen in 2007 and 2008.
Malawi has a low life expectancy and high infant mortality. HIV/AIDS is highly prevalent, which both reduces the labor force and requires increased government expenditures. The country has a diverse population that includes native peoples, Asians, and Europeans. Several languages are spoken, and there is an array of religious beliefs. Although in the past there was a periodic regional conflict fueled in part by ethnic divisions, by 2008 this internal conflict had considerably diminished, and the idea of identifying with one's Malawian nationality had reemerged.
History
The area of Africa now known as Malawi had a very small population of hunter-gatherers before waves of Bantu peoples began emigrating from the north around the 10th century. Although most of the Bantu peoples continued south, some remained and founded ethnic groups based on common ancestry. By 1500 AD, the tribes had established the Kingdom of Maravi that reached from north of what is now Nkhotakota to the Zambezi River and from Lake Malawi to the Luangwa River in what is now Zambia.
Soon after 1600, with the area mostly united under one native ruler, native tribesmen began encountering, trading with and making alliances with Portuguese traders and members of the military. By 1700, however, the empire had broken up into areas controlled by many individual ethnic groups. The Indian Ocean slave trade reached its height in the mid-1800s, when approximately 20,000 people were enslaved and considered to be carried yearly from Nkhotakota to Kilwa where they were sold.
Missionary and explorer David Livingstone reached Lake Malawi (then Lake Nyasa) in 1859 and identified the Shire Highlands south of the lake as an area suitable for European settlement. As the result of Livingstone's visit, several Anglican and Presbyterian missions were established in the area in the 1860s and 1870s, the African Lakes Company Limited was established in 1878 to set up a trade and transport concern working closely with the missions, and a small mission and trading settlement were established at Blantyre in 1876 and a British Consul took up residence there in 1883. The Portuguese government was also interested in the area so, to prevent Portuguese occupation, the British government sent Harry Johnston as British consul with instructions to make treaties with local rulers beyond Portuguese jurisdiction.
In 1889, a British protectorate was proclaimed over the Shire Highlands, which was extended in 1891 to include the whole of present-day Malawi as the British Central Africa Protectorate. In 1907, the protectorate was renamed Nyasaland, a name it retained for the remainder of its time under British rule. In a prime example of what is sometimes called the "Thin White Line" of colonial authority in Africa, the colonial government of Nyasaland was formed in 1891. The administrators were given a budget of £10,000 (1891 nominal value) per year, which was enough to employ ten European civilians, two military officers, seventy Punjab Sikhs and eighty-five Zanzibar porters. These few employees were then expected to administer and police a territory of around 94,000 square kilometers with between one and two million people.
In 1944, the Nyasaland African Congress (NAC) was formed by the Africans of Nyasaland to promote local interests to the British government. In 1953, Britain linked Nyasaland with Northern and Southern Rhodesia in what was the Federation of Rhodesia and Nyasaland, often called the Central African Federation (CAF), for mainly political reasons. Even though the Federation was semi-independent, the linking provoked opposition from African nationalists, and the NAC gained popular support. An influential opponent of the CAF was Hastings Banda, a European-trained doctor working in Ghana who was persuaded to return to Nyasaland in 1958 to assist the nationalist cause. Banda was elected president of the NAC and worked to mobilize nationalist sentiment before being jailed by colonial authorities in 1959. He was released in 1960 and asked to help draft a new constitution for Nyasaland, with a clause granting Africans the majority in the colony's Legislative Council.
Hastings Kamuzu Banda era (1961–1993)
In 1961, Banda's Malawi Congress Party (MCP) gained a majority in the Legislative Council elections and Banda became Prime Minister in 1963. The Federation was dissolved in 1963, and on 6 July 1964, Nyasaland became independent from British rule and renamed itself Malawi, and that is commemorated as the nation's Independence Day, a public holiday. Under a new constitution, Malawi became a republic with Banda as its first president. The new document also formally made Malawi a one-party state with the MCP as the only legal party. In 1971, Banda was declared president-for-life. For almost 30 years, Banda presided over a rigidly totalitarian regime, which ensured that Malawi did not suffer armed conflict. Opposition parties, including the Malawi Freedom Movement of Orton Chirwa and the Socialist League of Malawi, were founded in exile.
Malawi's economy, while Banda was president, was often cited as an example of how a poor, landlocked, and heavily populated country deficient in mineral resources could achieve progress in both agriculture and industrial development. While in office, and using his control of the country, Banda constructed a business empire that eventually produced one-third of the country's GDP and employed 10% of the wage-earning workforce.
Kamuzu Banda was originally from Malawi's central region district of Kasungu. He developed the district beyond all other districts because he came from there.
Multi-party democracy (1993–present)
Under pressure for increased political freedom, Banda agreed to a referendum in 1993, where the populace voted for a multi-party democracy. In late 1993, a presidential council was formed, the life presidency was abolished and a new constitution was put into place, effectively ending the MCP's rule. In 1994 the first multi-party elections were held in Malawi, and Banda was defeated by Bakili Muluzi (a former Secretary General of the MCP and former Banda Cabinet Minister). Re-elected in 1999, Muluzi remained president until 2004, when Bingu wa Mutharika was elected. Although the political environment was described as "challenging", it was stated in 2009 that a multi-party system still existed in Malawi. Multiparty parliamentary and presidential elections were held for the fourth time in Malawi in May 2009, and President Mutharika was successfully re-elected, despite charges of election fraud from his rival.
President Mutharika was seen by some as increasingly autocratic and dismissive of human rights, and in July 2011 protests over high costs of living, devolving foreign relations, poor governance and a lack of foreign exchange reserves erupted. The protests left 18 people dead and at least 44 others suffering from gunshot wounds.
In April 2012, Mutharika died of a heart attack. Over a period of 48 hours, his death was kept secret, including an elaborate flight with the body to South Africa, where the ambulance drivers refused to move the body, saying they were not licensed to move a corpse. After the South African government threatened to reveal the information, the presidential title was taken over by Vice-President Joyce Banda (not related to the former president Banda).
In 2014 Malawian general election Joyce Banda lost the elections (coming third) and was replaced by Peter Mutharika, the brother of ex-President Mutharika. In 2019 Malawian general election president Peter Mutharika got narrow election victory and he was re-elected. In February 2020 Malawi Constitutional Court overturned the result because of irregularities and widespread fraud. In May 2020 Malawi Supreme Court upheld the decision and announced a new election will be held on July 2. This was the first time election was legally challenged. Opposition leader Lazarus Chakwera won 2020 Malawian presidential election and he was sworn in as the new president of Malawi.
Government and politics
Malawi is a unitary presidential republic under the leadership of President Lazarus Chakwera The current constitution was put into place on 18 May 1995. The branches of the government consist of executive, legislative and judicial. The executive includes a President who is both Head of State and Head of Government, first and second Vice Presidents and the Cabinet of Malawi. The President and Vice President are elected together every five years. A second Vice President may be appointed by the President if so chosen, although they must be from a different party. The members of the Cabinet of Malawi are appointed by the President and can be from either inside or outside of the legislature.
The legislative branch consists of a unicameral National Assembly of 193 members who are elected every five years, and although the Malawian constitution provides for a Senate of 80 seats, one does not exist in practice. If created, the Senate would provide representation for traditional leaders and a variety of geographic districts, as well as special interest groups including the disabled, youth, and women. The Malawi Congress Party is the ruling party together with several other parties in the Tonse Alliance led by Lazarus Chakwera while the Democratic Progressive Party is the main opposition party. Suffrage is universal at 18 years of age, and the central government budget for 2021/2022 is $2.4 billion from $2.8 billion for the 2020/2021 financial year.
The independent judicial branch is based upon the English model and consists of a Supreme Court of Appeal, a High Court divided into three sections (general, constitutional, and commercial), an Industrial Relations Court and Magistrates Courts, the last of which is divided into five grades and includes Child Justice Courts. The judicial system has been changed several times since Malawi gained independence in 1964. Conventional courts and traditional courts have been used in varying combinations, with varying degrees of success and corruption.
Malawi is composed of three regions (the Northern, Central, and Southern regions), which are divided into 28 districts, and further into approximately 250 traditional authorities and 110 administrative wards. Local government is administered by central government-appointed regional administrators and district commissioners. For the first time in the multi-party era, local elections took place on 21 November 2000, with the UDF party winning 70% of the available seats. There was scheduled to be a second round of constitutionally mandated local elections in May 2005, but these were cancelled by the government.
In February 2005, President Mutharika split with the United Democratic Front and began his own party, the Democratic Progressive Party, which had attracted reform-minded officials from other parties and won by-elections across the country in 2006. In 2008, President Mutharika had implemented reforms to address the country's major corruption problem, with at least five senior UDF party members facing criminal charges. In 2012, Malawi was ranked 7th of all countries in sub-Saharan Africa in the Ibrahim Index of African Governance, an index that measures several variables to provide a comprehensive view of the governance of African countries. Although the country's governance score was higher than the continental average, it was lower than the regional average for southern Africa. Its highest scores were for safety and rule of law, and its lowest scores were for sustainable economic opportunity, with a ranking of 47th on the continent for educational opportunities. Malawi's governance score had improved between 2000 and 2011. Malawi held elections in May 2019, with President Peter Mutharika winning re-election over challengers Lazarus Chakwera, Atupele Muluzi, and Saulos Chilima. In 2020 Malawi Constitutional Court annulled President Peter Mutharika's narrow election victory last year because of widespread fraud and irregularities. Opposition leader Lazarus Chakwera won 2020 Malawian presidential election and he became the new president.
Administrative divisions
Malawi is divided into 28 districts within three regions:
Foreign relations
Former President Hastings Banda established a pro-Western foreign policy that continued into early 2011. It included good diplomatic relationships with many Western countries. The transition from a one-party state to a multi-party democracy strengthened Malawian ties with the United States. Significant numbers of students from Malawi travel to the US for schooling, and the US has active branches of the Peace Corps, the Centers for Disease Control and Prevention, the Department of Health and Human Services and the Agency for International Development in Malawi. Malawi maintained close relations with South Africa throughout the Apartheid era, which strained Malawi's relationships with other African countries. Following the collapse of apartheid in 1994, diplomatic relationships were made and maintained into 2011 between Malawi and all other African countries. In 2010, however, Malawi's relationship with Mozambique became strained, partially due to disputes over the use of the Zambezi River and an inter-country electrical grid. In 2007, Malawi established diplomatic ties with China, and Chinese investment in the country has continued to increase since then, despite concerns regarding the treatment of workers by Chinese companies and competition of Chinese business with local companies. In 2011, relations between Malawi and the United Kingdom were damaged when a document was released in which the British ambassador to Malawi criticized President Mutharika. Mutharika expelled the ambassador from Malawi, and in July 2011, the UK announced that it was suspending all budgetary aid because of Mutharika's lack of response to criticisms of his government and economic mismanagement. On 26 July 2011, the United States followed suit, freezing a US$350 million grant, citing concerns regarding the government's suppression and intimidation of demonstrators and civic groups, as well as restriction of the press and police violence.
Malawi has been seen as a haven for refugees from other African countries, including Mozambique and Rwanda, since 1985. These influxes of refugees have placed a strain on the Malawian economy but have also drawn significant inflows of aid from other countries. Donors to Malawi include the United States, Canada, Germany, Iceland, Japan, the Netherlands, Norway, Sweden, Ireland, the UK and Flanders (Belgium), as well as international institutions such as the World Bank, the International Monetary Fund, the European Union, the African Development Bank and UN organizations.
Malawi is a member of several international organizations including the Commonwealth, the UN and some of its child agencies, the IMF, the World Bank, the African Union and the World Health Organization. Malawi tends to view economic and political stability in southern Africa as a necessity and advocates peaceful solutions through negotiation. The country was the first in southern Africa to receive peacekeeping training under the African Crisis Response Initiative.
Human rights
, international observers noted issues in several human rights areas. Excessive force was seen to be used by police forces, security forces were able to act with impunity, mob violence was occasionally seen, and prison conditions continued to be harsh and sometimes life-threatening. However, the government was seen to make some effort to prosecute security forces who used excessive force. Other legal issues included limits on free speech and freedom of the press, lengthy pretrial detentions, and arbitrary arrests and detentions. Societal issues found included violence against women, human trafficking, and child labour. Corruption within the government is seen as a major issue, despite the Malawi Anti-Corruption Bureau's (ACB) attempts to reduce it. The ACB appears to be successful at finding and prosecuting low level corruption, but higher level officials appear to be able to act with impunity. Corruption within security forces is also an issue. Malawi had one of the highest rates of child marriage in the world. In 2015 Malawi raised the legal age for marriage from 15 to 18. Other issues that have been raised are lack of adequate legal protection of women from sexual abuse and harassment, very high maternal mortality rate, and abuse related to accusations of witchcraft.
, homosexuality has been illegal in Malawi. In one 2010 case, a couple perceived as homosexual faced extensive jail time when convicted. The convicted pair, sentenced to the maximum of 14 years of hard labor each, were pardoned two weeks later following the intervention of United Nations Secretary General Ban Ki-moon. In May 2012, then-President Joyce Banda pledged to repeal laws criminalizing homosexuality. It was her successor, Peter Mutharika, who imposed a moratorium in 2015 that suspended the country's anti-gay laws pending further review of the same laws. On 26 June 2021, the country's LGBT community held the first Pride parade in the country's Capital City, Lilongwe
Women in Malawi
The status of women throughout the world, including Malawi, is measured using a wide range of indices that cover areas of social, economic, and political contexts. Focusing primarily on the time period between 2010 and the current day, the status of women in Malawi will be analyzed through a range of statistical indices.
The current social status of women in Malawi is effectively estimated through indices such as female access to schooling, maternal mortality rate, and life expectancy of women from birth. These indices offer a wide lens of information on women's rights and life in Malawi. Women's access to schooling in Malawi as an index highlights how within the state, the ratio of male to female students for many age groups and for total students by gender shows women's access to schooling maintains on par with men's access. Female students in Malawi, though, see consistent declines as the age increases, signifying the failure of compulsory education amongst female students in Malawi. The life expectancy of women from birth in Malawi has seen significant growth over the past decade as the life expectancy of women in 2010 was approximately 58 years old whilst the most recent data from 2017 finds that women in Malawi's average life expectancy grew to 66 years. The maternal mortality rate in Malawi which is particularly low even when compared with states at similar points in the development process.
The economic status of women in Malawi is gauged using indices such as the inheritance rights for women, unemployment, and labor force participation for females, along with the extent of the wage gap present between men and women in the Malawian economy. The inheritance rights index gauges the ability of women to effectively own and maintain the property in comparison with their male counterparts. The current inheritance rights in Malawi are found to be equal in their dispersion between male/female children and for male/female surviving spouses. Contrary to the equality found in inheritance rights in Malawi, labour force participation and unemployment highlight the challenges for female employment in the state. The current state of female labor participation details how a higher percentage of the male population is currently employed despite the female population having a higher total employed population and a very similar unemployment rate. This gap continues with wages in Malawi as the state continues to score towards the bottom of the list when compared to states across the world. Along with their poor international ranking, the state scores poorly when compared to other sub-Saharan countries as the highest-ranked sub-Saharan state, Rwanda, scored a 0.791 on a 0–1 scale while Malawi scored 0.664.
The indices used to gauge the political status of women include political participation amongst women, access to political institutions, and female seats in the national parliament. The political participation of women in Malawi as an index is effectively captured through a myriad of sources; these sources come to similar conclusions in regards to the political participation of women. The participation of women in the national political structure has been shown to be weaker than their male counterparts due to the normalization of negative stereotypes which women are not expected to be as politically active as men. The female participation in politics is further restricted from national political structures due to the presence of gatekeepers which provide access to the resources needed to win elections and maintain seats in parliament. This limited participation is directly correlated to the limited positions which are occupied by women in the national setup. This setup, despite its commitment to equal positions for men and women, has failed to promote methods for female politicians maintaining their seats in parliament and as a result of said policies, women throughout Malawi are left without the proper structure and resources to maintain their position in the national structure. Despite the limited resources available to these female politicians, the national parliament within Malawi finds reasonable success in appointing female members to seats within the body as over 20% of the seats in parliament are held by women. Despite the limited access and resources widely available for female politicians in Malawi, the state is finding reasonable success in promoting female politicians on the national scene which works in conjunction with the positive trajectory of the social and economic indices to conclude that Malawi should expect continued growth toward gender equality.
Geography
Malawi is a landlocked country in southeastern Africa, bordered by Zambia to the northwest, Tanzania to the northeast, and Mozambique to the south, southwest, and southeast. It lies between latitudes 9° and 18°S, and longitudes 32° and 36°E.
The Great Rift Valley runs through the country from north to south, and to the east of the valley lies Lake Malawi (also called Lake Nyasa), making up over three-quarters of Malawi's eastern boundary. Lake Malawi is sometimes called the Calendar Lake as it is about long and wide. The Shire River flows from the south end of the lake and joins the Zambezi River farther south in Mozambique. The surface of Lake Malawi is at above sea level, with a maximum depth of , which means the lake bottom is over below sea level at some points.
In the mountainous sections of Malawi surrounding the Rift Valley, plateaus rise generally above sea level, although some rise as high as in the north. To the south of Lake Malawi lie the Shire Highlands, gently rolling land at approximately above sea level. In this area, the Zomba and Mulanje mountain peaks rise to respective heights of .
Malawi's capital is Lilongwe, and its commercial centre is Blantyre with a population of over 500,000 people. Malawi has two sites listed on the UNESCO World Heritage List. Lake Malawi National Park was first listed in 1984 and the Chongoni Rock Art Area was listed in 2006.
Malawi's climate is hot in the low-lying areas in the south of the country and temperate in the northern highlands. The altitude moderates what would otherwise be an equatorial climate. Between November and April, the temperature is warm with equatorial rains and thunderstorms, with the storms reaching their peak severity in late March. After March, the rainfall rapidly diminishes, and from May to September wet mists float from the highlands into the plateaus, with almost no rainfall during these months.
Flora and fauna
Animal life indigenous to Malawi includes mammals such as elephants, hippos, antelopes, buffaloes, big cats, monkeys, rhinos, and bats; a great variety of birds including birds of prey, parrots and falcons, waterfowl and large waders, owls and songbirds. Lake Malawi has been described as having one of the richest lake fish faunas in the world, being the home for some 200 mammals, 650 birds, 30+ mollusk, and 5,500+ plant species.
Seven terrestrial ecoregions lie within Malawi's borders: Central Zambezian miombo woodlands, Eastern miombo woodlands, Southern miombo woodlands, Zambezian and mopane woodlands, Zambezian flooded grasslands, South Malawi montane forest-grassland mosaic, and Southern Rift montane forest-grassland mosaic.
There are five national parks, four wildlife and game reserves and two other protected areas in Malawi. The country had a 2019 Forest Landscape Integrity Index mean score of 5.74/10, ranking it 96th globally out of 172 countries.
Economy
Malawi is among the world's least developed countries. Around 85% of the population lives in rural areas. The economy is based on agriculture, and more than one-third of GDP and 90% of export revenues come from this. In the past, the economy has been dependent on substantial economic aid from the World Bank, the International Monetary Fund (IMF), and other countries. Malawi was ranked the 119th safest investment destination in the world in the March 2011 Euromoney Country Risk rankings.
In December 2000, the IMF stopped aid disbursements due to corruption concerns, and many individual donors followed, resulting in an almost 80% drop in Malawi's development budget. However, in 2005, Malawi was the recipient of over US$575 million in aid. The Malawian government faces challenges in developing a market economy, improving environmental protection, dealing with the rapidly growing HIV/AIDS problem, improving the education system, and satisfying its foreign donors that it is working to become financially independent. Improved financial discipline had been seen since 2005 under the leadership of President Mutharika and Financial Minister Gondwe. This discipline has since evaporated as shown by the purchase in 2009 of a private presidential jet followed almost immediately by a nationwide fuel shortage which was officially blamed on logistical problems but was more likely due to the hard currency shortage caused by the jet purchase. The overall cost to the economy (and healthcare system) is unknown.
In addition, some setbacks have been experienced, and Malawi has lost some of its ability to pay for imports due to a general shortage of foreign exchange, as investment fell 23% in 2009. There are many investment barriers in Malawi, which the government has failed to address, including high service costs and poor infrastructure for power, water, and telecommunications. , it was estimated that Malawi had a GDP (purchasing power parity) of $22.42 billion, with a per capita GDP of $1200, and inflation estimated at around 12.2% in 2017.
Agriculture accounts for 35% of GDP, industry for 19% and services for the remaining 46%. Malawi has one of the lowest per capita incomes in the world, although economic growth was estimated at 9.7% in 2008 and strong growth is predicted by the International Monetary Fund for 2009. The poverty rate in Malawi is decreasing through the work of the government and supporting organisations, with people living under the poverty line decreasing from 54% in 1990 to 40% in 2006, and the percentage of "ultra-poor" decreasing from 24% in 1990 to 15% in 2007.
Many analysts believe that economic progress for Malawi depends on its ability to control population growth.
In January 2015 southern Malawi was devastated by the worst floods in living memory, stranding at least 20,000 people. These floods affected more than a million people across the country, including 336,000 who were displaced, according to UNICEF. Over 100 people were killed and an estimated 64,000 hectares of cropland were washed away.
Agriculture and industry
The economy of Malawi is predominantly agricultural. Over 80% of the population is engaged in subsistence farming, even though agriculture only contributed to 27% of GDP in 2013. The services sector accounts for more than half of GDP (54%), compared to 11% for manufacturing and 8% for other industries, including natural uranium mining. Malawi invests more in agriculture (as a share of GDP) than any other African country: 28% of GDP.
The main agricultural products of Malawi include tobacco, sugarcane, cotton, tea, corn, potatoes, sorghum, cattle and goats. The main industries are tobacco, tea and sugar processing, sawmill products, cement and consumer goods. The industrial production growth rate is estimated at 10% (2009). The country makes no significant use of natural gas. , Malawi does not import or export any electricity, but does import all its petroleum, with no production in country. Beginning in 2006, the country began mixing unleaded petrol with 10% ethanol, produced in-country at two plants, to reduce dependence on imported fuel. In 2008, Malawi began testing cars that ran solely on ethanol, and initial results are promising, and the country is continuing to increase its use of ethanol.
, Malawi exports an estimated US$945 million in goods per year. The country's strong reliance on tobacco places a heavy burden on the economy as world prices decline and the international community increases pressure to limit tobacco production. Malawi's dependence on tobacco is growing, with the product jumping from 53% to 70% of export revenues between 2007 and 2008. The country also relies heavily on tea, sugar, and coffee, with these three plus tobacco making up more than 90% of Malawi's export revenue. Because of a rise in costs and a decline in sales prices, Malawi is encouraging farmers away from tobacco towards more profitable crops, including spices such as paprika. The move away from tobacco is further fueled by likely World Health Organisation moves against the particular type of tobacco that Malawi produces, burley leaf. It is seen to be more harmful to human health than other tobacco products. India hemp is another possible alternative, but arguments have been made that it will bring more crime to the country through its resemblance to varieties of cannabis used as a recreational drug and the difficulty in distinguishing between the two types. This concern is especially important because the cultivation of Malawian cannabis, known as Malawi Gold, as a drug has increased significantly. Malawi is known for growing "the best and finest" cannabis in the world for recreational drug use, according to a recent World Bank report, and cultivation and sales of the crop may contribute to corruption within the police force.
Other exported goods are cotton, peanuts, wood products, and apparel. The main destination locations for the country's exports are South Africa, Germany, Egypt, Zimbabwe, the United States, Russia, and the Netherlands. Malawi currently imports an estimated US$1.625 billion in goods per year, with the main commodities being food, petroleum products, consumer goods, and transportation equipment. The main countries that Malawi imports from are South Africa, India, Zambia, Tanzania, the US, and China.
In 2006, in response to disastrously low agricultural harvests, Malawi began a program of fertilizer subsidies, the Fertiliser Input Subsidy Program (FISP) that was designed to re-energize the land and boost crop production. It has been reported that this program, championed by the country's president, is radically improving Malawi's agriculture, and causing Malawi to become a net exporter of food to nearby countries. The FISP fertiliser subsidy programmes ended with President Mutharika's death; the country quickly faced food shortages again, and farmers developed reluctance to purchase fertilisers and other agricultural inputs on the open markets that remained.
In 2016, Malawi was hit by a drought, and in January 2017, the country reported an outbreak of armyworms around Zomba. The moth is capable of wiping out entire fields of corn, the staple grain of impoverished residents. On 14 January 2017, the agriculture minister George Chaponda reported that 2,000 hectares of crop had been destroyed, having spread to nine of twenty-eight districts.
Infrastructure
, Malawi has 31 airports, seven with paved runways (two international airports) and 24 with unpaved runways. , the country has of railways, all narrow-gauge, and, as of 2003, of roadways in various conditions, paved and unpaved. Malawi also has of waterways on Lake Malawi and along the Shire River.
, there were 3.952 million mobile phones and 173,500 landline telephones in Malawi. There were 716,400 Internet users in 2009, and 1,099 Internet hosts . there was one government-run radio station and approximately a dozen more owned by private enterprise.
Radio, television and postal services in Malawi are regulated by the Malawi Communications Regulatory Authority (MACRA). Malawi television is improving. The country boasts 20 television stations by 2016 broadcasting on the country's digital network MDBNL e.g.[3] This includes Times Group, Timveni, Adventist, and Beta, Zodiak and CFC. In the past, Malawi's telecommunications system has been named as some of the poorest in Africa, but conditions are improving, with 130,000 land line telephones being connected between 2000 and 2007. Telephones are much more accessible in urban areas, with less than a quarter of land lines being in rural areas.
Science and technology
Research trends
Malawi devoted 1.06% of GDP to research and development in 2010, according to a survey by the Department of Science and Technology, one of the highest ratios in Africa. This corresponds to $7.8 per researcher (in current purchasing parity dollars).
In 2014, Malawian scientists had the third-largest output in Southern Africa, in terms of articles cataloged in international journals. They published 322 articles in Thomson Reuters' Web of Science (Science Citation Index expanded) that year, almost triple the number in 2005 (116). Only South Africa (9,309) and the United Republic of Tanzania (770) published more in Southern Africa. Malawian scientists publish more in mainstream journals – relative to GDP – than any other country of similar population size. This is impressive, even if the country's publication density remains modest, with just 19 publications per million inhabitants cataloged in international journals in 2014. The average for sub-Saharan Africa is 20 publications per million inhabitants. Malawi was ranked 111th in the Global Innovation Index in 2020, up from 118th in 2019.
Policy framework
Malawi's first science and technology policy dates from 1991 and was revised in 2002. The National Science and Technology Policy of 2002 envisaged the establishment of a National Commission for Science and Technology to advise the government and other stakeholders on science and technology-led development. Although the Science and Technology Act of 2003 made provision for the creation of this commission, it only became operational in 2011, with a secretariat resulting from the merger of the Department of Science and Technology and the National Research Council. The Science and Technology Act of 2003 also established a Science and Technology Fund to finance research and studies through government grants and loans but, , this was not yet operational. The Secretariat of the National Commission for Science and Technology has reviewed the Strategic Plan for Science, Technology, and Innovation (2011–2015) but, as of early 2015, the revised policy had not yet met with Cabinet approval.
Malawi is conscious of the need to attract more foreign investment to foster technology transfer, develop human capital and empower the private sector to drive economic growth. In 2012, most foreign investments flowed to infrastructure (62%) and the energy sector (33%). The government has introduced a series of fiscal incentives, including tax breaks, to attract more foreign investors. In 2013, the Malawi Investment and Trade Centre put together an investment portfolio spanning 20 companies in the country's six major economic growth sectors, namely:
agriculture;
manufacturing;
energy (bio-energy, mobile electricity);
tourism (ecolodges);
infrastructure (wastewater services, fiber optic cables, etc.); and
mining.
In 2013, the government adopted a National Export Strategy to diversify the country's exports. Production facilities are to be established for a wide range of products within the three selected clusters: oilseed products, sugar cane products, and manufacturing. The government estimates that these three clusters have the potential to represent more than 50% of Malawi's exports by 2027. In order to help companies adopt innovative practices and technologies, the strategy makes provision for greater access to the outcome of international research and better information about available technologies; it also helps companies to obtain grants to invest in such technologies from sources such as the country's Export Development Fund and the Malawi Innovation Challenge Fund.
The Malawi Innovation Challenge Fund is a competitive facility, through which businesses in Malawi's agricultural and manufacturing sectors can apply for grant funding for innovative projects with the potential for making a strong social impact and helping the country to diversify its narrow range of exports. The first round of competitive bidding opened in April 2014. The fund is aligned on the three clusters selected within the country's National Export Strategy: oilseed products, sugar cane products, and manufacturing. It provides a matching grant of up to 50% to innovative business projects to help absorb some of the commercial risks in triggering innovation. This support should speed up the implementation of new business models and/or the adoption of technologies. The fund is endowed with US$8 million from the United Nations Development Programme and the UK Department for International Development.
Achievements
Among the notable achievements stemming from the implementation of national policies for science, technology and innovation in recent years are the:
Establishment, in 2012, of the Malawi University of Science and Technology and the Lilongwe University of Agriculture and Natural Resources (LUANAR) to build STI capacity. LUANAR was delinked from the University of Malawi. This brings the number of public universities to four, with the University of Malawi and Mzuzu University;
Improvement in biomedical research capacity through the five-year Health Research Capacity Strengthening Initiative (2008–2013) awarding research grants and competitive scholarships at Ph.D., master's and first-degree levels, supported by the UK Wellcome Trust and DfID;
Strides made in conducting cotton confined field trials, with support from the US Program for Biosafety Systems, Monsanto, and LUANAR;
Introduction of ethanol fuel as an alternative fuel to petrol and the adoption of ethanol technology;
Launch of the Information and Communication Technology (ICT) Policy for Malawi in December 2013, to drive the deployment of ICTs in all economic and productive sectors and improve ICT infrastructure in rural areas, especially via the establishment of telecentres; and
A review of secondary school curricula in 2013.
Demographics
Malawi has a population of over million, with a growth rate of 3.32%, according to estimates. The population is forecast to grow to over 45 million people by 2050, nearly tripling the estimated 16 million in 2010. Malawi's estimated 2016 population is, based on most recent estimates, 18,091,575.
Ethnic groups
Malawi's population is made up of the Chewa, Tumbuka, Yao, Lomwe, Sena, Tonga, Ngoni, and Ngonde native ethnic groups, as well as populations of Chinese and Europeans.
Languages
The official language is English. Major languages include Chichewa, a language spoken by over 57% of the population, Chinyanja (12.8%), Chiyao (10.1%), and Chitumbuka (9.5%). Other native languages are Malawian Lomwe, spoken by around 250,000 in the southeast of the country; Kokola, spoken by around 200,000 people also in the southeast; Lambya, spoken by around 45,000 in the northwestern tip; Ndali, spoken by around 70,000; Nyakyusa-Ngonde, spoken by around 300,000 in northern Malawi; Malawian Sena, spoken by around 270,000 in southern Malawi; and Tonga, spoken by around 170,000 in the north.
All students in elementary school receive instruction in Chichewa, which is described as the unofficial national language of Malawi.
Religion
Malawi is a majority Christian country, with a significant Muslim minority. Government surveys indicate that 87% of the country is Christian, with a minority 11.6% Islamic population. The largest Christian groups in Malawi are the Roman Catholic Church, of which 19% of Malawians are adherents, and the Church of Central Africa Presbyterian (CCAP) to which 18% belong. The CCAP is the largest Protestant denomination in Malawi with 1.3 million members. There are smaller Presbyterian denominations like the Reformed Presbyterian Church of Malawi and the Evangelical Presbyterian Church of Malawi. There are also smaller numbers of Anglicans, Baptists, evangelicals, Seventh-day Adventists, and the Lutherans.
Most of the Muslim population is Sunni, of either the Qadriya or Sukkutu groups, with a few who follow the Ahmadiyya.
Other religious groups within the country include Jehovah's Witnesses (over 95,000), The Church of Jesus Christ of Latter-day Saints with just over 2,000 members in the country at the end of 2015, Rastafari, Hindus, Baháʼís, (0.2%) and around 300 Jews. Atheists make up around 4% of the population, although this number may include people who practice traditional African religions that do not have any gods.
Health
Malawi has central hospitals, regional and private facilities. The public sector offers free health services and medicines, while non-government organizations offers services and medicines for fees. Private doctors offer fee-based services and medicines. Health insurance schemes have been established since 2000. The country has a pharmaceutical manufacturing industry consisting of four privately owned pharmaceutical companies. Malawi's healthcare goal is for "promoting health, preventing, reducing and curing disease, and reducing the occurrence of premature death in the population".
Infant mortality rates are high, and life expectancy at birth is 50.03 years. Abortion is illegal in Malawi, except to save the mother's life. The Penal Code punishes women who seek illegal or clinical abortion with 7 years in prison, and 14 years for those perform the abortion. There is a high adult prevalence rate of HIV/AIDS, with an estimated 980,000 adults (or 9.1% of the population) living with the disease in 2015. There are approximately 27,000 deaths each year from HIV/AIDS, and over half a million children orphaned because of the disease (2015). Approximately 250 new people are infected each day, and at least 70% of Malawi's hospital beds are occupied by HIV/AIDS patients. The high rate of infection has resulted in an estimated 5.8% of the farm labor force dying of the disease. The government spends over $120,000 each year on funerals for civil servants who die of the disease. In 2006, international superstar Madonna started Raising Malawi, a foundation that helps AIDS orphans in Malawi, and also financed a documentary about the hardships experienced by Malawian orphans, called I Am Because We Are. Raising Malawi also works with the Millennium Villages Project to improve education, health care, infrastructure and agriculture in Malawi.
There is a very high degree of risk for major infectious diseases, including bacterial and protozoal diarrhoea, hepatitis A, typhoid fever, malaria, plague, schistosomiasis, and rabies. Malawi has been making progress on decreasing child mortality and reducing the incidences of HIV/AIDS, malaria and other diseases; however, the country has been "performing dismally" on reducing maternal mortality and promoting gender equality. Female genital mutilation (FGM), while not widespread, is practiced in some local communities.
On 23 November 2016, a court in Malawi sentenced an HIV-positive man to two years in prison with forced labor after having sex with 100 women without disclosing his status. Women rights activists asked the government to review the sentence calling it too "lenient". Some of the major health facilities in the country are Blantyre Adventist Hospital, Mwaiwathu Private Hospital, Queen Elizabeth Central, and Kamuzu Central Hospitals.
Education
In 1994, free primary education for all Malawian children was established by the government, and primary education has been compulsory since the passage of the Revised Education Act in 2012. As a result, attendance rates for all children have improved, with enrollment rates for primary schools up from 58% in 1992 to 75% in 2007. Also, the percentage of students who begin standard one and complete standard five has increased from 64% in 1992 to 86% in 2006. According to the World Bank, it shows that youth literacy had also increased from 68% in 2000 to 75% in 2015. This increase is primarily attributed to improved learning materials in schools, better infrastructure and feeding programs that have been implemented throughout the school system. However, attendance in the secondary school falls to approximately 25%, with attendance rates being slightly higher for males. Dropout rates are higher for girls than boys, attributed to security problems during long walks to school, as girls face a higher prevalence of gender-based violence.
Education in Malawi comprises eight years of primary education, four years of secondary school and four years of university. There are four public universities in Malawi: Mzuzu University (MZUNI), Lilongwe University of Agriculture and Natural Resources (LUANAR), the University of Malawi (UNIMA) and Malawi University of Science and Technology (MUST). There are also private universities, such as Livingstonia, Malawi Lakeview, Catholic University of Malawi, Central Christian University, African Bible College, UNICAF University, and MIM. The entry requirement is six credits on the Malawi School Certificate of Education, which is equivalent to O levels.
Military
Malawi maintains a small standing military of approximately 25,000, the Malawian Defence Force. It consists of army, navy and air force elements. The Malawi army originated from British colonial units formed before independence, and is now made up of two rifle regiments and one parachute regiment. The Malawi Air Force was established with German help in 1976, and operates a small number of transport aircraft and multi-purpose helicopters. The Malawian Navy was established in the early 1970s with Portuguese support, presently having three vessels operating on Lake Malawi, based in Monkey Bay. In 2017, Malawi signed the UN treaty on the Prohibition of Nuclear Weapons.
Culture
The name "Malawi" comes from the Maravi, a Bantu ethnic group who emigrated from the southern Congo around 1400 AD. Upon reaching northern Lake Malawi, the group divided, with one group moving south down the west bank of the lake to become the group known as the Chewa, while the other group, the ancestors of today's Nyanja, moved along the east side of the lake to the southern section of Malawi. Ethnic conflict and continuing migration prevented the formation of a society that was uniquely and cohesively Malawian until the dawn of the 20th century. Over the past century, ethnic distinctions have diminished to the point where there is no significant inter-ethnic friction, although regional divisions still occur. The concept of a Malawian nationality has begun to form around predominantly rural people who are generally conservative and traditionally nonviolent. The "Warm Heart of Africa" nickname is not due to the hot weather of the country, but due to the kind, loving nature of the Malawian people.
From 1964 to 2010, and again since 2012, the Flag of Malawi is made up of three equal horizontal stripes of black, red, and green with a red rising sun superimposed in the center of the black stripe. The black stripe represented the African people, the red represented the blood of martyrs for African freedom, green represented Malawi's ever-green nature and the rising sun represented the dawn of freedom and hope for Africa. In 2010, the flag was changed, removing the red rising sun and adding a full white sun in the center as a symbol of Malawi's economic progress. The change was reverted in 2012.
Its dances are a strong part of Malawi's culture, and the National Dance Troupe (formerly the Kwacha Cultural Troupe) was formed in November 1987 by the government. Traditional music and dances can be seen at initiation rites, rituals, marriage ceremonies and celebrations.
The indigenous ethnic groups of Malawi have a rich tradition of basketry and mask carving, and some of these goods are used in traditional ceremonies still performed by native peoples. Wood carving and oil painting are also popular in more urban centers, with many of the items produced being sold to tourists. There are several internationally recognised literary figures from Malawi, including poet Jack Mapanje, history and fiction writer Paul Zeleza and authors Legson Kayira, Felix Mnthali, Frank Chipasula and David Rubadiri.
Sports
Football is the most common sport in Malawi, introduced there during British colonial rule. Its national team has failed to qualify for a World Cup so far, but have made two appearances in the Africa Cup of Nations. Football teams include Mighty Wanderers, Big Bullets, Silver Strikers, Blue Eagles, Civo Sporting, Moyale Barracks, and Mighty Tigers.
Basketball is also growing in popularity, but its national team is yet to participate in any international competition.
More success has been found in netball, with the Malawian National Netball Team ranked 6th in the world (as of March 2021). Notably a number of players in the national team play in international leagues.
Cuisine
Malawian cuisine is diverse, with tea and fish being popular features of the country's cuisine. Sugar, coffee, corn, potatoes, sorghum, cattle and goats are also important components of the cuisine and economy. Lake Malawi is a source of fish including chambo (similar to bream), usipa (similar to sardines), and mpasa (similar to salmon and kampango). Nsima is a food staple made from ground corn and typically served with side dishes of meat and vegetables. It is commonly eaten for lunch and dinner.
See also
Outline of Malawi
Telephone numbers in Malawi
Index of Malawi-related articles
Notes
References
External links
Government of the Republic of Malawi Official website
Republics in the Commonwealth of Nations
East African countries
Southeast African countries
Southern African countries
English-speaking countries and territories
Landlocked countries
Least developed countries
Member states of the African Union
Member states of the Commonwealth of Nations
Current member states of the United Nations
States and territories established in 1964
1964 establishments in Malawi
Countries in Africa |
19097 | https://en.wikipedia.org/wiki/Foreign%20relations%20of%20Madagascar | Foreign relations of Madagascar | Madagascar has diplomatic relations with many countries, both individual bilateral relations and by virtue of its membership of African and other regional blocs. International aid has been received from the IMF and the World Bank, and a national environmental plan supported by the World Bank and USAID began in 1990.
Regional relations
Madagascar historically has remained outside the mainstream of African affairs, although it is a member of the Indian Ocean Commission, the Organization of African Unity (now renamed the AU), the Port Management Association of Eastern and Southern Africa (PMAESA), and the Non-Aligned Movement. Madagascar was admitted to the Southern African Development Community in 2004.
Bilateral relations
Active diplomatic relationships are maintained with Europe, especially the UK, France, Germany, Italy and Switzerland, as well as with Russia, Japan, South Korea, India, Indonesia, Egypt and China. Madagascar also maintains good relations with the United States.
International agencies being present in the country allows to react quickly to emergencies such as a food crisis.
Africa
Americas
Asia
Europe
Oceania
International Aid
The World Bank had a $600 million commitment to Madagascar through 21 active International Development Association projects.
On June 23, 2000 the International Monetary Fund (IMF) approved a $41 million disbursement of its new three-year $141 million Poverty Reduction and Growth Facility. This money is intended to secure Malagasy credit, and to cover additional financing gaps caused by recent natural disasters.
In 2003, the World Bank released more than $100 million in poverty reduction aid in response to Madagascar's efforts to stop corruption. Then, in October 2004, the International Monetary Fund and the World Bank said they would write off $2 billion in debt—almost half Madagascar's total debt.
In March 2005, Madagascar was the first beneficiary of development aid offered by the United States in a plan aimed at rewarding countries determined by Washington to be putting forth market reforms and advocating democracy.
Further debt relief constituted another infusion of favorable developments for Madagascar when on June 11, 2005, at a pre-G8 summit meeting in London, world leaders agreed to write off $40 billion in debt owed by the world's poorest countries. Under the plan, the World Bank, the International Monetary Fund and the African Development Fund would write off 100 percent of the money owed to them by 18 countries
Madagascar and international aid for the environment
Since the mid-1980s, the donor community, led by the World Bank and the USAID, has recognized that Madagascar is one of the world's most unusual natural wonders. As such, it has invested substantially in Malagasy conservation efforts. At $18 million per annum, the environment program of USAID-Madagascar is the second largest American program in Madagascar, and one of the largest programs of its kind in the world. The World Bank further supported this environmental effort with an additional $180 million. Other bilateral donors including France, Germany and others have funded specific project initiatives in coordination with the World Bank and the USAID.
Eighty percent of the flora and fauna are endemic. The problem recognized by the international community is that this unique and valuable land has proven fragile. The bulk of the rainforests have already been destroyed causing significant erosion and a threat to water sources in arid areas. The international community has recognized this environmental catastrophe in progress and has responded in force by supporting and guiding the Malagasy government in its conservation program. Research has demonstrated that "tavy", a form of slash and burns agriculture, has been the largest contributor to environmental degradation in Madagascar. As a result, the 1990s have seen both a prohibition on tavy in many places and an acceleration in the creation of national parks and protected areas that are off limits to agriculture. The goal has been to establish more than 50 such parks and protected areas in a 15-year period.
While Madagascar's conservation crisis remains severe, its economic situation is also grave. With a population that is more than 80 percent agrarian, limiting resource through the creation of parks and farming restrictions is economically devastating to a significant percentage of the rural population. The need for economic development is thus exacerbated by the rapid growth of environmental policies and institutions.
National Environmental Action Plan
The USAID and the World Bank worked together with the Malagasy government in the late 1980s to try to find a way to reconcile these two difficult and seemingly mutually-exacerbating problems. The result of these discussions was the creation of the Malagasy Office of the Environment and the signing of a National Environmental Action Plan.
The National Environmental Action Plan is intended to be implemented in three phases. The first phase of Madagascar's Environment Plan (EP1, 1990–1996) was marked by the creation of Integrated Conservation and Development Projects (ICDP). These ICDPs were intended to offer farmers economic alternatives ecologically unsound environmental practices. This phase also focused on establishing an institutional environment. The USAID funded the creation of the ANGAP (National Association for the Management of Protected Areas - the national park service), employing consultants to model an institutional structure based upon a modified version of the South African and American national parks and protected areas systems.
The second phase (1997–2002) focuses on the implementation of a larger "landscape approach" to conservation and development, and the transference of conservation and development project ownership from international non-government organizations to the Malagasy national parks association (ANGAP). The focus of the third phase (2003–2008) is not yet clarified, but will require the completion of the indigenization process and the withdrawal of foreign economic support.
Early evaluations of the donor programs have criticized the integrated conservation and development approach for paying no more than lip service to development. Biological conservation has been prioritized at the cost of local livelihoods. Further, the development initiatives that have been implemented are not well integrated. Most local recipients of development aid do not connect the aid to the agricultural and land restrictions. Local animosity towards these programs is thus commonly high.
See also
List of diplomatic missions in Madagascar
List of diplomatic missions of Madagascar
Visa policy of Madagascar
References
External links
Ministry of Foreign Affairs of Madagascar (French) |
19098 | https://en.wikipedia.org/wiki/History%20of%20Malawi | History of Malawi | The History of Malawi covers the area of present-day Malawi. The region was once part of the Maravi Empire. In colonial times, the territory was ruled by the British, under whose control it was known first as British Central Africa and later Nyasaland. It became part of the Federation of Rhodesia and Nyasaland. The country achieved full independence, as Malawi, in 1964. After independence, Malawi was ruled as a one-party state under Hastings Banda until 1994.
Prehistory
In 1991 a hominid jawbone was discovered near Uraha village that was between 2.3 and 2.5 million years old. Early humans inhabited the vicinity of Lake Malawi 50,000 to 60,000 years ago. Human remains at a site dated about 8000 BCE showed physical characteristics similar to peoples living today in the Horn of Africa. At another site, dated 1500 BCE, the remains possess features resembling San people. They might be responsible for the rock paintings found south of Lilongwe in Chencherere and Mphunzi. According to Chewa myth, the first people in the area were a race of dwarf archers which they called Akafula or Akaombwe. Bantu-speaking people entered the region during the four first centuries of the "Common Era", bringing use of iron and slash-and-burn agriculture. Later waves of Bantu settlement, between the 13th and 15th centuries, displaced or assimilated the earlier Bantu and pre-Bantu populations.
Maravi Empire
The name Malawi is thought to derive from the word Maravi. The people of the Maravi Empire were iron workers. Maravi is thought to mean "Flames" and may have come from the sight of many kilns lighting up the night sky. A dynasty known as the Maravi Empire was founded by the Amaravi people in the late 15th century. The Amaravi, who eventually became known as the Chewa (a word possibly derived from a term meaning "foreigner"), migrated to Malawi from the region of the modern-day Republic of Congo to escape unrest and disease. The Chewa attacked the Akafula, whom no longer exist.
Eventually encompassing most of modern Malawi, as well as parts of modern-day Mozambique and Zambia, the Maravi Empire began on the southwestern shores of Lake Malawi. The head of the empire during its expansion was the Kalonga (also spelt Karonga). The Kalonga ruled from his headquarters in Mankhamba. Under the leadership of the Kalonga, sub-chiefs were appointed to occupy and subdue new areas. The empire began to decline during the early 18th century when fighting among the sub-chiefs and the burgeoning slave trade weakened the authority of the Maravi Empire.
Trade and invasions
Portuguese influence
Initially, the Maravi Empire's economy was largely dependent on agriculture, especially the production of millet and sorghum. It was during the Maravi Empire, sometime during the 16th century, that Europeans first came into contact with the people of Malawi. Under the Maravi Empire, the Chewa had access to the coast of modern-day Mozambique. Through this coastal area, the Chewa traded ivory, iron, and slaves with the Portuguese and Arabs. Trade was enhanced by the common language of Chewa (Nyanja) which was spoken throughout the Maravi Empire.
In 1616 the Portuguese trader Gaspar Bocarro journeyed through what is now Malawi, producing the first European account of the country and its people. The Portuguese were also responsible for the introduction of maize to the region. Maize would eventually replace sorghum as the staple of the Malawian diet. Malawian tribes traded slaves with the Portuguese. These slaves were sent mainly to work on Portuguese plantations in Mozambique or to Brazil.
Angoni
The decline of the Maravi Empire resulted from the entrance of two powerful groups into the region of Malawi. In the 19th century, the Angoni or Ngoni people and their chief Zwangendaba arrived from the Natal region of modern-day South Africa. The Angoni were part of a great migration, known as the mfecane, of people fleeing from the head of the Zulu Empire, Shaka Zulu. The Ngoni people settled mostly in what is modern-day central Malawi; particularly Ntcheu and parts of Dedza district. However, some groups proceeded north; entering Tanzania and settling around Lake Victoria. But splinter groups broke off and headed back south; settling in modern-day northern Malawi, particularly Mzimba district, where they mixed with another migrant group coming from across Lake Malawi called the Bawoloka. Clearly, the mfecane had a significant impact on Southern Africa. The Angoni adopted Shaka's military tactics to subdue the lesser tribes, including the Maravi, they found along their way. Staging from rocky areas, the Ngoni impis would raid the Chewa (also called Achewa) and plunder food, oxen and women. Young men were drawn in as new fighting forces while older men were reduced to domestic slaves and/or sold off to Arab slave traders operating from the Lake Malawi region.
Yao
The second group to take power around this time was the Yao. The Yao were richer and more independent than the Makuwa. They came to Malawi from northern Mozambique either to escape from conflict with the Makuwa, who they had become enemies of, or to profit from the slave and ivory trades with the Arabs from Zanzibar, the Portuguese, and the French. In any case, upon migrating to Malawi in the 1800s, they soon began buying slaves from the Chewa and Ngoni. The Yao are recorded to have also attacked them in order to capture prisoners whom they later sold as slaves.
By the time David Livingstone encountered them on his travels, recording their practice of slavery, they traded with the Rwozi of Zimbabwe, with the Bisa on the Luangwa river in modern-day Zambia, and even the Congo and the eastern coast. Their extensive expeditions required educated merchants and tradespeople, who were naturally proficient in using the Arabic alphabet. Craftsmen built dhows for lake travel, farmers set out irrigation for the growing of rice, and prominent members of society founded madrassahs and boarding schools. The Yao were the first, and for a long while, the only group to use firearms, which they bought from Europeans and Arabs, in conflicts with other tribes, including the Makololo who had migrated from Southern Africa after being displaced by the Zulu people.
By the 1860s, the Yao had converted to Islam. The conversion is normally attributed to connections made during their trading expeditions, especially those to the Kilwa Sultanate and Zanzibar. The conversion had begun before the 1840s, as can be told from the accounts Salim bin Abdallah, who is better known as the Jumbe of Nkhotakota. Although the Yao were not animist before Islam, they believed in a God accessible through the intercedence of ancestral spirits As a benefit of their conversion, the Yao employed Swahili and Arab sheikhs from the coast who promoted literacy and founded mosques; Chief Mponda in Mangochi had founded almost twelve madrassas before the Christian missionaries arrived in 1875. Their writings were in the Kiswahili language, which became a lingua franca of Malawi from 1870 to the 1960s.
Arabs and their Swahili allies
Using their strong partnership with the Yao, the Arab traders set up several trading posts along the shore of Lake Malawi. The Yao expeditions to the east attracted the attention of the Swahili-Arabs. It was from the Yao, the Swahili and Arabs knew the existence and the geography of Lake Malawi. Jumbe (Salim Abdallah) followed the Yao trade route from the eastern side of Lake Malawi up to Nkhotakota. When Jumbe arrived in Nkhotakota in 1840 he found a number of Yao and Bisa well established. Some of those Yao he found in Nkhotakota were already Islamised and he opted to employ them rather than employing non-Muslim Chewa. During the height of his power, Jumbe transported between 5,000 and 20,000 slaves through Nkhotakota annually. From Nkhotakota, the slaves were transported in caravans of no less than 500 slaves to the small island of Kilwa Kisiwani off the coast of modern-day Tanzania. The founding of these various posts effectively shifted the slave trade in Malawi from the Portuguese in Mozambique to the Arabs of Zanzibar.
Although the Yao and the Angoni continually clashed with each other, neither was able to win a decisive victory. However, the Ngoni of Dedza opted to work the Yao of Mpondas. The remaining members of the Maravi Empire, however, were nearly wiped out in attacks from both sides. Some Achewa chiefs saved themselves by creating alliances with the Swahili people who were allied with the Arab slave traders.
Lomwe of Malawi
The Lomwe of Malawi are a recent introduction having arrived as late as the 1890s. The Lomwe came from a hill in Mozambique called uLomwe, north of the Zambezi River and south east of Lake Chilwa in Malawi. Theirs was also a story of hunger largely instigated by the Portuguese settlers moving into the neighbourhoods of uLomwe. To escape from ill-treatment, the Lomwe headed north and entered Nyasaland by way of the southern tip of lake Chilwa, settling in the Phalombe and Mulanje areas.
In Mulanje they found the Yao and Mang'anja already settled. The Yao chiefs such as Chikumbu, Mtilamanja, Matipwili, Juma, Chiuta welcomed the Lomwe as their cousins from Mozambique. A large number of Lomwe were given land by the Yao and Mang'anja. Later on the Lomwe got employment on tea estates that various British companies were establishing on the foothills of Mount Mulanje. They gradually spread into Thyolo and Chiradzulu. The Lomwe readily mixed with the local Mang'anja tribes, and there are no reported cases of tribal conflict.
Early European contact
The Portuguese were reportedly the first to discover Malawi; in 1859, acting off a tip received from a Portuguese source, David Livingstone discovered Lake Malawi. The Yao allegedly told him that the mass of water he saw was called Nyasa. Livingstone, who did not know Chiyao, possibly thought that Nyasa was the proper name of the lake. However, the term Nyasa in Chiyao meant the lake in English. His next journey, with Bishop Charles Mackenzie from the UMCA in 1861, saw hostility erupt between the Muslim Yao and the non-Muslim Mang'anja, whom the bishop preferred to preach to; those of the Yao who practised Islam and slavery were naturally hostile to the Christian missionaries. The skirmishes eventually subsided after Mackenzie's death from malaria.
More group of missionaries arrived in 1875-6 from the Free Church of Scotland, and established a base at Cape Maclear at the southern end of Lake Malawi. This time, attempts were also made to convert those of the Yao who were Muslims. Although some of the Amangochi Yao were prepared to convert, slow progress was made. After some intial debate, Bishop Robert Laws was selected as leader. Laws, who quickly gained fame for his medical expertise, decided to establish missions further north, at Bandawe among the Tonga and at Kaningina among the Ngoni people. There, the missionaries found fertile ground in a turbulent political climate: the missions became buffer zones for the Tonga, who were near-constantly under attack by Ngoni raiders. Some of the teachers of the Tonga were the Nyanja who had embraced Christianity at Cape Maclear in Mangochi. In 1878, a number of traders, mostly from Glasgow, formed the African Lakes Company to supply goods and services to the missionaries. Others soon followed: traders, hunters, planters came, and even missionaries from different denominations; from 1889, the Catholic White Fathers attempted to convert the Yao.
In 1894 the mission extended to the Tumbuka, who were also being attacked by the powerful Ngoni; Laws opened a mission station near Rumphi that year. The Tumbuka, like the Tonga sought refuge among the missionaries and embraced Christianity. By contrast, the Yao were still completely distanced from Christianity, and were still writing and reading in Arabic, which would soon not be recognized in Malawi; this would prove to disadvantage the Yao. The failure to convert the Yao Muslims to Christianity contributed to the negative appearance of the Yao people in traditional Euro-centric history. The Yao socio-economic contribution to Malawi was not recognised, rather history judged them as great slave traders. Under H. H. Johnson, the British fought Yao chiefs such as Makanjila and Mponda Jalasi for five years before they were subdued. Today, fewer Yao are found in jobs requuring literacy, which has forced a large number of them to migrate to South Africa as a source of labour. The Yao believe that they have been deliberately marginalized by the authorities because of their faith; in Malawi, they are predominantly farmers, tailors, guards, fishermen or working in other unskilled manual jobs. At one time, a number of Yao concealed their names in order to progress in education: Mariam was known as Mary; Yusufu was called Joseph; Che Sigele became Jeanet.
British rule
In 1883, a consul of the British Government was accredited to the "Kings and Chiefs of Central Africa" and in 1891, the British established the British Central Africa Protectorate.
In 1907 the name was changed to Nyasaland or the Nyasaland Protectorate (Nyasa is the Chiyao word for "lake"). In the 1950s, Nyasaland was joined with Northern and Southern Rhodesia in 1953 to form the Federation of Rhodesia and Nyasaland. The Federation was dissolved on 31 December 1963.
In January 1915, John Chilembwe, a Millenarian pastor in south-eastern Nyasaland, led an unsuccessful revolt, known as the Chilembwe uprising, against British rule. Chilembwe opposed the recruitment of Nyasas in the British army's campaign in East Africa, as well as the system of colonial rule. Chilembwe's followers attacked local plantations, but were soon defeated by British forces. Chilembwe was killed, and many of his followers were executed.
In 1944, the Nyasaland African Congress (NAC), inspired by the African National Congress' Peace Charter of 1914, emerged. NAC soon spread across Southern African with powerful branches emerging among migrant Malawian workers in Salisbury (now Harare) in Southern Rhodesia and Lusaka, in Northern Rhodesia.
Thousands of Nyasalanders fought in the Second World War.
In July 1958, Dr Hastings Kamuzu Banda returned to the country after a long absence in the United States, the United Kingdom and Ghana. He assumed leadership of the NAC, which later became the Malawi Congress Party (MCP). In 1959, Banda was sent to Gwelo Prison for his political activities but was released in 1960 to participate in a constitutional conference in London.
In August 1961, the MCP won an overwhelming victory in an election for a new Legislative Council. It also gained an important role in the new Executive Council and ruled Nyasaland in all but name a year later. In a second constitutional conference in London in November 1962, the British Government agreed to give Nyasaland self-governing status the following year.
Hastings Banda became Prime Minister on 1 February 1963, although the British still controlled the country's financial, security, and judicial systems.
A new constitution took effect in May 1963, providing for virtually complete internal self-government.
Independence
Malawi became a fully independent member of the Commonwealth (formerly the British Commonwealth) on 6 July 1964.
Shortly after, in August and September 1964, Banda faced dissent from most of his cabinet ministers in the Cabinet Crisis of 1964. The Cabinet Crisis began with a confrontation between Banda, the prime minister, and all the cabinet ministers present on 26 August 1964. Their grievances were not dealt with, but three cabinet ministers were dismissed on 7 September. These dismissals were followed, on the same day and on 9 September, by the resignations of three more cabinet ministers in sympathy with those dismissed, although one of those who had resigned rescinded his resignation within a few hours. The reasons that the ex-ministers put forward for the confrontation and their subsequent resignations were the autocratic attitude of Banda, who failed to consult other ministers and kept power in his own hands, his insistence on maintaining diplomatic relations with South Africa and Portugal and a number of domestic austerity measures. After continuing unrest and some clashes between their supporters and those of Banda, most of the ex-ministers left Malawi in October. One ex-minister, Henry Chipembere led a small, unsuccessful armed uprising in February 1965. After its failure, he arranged for his transfer to the USA. Another ex-minister, Yatuta Chisiza, organised an even smaller incursion from Mozambique in 1967, in which he was killed. Several of the former ministers died in exile or, in the case of Orton Chirwa in a Malawian jail, but some survived to return to Malawi after Banda was deposed in 1993, and resumed public life.
Two years later, Malawi adopted a republican constitution and became a one-party state with Hastings Banda as its first president.
One-party rule
In 1970, Hastings Banda was declared President for life of the MCP, and in 1971 Banda consolidated his power and was named President for life of Malawi itself. The paramilitary wing of the Malawi Congress Party, the Young Pioneers, helped keep Malawi under totalitarian control until the 1990s.
Banda, who was always referred to as "His Excellency the Life President Ngwazi Dr. H. Kamuzu Banda", was a dictator. Allegiance to him was enforced at every level. Every business building was required to have an official picture of Banda hanging on the wall. No other poster, clock, or picture could be placed higher on the wall than the president's picture. The national anthem was played before most events – including movies, plays, and school assemblies. At the cinemas, a video of His Excellency waving to his subjects was shown while the anthem played. When Banda visited a city, a contingent of women was expected to greet him at the airport and dance for him. A special cloth, bearing the President's picture, was the required attire for these performances. The one radio station in the country aired the President's speeches and government propaganda. People were ordered from their homes by police, and told to lock all windows and doors, at least an hour prior to President Banda passing by. Everyone was expected to wave.
Among the laws enforced by Banda, it was illegal for women to wear see-through clothes, pants of any kind or skirts which showed any part of the knee. There were two exceptions to this: if they were at a Country Club (a place where various sports were played) and if they were at a holiday resort/hotel, which meant that with the exception of the resort/hotel staff they were not seen by the general populace. Men were not allowed to have hair below the collar; when men whose hair was too long arrived in the country from overseas, they were given a haircut before they could leave the airport. Churches had to be government sanctioned. Members of certain religious groups, such as Jehovah's Witnesses, were persecuted and forced to leave the country at one time. All Malawian citizens of Indian heritage were forced to leave their homes and businesses and move into designated Indian areas in the larger cities. At one time, they were all told to leave the country, then hand-picked ones were allowed to return. It was illegal to transfer or take privately earned funds out of the country unless approved through proper channels; proof had to be supplied to show that one had already brought in the equivalent or more in foreign currency in the past. When some left, they gave up goods and earnings.
All movies shown in theatres were first viewed by the Malawi Censorship Board. Content considered unsuitable – particularly nudity or political content – was edited. Mail was also monitored by the Censorship Board. Some overseas mail was opened, read, and sometimes edited. Videotapes had to be sent to the Censorship Board to be viewed by censors. Once edited, the movie was given a sticker stating that it was now suitable for viewing, and sent back to the owner. Telephone calls were monitored and disconnected if the conversation was politically critical. Items to be sold in bookstores were also edited. Pages, or parts of pages, were cut out or blacked out of magazines such as Newsweek and Time.
While Malawi was a middle income country in the world during much of Banda's tenure, he managed to keep peace in the country for most of the time he was in power. He was a wealthy man, like most if not all world leaders. He owned houses (and lived in a palace), businesses, private helicopters, cars and other such luxuries. Speaking out against the President was strictly prohibited. Those who did so were often deported or imprisoned. Banda and his government were criticised for human rights violations by Human Rights Watch and Amnesty International. After he was deposed, Banda was put on trial for murder and attempts to destroy evidence.
During his rule, Banda was one of the very few post-colonial African leaders to maintain diplomatic relations with Apartheid-era South Africa.
Multi-party democracy
Increasing domestic unrest and pressure from Malawian churches and from the international community led to a referendum in which the Malawian people were asked to vote for either a multi-party democracy or the continuation of a one-party state. On 14 June 1993, the people of Malawi voted overwhelmingly in favour of multi-party democracy. Free and fair national elections were held on 17 May 1994 under a provisional constitution, which took full effect the following year.
Bakili Muluzi, leader of the United Democratic Front (UDF), was elected President in those elections. The UDF won 82 of the 177 seats in the National Assembly and formed a coalition government with the Alliance for Democracy (AFORD). That coalition disbanded in June 1996, but some of its members remained in the government. The President was referred to as Dr Muluzi, having received an honorary degree at Lincoln University in Missouri in 1995. Malawi's newly written constitution (1995) eliminated special powers previously reserved for the Malawi Congress Party. Accelerated economic liberalisation and structural reform accompanied the political transition.
On 15 June 1999, Malawi held its second democratic elections. Bakili Muluzi was re-elected to serve a second five-year term as President, despite an MCP-AFORD Alliance that ran a joint slate against the UDF.
The aftermath of elections brought the country to the brink of civil strife. Disgruntled Tumbuka, Ngoni and Nkhonde Christian tribes dominant in the north were irritated by the election of Bakili Muluzi, a Muslim from the south. Conflict arose between Christians and Muslims of the Yao tribe (Muluzi's tribe). Property valued at over millions of dollars was either vandalised or stolen and 200 mosques were torched down.
Malawi in the 21st century
In 2001, the UDF held 96 seats in the National Assembly, while the AFORD held 30, and the MCP 61. Six seats were held by independents who represent the National Democratic Alliance (NDA) opposition group. The NDA was not recognised as an official political party at that time. The National Assembly had 193 members, of whom 17 were women, including one of the Deputy Speakers.
Malawi saw its very first transition between democratically elected presidents in May 2004, when the UDF's presidential candidate Bingu wa Mutharika defeated MCP candidate John Tembo and Gwanda Chakuamba, who was backed by a grouping of opposition parties. The UDF, however, did not win a majority of seats in Parliament, as it had done in 1994 and 1999 elections. It successfully secured a majority by forming a "government of national unity" with several opposition parties. Bingu wa Mutharika left the UDF party on 5 February 2005 citing differences with the UDF, particularly over his anti-corruption campaign. He won a second term outright in the 2009 election as the head of a newly founded party, the Democratic Progressive Party. In April 2012, Mutharika died of a heart attack; the presidential title was taken over by Vice-President Joyce Banda (not related to the former president Banda). In 2014 Malawian general election Joyce Banda lost (coming third) and was replaced by Peter Mutharika, the brother of ex-President Mutharika. In 2019 Malawian general election president Peter Mutharika got narrow election victory and he was re-elected. In February 2020 Malawi Constitutional Court overturned the result because of irregularities and widespread fraud. In May 2020 Malawi Supreme Court upheld the decision and announced a new election will be held on July 2. This was the first time election was legally challenged. Opposition leader Lazarus Chakwera won 2020 Malawian presidential election and he was sworn in as the new president of Malawi.
In August 2021, the Constitutional Court examines an appeal lodged by the Progressive Democratic Party of Peter Mutharika. He calls for the cancellation of the 2020 presidential election because four of his representatives had been banned from sitting on the Electoral Commission.
See also
Heads of Government of Malawi
History of Africa
History of Southern Africa
List of heads of state of Malawi
Politics of Malawi
Lilongwe history and timeline
References
Bibliography
S.S. Murray, A Handbook of Nyasaland
Valiant Mussa, History of Islam in Malawi before and after Christianity
Leroy Vail and Landeg White (eds). Tribalism in the Political History of Malawi
External links
Background Note: Malawi |
19100 | https://en.wikipedia.org/wiki/Demographics%20of%20Malawi | Demographics of Malawi | This article is about the demographic features of the population of Malawi, including population density, ethnicity, education level, health of the populace, economic status, religious affiliations and other aspects of the population.
Malawi derives its name from the Maravi, a Bantu people who came from the southern Congo about 600 years ago. On reaching the area north of Lake Malawi, the Maravi divided. One branch, the ancestors of the present-day Chewas, moved south to the west bank of the lake. The other, the ancestors of the Nyanjas, moved down the east bank to the southern part of the country.
By AD 1500, the two divisions of the tribe had established a kingdom stretching from north of the present-day city of Nkhotakota to the Zambezi River in the south, and from Lake Malawi in the east, to the Luangwa River in Zambia in the west.
Migrations and tribal conflicts precluded the formation of a cohesive Malawian society until the turn of the 20th century. In more recent years, ethnic and tribal distinctions have diminished. Regional distinctions and rivalries, however, persist. Despite some clear differences, no significant friction currently exists between tribal groups, and the concept of a Malawian nationality has begun to take hold. Predominantly a rural people, Malawians are generally conservative and traditionally nonviolent.
The Chewas constitute 90% of the population of the central region; the Nyanja tribe predominates in the south and the Tumbuka in the north. In addition, significant numbers of the Tongas live in the north; Ngonis—an offshoot of the Zulus who came from South Africa in the early 19th century—live in the lower northern and lower central regions; and the Yao, who are mostly Muslim, predominate in the Southern Region of the country and live in a wide band from Blantyre and Zomba north to Lake Malawi and east to the border with Mozambique. Bantus of other tribes came from Mozambique as refugees.
Population
According to the total population was in , compared to only 2 881 000 in 1950. The proportion of children below the age of 15 in 2010 was 45.8%, 51.1% was between 15 and 65 years of age, while 3.1% was 65 years or older.
Total and Percent Distribution of Population by Single Year of Age (Census 09.03.2018)
TFR - 4.17
Structure of the population (DHS 2010) (Males 55 159, Females 58 414 = 113 574) :
Structure of the population (DHS 2014) (Males 6 855, Females 7 125 = 13 979) :
UN population projections
Numbers are in thousands. UN medium variant projections
2015 17,522
2020 20,677
2025 24,212
2030 28,173
2035 32,667
2040 37,797
2045 43,521
2050 49,719
Vital statistics
Registration of vital events is in Malawi not complete. The Population Departement of the United Nations prepared the following estimates.
Births and deaths
Data refer to the 12 months preceding the census in June
Fertility and births
Total Fertility Rate (TFR) (Wanted Fertility Rate) and Crude Birth Rate (CBR):
Fertility data as of 2016 (DHS Program):
Life expectancy birth
Other demographic statistics
Demographic statistics according to the World Population Review in 2019.
One birth every 45 seconds
One death every 4 minutes
One net migrant every 44 minutes
Net gain of one person every 57 seconds
The following demographic are from the CIA World Factbook unless otherwise indicated.
Population
19,842,560 (July 2018 est.)
19,196,246 (July 2017 est.)
Age structure
0-14 years: 46.17% (male 4,560,940 /female 4,600,184)
15-24 years: 20.58% (male 2,023,182 /female 2,059,765)
25-54 years: 27.57% (male 2,717,613 /female 2,752,983)
55-64 years: 3% (male 284,187 /female 310,393)
65 years and over: 2.69% (male 234,776 /female 298,537) (2018 est.)
Median age
total: 16.6 years. Country comparison to the world: 223th
male: 16.5 years
female: 16.8 years (2018 est.)
Birth rate
40.7 births/1,000 population (2018 est.) Country comparison to the world: 8th
41 births/1,000 population (2017 est.)
Death rate
7.7 deaths/1,000 population (2018 est.) Country comparison to the world: 100th
7.9 deaths/1,000 population (2017 est.)
Total fertility rate
4 children born/woman (2018 est.) Country comparison to the world: 9th
Population growth rate
3.31% (2018 est.) Country comparison to the world: 3rd
3.31% (2017 est.)
Mother's mean age at first birth
18.9 years (2015/16 est.)
note: median age at first birth among women 25-29
Contraceptive prevalence rate
59.2% (2015/16)
Net migration rate
0 migrant(s)/1,000 population (2017 est.) Country comparison to the world: 91st
0 migrants/1,000 population (2017). There is an increasing flow of Zimbabweans into South Africa and Botswana in search of better economic opportunities.
Religions
Protestant 27.2% (includes Church of Central Africa Presbyterian 17.7%, Seventh Day Adventist/Baptist 6.9%, Anglican 2.6%), Catholic 18.4%, other Christian 41%, Muslim 12.1%, other 0.3%, none 1% (2015-16 est.)
Christian: 86.9%
Islam: 12.5%
Other: 0.1%
None: 0.5%
Dependency ratios
total dependency ratio: 91 (2015 est.)
youth dependency ratio: 85.3 (2015 est.)
elderly dependency ratio: 5.7 (2015 est.)
potential support ratio: 17.4 (2015 est.)
Urbanization
urban population: 16.9% of total population (2018)
rate of urbanization: 4.19% annual rate of change (2015-20 est.)
Life expectancy at birth
total population: 62.2 years (2018 est.)
male: 60.2 years (2018 est.)
female: 64.3 years (2018 est.)
total population: 61.7 years
male: 59.7 years
female: 63.8 years (2017 est.)
Sex ratio
at birth: 1.03 male(s)/female
under 15 years: 1 male(s)/female
15-64 years: 0.97 male(s)/female
65 years and over: 0.69 male(s)/female
total population: 0.97 male(s)/female (2000 est.)
Ratio of medical doctors to general population
1 Doctor/65,000 Malawians
Nationality
noun: Malawian(s)
adjective: Malawian
Ethnic groups
Chewa 34.3%
Lomwe 18.8%
Yao 13.2%
Ngoni 10.4%
Tumbuka 9.2%
Sena 3.8%
Mang'anja 3.2%
Tonga 1.8%
Nyanja 1.8%
Nyakyusa 1%
Europeans 0.04%
Other 2.5%
Languages
English (official)
Chichewa (official) - 6,500,000
Chiyao - 1,760,000
Chitumbuka - 1,180,000
Chilomwe - 2,290,000
Chingoni - 37,500
Chimakhuwa - 200,000
Chisena - 468,000
Chitonga - 271,000
Chinyika - 5,000
Chinyiha - 10,000
Chindali - 70,000
Chinyakyusa - 149,000
Chilambya - 59,500
Afrikaans - 26,000
Literacy
definition: age 15 and over can read and write
total population: 62.1%
male: 69.8%
female: 55.2% (2015 est.)
School life expectancy (primary to tertiary education)
total: 11 years (2011)
male: 11 years (2011)
female: 11 years (2011)
Unemployment, youth ages 15-24
total: 8% (2013 est.)
male: 7.4% (2013 est.)
female: 8.5% (2013 est.)
White Malawians
There has been reported a 7,400 white population. White Malawians are descended from English, Scottish, Dutch, French, Italian, Greek, Spanish, Portuguese, Middle Eastern, Belgian, Scandinavian, or Germans. White Malawians live in Lilongwe, Dedza, Dowa, Blantyre, Kasungu, Mchinji, Nkhotakota, Ntcheu, Ntchisi, Salima, Chitipa, Karonga, Likoma, Mzimba, Nkhata Bay, Rumphi, Balaka, Chikwawa, Chiradzulu, Machinga, Magochi, Mulanje, Mwanza, Nsanje, Thyolo, Phalombe, Zomba, and Mzuzu.
See also
Malawi
Malawian American
References
Malawian society |
19101 | https://en.wikipedia.org/wiki/Politics%20of%20Malawi | Politics of Malawi | Politics of Malawi takes place in a framework of a presidential representative democratic republic, whereby the President of Malawi is both head of state and head of government, and of a multi-party system. Executive power is exercised by the government. Legislative power is vested in both the government and the National Assembly. There is a cabinet of Malawi that is appointed by the President of Malawi. The judiciary is independent of the executive and the legislature. The government of Malawi has been a multi-party democracy since 1994.
Executive branch
Under the 1995 constitution, the president, who is both chief of state and head of the government, is chosen through universal direct suffrage every 5 years. Malawi has a vice president who is elected with the president. The president has the option of appointing a second vice president, who must be from a different party. It also includes a presidentially appointed cabinet. The members of the cabinet of Malawi can be drawn from either within or outside of the legislature.
Bakili Muluzi was president from 21 May 1994 to May 2004, having won reelection in 2000 with 51.4% of the vote to leading challenger Gwandaguluwe Chakuamba's 44.3% for the MCP-AFORD party. In the 2004 election Bingu wa Mutharika defeated Chakuamba by a ten-point margin.
Current Executive
The President of Malawi and the current executive branch is supported by appointed members of a Cabinet of Malawi and government agencies in Malawi.
In 2020 Malawi Constitutional Court annulled president Peter Mutharika’s narrow election victory and re-election because of irregularities. Opposition leader Lazarus Chakwera won 2020 Malawian presidential election and he became the new president.
|President
|Lazarus Chakwera
|Malawi Congress Party
|28 June 2020
|}
Legislative branch
The National Assembly has 193 members, elected for a five-year term in single-seat constituencies. The constitution also originally provided for a second house, a Senate of 80 seats, but to date no action has been taken to create the Senate, and the provisions allowing for its creation were deleted in 2001. The Senate is intended to provide representation for traditional leaders and the different geographical districts, as well as various special interest groups, such as women, youth, and the disabled.
Judicial branch
The constitution provides for an independent judiciary. Malawi's judicial system, based on the English model, is made up of magisterial lower courts, a High Court, and a Supreme Court of Appeal.
Until 1969, Malawi retained a system of justice based on the colonial model, which followed the principles of English law as amended by the laws of Malawi. The hierarchy of courts began with Magistrates’ Courts in the towns, rising to a High Court and finally a Supreme Court of Appeal. In addition, mainly in rural areas, there are several levels of local courts with varying powers to hear disputes such as divorces and other matrimonial issues, inheritance and access to land based on traditional customary law. these courts also heard minor criminal cases specified in the Malawi Penal Code, using an expedited procedure. These were subordinate to the High Court, and subject to legislation giving the guarantee of a fair trial, including the right to legal representation and the right to appeal to the High Court.
After independence in 1964, Banda, who was then Prime Minister, and the Minister of Justice Orton Chirwa began to criticise such principles of English-based law as the Presumption of innocence, the need to establish guilt beyond reasonable doubt and the requirement for corroborating evidence. In 1969, the acquittal of five defendants in the first Chilobwe murders trial caused outrage although, as another individual was later found guilty of all these murders in a second trial, this anger was misplaced. Parliamentary reaction was hostile, and several speakers, including ministers, openly suggested that European judges and the European-style legal system had allowed clearly guilty defendants to escape the punishment they deserved. Aleke Banda, the Minister of Finance, particularly attacked the use of defence lawyers and the legal safeguards imposed by the English-law Rules of evidence. Banda (who had become President in 1966) said that, if the judge had any conscience, he should resign and specifically linked traditional law to making punishment certain, claiming that lack of evidence was not proof of innocence.
From 1970, the system of Traditional Courts was transformed. Three Regional Traditional Courts and a National Traditional Court of Appeal were created above the existing network of lower-level traditional courts, and given jurisdiction over virtually all criminal trials, including murder and treason, involving Africans of Malawian descent, using "customary" rules of evidence and procedure. Any appeals were directed to a National Traditional Court of Appeal rather than the Malawi High Court, as had been the case before 1970. The High Court and Supreme Court of Appeal remained in existence, and mainly dealt with civil law cases outside customary law. Although these courts retained their criminal jurisdiction, in practice the vast majority of criminal cases were heard in Traditional Courts. The Traditional Courts were supposed to operate in accordance with African law and custom, although they applied an authoritarian, restrictive and punitive version of customary law, in line with the views of Banda. The majority of the judges were chiefs without legal training, appointed by and liable to dismissal by Banda, so without any judicial independence. Defendants were not allowed lawyers to plead their cases, had no automatic rights either to call witnesses or of appeal (these were at the discretion of the courts and the minister of Justice). They were not given a summary of the charges against them before the trial, so could not prepare a defence.
During the 1970s and 1980s, the Traditional Courts gained a reputation for being used to prosecute Banda's political opponents and of being corrupt. The political manipulation of the Traditional Courts is shown in the high-profile trials of in 1976 of Albert Muwalo, Secretary General of the Malawi Congress Party and Focus Gwede, Head of the Police Special Branch, on a charge of attempting to assassinate President Banda, and the 1983 treason trial of Orton Chirwa, who was Minister of Justice until the Cabinet Crisis of 1964 and his wife, Vera Chirwa. In both cases, unsubstantiated evidence was admitted to secure convictions and all four were sentenced to death on flimsy evidence, although only Muwalo was ultimately executed.
During the transition to democracy, the operation of the three regional Traditional Courts and the National Traditional Appeal Court was suspended indefinitely in October 1993, which amounted in practice to their abolition. When the new Constitution came into force on 18 May 1994, it recognised customary law as an integral part of the legal system and converted many of the local, lower level Traditional Courts into Magistrates’ courts. It also provided for a new system of Traditional Courts but no legislation to set up such courts was introduced before 2011. The 2011 legislation provided for two levels of customary law courts: several Local Courts were established in each of Malawi's 27 districts, mainly in rural areas, and one District Appeals Local Court in each district (to hear appeals from the Local Courts). Further appeals may be made to the High Court, to which both types of Local Courts are subordinate. Each Local Court and District Appeals Local Court was headed by chairperson, who need not be a lawyer, but with a reasonable standard of education, proficiency in English and an adequate knowledge of the customary law and language of the area that the court serves. Complaints have been made that the Local Courts, now popularly called Traditional Courts, are charging excessive court fees to settle disputes.
At present (2013), Malawi has as its highest court a Supreme Court of Appeal with jurisdiction only in appeals from lower courts. Its members include the Chief Justice and nine other Supreme Court justices. The High Court of Malawi has unlimited original jurisdiction to hear and determine any civil or criminal proceedings. Most High Court cases are heard before a single judge, without a jury, but cases on constitutional matters must be heard by three judges: there is a Chief Judge and 19 other High Court judges. The High Court has a General Division which may also hear appeals from subordinate courts, and a Commercial Division, dealing with commercial or business cases. One subordinate court is the Industrial Relations Court with jurisdiction over employment issues. Cases before it are heard informally, and with some restrictions on legal representation, by a panel consisting of a chairperson and one representative each of employers and employees. Other subordinate courts are the Magistrate Courts and Local or Traditional Courts. These have defined criminal and civil jurisdiction depending ontheir level, but expressly excluding cases of treason, murder or manslaughter.
Local government
Local government is carried out in 28 districts within three regions administered by regional administrators and district commissioners who are appointed by the central government. Local elections, the first in the multi-party era, took place on November 21, 2000. The UDF party won 70% of the seats in this election.
The districts are Balaka, Blantyre, Chikwawa, Chiradzulu, Chitipa, Dedza, Dowa, Karonga, Kasungu, Likoma, Lilongwe, Machinga, Mangochi, Mchinji, Mulanje, Mwanza, Mzimba, Neno, Nkhata Bay, Nkhotakota, Nsanje, Ntcheu, Ntchisi, Phalombe, Rumphi, Salima, Thyolo, Zomba
Political process
Political parties
Malawi is a multi-party state system (see list of political parties in Malawi). Malawi began as a one-party state in 1964, with the MCP being the only party until 1993. A movement called the Alliance for Democracy (AFORD) under the leadership of Chakufwa Chihana grew, calling for the end of Kamuzu Banda's dictatorship. Due to this internal and external pressure Banda agreed to hold a national referendum in 1993 where the nation voted to become a multi-party state. AFORD became the first registered opposition political party, and other opposition parties formed thereafter. The first multi-party elections occurred in 1994 in which the UDF won votes as the first administration under a multi-party system under Bakili Muluzi. Malawi is now a multi -party nation with 40 registered parties but only a few prominent ones.
Elections
Elections in Malawi have been held every five years since 1994. Past election years in Malawi were in 1994, 1999, 2004, 2009, 2009 and the last one held in May 2014.
Past elections:
Malawian general election, 2014
Malawian general election, 2009
Malawi general election, 2004
Malawian general election, 1999
Malawian general election, 1994
International organization participation
ACP,
AfDB,
C,
CCC,
ECA,
FAO,
G-77,
IBRD,
ICAO,
ICCt,
ICFTU,
ICRM,
IDA,
IFAD,
IFC,
IFRCS,
ILO,
IMF,
IMO,
Intelsat,
Interpol,
IOC,
ISO (correspondent),
ITU,
NAM,
OAU,
OPCW,
SADC,
UN,
UNCTAD,
UNESCO,
UNIDO,
UNMIK,
UPU,
WFTU,
WHO,
WIPO,
WMO,
WToO,
WTrO
See also
Elections in Malawi
Cabinet of Malawi
President of Malawi
List of political parties in Malawi
2007 Malawian political crisis
References
External links
Official page of the Government of Malawi |
19102 | https://en.wikipedia.org/wiki/Economy%20of%20Malawi | Economy of Malawi | The economy of Malawi is predominantly agricultural, with about 80% of the population living in rural areas. The landlocked country in south central Africa ranks among the world's least developed countries. In 2017, agriculture accounted for about one-third of GDP and about 80% of export revenue. The economy depends on substantial inflows of economic assistance from the IMF, the World Bank, and individual donor nations. The government faces strong challenges: to spur exports, to improve educational and health facilities, to face up to environmental problems of deforestation and erosion, and to deal with the problem of HIV/AIDS in Africa.
Agriculture
Malawi's most important export crop is tobacco, which accounted for a third (30%) of export revenue in 2012. In 2000, the country was the tenth-largest producer in the world. The country's heavy reliance on tobacco places a heavy burden on the economy as world prices decline and the international community increases pressure to limit tobacco production. Malawi's dependence on tobacco is growing, with the product jumping from 53% to 70% of export revenues between 2007 and 2008.
The country also relies heavily on tea, sugarcane and coffee, with these three plus tobacco making up more than 90% of Malawi's export revenue. Tea was first introduced in 1878. Most of it is grown in Mulanje and Thyolo. Other crops include cotton, corn, potatoes, sorghum, cattle and goats. Tobacco and sugar processing are notable secondary industries.
Traditionally Malawi has been self-sufficient in its staple food, maize (corn), and during the 1980s it exported substantial quantities to its drought-stricken neighbors. Nearly 90% of the population engages in subsistence farming. Smallholder farmers produce a variety of crops, including maize, beans, rice, cassava, tobacco, and groundnuts (peanuts). Financial wealth is generally concentrated in the hands of a small elite. Malawi's manufacturing industries are situated around the city of Blantyre.
Lake Malawi and Lake Chilwa provide most of the fish for the region. For many Malawians, fish is the most important source of proteins. Dried fish is not only consumed locally, but also exported to neighboring countries. Most fishing is done on small scale by hand. However, Maldeco Fisheries owns several commercial fishing boats and operates fish farms in the southern part of Lake Malawi.
Malawi has few exploitable mineral resources. A South-African Australian consortium exploits uranium at a mine near Karonga. Coal is being extracted in Mzimba District. Malawi's economic reliance on the export of agricultural commodities renders it particularly vulnerable to external shocks such as declining terms of trade and drought. High transport costs, which can comprise over 30% of its total import bill, constitute a serious impediment to economic development and trade. Malawi must import all its fuel products. Other challenges include a paucity of skilled labor, difficulty in obtaining expatriate employment permits, bureaucratic red tape, corruption, and inadequate and deteriorating road, electricity, water, and telecommunications infrastructure which hinder economic development in Malawi. However, recent government initiatives targeting improvements in the road infrastructure, together with private sector participation in railroad and telecommunications, have begun to render the investment environment more attractive.
The following are Malawi's top 20 agricultural production values and volumes for 2009. (Unofficial figures derived from FAO statistics)
Key:
F : FAO estimate, Im: FAO data based on imputation methodology, P : Provisional official data
Macro-economic trends
The following table shows the main economic indicators in 1980–2017.
Industry
In 2013, Malawi's manufacturing sector contributed 10.7% of GDP. The main industries are food processing, construction, consumer goods, cement, fertilizer, ginning, furniture production and cigarette production.
The government's attempts to diversify the agriculture sector and move up the global value chain have been seriously constrained by poor infrastructure, an inadequately trained work force and a weak business climate. In order to help companies adopt innovative practices and technologies, the National Export Strategy adopted in 2013 affords companies greater access to the outcome of international research and better information about available technologies; it also helps companies to obtain grants to invest in such technologies from sources such as the country's Export Development Fund and the Malawi Innovation Challenge Fund. In parallel, the government has raised its investment in research and development to 1% of GDP.
Food and beverages
Most fruits and vegetables are exported raw, while processed food is imported mainly from South Africa. Carlsberg opened its first brewery outside of Denmark in Blantyre in 1965. The brewery also bottles Coca-Cola products under licence. A mango processing plant for the export of fruit concentrate opened in Salima in 2013. Universal Industries operates several food factories in Blantyre, where it produces sweets, crisps, biscuits, milk powder, soy products and baby food. Coffee and tea are processed by half a dozen of different companies in the regions of Thyolo, Mulanje and around Mzuzu.
Pharmaceutical companies
Malawi has four pharmaceutical companies. They manufacture a limited range of drugs, particularly those that are in great demand on the local market. These are Pharmanova Ltd., which is the biggest pharmaceutical manufacturer in Malawi, followed by SADM, Malawi Pharmacies (Pharmaceuticals Limited) and Kentam Products Limited.
Forestry
Large man-made pine tree forests are located in the Viphya Mountains, around Mulanje and Zomba. Timber production for building materials and furniture is an important industry for these regions. However, most areas in Malawi suffer from deforestation due to illegal logging for charcoal production and the use of firewood.
Electricity
Malawi's sole power supplier is the state owned Electricity Supply Commission of Malawi (ESCOM), which generates almost all its power from hydroelectric plants along the Shire River. The installed is approximately 351MW. About 12% of the country's population has access to electricity, according to 2014 World Bank figures.
The country has been suffering from intermittent power outages as a result of an ongoing drought that has halved power output as water levels of the Shire river dropped significantly. The river usually generates 300MW of electricity, accounting for 98% of Malawi's total supply. However, the drought reduced that capacity to 160MW, according to ESCOM.
Services
The service sector accounts for 51.7% of Malawi's national GDP. Notable industries are tourism, retail, transport, education, health services, telecommunication and the banking sector. The Government of Malawi holds shares in many important companies, such as Malawian Airlines (51%) and Press Corporation Limited. Press Corporation Ltd. is the country's biggest company, with subsidiaries in the tobacco, banking, sugar, fishing, ethanol production, steel production, retail, telecommunication and petrol sectors.
International support
Malawi has undertaken economic structural adjustment programs supported by the World Bank (IBRD), the International Monetary Fund (IMF), and other donors since 1981. Broad reform objectives include stimulation of private sector activity and participation through the elimination of price controls and industrial licensing, liberalization of trade and foreign exchange, rationalization of taxes, privatization of state-owned enterprises, and civil service reform. Malawi qualified for Heavily Indebted Poor Country (HIPC) debt relief and is in the process of refining its poverty reduction strategy.
Malawi has bilateral trade agreements with its two major trading partners, South Africa and Zimbabwe, both of which allow duty-free entry of Malawian products into their countries. The government faces challenges such as the improvement of Malawi's educational and health facilities — particularly important because of the rising rates of HIV/AIDS — and environmental problems including deforestation, erosion, and overworked soils.
Move towards economic independence
In 2006, in response to disastrously low agricultural harvests, Malawi, through an initiative by the late President Bingu Mutharika, an economist by profession, began a program of fertilizer subsidies that were designed to re-energize the land and boost crop production. It has been reported that this program, championed by the country's president, is radically improving Malawi's agriculture, and causing Malawi to become a net exporter of food to nearby countries.
Economic grievances though took a downward slide during Mutharika's second term. Economic grievances were a catalyst that resulted in the 2011 economic protests in Malawi in July.
Economic indicators
The following figures are taken from the CIA World Factbook, unless otherwise indicated.
GDP:
purchasing power parity = $22.37 billion (2017 est.)
GDP - real growth rate:
4% (2017 est.)
GDP - per capita:
purchasing power parity - $1200 (2017 est.)
GDP - composition by sector:
agriculture:
28.1%
industry:
15.8%
services:
56.1% (2016 est.)
Population below poverty line:
50.7% (2010 est.)
Inflation rate (consumer prices):
23% (2014 est.)
Labor force:
7 million (2013 est.)
Labor force - by occupation:
agriculture 76.9%, industry and services 23.1% (2013 est.)
Unemployment rate:
NA%
Budget:
revenues:
$1.346 billion (2017 est.)
expenditures:
$1.556 billion (2017 est.)
Public Debt
59.3% of GDP (2017 est.)
Industries:
tobacco, tea, sugar, sawmill products, cement, consumer goods, cotton, consumer goods, uranium and coal mining
Industrial production growth rate:
2.8% (2013 est.)
Electricity - production:
1.973 billion kWh (2010 est.)
Electricity - consumption:
1.835 billion kWh (2010 est.)
Agriculture - products:
tobacco, sugar cane, cotton, tea, maize, potatoes, cassava (tapioca), sorghum, pulses; cattle, goats
Exports:
$1.427 billion (2013 est.)
Exports - commodities:
tobacco, tea, sugar, cotton, coffee, peanuts, wood products, apparel, uranium and its compounds
Exports - partners:
Canada 10.6%, Zimbabwe 9.3%, Germany 7.3%, South Africa 6.6%, Russia 6.5%, US 6.1%, China 4.2% (2012)
Imports:
$2.42 billion (2013 est.)
Imports - commodities:
food, petroleum products, semimanufactures, consumer goods, transportation equipment
Imports - partners:
South Africa 27%, China 16.6%, India 8.7%, Zambia 8.5%, Tanzania 5.1%, US 4.3% (2012)
Current account balance
- $280.1 million (2013 est.)
Debt - external:
$1.556 billion (31 December 2013 est.)
Economic aid - recipient:
$575.3 million (2005)
Foreign direct investment - inflow
$129.5 million (2014)
Currency:
1 Malawian kwacha (MK) = 100 tambala
Exchange rates:
Malawian kwachas per US dollar -730.00 (20/June/2016), 460.00 (20/Jan/2015), 360.00 (6/Feb/2013), 165.961 (1/Sep/2011), 145.179 (2009), 135.96 (2006), 108.894 (2005), 108.898 (2004), 97.433 (2003), 76.687 (2002)
Fiscal year:
1 July - 30 June
See also
Transportation in Malawi
List of companies based in Malawi
Science and technology in Malawi
Economy of Mozambique
Economy of South Africa
Economy of Botswana
The International Monetary Fund and Malawi
United Nations Economic Commission for Africa
References
Further reading
Anthony and Doreen Young, A Geography of Malawi, Second edition. Evans Brothers, Limited, London (1978)
External links
Official site - Ministry of Finance of Malawi
MBendi Malawi overview
Malawi latest trade data on ITC Trade Map
Malawi
Malawi |
19103 | https://en.wikipedia.org/wiki/Communications%20in%20Malawi | Communications in Malawi | Communications in Malawi includes the country's postal, telephone, television, radio and internet services.
Post
Malawi Posts Corporation provides the national postal service in Malawi and runs the post offices throughout the country. Ten other postal services providers operate in Malawi, including DHL, FedEx.
Postal services in Malawi are regulated by the Malawi Communications Regulatory Authority (MACRA).
Telephone
Mobile telephones are vastly more common than fixed line phones in Malawi, with over 6.1 million mobile subscriptions compared with only 45,678 fixed line subscriptions .
A report by the International Telecommunication Union in 2014 found the average Malawians spend on mobile phones was over 56% of the average monthly earning there. This was the highest proportion of earnings found by the survey.
Telephone system:
domestic - fair system of open-wire lines, microwave radio relay links, and radiotelephone communications stations
international - satellite earth stations - 2 Intelsat (1 Indian Ocean and 1 Atlantic Ocean)
Radio and television
Radio and television broadcast services in Malawi are also regulated by the Malawi Communications Regulatory Authority (MACRA).
There are 45 licensed radio broadcast stations, of which 31 are operational: AM 9, FM 5 (plus 15 repeater stations), shortwave 2 (plus a third station held in standby status)) ()
Radios: 2.6 million ()
There are 20 licensed television broadcast stations, of which 5 are operational ().
Internet
The internet in Malawi is regulated by the Malawi Communications Regulatory Authority (MACRA) Business to consumer Internet service providers include Airtel, and Malawi Postal Service.
there were 1.67 million internet users in Malawi.
The number of Internet Service Providers (ISPs) was 18 (). The Country code (Top level domain) is MW.
See also
Malawi
Media of Malawi
References
External links
GSM World page on Malawi
PanAfriL10n page on Malawi
Internet in Malawi |
19104 | https://en.wikipedia.org/wiki/Transport%20in%20Malawi | Transport in Malawi | Transportation in Malawi is poorly developed. The country of almost 14 million has 39 airports, 6 with paved runways and 33 with unpaved runways. It has of railways, all narrow-gauge and about 45 percent of its roads are paved. Though it is landlocked, Malawi also has of waterways on Lake Malawi and along the Shire River.
Highways
Recent assessments indicate that there were of roads in the country; of these, (45 percent) were paved. The remaining were not paved.
Ports, harbours and waterways
Lake Nyasa (Lake Malawi) and Shire River (144 kilometres) provide the major waterways. There is a railhead at the port of Chipoka, Salima district in central Malawi. Smaller ports exist at Monkey Bay, Nkhata Bay, Nkhotakota and Chilumba.
The MV Ilala connects Likoma Island with the mainland, as well as the Malawian and Mozambican sides of the lake.
In 2010, a port in Nsanje was opened to connect the country through the Shire and Zambezi rivers with the Indian Ocean. As of 2015, the port is not operational due to unresolved contracts with Mozambique.
Air transport
Malawian Airlines Limited is the national airline of Malawi which operates regional passenger service. Based in Lilongwe, it is 51% owned by the Malawi government. 49% are controlled by Ethiopian Airlines The airline's main base of operations is Lilongwe International Airport, with a secondary hub at Chileka International Airport.
Airports
In 2001 there was a total of 44 airports in the country.
As of 2015, two airports have scheduled passenger services.
Paved runways
total:
6
over 3,047 m:
1
1,524 to 2,437 m:
1
914 to 1,523 m:
4 (2002)
Unpaved runways
total:
37
1,524 to 2,437 m:
1
914 to 1,523 m:
14
under 914 m:
22 (2002)
Rail transport
Malawi Railways is the national rail network in Malawi, run by a government corporation until privatisation in 1999. As of 1 December 1999 the Central East African Railways, a consortium led by Railroad Development Corporation, won the right to operate the network. This was the first rail privatisation in Africa which did not involve a parastatal operator.
The rail network totalled 797 kilometres in 2001. It is a narrow gauge line with a track.
Railway links with adjacent countries
The , gauge line extends from the Zambian border at Mchinji in the west via Lilongwe to Blantyre and Makhanga in the south. At Nkaya Junction it links with the Nacala Corridor line going east via Nayuchi to Mozambique's deepwater port at Nacala on the Indian Ocean. The link south from Makhanga to Mozambique's Beira corridor has been closed since the Mozambique Civil War, with plans for reconstruction not yet realised.
There is no direct link with neighbouring Tanzania as there is a break of gauge, / . An extension from Mchinji to Chipata in Zambia opened in 2010, and there is a proposal to eventually link up from there with the TAZARA railway at Mpika. Direct linkage is available with Mozambique, however, which has the same gauge track. Linkage is called the Nacala Corridor line via Nayuchi to the port of Nacala, and Nsanje to the Dona Ana Bridge and Beira. The latter link has not been operational since the war in Mozambique and is in need of reconstruction.
Rail developments in 2006
In 2006, a Brazilian company (VALE) announced plans to build a rail branch line to the Moatize coal mine in western Mozambique from the Nacala Corridor line to export coal via the port of Nacala; the link would cross Malawi. The national Railroad Development Corporation map shows a proposed extension across the border to Chipata in Zambia. Central East African Railways, previously a subsidiary of the Railroad Development Corporation, operates the privatised Malawi Railways network. Also in 2006, the president of Malawi, Bingu wa Mutharika asked his Mozambiquan counterpart, Armando Guebuza, to consider the provision of a new 250 kilometre rail connection from Nsanje - the then-current southern extent of Malawi Railways - to the Indian Ocean port of Chinde, near the mouth of the Zambesi.
Communications
As of 2007, there were 175,200 land line telephones in Malawi, and 1.051 million cell phones, which is approximately 8 cell phones per 100 people. The telephone system overall is described as rudimentary. In the past, Malawi's telecommunications system has been named as some of the poorest in Africa, but conditions are improving, with 130,000 land line telephones being connected between 2000 and 2007. Telephones are much more accessible in urban areas, with less than a quarter of land lines being in rural areas. There were 139,500 Internet users as of 2007, and 3 Internet service providers as of 2002. As of 2001 there were 14 radio stations and 1 TV station.
Timeline
March 2008
References
External links
UN Map
RRDC map |