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Thursday, 8 September 2022

Adrian Carton de Wiart: a brief history.

 Adrian Carton de Wiart 

Lieutenant-General Sir Adrian Paul Ghislain Carton de Wiart,[1] VC, KBE, CB, CMG, DSO (/də ˈwaɪ.ərt/;[2] 5 May 1880 – 5 June 1963) was a British Army officer born of Belgian and Irish parents. He was awarded the Victoria Cross, the highest military decoration awarded for valour "in the face of the enemy" in various Commonwealth countries.[3] He served in the Boer War, First World War, and Second World War. He was shot in the face, head, stomach, ankle, leg, hip, and ear; was blinded in his left eye; survived two plane crashes; tunnelled out of a prisoner-of-war camp; and tore off his own fingers when a doctor declined to amputate them. Describing his experiences in the First World War, he wrote, "Frankly I had enjoyed the war."[4] 

Birth name

Adrian Paul Ghislain Carton de Wiart

Born

5 May 1880

Brussels, Belgium

Died

5 June 1963 (aged 83)

Aghinagh House, Killinardrish, County Cork, Ireland

Buried

Killinardish Churchyard, County Cork, Ireland

Allegiance

United Kingdom

Service/branch

British Army

Years of service

1899–1923

1939–1947

Rank

Lieutenant-general

Service number

836

Commands held

61st Infantry Division

134th Brigade

12th Brigade

8th (Service) Battalion, Gloucestershire Regiment

Battles/wars

Second Boer War

First World War

Somaliland Campaign

Battle of the Somme

Battle of Passchendaele

Battle of Cambrai

Battle of Arras (1918)

Polish-Soviet War

Polish-Ukrainian War

Polish-Lithuanian War

Second World War


Invasion of Poland

Norwegian campaign

Second Sino-Japanese War

Awards

Victoria Cross

Knight Commander of the Order of the British Empire

Companion of the Order of the Bath

Companion of the Order of St Michael and St George

Distinguished Service Order

Mentioned in Despatches

Virtuti Militari (Poland)

Croix de guerre (Belgium)

Legion of Honour (France)

Croix de Guerre (France) 

After returning home from service (including a period as a prisoner-of-war) in the Second World War, he was sent to China as Winston Churchill's personal representative. While en route he attended the Cairo Conference.


In his memoirs, Carton de Wiart wrote, "Governments may think and say as they like, but force cannot be eliminated, and it is the only real and unanswerable power. We are told that the pen is mightier than the sword, but I know which of these weapons I would choose."[5] Carton de Wiart was thought to be a model for the character of Brigadier Ben Ritchie-Hook in Evelyn Waugh's trilogy Sword of Honour.[6] The Oxford Dictionary of National Biography described him thus: "With his black eyepatch and empty sleeve, Carton de Wiart looked like an elegant pirate, and became a figure of legend."[7] 

Carton de Wiart was born into an aristocratic family in Brussels, on 5 May 1880, eldest son of Léon Constant Ghislain Carton de Wiart (1854–1915) and Ernestine Wenzig (1860–1886). By his contemporaries, he was widely believed to be an illegitimate son of King Leopold II of the Belgians.[8] He spent his early days in Belgium and in England.[9] The 'loss of his mother' when he was six prompted his father to move the family to Cairo so his father could practise at Egypt's mixed courts. It was widely assumed by biographers that his mother had died in 1886; however, his parents had in fact divorced in that year and his mother remarried Demosthenes Gregory Cuppa later in 1886.[10] His father was a lawyer and magistrate, as well as a director of the Cairo Electric Railways and Heliopolis Oases Company and was well connected in Egyptian governmental circles. Adrian Carton de Wiart learned to speak Arabic.[11]


Carton de Wiart was a Roman Catholic. In 1891, his English stepmother sent him to a boarding school in England, the Roman Catholic Oratory School, founded by John Henry Newman. From there, he went to Balliol College, Oxford, but left to join the British Army at the time of the Second Boer War around 1899, where he entered under the false name of "Trooper Carton", claiming to be 25 years old. His real age was no more than 20.[12] 

Carton de Wiart was wounded in the stomach and groin in South Africa early in the Second Boer War and was invalided home. His father was furious when he learned his son had abandoned his studies, but allowed his son to remain in the army. After another brief period at Oxford, where Aubrey Herbert was among his friends, he was given a commission in the Second Imperial Light Horse. He saw action in South Africa again, and on 14 September 1901 was given a regular commission as a second lieutenant in the 4th Dragoon Guards.[13] Carton de Wiart was transferred to India in 1902. He enjoyed sports, especially shooting and pig sticking.[14] 

Carton de Wiart's serious wound in the Boer War instilled in him a strong desire for physical fitness and he ran, jogged, walked, and played sports on a regular basis. In male company he was "a delightful character and must hold the world record for bad language."[15]


After his regiment was transferred to South Africa he was promoted to supernumerary lieutenant on 16 July 1904 and appointed an aide-de-camp to the Commander-in-Chief, Sir Henry Hildyard, the following July.[16] He describes this period lasting up to 1914 as his "Heyday", the title of Chapter 3 of his autobiography. His light duties as aide-de-camp gave him time for polo, another of his interests.[14] By 1907, although Carton de Wiart had now served in the British Army for eight years, he had remained a Belgian subject. On 13 September of that year, he took the oath of allegiance to Edward VII and was formally naturalised as a British subject.[1]


In 1908 he married Countess Friederike Maria Karoline Henriette Rosa Sabina Franziska Fugger von Babenhausen (1887 Klagenfurt – 1949 Vienna), eldest daughter of Karl, 5th Fürst (Prince) von Fugger-Babenhausen and Princess Eleonora zu Hohenlohe-Bartenstein und Jagstberg of Klagenfurt, Austria. They had two daughters, the elder of whom Anita (born 1909, deceased) was the maternal grandmother of the war correspondent Anthony Loyd (born 1966).[17][18]


Carton de Wiart was already well connected in European circles, his two closest cousins being Count Henri Carton de Wiart, Prime Minister of Belgium from 1920 to 1921, and Baron Edmond Carton de Wiart, political secretary to the King of Belgium and director of La Société Générale de Belgique. While on leave, he travelled extensively throughout central Europe, using his Catholic aristocratic connections to shoot at country estates in Bohemia, Austria, Hungary, and Bavaria.[19] Following his return to England, he rode with the famous Duke of Beaufort's Hunt where he met, among others, the future field marshal, Sir Henry Maitland Wilson, and the future air marshal, Sir Edward Ellington. He was promoted to captain on 26 February 1910.[20] The Duke of Beaufort was the honorary colonel of the Royal Gloucestershire Hussars, and from 1 January 1912 until his departure for Somaliland in 1914 Carton de Wiart served as the regiment's adjutant.[21] 

When the First World War broke out, Carton de Wiart was en route to British Somaliland where a low-level war was underway against the followers of Dervish leader Mohammed bin Abdullah, called the "Mad Mullah" by the British. Carton de Wiart had been seconded to the Somaliland Camel Corps. A staff officer with the corps was Hastings Ismay, later Lord Ismay, Churchill's military advisor.[22] In an attack upon an enemy fort at Shimber Berris, Carton de Wiart was shot twice in the face, losing his eye and also a portion of his ear. He was awarded the Distinguished Service Order (DSO) on 15 May 1915.[23] 

In February 1915, he embarked on a steamer for France. Carton de Wiart took part in the fighting on the Western Front, commanding successively three infantry battalions and a brigade. He was wounded seven more times in the war, losing his left hand in 1915 and pulling off his fingers when a doctor declined to remove them.[24] He was shot through the skull and ankle at the Battle of the Somme, through the hip at the Battle of Passchendaele, through the leg at Cambrai, and through the ear at Arras. He went to the Sir Douglas Shield's Nursing Home to recover from his injuries.[25] 

Carton de Wiart received the Victoria Cross (VC), the highest award for gallantry in combat that can be awarded to British Empire forces, in 1916. He was 36 years old, and a temporary lieutenant-colonel in the 4th Dragoon Guards (Royal Irish), British Army, attached to the Gloucestershire Regiment, commanding the 8th Battalion, when the following events took place on 2/3 July 1916 at La Boiselle, France, as recorded in the official citation:


Capt. (temp. Lt.-Col.) Adrian Carton de Wiart, D.S.O., Dn. Gds.


For most conspicuous bravery, coolness and determination during severe operations of a prolonged nature. It was owing in a great measure to his dauntless courage and inspiring example that a serious reverse was averted. He displayed the utmost energy and courage in forcing our attack home. After three other battalion Commanders had become casualties, he controlled their commands, and ensured that the ground won was maintained at all costs. He frequently exposed himself in the organisation of positions and of supplies, passing unflinchingly through fire barrage of the most intense nature. His gallantry was inspiring to all.


— London Gazette, 9 September 1916.[26]

His Victoria Cross is displayed at the National Army Museum, Chelsea.[27] 

Carton de Wiart was promoted to temporary major in March 1916.[28] He subsequently attained the rank of temporary lieutenant colonel on 18 July, was brevetted to major on 1 January 1917 and was promoted to temporary brigadier general on 12 January 1917.[29][30][31] He was appointed an Officer of the Order of the Crown of Belgium in April 1917.[32] On 3 June 1917, Carton de Wiart was brevetted to lieutenant-colonel.[33] On 18 July, he was promoted to the substantive rank of major in the Dragoon Guards.[34] He was awarded the Belgian Croix de Guerre in March 1918,[35] and was appointed a Companion of the Order of St Michael and St George in the King's Birthday Honours List in June.[36]


Three days before the end of the war, on 8 November, Carton de Wiart was given command of a brigade with the rank of temporary brigadier general.[37] A S Bullock gives a vivid first-hand description of his arrival: 'Cold shivers went down the back of everyone in the brigade, for he had an unsurpassed record as a fire eater, missing no chance of throwing the men under his command into whatever fighting happened to be going.' Bullock recalls how the battalion looked 'very much the worse for wear' when they paraded for the brigadier general's inspection. He arrived 'on a lively cob with his cap tilted at a rakish angle, and a shade over the place where one of his eyes had been'. He was also missing two limbs and had eleven wound stripes. Bullock, the first man in line for the inspection, notes that Carton de Wiart, despite having only one eye, ordered him to get his bootlace changed.[38] 

At the end of the war Carton de Wiart was sent to Poland as second in command of the British-Poland Military Mission under General Louis Botha. Carton de Wiart was appointed a Companion of the Order of the Bath in the 1919 King's Birthday Honours List.[39] After a brief period, he replaced General Botha in the mission to Poland.[40]


Poland desperately needed support, as it was engaged with Bolshevik Russia in the Polish-Soviet War, the Ukrainians in the Polish-Ukrainian War, the Lithuanians in the Polish-Lithuanian War, and the Czechs in the Czech-Polish border conflicts. There he met Ignacy Jan Paderewski, the pianist and premier, Marshal Józef Piłsudski, the Chief of State and military commander, and General Maxime Weygand, head of the French military mission in mid-1920.[41] One of his tasks soon after his arrival was to attempt to make peace between the Poles and the Ukrainian nationalists under Simon Petlyura. The Ukrainians were besieging the city of Lwów (Lvov; Lemberg). The discussions were unsuccessful.[42]


From there he went on to Paris to report on Polish conditions to the British Prime Minister, David Lloyd George and to General Sir Henry Wilson. Lloyd George was not sympathetic to Poland and, much to Carton de Wiart's annoyance, Britain sent next to no military supplies. Then he went back to Poland and many more front line adventures, this time in the Bolshevik zone, where the situation was grave and Warsaw threatened. During this time he had significant interaction with the nuntius (dean of the Vatican diplomatic corps) Cardinal Achille Ratti, later Pius XI, who wanted Carton de Wiart's advice as to whether to evacuate the diplomatic corps from Warsaw. The diplomats moved to Poznań, but the Italians remained in Warsaw along with Ratti.[43]


From all these affairs, Carton de Wiart developed a sympathy with the Poles and supported their claims to eastern Galicia. This caused disagreement with Lloyd George at their next meeting, but was appreciated by the Poles. At one time during his Warsaw stay he was a second in a duel between Polish members of the Mysliwski Club, the other second being Baron Carl Gustaf Emil Mannerheim, later commander-in-chief of Finnish armies in World War II and President of Finland. Norman Davies reports that he was "compromised in a gun-running operation from Budapest using stolen wagon-lits".[44]


He became close to the Polish leader, Marshal Piłsudski. After an aircraft crash occasioning a brief period in Lithuanian captivity, he went back to England to report, this time to the Secretary of State for War, Winston Churchill. He passed on to Churchill Piłsudski's prediction that the White Russian offensive under General Anton Denikin directed at Moscow would fail. It did shortly thereafter. Churchill was more sympathetic to Polish needs than Lloyd George and succeeded, over Lloyd George's objections, in sending some materiel to Poland.[45]


On 27 July 1920, Carton de Wiart was appointed an aide-de-camp to the king, and brevetted to colonel.[46] He was active in August 1920, when the Red Army were at the gates of Warsaw. While out on his observation train, he was attacked by a group of Red cavalry, and fought them off with his revolver from the footplate of his train, at one point falling on the track and re-boarding quickly.[47]


When the Poles won the war, the British Military Mission was wound up. Carton de Wiart was promoted to temporary brigadier general and also appointed to the local rank of major general on 1 January.[48] He was promoted to the substantive rank of colonel on 21 June 1922, with seniority from 27 July 1920 and relinquished his local rank of major general on 1 April 1923, going on half-pay as a colonel at the same time.[49][50] Carton de Wiart officially retired from the army on 19 December, with the honorary rank of major general.[51] 

His last Polish aide de camp was Prince Karol Mikołaj Radziwiłł, member of the Radziwiłł family who inherited a large 500,000-acre (200,000 ha) estate in eastern Poland when the communists killed his uncle. They became friends and Carton de Wiart was given the use of a large estate called Prostyń, in the Pripet Marshes, a wetland area larger than Ireland and surrounded by water and forests.[47] In this location Carton de Wiart spent the rest of the interwar years. In his memoirs he said "In my fifteen years in the marshes I did not waste one day without hunting".[47]


After 15 years, Carton de Wiart's peaceful Polish life was interrupted by the looming war, when he was recalled in July 1939 and appointed to his old job, as head of the British Military Mission to Poland. Poland was attacked by Nazi Germany on 1 September and on 17 September the Soviets allied with Germany attacked Poland from the east. Soon Soviet forces overran Prostyń and Carton de Wiart lost all his guns, fishing rods, clothing, and furniture. They were packed up by the Soviets and stored in the Minsk Museum, but destroyed by the Germans in later fighting. He never saw the area again, but as he said "they did not manage to take my memories".[47] 

Carton de Wiart met with the Polish commander-in-chief, Marshal of Poland Edward Rydz-Śmigły, in late August 1939 and formed a rather low opinion of his capabilities. He strongly urged Rydz-Śmigły to pull Polish forces back beyond the Vistula River, but was unsuccessful.[52] The other advice he offered, to have the seagoing units of the Polish fleet leave the Baltic Sea, was, after much argument, finally adopted. This fleet made a significant contribution to the Allied cause, especially the several modern destroyers and submarines.[53]


As Polish resistance weakened, Carton de Wiart evacuated his mission from Warsaw along with the Polish government. Together with the Polish commander Rydz-Śmigły, Carton de Wiart made his way with the rest of the British Mission to the Romanian border with both the Germans and the Soviets in pursuit. His car convoy was attacked by the Luftwaffe on the road, and the wife of one of his aides was killed. He was in danger of arrest in Romania and got out by aircraft on 21 September with a false passport, just in time as the pro-Allied Romanian prime minister, Armand Calinescu, was assassinated that day.[54] 

Recalled to a special appointment in the army in the autumn of 1939, Carton de Wiart reverted to his former rank of colonel. He was granted the rank of acting major general on 28 November.[55] After a brief stint in command of the 61st Division in the English Midlands, Carton de Wiart was summoned in April 1940 to take charge of a hastily drawn together Anglo-French force to occupy Namsos, a small town in middle Norway. His orders were to take the city of Trondheim, 125 miles (200 km) to the south, in conjunction with a naval attack and an advance from the south by troops landed at Åndalsnes.[56] He flew to Namsos to reconnoitre the location before the troops arrived. When his Short Sunderland flying boat landed, it was attacked by a German fighter and his aide was wounded and had to be evacuated. After the French Alpine troops landed[57] (without their transport mules and missing straps for their skis), the Luftwaffe bombed and destroyed the town of Namsos.[58] 

Despite these handicaps, Carton de Wiart managed to move his forces over the mountains and down to Trondheimsfjord, where they were shelled by German destroyers. They had no artillery to challenge the German ships. It soon became apparent that the whole Norwegian campaign was fast becoming a failure. The naval attack on Trondheim, the reason for the Namsos landing, did not happen and his troops were exposed without guns, transport, air cover, or skis in a foot and a half of snow. They were being attacked by German ski troops, machine gunned and bombed from the air, and the German Navy was landing troops to his rear. He recommended withdrawal but was asked to hold his position for political reasons, which he did.[59]


After orders and counterorders from London, the decision to evacuate was made. However, on the date set to evacuate the troops, the ships did not appear. The next night a naval force finally arrived, led through the fog by Lord Louis Mountbatten. The transports successfully evacuated the entire force amid heavy bombardment by the Germans, resulting in the sinking of two destroyers: the French Bison and British HMS Afridi.[59] Carton de Wiart arrived back at the British naval base of Scapa Flow in the Orkney Islands on 5 May 1940, his 60th birthday.[59] 

Carton de Wiart was posted back to the command of the 61st Division, which was soon transferred to Northern Ireland as a defence against invasion.[60] However, following the arrival of Lieutenant-General Sir Henry Pownall as Commander-in-Chief in Northern Ireland, Carton de Wiart was told that he was too old to command a division on active duty.[61] 

Advanced to temporary major-general on 28 November 1940,[62] he remained inactive very briefly, as he was appointed as head of the British-Yugoslavian Military Mission on 5 April 1941. Hitler was preparing to invade the country and the Yugoslavs asked for British help. Carton de Wiart travelled in a Vickers Wellington bomber to Belgrade, Serbia to negotiate with the Yugoslavian government. After refuelling in Malta,[63] the aircraft left for Cairo with enemy territory to the north and south. Both engines failed off the coast of Italian-controlled Libya, and the plane crash-landed in the sea about a mile from land. Carton de Wiart was knocked unconscious, but the cold water made him regain consciousness. When the plane broke up and sank, he and the rest aboard were forced to swim to shore.[64] They were captured by the Italian authorities.[65] 

Carton de Wiart was a high-profile prisoner. After four months at the Villa Orsini at Sulmona, he was transferred to a special prison for senior officers at Castello di Vincigliata. There were a number of senior officer prisoners here due to the successes achieved by Rommel in North Africa early in 1941. Carton de Wiart made friends, especially with General Sir Richard O'Connor, The 6th Earl of Ranfurly and Lieutenant-General Philip Neame, VC. In letters to his wife, Lord Ranfurly described Carton de Wiart in captivity as "a delightful character" and said he "must hold the record for bad language." Ranfurly was "endlessly amused by him. He really is a nice person – superbly outspoken."[15] The four were committed to escaping. He made five attempts, including seven months tunnelling. Once Carton de Wiart evaded capture for eight days disguised as an Italian peasant (he was in northern Italy, could not speak Italian, and was 61 years old, with an eye patch, one empty sleeve and multiple injuries and scars).[66]


Then, in a surprising development, Carton de Wiart was taken from prison in August 1943 and driven to Rome. The Italian government was secretly planning to leave the war and wanted Carton de Wiart to send the message to the British Army about a peace treaty with the UK. Carton de Wiart was to accompany an Italian negotiator, General Giacomo Zanussi, to Lisbon to meet Allied contacts to negotiate the surrender. To keep the mission secret, Carton de Wiart was told he needed civilian clothes. Distrusting Italian tailors, he stated that "[he] had no objection provided [he] did not resemble a gigolo."[67] In Happy Odyssey, he described the resultant suit as being "as good as anything that ever came out of Savile Row."[67] When they reached Lisbon, Carton de Wiart was released and made his way to England, reaching there on 28 August 1943.[68] 

Within a month of his arrival back in England, Carton de Wiart was summoned to spend a night at the prime minister's country home at Chequers. Churchill informed him that he was to be sent to China as his personal representative. He was granted the rank of acting lieutenant-general on 9 October,[69] and left by air for India on 18 October 1943. Anglo-Chinese relations were difficult in World War II as the Kuomintang had long called for the end of British extraterritorial rights in China together with the return of Hong Kong, neither proposal being welcome to Churchill. In early 1942, Churchill had to ask Chiang Kai-shek to send Chinese troops to help the British hold Burma from the Japanese, and following the Japanese conquest of Burma the X Force of five Chinese divisions had ended up in eastern India.[70] Churchill was unhappy with having the X Force defend India as it weakened the prestige of the Raj, and in an attempt to improve relations with China, the prime minister felt a soldier with experience of diplomacy such as Carton de Wiart would be the best man to be his personal representative in China.[70]


As his accommodation in China was not ready, Carton de Wiart spent time in India gaining an understanding of the situation in China, especially being briefed by a genuine tai-pan, John Keswick, head of the great China trading empire Jardine Matheson. He met the Viceroy, Field Marshal Viscount Wavell and General Sir Claude Auchinleck, the Commander-in-Chief in India. He also met Orde Wingate."[71] Before arriving in China, Carton de Wiart attended the 1943 Cairo Conference organized by Churchill, U.S President Roosevelt and Chinese Generalissimo Chiang Kai-shek."[72]


When in Cairo, he took the opportunity to renew his acquaintance with Hermione, Countess of Ranfurly, the wife of his friend from prisoner-of-war days, Dan Ranfurly. Carton de Wiart was one of the few to be able to work with the notoriously difficult commander of US forces in the China-Burma-India Theatre, U.S Army General Joseph Stilwell."[73] He arrived in the headquarters of the Nationalist Chinese Government, Chungking (Chongqing), in early December 1943. For the next three years, he was to be involved in a host of reporting, diplomatic and administrative duties in the remote wartime capital. Carton de Wiart became a great admirer of the Chinese people. He wrote that, when he was appointed as Churchill's personal representative to Chiang Kai-shek in China, he imagined a country "full of whimsical little people with quaint customs who carved lovely jade ornaments and worshiped their grandmothers".[70] Once stationed in China, however, he wrote: 'Two things struck me forcibly: the first was the amount of sheer hard work the people were doing, and the second their cheerfulness in doing it.'[74] 

He regularly flew out to India to liaise with British officials. His old friend, Richard O'Connor, had escaped from the Italian prisoner-of-war camp and was now in command of British troops in eastern India. The Governor of Bengal, the Australian Richard Casey, became a good friend.[75]


On 9 October 1944, Carton de Wiart was promoted to temporary lieutenant-general and to the war substantive rank of major-general.[76] Carton de Wiart returned home in December 1944 to report to the War Cabinet on the Chinese situation. He was appointed Knight Commander of the Order of the British Empire (KBE) in the 1945 New Year Honours.[77] Clement Attlee, when he became head of the Labour Government in June 1945, asked Carton de Wiart to stay on in China.[78] 

A good part of Carton de Wiart's reporting had to do with the increasing power of the Chinese Communists. The journalist and historian Max Hastings writes: "De Wiart despised all Communists on principle, denounced Mao Zedong as 'a fanatic', and added: 'I cannot believe he means business'. He told the British cabinet that there was no conceivable alternative to Chiang as ruler of China."[80] He met Mao Zedong at dinner and had a memorable exchange with him, interrupting his propaganda speech to criticise him for holding back from fighting the Japanese for domestic political reasons. Mao was briefly stunned, and then laughed.[81]


After the Japanese surrender in August 1945, Carton de Wiart flew to Singapore to participate in the formal surrender. After a visit to Peking, he moved to Nanking, the now-liberated Nationalist capital, accompanied by Julian Amery, the British Prime Minister's Personal Representative to Chiang.[82] A visit to Tokyo to meet General Douglas MacArthur came at the end of his tenure. He was now 66 and ready to retire, despite the offer of a job by Chiang. Carton de Wiart retired in October 1947, with the honorary rank of lieutenant-general.[83] 

En route home via French Indochina, Carton de Wiart stopped in Rangoon as a guest of the army commander. Coming down stairs, he slipped on coconut matting, fell down, broke several vertebrae, and knocked himself unconscious. He was admitted to Rangoon Hospital where he was treated.[84] His wife died in 1949. In 1951, at the age of 71, he married Ruth Myrtle Muriel Joan McKechnie, a divorcee known as Joan Sutherland, 23 years his junior (born in late 1903, she died 13 January 2006 at the age of 102.)[85] They settled at Aghinagh House, Killinardrish, County Cork, Ireland.[86]


Carton de Wiart died at the age of 83 on 5 June 1963. He left no papers.[87] He and his wife Joan are buried in Caum Churchyard just off the main Macroom road. The grave site is just outside the actual graveyard wall on the grounds of his own home, Aghinagh House. Carton de Wiart's will was valued at probate in Ireland at £4,158 and in England at £3,496.[88

I think therefore I am?

 Another Philosopher Says the Unified Self Is an Illusion 

Denyse O'Leary 

university of kent philosopher julian baggini, author of the great guide: what david hume can teach us about being human and living well (2021), was interviewed recently by robert lawrence kuhn at closer to truth. in the interview, dr. baggini asserted that, while consciousness is not an illusion, a unified self that persists through time is: 

Here is a partial transcript, interspersed with questions that arise from the discussion:


Robert Lawrence Kuhn: Julian, my own internal feeling of awareness, my consciousness seems like the most obvious fundamental thing in the world. You tell me it’s an illusion. Why?


Julian Baggini: (0:11) To be honest, consciousness isn’t an illusion. I mean clearly there’s awareness of the world. I wouldn’t even say that the self is an illusion.


What’s an illusion is the idea that within each of us is this unitary fixed constant self, that there is in each of us a kind of core of being, a single entity which is the same and persists through time. I think that’s an illusion because, actually, when you look at it and you look at it from the point of view of introspection or you look at it through neuroscience or you look at it through meditation — which Buddhism does — you find that actually there’s just an arrangement, a collection of thoughts, feelings, memories, and so forth, and it’s the way those all come together. It gives us a feeling of being unitary entities but there isn’t a single thing there at the core of it.  

Question: But if the unitary self is an illusion, whose illusion is it? 


If “a collection of thoughts, feelings, memories, and so forth” comes together, isn’t that, precisely, a “single thing there at the core of it.”? 

Kuhn: (1:04) Some people talk about this being a binding problem because we have auditory impulses, visual impulses, tactile memories, and all of these come together and they seem to be a coherent whole but they are really separate systems coming together. Is this part of the concept of how all of these different systems come together and why does it feel like it’s one thing?


Baggini: (1:27 )Well, there are also metaphors one can use and I think that to try and explain it completely would be idiotic. We don’t understand enough about how the sense of self emerges from the way the brain operates to actually be able to explain this properly. So we have to be satisfied with the fact that we don’t yet know and just accept that rather than leap to some false answer which will give us some neat solution which actually isn’t based on the evidence. 

Question: We do have a persistent sense of self. We don’t know that the sense of self “emerges from the way the brain operates.” Maybe it doesn’t. Could that be why we aren’t finding answers in that direction? 

Baggini: (1:55) But there are lots of metaphors that can help us. I mean the most basic one would be like an orchestra. I guess we all have the sense that when you listen to an orchestra you have a sense of there being a single piece of music. You hear it as one thing but we know that’s only because there are all sorts of different instruments doing their bits. There isn’t a single thing there. The orchestra is a collection and, in a way, brain and consciousness [are] like an orchestra of the mind. They’re all these different systems working together and they create a sense of oneness because of the way they harmonize. 

Question: Wait. Every individual member of the orchestra is a complete individual human and they have all chosen to work together toward a single goal, which is the performance of the piece they are playing. So there is in fact “a single thing there” — as the sheet music will show. Brain and consciousness would only be like an orchestra if each element in the brain-mind mix was a complete individual human. Is that even thinkable? 

Kuhn: What would be the analog of the conductor of the orchestra?


Baggini: (2:23) Well yes, people sometimes say if a brain is like an orchestra, if consciousness is like the orchestra, who’s the conductor? But you know, orchestras don’t always need conductors. That’s the point, you know. The best ones do and we might think there’s one but there needn’t be one. 

Question: Dr. Baggini does not offer an example of an orchestra without a conductor. However, a research study found that conductors do exert control over the orchestra — and that the better ones exert more control and get better results. Are there instances of successful orchestras with no conductor? 

Read the rest at Mind Matters News, published by Discovery Institute’s Bradley Center for Natural and Artificial Intelligence.


Wednesday, 7 September 2022

A design with us in mind?

 Is There Enough Phosphorus for Us? 

David Coppedge. 

Not long ago I considered the element phosphorus as a test case for Michael Denton’s hypothesis of prior fitness of the environment for complex beings of our size. Phosphorus is a vital element on which life’s genetic and metabolic processes depend every picosecond. And yet P is not as easily cycled through the environment as are other elements like nitrogen and carbon. Phosphorus, therefore, can be considered a limiting factor for a productive biosphere. We left the issue as a work in progress, although ample circumstantial evidence exists that P bioavailability has not been a problem throughout Earth’s history (consider trilobites in an ancient ocean, sauropods in a tropical rain forest, or tropical fish in a lagoon consuming phosphorus with impunity in different eras).


Phosphorus has been in the news since that article. A paper in Nature admits that “the extent to which phosphorus availability limits tropical forest productivity is highly uncertain” because of intertwined effects with other limiting factors such as nitrogen. The authors experimented with adding phosphorus to a small patch of old growth rainforest in Amazonia, where soils are depleted in phosphorus. After two years, they saw increases in primary productivity, but not in stem growth. Disentangling the effects of phosphorus from other factors still seems uncertain. 

At Charles University in the Czech Republic, two paleontologists investigated the phosphorus cycle over geological time by investigating the abundance of phosphatic marine shells in the fossil record as a proxy. In news from the Faculty of Science, they ascribe a transfer of phosphorus from shelly creatures to vertebrates in the Devonian: 

M. Mergl laconically remarked that “phosphorus was stolen by vertebrates“. This remark actually became the “starting shot”. The question of the radical loss of phosphorus in the environment proved so exciting that both authors set about studying in detail the various corners of the cycle of this element. [Emphasis added.] 

The Phosphorus Theory

Their tale begins with abundant phosphorus supporting the Ediacaran fauna. Then they attribute the Cambrian Explosion in part to still-plentiful phosphorus. 

The Early Paleozoic was a critical era of phosphorus cycle due to the intense involvement of biota in its dynamics. At the beginning, phosphorus was easily available in great amount and therefore many groups had the opportunity to build external phosphatic shells. This very likely contributed to the story of the Cambrian explosion, a period when representatives of almost all animal phyla appeared in the fossil record within a relatively short period of time. The Cambrian was thus a “golden age” for organisms with external phosphatic shells. 

Like the oxygen theory, this explanation transfers the explanation for the origin of genetic information to the abundances of blind elements in the periodic table — hardly a logical idea. That would be like attributing the origin of books to the availability of movable type in a print shop with no Gutenberg. 


In Act Two of their biological opera, phosphorus divorced the shelly creatures and married the vertebrates. Marine shells declined in size because large phosphatic shells became a luxury. “This process has been accelerated by the emergence and evolutionary diversification of vertebrates, which, although they need a lot of phosphorus, are better at managing it,” the paleontologists surmise. But the plot thickens when anomalies emerge:  

The subsequent era from the end of the Paleozoic to the present is characterized by limited but also selective availability of phosphorus in the seas and oceans. Geological processes such as the Variscan (400-300 Ma) and the Alpine orogenies (80 Ma to the present) have greatly aided the supply of phosphorus to the oceans.However, the ability of phosphorus to reach the oceans from its main source in the rocks of the denuded continents was hampered by the spreading of vegetation on land and other influences such as climate during this times [sic].  

A Skeleton Key? 

Climate change should not be used as a skeleton key for incomplete answers. In combination with “other influences,” storytellers can make any plot work. Kraft and Mergl published their ideas in an Opinion article, “Struggle for phosphorus and the Devonian overturn,” last month in Trends in Ecology & Evolution.


Most instructive is their proposal that “geological processes… have aided the supply of phosphorus” to the oceans and land. The role of volcanoes and orogenic processes in keeping phosphorus plentiful throughout Earth’s history deserves elaboration by design theorists. Consider what happened on January 14, when one of the most powerful volcanic eruptions ever recorded, the Hunga-Tonga volcano, surprised scientists with a massive plume visible from space (see the photo above). A new paper in Geophysical Research Letters reports a “massive phytoplankton bloom” that was visible from space as well following the eruption.  

Two independent bio-optical approaches confirmed that the phytoplankton bloom was a robust observation and not an optical artifact due to volcanogenic material. Furthermore, the timing, size, and position of the phytoplankton bloom suggest that plankton growth was primarily stimulated by nutrients released from volcanic ash rather than by nutrients upwelled through submarine volcanic activity. The appearance of a large region with high chlorophyll a concentrations less than 48 hours after the largest eruptive phase indicates a fast ecosystem response to nutrient fertilization. However, net phytoplankton growth probably initiated before the main eruption, when weaker volcanism had already fertilized the ocean. 

Although chlorophyll itself does not contain phosphorus, the availability of phosphorus in the ash may have stimulated rapid proliferation of the plankton. 


Phosphorus Ecology

Does phosphorus availability impact predator-prey relationships? In a research article in PNAS, Guilloneau et al.investigated “Trade-offs of lipid remodeling in a marine predator–prey interaction in response to phosphorus limitation.”  

Microbial growth is often limited by key nutrients like phosphorus (P) across the global ocean. A major response to P limitation is the replacement of membrane phospholipids with non-P lipids to reduce their cellular P quota. However, the biological “costs” of lipid remodeling are largely unknown. Here, we uncover a predator–prey interaction trade-off whereby a lipid-remodeled bacterial prey cell becomes more susceptible to digestion by a protozoan predator facilitating its rapid growth. Thus, we highlight a complex interplay between adaptation to the abiotic environment and consequences for biotic interactions (grazing), which may have important implications for the stability and structuring of microbial communities and the performance of the marine food web. 

The magical thinking in this story becomes evident when the authors opine that “marine microbes have evolved sophisticated strategies to adapt to P limitation” such as replacing phospholipids with non-P lipids. One must imagine microbes holding committee meetings, thinking out “strategies” as if they were business managers worried about maintaining their products under duress from shortages in the supply chain. “But if we do that,” one manager worries, “we become susceptible to organized crime.”  

The low availability of key nutrients like P in marine surface waters represents a grand challenge for microbes, particularly those inhabiting oligotrophic gyres. Although lipid remodeling enables these microbes to survive better in these potentially P-limited environments, as well as facilitating greater avoidance of ingestion by ciliate grazers, once ingested, these lipid-remodeled cells are unable to survive phagolysosomal digestion (Fig. 6). Therefore, these microbes face an unsolvable dilemma.  

The managers panic; what to do? Each option is potentially disastrous. “Thus, it is clear that adaptation to a specific niche can come with consequences to an organism’s viability,” the storytellers continue. Stay tuned for the next exciting episode! “…it remains to be seen what other trade-offs in predator–prey interactions exist following adaptation of cosmopolitan marine microbes to P limitation.”  

Not Particularly Helpful  

Speculation like this is not particularly helpful in science, especially when the story is so evidence-starved as to depend on one single example of a microbe and its predator. “Global change is expected to exacerbate P limitation in the surface ocean due to water-column stratification accelerated by global warming,” they say at one point. Maybe that was the motivation to ensure their story got funded and published. But what do they know from their observations? And how can they extrapolate one predator-prey interaction to the whole globe? 

Moreover, given that the effects of remodeling on predator–prey interactions we report here are ultimately controlled by in situ P concentrations (which controls lipid remodeling), then such interaction effects are also likely to be dynamic in their nature, given the often-seasonal nature of P limitation — e.g., in the Mediterranean Sea, PlcP-mediated lipid remodeling occurs across an annual cycle, whereby P limitation intensifies during spring and summer, but starts to become alleviated from September. Nonetheless, this work clearly highlights the complex interplay between the abiotic nutrient environment, microbes, and their grazers and how predator–prey dynamics are governed by abiotic control of prey physiology, which has important implications for how we model trophic interactions in marine ecosystem models, particularly in a future scenario where nutrient-deplete gyre regions are set to expand. 

Readers should note that both predator and prey have not gone extinct, which would make a stronger case for P limitation in their limited ecological case. 

Habitability Requires a Phosphorus Supply Chain 

While agriculturalists worry about phosphorus for commercial fertilizers, none of these papers above suggest that the natural biosphere has ever suffered from a deficiency of phosphorus. The plankton bloom after the Tonga eruption shows how volcanoes can fortify marine environments with inorganic nutrients. Another paper in Nature Scientific Reports suggests that terrestrial environments, too, can take advantage of volcanic phosphorus. Pioneering plants can absorb phosphorus from volcanic ash and supply it to secondary growth through their leaf litter. This is interesting because many terrestrial soils contain volcanic ash containing insoluble inorganic phosphorus that was thought unavailable to plants. Volcanic islands like Japan and Hawaii, however, seem to have thriving ecosystems. 

Despite volcanic ash soil covering about 20% of the land in Japan,and phosphorus deficiency being a serious problem in Japanese agriculture, net primary production in Japanese forests is primarily is not low compared to other temperate zones of the world. This suggests that natural vegetation on the infertile volcanic ash soil obtain sufficient nutrition including phosphorus. 

Geology, therefore, appears to offer a supply chain for elemental nutrients built into our planet by means of plate tectonics coupled with thermodynamics — the availability of heat near the surface. Since a planet’s internal heat decreases over time, there may be temporal constraints on this supply chain. If so, one implication is that cold, dead worlds might not have a functioning biosphere even if they orbit in the habitable zone. Is Earth operating in a Goldilocks time as well as a Goldilocks location? These are good questions for design theorists to investigate. Meanwhile, Earth’s biosphere seems to be functioning tolerably with its natural phosphorus supply. 




Tuesday, 6 September 2022

And still yet even more primeval tech v. Darwin.

 The Electric Cell: More Synergy with Physics Found in Cellular Coding 


David Coppedge 

New imaging techniques down to the picometer scale are permitting the detection of previously unknown alliances of cellular software with electrostatics and mechanics. Such knowledge was unattainable until biophysicists gained the ability to measure phenomena at the atomic level. What they are finding multiplies the information content embedded in the molecules of life.


Early depictions of molecules in the nucleus showed them drifting around aimlessly. How could molecules do otherwise without membranes to hold them together? Organelles are defined by their lipid membranes. The simplified picture of molecules in lipid cages, like animals in a zoo, raised questions about how enzymes locate their substrates in regions that, at their scale, would be distant. Last December, we reported findings at Caltech that revealed smaller levels of organization at play: nuclear speckles, transcriptional condensates and other “membraneless organelles” coordinated by non-coding RNAs. These erstwhile “junk” parts of the genome turned out to play key roles in architecting the “office layout” of the cellular factory. Some ncRNAs actually recruit the partners needing to associate like managers calling a meeting. 

The Electric Cell 

New findings reported in PNAS by Toyama et al. are uncovering a role for electrostatics in enzymatic activity. Simultaneously, the discovery may offer insight into the function of so-called “disordered proteins” that never fold into stable structures, and other proteins containing disordered regions that would seem to flail about like loose cables. But there is order in the disorder! How big is this discovery? 

Electrostatic interactions play important roles in regulating a plethora of different biochemical processes and in providing stability to biomolecules and their complexes 

6What the team from the University of Toronto found, discussed below, was only made possible by “solution NMR spectroscopy.” This technique allows them, for the first time, to measure the near-surface electrostatic potentials of individual atoms in proteins and follow changes in those potentials during an enzyme’s action. 

Our results collectively show that a subtle balance between electrostatic repulsion and interchain attractive interactions regulates CAPRIN1 phase separation and provides insight into how nucleotides, such as ATP, can induce formation of and subsequently dissolve protein condensates. [Emphasis added.] 

CAPRIN1 (cell cycle associated protein 1) is an RNA-binding protein “localized to membraneless organelles playing an important role in messenger RNA (mRNA) storage and translation.” It may act as a negative regulator of translation, confining mRNAs in condensates at times to prevent overproduction of proteins. “CAPRIN1 is found in membraneless organelles, such as stress granules, P bodies, and messenger RNA (mRNA) transport granules, where, in concert with a variety of other RNA-binding proteins, it plays an important role in regulating RNA processing,” the paper explains. In humans, this enzyme appears associated with long-term memory through the regulation of dendritic spine density. If so, our memories are not just dependent on chemistry, but on electrostatics, too.


CAPRIN1 contains IDP tails at both ends which, it turns out, are the key to condensate formation. The Toronto team found, importantly, that ATP plays a dynamic role in the electrostatic changes of CAPRIN1, especially in its IDP regions. In brief, here is what happens (see Figure 5 in the paper). Specific amino acid residues in the IDP regions confer on them a net positive charge. This makes the tails repel each other, resisting condensate formation (and preventing self-association of the tails). When ATP attaches to the IDP regions, however, the net charge is reduced, permitting intermolecular interactions. As more ATP is added, the collection becomes neutral, and a condensate forms. Additional ATP inverts the electrical potential, making it negative. Electrostatic repulsion ensues again, causing breakup of the condensate, separating the contents and freeing them up for the next round.  

This implies that condensate formation has an electrical aspect to it. Since it relies on the sequence and position of specific amino acid residues, one might even call it an electric code. 

Our interest in these experiments lies in applications to intrinsically disordered proteins (IDPs) and to intrinsically disordered regions (IDRs) of proteins, collectively referred to as IDPs in what follows. It is estimated that ∼30% of residues within human proteins encode regions of disorder, comprising at least 30 amino acids, with many of these proteins playing critical roles in cellular function, including modulating the formation of membraneless biomolecular condensates that organize proteins and/or nucleic acids, along with a variety of small molecules to regulate biochemical processes in the cell. At least 75% of IDPs contain both positively and negatively charged residues, with charge–charge interactions important in defining their physical and chemical properties and, in some cases, their propensities to phase separate. 

The information in the sequence of amino acids, and of the codons in the genes that encode them, appears to play critical roles in condensate formation and, simultaneously, in enzymatic behavior. Some amino acids they dub “stickers” promote phase separation. The specific electrostatic attractions and repulsions that give rise to the enzyme’s function during condensate formation and dissolution is dependent on the positions of these stickers.


This remarkable revelation begins to give insight into the participation of cell coding with electrophysics. Get a charge out of that! 

CAPRIN1 coexists with negatively charged RNA molecules in cells and, along with FMRP and other proteins, is implicated in the regulation of RNA processing and translational activity. Thus, electrostatics play a central role in modulating the biological functions of this protein, and measurement of electrostatic potentials at each site along its backbone, as reported here, provides an opportunity to understand in more detail the important role of charge in this system. 

The paper only investigated one enzyme, so caution is advised before generalizing. The authors feel, though, that this electrical code model will help explain many other processes that require molecules to come together, perform their work, and then separate. It’s the new Electric Cell. 

Future applications of these methods will pave the way for mapping the role of electrostatics in phase separation in a more general sense, including the effects of sequence, charge patterning, posttranslational modifications, and the presence of nucleic acids. 

Coded Mechanics, Too 

Another case of physics in cellular processing was uncovered by a team from the University of Washington who also published their work in PNAS. And once again, it was new creative imaging at the atomic scale that made the discovery possible.


This team worked on a helicase enzyme named PcrA, which unwinds DNA for transcription. This enzyme works so fast (1000 bases per second!) it’s been like trying to describe the blur of a racecar speeding down a track. Using a new technique called “single-molecule picometer-resolution nanopore tweezers” (SPRNT), they were able to slow down the action and watch the racecar move with its “inchworm mechanism” one base at a time. This blends chemistry with another branch of physics, mechanics: “mechanochemistry." 

We recorded more than two million enzyme steps under various assisting and opposing forces in diverse adenosine tri- and diphosphate conditions to comprehensively explore the mechanochemistry of PcrA motion.…Our data reveal that the underlying DNA sequence passing through the helicase strongly influences the kinetics during translocation and unwinding. Surprisingly, unwinding kinetics are not solely dominated by the base pairs being unwound. Instead, the sequence of the single-stranded DNA on which the PcrA walks determines much of the kinetics of unwinding. 

The authors are not clear why this is. What is evolution up to? They figure that there must be a reason. 

Unlike protein filaments (e.g., actin), DNA is not a homogeneous track; sequence-dependent behavior may be the norm rather than the exception. Strong sequence-dependent enzyme kinetics such as those observed in our data likely affect PcrA’s role in vivo and could thereby exert selective pressure on both DNA and protein evolution. Therefore, sequence-dependent behavior should be carefully considered in future studies of any enzyme that walks along DNA or RNA, since the sequence-dependent kinetics may reveal essential features of an enzyme’s function. Such effects are almost certainly used by life to achieve various ends, and SPRNT is well suited to discovering how and why such sequence dependence occurs and opens the possibility of uncovering enzyme functions that were hereto unknown. 

Why are they giving the credit to blind evolution? If life uses “sequence-dependent kinetics…to achieve various ends,” that sounds like intelligent design, not evolution. Design advocates are accustomed to forgiving logical malapropisms like this. They look past the magical thinking and see the operation of a designing mind with foresight and purpose, intimately familiar with the laws of physics, able to write code to utilize those laws in precision operations. Now, it becomes clear that the precision goes deeper than previously known. 


The Navajo nation: a brief history.

 Navajo Nation 

The Navajo Nation (Navajo: Naabeehó Bináhásdzo), also known as Navajoland,[3] is a Native American reservation in the United States. It occupies portions of northeastern Arizona, northwestern New Mexico, and southeastern Utah; at roughly 17,544,500 acres (71,000 km2; 27,413 sq mi), the Navajo Nation is the largest land area held by a Native American tribe in the U.S., exceeding ten U.S. states. In 2010, the reservation was home to 173,667 out of 332,129 Navajo tribal members; the remaining 158,462 tribal members lived outside the reservation, in urban areas (26 percent), border towns (10 percent), and elsewhere in the U.S. (17 percent).[4][5] The seat of government is located in Window Rock, Arizona. The United States gained ownership of this territory in 1848 after acquiring it in the Mexican-American War. The reservation was within New Mexico Territory and straddled what became the Arizona-New Mexico border in 1912, when the states were admitted to the union. Unlike many reservations, it has expanded several times since its establishment in 1868 to include most of northeastern Arizona, a sizable portion of northwestern New Mexico, and most of the area south of the San Juan River in southeastern Utah. It is one of a few Indigenous nations whose reservation lands overlap its traditional homelands. 

In English, the official name for the area was "Navajo Indian Reservation", as outlined in Article II of the 1868 Treaty of Bosque Redondo. On April 15, 1969, the tribe changed its official name to the "Navajo Nation", which is displayed on its seal.[6] In 1994, the Tribal Council rejected a proposal to change the official designation from "Navajo" to "Diné", a traditional name for the people. Some people said that Diné represented the people in their time of suffering before the Long Walk, and that Navajo is the appropriate designation for the future.[7] In the Navajo language, Diné means "the People", a term many Indigenous nations identify with in their respective languages. Among the Navajo populace, both terms are employed. In 2017, the Navajo Nation Council again rejected legislation to change the name to "Diné Nation," citing potential "confusion and frustration among Navajo citizens and non-Navajos."[8][9]


In Navajo, the geographic entity with its legally defined borders is known as "Naabeehó Bináhásdzo". This contrasts with "Diné Bikéyah" and "Naabeehó Bikéyah" for the general idea of "Navajoland".[10] Neither of these terms should be confused with "Dinétah," the term used for the traditional homeland of the Navajo. This is located in the area among the four sacred Navajo mountains of Dookʼoʼoosłííd (San Francisco Peaks), Dibé Ntsaa (Hesperus Mountain), Sisnaajiní (Blanca Peak), and Tsoodził (Mount Taylor). 

The Navajo people's tradition of governance is rooted in their clans and oral history.[11] The clan system of the Diné is integral to their society. The system has rules of behavior that extend to the manner of refined culture that the Navajo people call "walking in beauty".[12] The philosophy and clan system were established long before the Spanish colonial occupation of Dinétah, through to July 25, 1868, when Congress ratified the Navajo Treaty with President Andrew Johnson, signed by Barboncito, Armijo, and other chiefs and headmen present at Bosque Redondo, New Mexico.


The Navajo people have continued to transform their conceptual understandings of government since signing the Treaty of 1868. Social, cultural, and political academics continue to debate the nature of modern Navajo governance and how it has evolved to include the systems and economies of the "western world".[13] 

Reservation and expansion 

In the mid-19th century, primarily in the 1860s, most of the Navajo were forced to abandon their homes due to a series of military campaigns by the U.S. Army conducted with a scorched-earth policy and sanctioned by the U.S. government. The Army burned their homes and agricultural fields, and stole or killed livestock, to weaken and starve the Navajo into submission. In 1864, the main body of Navajo, numbering 8,000 adults and children, were marched 300 miles on the Long Walk to imprisonment in Bosque Redondo.[14] The Treaty of 1868 established the "Navajo Indian Reservation" and the Navajo people left Bosque Redondo for this territory.


The borders were defined as the 37th parallel in the north; the southern border as a line running through Fort Defiance; the eastern border as a line running through Fort Lyon; and in the west as longitude 109°30′.[15]: 68 


As drafted in 1868, the boundaries were defined as:


the following district of country, to wit: bounded on the north by the 37th degree of north latitude, south by an east and west line passing through the site of old Fort Defiance, in Canon Bonito, east by the parallel of longitude which, if prolonged south, would pass through old Fort Lyon, or the Ojo-de-oso, Bear Spring, and west by a parallel of longitude about 109º 30' west of Greenwich, provided it embraces the outlet of the Canon-de-Chilly [Canyon de Chelly], which canyon is to be all included in this reservation, shall be, and the same hereby, set apart for the use and occupation ofthe Navajo tribe of Indians, and for such other friendly tribes or individual Indians as from time to time they may be willing, with the consent of the United States, to admit among them; and the United States agrees that no persons except those herein so authorized to do, and except such officers, soldiers agents, and employees of the Government, or of the Indians, as may be authorized to enter upon Indian reservations in discharge of duties imposed by law, or the orders of the President, shall ever be permitted to pass over, settle upon, or reside in, the territory described in this article.[16]

Though the treaty had provided for one hundred miles by one hundred miles in the New Mexico Territory, the size of the territory was 3,328,302 acres (13,470 km2; 5,200 sq mi)[15]—slightly more than half. This initial piece of land is represented in the design of the Navajo Nation's flag by a dark-brown rectangle.[17]


As no physical boundaries or signposts were set in place, many Navajo ignored these formal boundaries and returned to where they had been living prior to US occupation.[15] A significant number of Navajo had never lived in the Hwéeldi (near Fort Sumner). They remained or moved near the Little Colorado and Colorado rivers, on Naatsisʼáán (Navajo Mountain), and some lived with Apache bands.[14]


The first expansion of the territory occurred on October 28, 1878, when President Rutherford Hayes signed an executive order pushing the reservation boundary 20 miles to the west.[15] Further additions followed throughout the late 19th and early 20th century (see map). Most of these additions were achieved through executive orders, some of which were confirmed by acts of Congress. For example, President Theodore Roosevelt's executive order to add the region around Aneth, Utah in 1905 was confirmed by Congress in 1933.[18]


The eastern border was shaped primarily as a result of allotments of land to individual Navajo households under the Dawes Act of 1887. This experiment was designed to assimilate Native Americans to mainstream American culture. The federal government proposed to divide communal lands into plots assignable to heads of household – tribal members – for their subsistence farming, in the pattern of small family farms common among Americans. This was intended to extinguish tribal land claims for such territory. The land allocated to these Navajo heads of household was initially not considered part of the reservation. Further, the federal government determined that land "left over" after all members had received allotments was to be considered "surplus" and available for sale to non-Native Americans. The allotment program continued until 1934. Today, this patchwork of reservation and non-reservation land is called the "checkerboard area". It resulted in the loss of much Navajo land.[19] 

In the southeastern area of the reservation, the Navajo Nation has purchased some ranches, which it refers to as its Nahata Dził, or New Lands. These lands are leased to Navajo individuals, livestock companies, and grazing associations.


In 1996, Elouise Cobell (Blackfeet) filed a class action lawsuit against the federal government on behalf of an estimated 250,000–500,000 plaintiffs, Native Americans whose trust accounts did not reflect an accurate accounting of money owed them under leases or fees on trust lands. The settlement of Cobell v. Salazar in 2009 included a provision for a nearly $2 billion fund for the government to buy fractionated interests and restore land to tribal reservations. Individuals could sell their fractionated land interests on a voluntary basis, at market rates, through this program if their tribe participated.


Through March 2017, under the Tribal Nations Buy-Back Program, individual Navajo members received $104 million for purchase of their interests in land; 155,503 acres were returned to the Navajo Nation for its territory by the Department of Interior under this program.[20] The program is intended to help tribes restore the land bases of their reservations. Almost 11,000 Navajo citizens were paid for their interests under this program.[citation needed] The tribe intends to use the consolidated lands to "streamline infrastructure projects," such as running power lines. 

Clan governance 

In the traditional Navajo culture, local leadership was organized around clans, which are matrilineal kinship groups. Children are considered born into the mother's family and gain their social status from her and her clan. Her eldest brother traditionally has a strong influence on rearing the children.


The clan leadership have served as a de facto government on the local level of the Navajo Nation.


Rejection of Indian Reorganization Act

Edit

In 1933, during the Great Depression, the Bureau of Indian Affairs (BIA) attempted to mitigate environmental damage due to over-grazing on reservations. Significant pushback was given by the Navajo, who did not feel that they had been sufficiently consulted before the measures were implemented. BIA Superintendent John Collier's attempt to reduce livestock herd size affected responses to his other efforts to improve conditions for Native Americans. The herds had been central to Navajo culture, and were a source of prestige.[21]


Also during this period, under the Indian Reorganization Act (IRA) of 1934, the federal government was encouraging tribes to revive their governments according to constitutional models shaped after that of the United States. Because of the outrage and discontent about the herd issues, the Navajo voters did not trust the language of the proposed initial constitution outlined in the legislation. This contributed to their rejection of the first version of a proposed tribal constitution.


In the various attempts since, members found the process to be too cumbersome and a potential threat to tribal self-determination. The constitution was supposed to be reviewed and approved by BIA. The earliest efforts were rejected primarily because segments of the tribe did not find enough freedom in the proposed forms of government. In 1935 they feared that the proposed government would hinder development and recovery of their livestock industries; in 1953 they worried about restrictions on development of mineral resources.


They continued a government based on traditional models, with headmen chosen by clan groups. 

Navajo Nation and federal government jurisdictions 

The United States asserts plenary power and thus requires the territory of the Navajo Nation to submit all proposed laws to the United States Secretary of the Interior for Secretarial Review, through the Bureau of Indian Affairs (BIA).


The US Supreme Court in United States v. Kagama (1889) affirmed that Congress has plenary power over all Indian tribes within United States borders, saying that "The power of the general government over these remnants of a race once powerful ... is necessary to their protection as well as to the safety of those among whom they dwell".[22] It noted that the tribes did not owe allegiance to the states within which their reservations were located; they are considered wards of the federal government.[23]


Most conflicts and controversies between the federal government of the United States and the Nation are settled by negotiations outlined in political agreements. The Navajo Nation Code comprises the rules and laws of the Navajo Nation as codified in the latest edition.


Lands within the exterior boundaries of the Navajo Nation are composed of Public, Tribal Trust, Tribal Fee, Bureau of Land Management (BLM), Private, State, and BIA Indian Allotment Lands. On the Arizona and Utah portions of the Navajo Nation, there are a few private and BIA Indian Allotments in comparison to New Mexico's portion, which consists of a checkerboard pattern of all the aforementioned lands. The Eastern Agency, as it is referred to, consists of primarily Tribal Fee, BIA Indian Allotments, and BLM Lands. Although there are more Tribal Fee Lands in New Mexico, the Navajo Nation government intends to convert most or all Tribal Fee Lands to Tribal Trust. 

Economy 

The Navajo economy and culture has long been based on the raising of sheep and goats. Navajo families process the wool and sell it for cash, or spin it into yarn and weave blankets and rugs for sale. The Navajo are also noted for their skill in creating turquoise and silver jewelry. Navajo artists have other traditional arts, such as sand painting, sculpture, and pottery. 

The Navajo Nation has created a mixture of industry and business that has provided the Navajo with alternative opportunities to traditional occupations. The Nation's median cash household income is around $20,000 per year. However, using federal standards, unemployment levels fluctuates between 40 and 45%. About 40% of families live below the federal poverty rate.[100]


Economic development within the Navajo Nation has fluctuated over its history but has largely remained limited. One obstacle to investment has been the incompatibility of its two land management systems. Tribal lands are held in common and leased to individuals for specific purposes, such as home construction or for livestock grazing. Financial institutions outside of tribal lands require assets, including land, to be used as collateral when potential borrowers seek capital. Since individuals do not own the land outright, financial institutions have little recourse if borrowers default on their loans. Additionally, the wide-ranging bureaucracy involving elements of the U.S. Department of Interior,the Bureau of Indian Affairs, and the tribal government has created a complex network that is cumbersome and time-consuming for investors and businesses to navigate.


Self-employed Navajo workers and Navajo entrepreneurs are often involved in the grey economy. For instance, artisans staff roadside shops and cater to American and international tourists, travelers passing through Navajo Nation, and to the Navajo people themselves. Other Navajo workers find employment in the nearby cities and towns of Page, Arizona; Flagstaff, Arizona; Farmington, New Mexico; Gallup, New Mexico; Cortez, Colorado; and other towns along the I-40 corridor. Commute times vary for these workers. Because of the remoteness of some Navajo communities, they can last up to several hours. Economic push-pull factors have led a sizeable portion of the workforce to temporarily or permanently relocate to these border towns or to large metropolitan areas further away, such as Phoenix, Arizona; Albuquerque, New Mexico; Los Angeles, California; Chicago, Illinois; Denver, Colorado; and Salt Lake City, Utah. With nearly half of all Navajo tribal members living off the reservation, it is more difficult for the tribe to build social capital there and to draw from those people's talents. 

Navajo college students and graduates studying at universities in cities and towns outside the reservation may elect to stay there rather than relocate to the Navajo Nation because of the relative abundance of employment opportunities, connections with other classmates, and higher quality of life. This phenomenon contributes to human capital flight or "the brain drain", where highly skilled or highly educated individuals are attracted or pushed to a location with different or more economic opportunities. They are not incorporated into the community and local economy of origin.


The tribe has grown peaches (Prunus persica) since the 1700s.[101] Wytsalucy 2019 genotypes some of the trees here and distinguishes them from those grown elsewhere.[101] This analysis illuminates the different course that Navajo breeding of peach has taken from peach breeding elsewhere.[101]


Natural resources

Edit

Mining – especially of coal and uranium – provided significant income to both the Navajo Nation and individual Navajos in the second half of the 20th century.[102] Many of these mines have closed. But in the early 21st century, mining still provides significant revenues to the tribe in terms of leases (51% of all tribal income in 2003).[103] Navajos are among the 1,000 people employed in mining.[104]


Coal

Edit

The volume of coal mined on the Navajo Nation land has declined in the early 21st century.

Peabody Energy's Black Mesa coal mine, a controversial strip mine, was shut down in December 2005 because of its adverse environmental impacts. It lost an appeal in January 2010 to reopen.[105]


The Black Mesa mine fed the 1.5 GW Mohave Power Station at Laughlin, Nevada, via a slurry pipeline that used water from the Black Mesa aquifer. The nearby Kayenta Mine used the Black Mesa & Lake Powell Railroad to move coal to the former Navajo Generating Station (2.2 GW) at Page, Arizona. The Kayenta mine provided the majority of leased revenues for the tribe. The Kayenta mine also provided wages to those Navajo who were among its 400 employees.[106]


The Chevron Corporation's P&M McKinley Mine was the first large-scale, surface coal mine in New Mexico when it opened in 1961. It closed in January 2010.[107]


The Navajo Mine opened in 1963 near Fruitland, New Mexico, and employs about 350 people. It supplies sub-bituminous coal to the 2 GW Four Corners Power Plant via the isolated 13-mile Navajo Mine Railroad.[108] Parts of the Navajo Nation, through the Navajo Transitional Energy Company, acquired the mine and three mines in Montana and Wyoming.[109][110]


Uranium

Edit

The uranium market, which was active during and after the Second World War, slowed near the end of that period. The Navajo Nation has suffered considerable environmental contamination and health effects as a result of poor regulation of uranium mining in that period. As of 2005, the Navajo Nation has prohibited uranium mining altogether within its borders.


Oil and natural gas

Edit

There are developed and potential oil and gas fields on the Navajo Nation. The oldest and largest group of fields is in the Paradox Basin in the Four Corners area. Most of these fields are located in the Aneth Extension in Utah, but there are a few wells in Colorado, New Mexico and Arizona. The first well was drilled in the Aneth Extension in 1956. In 2006 the Paradox Basin fields were injected with water and carbon dioxide to increase declining production.[111] There are also wells in the Checkerboard area in New Mexico that are on leased land owned by individual Navajo.


The selling of leases and oil royalties have changed over the years. The Aneth Extension was created from Public Domain lands as part of a 1933 exchange with the federal government for lands flooded by Lake Powell. Congress appointed Utah as trustee on behalf of Navajos living in San Juan County, Utah for any potential revenues that came from natural resources in the area. Utah initially created a 3-person committee to make leases, receive royalties and improve the living conditions for Utah Navajo. As the revenues and resulting expenditures increased, Utah created the 12-member Navajo Commission to do the operational work. The Navajo Nation and Bureau of Indian Affairs are also involved.[112Several Navajo organizations deal with oil and gas. The Utah Diné Corporation is a nonprofit organization established to take over from the Navajo Commission. The Navajo Nation Oil and Gas Company owns and operates oil and natural gas interests, primarily in New Mexico, Colorado, and Utah.[113] Federally incorporated, it is wholly owned by the Navajo Nation.[114]


Renewables

Edit

In early 2008, the Navajo Nation and Houston-based International Piping Products entered into an agreement to monitor wind resources, with the potential to build a 500-megawatt wind farm some 50 miles (80 km) north of Flagstaff, Arizona. Known as the Navajo Wind Project, it is proposed as the second commercial wind farm in Arizona after Iberdrola's Dry Lake Wind Power Project between Holbrook and Overgaard-Heber. The project is to be built on Aubrey Cliffs in Coconino County, Arizona.[115]


In December 2010, the President and Navajo Council approved a proposal by the Navajo Tribal Utility Authority (NTUA), an enterprise of the Navajo Nation, and Edison Mission Energy to develop an 85-megawatt wind project at Big Boquillas Ranch, which is owned by the Navajo Nation and is located 80 miles west of Flagstaff. The NTUA plans to develop this into a 200-megawatt capacity at peak. This has been planned as the first majority-owned native project; NTUS was to own 51%. An estimated 300–350 people will construct the facility; it will have 10 permanent jobs.[115] In August 2011, the Salt River Project, an Arizona utility, was announced as the first utility customer. Permitting and negotiations involve tribal, federal, state and local stakeholders.[116] The project is intended not only as a shift to renewable energy but to increase access for tribal members; an estimated 16,000 homes are without access to electricity.[117]


The wind project has foundered because of a "long feud between Cameron [Chapter] and Window Rock [central government] over which company to back".[118] Both companies pulled out. Negotiations with Clipper Windpower looked promising, but that company was put up for sale after the recession.[118]

Parks and attractions

Tourism is important to the Navajo Nation. Parks and attractions within traditional Navajo lands include:


Shiprock Pinnacle (large volcanic remnants, elevation 7,178 ft, located in New Mexico near Shiprock)

Navajo Mountain (mountain along Utah and Arizona border, elevation 10,318 ft)

Chaco Canyon

Bisti/De-Na-Zin Wilderness

Canyon De Chelly National Monument

Navajo National Monument

Window Rock Tribal Park

Navajo Nation Museum

Navajo Nation Zoological and Botanical Park

Navajo Bridge

Kinlichee Ruins

Hubbell Trading Post National Historic Site

Grand Falls

Narbona Pass

Navajo Tribal Parks

Edit

The Navajo Nation has four Tribal Parks, which bring tourists and revenue to the Tribe.[119]


Monument Valley Navajo Tribal Park (on the Utah and Arizona border, near the town of Kayenta, Arizona)

Little Colorado River Gorge Navajo Tribal Park

Lake Powell Navajo Tribal Park – includes Antelope Canyon and hiking trail to Rainbow Bridge National Monument

Four Corners Monument Navajo Tribal Park

Navajo Nation Parks & Recreation also operates Tseyi Heritage Cottonwood Campground at Canyon de Chelly, Camp Asaayi at Bowl Canyon, and the Navajo Veterans Memorial Park.

Art and crafts 

An important small business group on the Navajo Nation is handmade arts and crafts industry, which markets both high- and medium-end quality goods made by Navajo artisans, jewelers and silversmiths. A 2004 study by the Navajo Division of Economic Development found that at least 60% of all families have at least one family member producing arts and crafts for the market.[citation needed]. A survey conducted by the Arizona Hospitality Research & Resource Center reported that the Navajo nation made $20,428,039 from the art and crafts trade in 2011.[120] 

Diné Development Corp. 

The Diné Development Corporation was formed in 2004 to promote Navajo business and seek viable business development to make use of casino revenues.[121]


The kuleshov effect: a brief history.

 Kuleshov effect 

The Kuleshov effect is a film editing (montage) effect demonstrated by Russian film-maker Lev Kuleshov in the 1910s and 1920s. It is a mental phenomenon by which viewers derive more meaning from the interaction of two sequential shots than from a single shot in isolation. 

Kuleshov edited a short film in which a shot of the expressionless face of Tsarist matinee idol Ivan Mosjoukine was alternated with various other shots (a bowl of soup, a girl in a coffin, a woman on a divan). The film was shown to an audience who believed that the expression on Mosjoukine's face was different each time he appeared, depending on whether he was "looking at" the bowl of soup, the girl in the coffin, or the woman on the divan, showing an expression of hunger, grief, or desire, respectively. The footage of Mosjoukine was actually the same shot each time. Vsevolod Pudovkin (who later claimed to have been the co-creator of the experiment) described in 1929 how the audience "raved about the acting... the heavy pensiveness of his mood over the forgotten soup, were touched and moved by the deep sorrow with which he looked on the dead child, and noted the lust with which he observed the woman. But we knew that in all three cases the face was exactly the same."[1]


Kuleshov used the experiment to indicate the usefulness and effectiveness of film editing. The implication is that viewers brought their own emotional reactions to this sequence of images, and then moreover attributed those reactions to the actor, investing his impassive face with their own feelings. Kuleshov believed this, along with montage, had to be the basis of cinema as an independent art form.[2][incomplete short citation]


The effect has also been studied by psychologists and is well-known among modern film-makers. Alfred Hitchcock refers to the effect in his conversations with François Truffaut, using actor James Stewart as the example.[3][4]


In the famous "Definition of Happiness" interview which was part of the CBC Telescope program, Hitchcock also explained in detail many types of editing to Fletcher Markle.[5] The final form, which he calls "pure editing", is explained visually using the Kuleshov effect. In the first version of the example, Hitchcock is squinting, and the audience sees footage of a woman with a baby. The screen then returns to Hitchcock's face, now smiling. In effect, he is a kind old man. In the second example, the woman and baby are replaced with a woman in a bikini, Hitchcock explains: "What is he now? He's a dirty old man."

The experiment itself was created by assembling fragments of pre-existing film from the Tsarist film industry, with no new material. Mosjoukine had been the leading romantic "star" of Tsarist cinema, and familiar to the audience.


Kuleshov demonstrated the necessity of considering montage as the basic tool of cinema. In Kuleshov's view, the cinema consists of fragments and the assembly of those fragments, the assembly of elements which in reality are distinct. It is therefore not the content of the images in a film which is important, but their combination. The raw materials of such an art work need not be original, but are prefabricated elements which can be disassembled and reassembled by the artist into new juxtapositions.


The montage experiments carried out by Kuleshov in the late 1910s and early 1920s formed the theoretical basis of Soviet montage cinema, culminating in the famous films of the late 1920s by directors such as Sergei Eisenstein, Vsevolod Pudovkin and Dziga Vertov, among others. These films included The Battleship Potemkin, October, Mother, The End of St. Petersburg, and The Man with a Movie Camera.

Monday, 5 September 2022

Qin Shi Huang: a brief history.

 Qin Shi Huang 

emperor of Qin dynasty 

By Claudius Cornelius Müller • Edit History. 

Born: c.259 BCE China

Died: 210 BCE China

Title / Office: king (246BC-221BC), Qin emperor (221BC-210BC), China

House / Dynasty: Qin dynasty

Qin Shi Huang, also called Shihuangdi, Wade-Giles romanization Shih-huang-ti, personal name (xingming) Zhao Zheng or Ying Zheng, (born c. 259 BCE, Qin state, northwestern China—died 210 BCE, Hebei), emperor (reigned 221–210 BCE) of the Qin dynasty (221–207 BCE) and creator of the first unified Chinese empire (which collapsed, however, less than four years after his death). 

Early years 

in Shi Huang

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Qin Shi Huang

emperor of Qin dynasty

Alternate titles: Shih-huang-ti, Shihuangdi, Ying Zheng, Zhao Zheng

By Claudius Cornelius Müller • Edit History

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Qin Shi Huang, also called Shihuangdi, Wade-Giles romanization Shih-huang-ti, personal name (xingming) Zhao Zheng or Ying Zheng, (born c. 259 BCE, Qin state, northwestern China—died 210 BCE, Hebei), emperor (reigned 221–210 BCE) of the Qin dynasty (221–207 BCE) and creator of the first unified Chinese empire (which collapsed, however, less than four years after his death).



Qin Shi Huang (Shihuangdi)

Qin Shi Huang (Shihuangdi)

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Born: c.259 BCE China

Died: 210 BCE China

Title / Office: king (246BC-221BC), Qin emperor (221BC-210BC), China

House / Dynasty: Qin dynasty

Early years

Zhao Zheng was born the son of Zhuangxiang (who later became king of the state of Qin in northwestern China) while his father was held hostage in the state of Zhao. His mother was a former concubine of a rich merchant, Lü Buwei, who, guided by financial interests, managed to install Zhuangxiang on the throne, even though he had not originally been designated as successor. The tradition, once widely accepted, that Zheng was actually Lü Buwei’s natural son is probably a slanderous invention. 

When Zheng, at age 13, formally ascended the throne in 246 BCE, Qin already was the most powerful state and was likely to unite the rest of China under its rule. The central states had considered Qin to be a barbarous country, but by that time its strong position on the mountainous western periphery (with its centre in the modern province of Shaanxi) enabled Qin to develop a strong bureaucratic government and military organization as the basis of the totalitarian state philosophy known as legalism.


Until Zheng was officially declared of age in 238, his government was headed by Lü Buwei. Zheng’s first act as king was to execute his mother’s lover, who had joined the opposition, and to exile Lü, who had been involved in the affair. A decree ordering the expulsion of all aliens, which would have deprived the king of his most competent advisers, was annulled at the urging of Li Si, later grand councillor. By 221, with the help of espionage, extensive bribery, and the ruthlessly effective leadership of gifted generals, Zheng had eliminated one by one the remaining six rival states that constituted China at that time, and the annexation of the last enemy state, Qi, in 221 marked his final triumph: for the first time China was united, under the supreme rule of the Qin. 

Emperor of China 

To herald his achievement, Zheng assumed the sacred titles of legendary rulers and proclaimed himself Qin Shi Huang (“First Sovereign Emperor”). With unbounded confidence, he claimed that his dynasty would last “10,000 generations.” 

reforms aimed at establishing a fully centralized administration, thus avoiding the rise of independent satrapies. Following the example of Qin and at the suggestion of Li Si, he abolished territorial feudal power in the empire, forced the wealthy aristocratic families to live in the capital, Xianyang, and divided the country into 36 military districts, each with its own military and civil administrator. He also issued orders for almost universal standardization—from weights, measures, and the axle lengths of carts to the written language and the laws. Construction of a network of roads and canals was begun, and fortresses erected for defense against barbarian invasions from the north were linked to form the Great Wall. 

In 220 Qin Shi Huang undertook the first of a series of imperial inspection tours that marked the remaining 10 years of his reign. While supervising the consolidation and organization of the empire, he did not neglect to perform sacrifices in various sacred places, announcing to the gods that he had finally united the empire, and he erected stone tablets with ritual inscriptions to extol his achievements. 

Another motive for Qin Shi Huang’s travels was his interest in magic and alchemy and his search for masters in these arts who could provide him with the elixir of immortality. After the failure of such an expedition to the islands in the Eastern Sea—possibly Japan—in 219, the emperor repeatedly summoned magicians to his court. Confucian scholars strongly condemned the step as charlatanry, and it is said that 460 of them were executed for their opposition. The continuous controversy between the emperor and Confucian scholars who advocated a return to the old feudal order culminated in the famous burning of the books of 213, when, at Li Si’s suggestion, all books not dealing with agriculture, medicine, or prognostication were burned, except historical records of Qin and books in the imperial library. 

The last years of Qin Shi Huang’s life were dominated by an ever-growing distrust of his entourage—at least three assassination attempts nearly succeeded—and his increasing isolation from the common people. Almost inaccessible in his huge palaces, the emperor led the life of a semidivine being. In 210 Qin Shi Huang died during an inspection tour. He was buried in a gigantic funerary compound hewn out of a mountain and shaped in conformity with the symbolic patterns of the cosmos. (Excavation of this enormous complex of some 20 square miles [50 square km]—now known as the Qin tomb—began in 1974, and the complex was designated a UNESCO World Heritage site in 1987. Among the findings at the site were some 8,000 life-sized terra-cotta soldier and horse figures forming an “army” for the dead king.) The disappearance of Qin Shi Huang’s forceful personality immediately led to the outbreak of fighting among supporters of the old feudal factions that ended in the collapse of the Qin dynasty and the extermination of the entire imperial clan by 206. 

Most of the information about Qin Shi Huang’s life derives from the successor Han dynasty, which prized Confucian scholarship and thus had an interest in disparaging the Qin period. The report that Qin Shi Huang was an illegitimate son of Lü Buwei is possibly an invention of that epoch. Further, stories describing his excessive cruelty and the general defamation of his character must be viewed in the light of the distaste felt by the ultimately victorious Confucians for legalist philosophy in general.


Qin Shi Huang certainly had an imposing personality and showed an unbending will in pursuing his aim of uniting and strengthening the empire. His despotic rule and the draconian punishments he meted out were dictated largely by his belief in legalist ideas. With few exceptions, the traditional historiography of imperial China has regarded him as the villain par excellence, inhuman, uncultivated, and superstitious. Modern historians, however, generally stress the endurance of the bureaucratic and administrative structure institutionalized by Qin Shi Huang, which, despite its official denial, remained the basis of all subsequent dynasties in China.


Claudius Cornelius Müller

The Editors of Encyclopaedia Britannica

The antiDarwin?

 For Labor Day: Alfred Russel Wallace, Scientist and Working Man 

Evolution News @DiscoveryCSC 


We hope you are enjoying your Labor Day weekend. While you are carefully putting away all your white clothing until next summer, take a moment to consider the impact of labor on the development of evolutionary theory.


That’s right, the two founders of evolutionary theory, Wallace and Darwin, came from very different backgrounds. Alfred Russel Wallace, whose thought receives an accessible treatment in the new book Intelligent Evolution: How Wallace’s World of Life Challenged Darwinism, would later become a premature proponent of what we now call intelligent design. Unlike Darwin, Wallace grew up among the middle class and had to work for a living. This dictated the contours of his life and research. Charles Darwin came from family money. 

Watch the video below for a brief take on the impact of this difference from our friend and colleague, the historian Michael Flannery. Wallace did his collecting, leading to his own formulation of evolutionary thinking, because his livelihood urgently depended on it. Darwin felt no such pressure. So what? As we’ve explained before: 

Darwin’s voyage on The Beagle was paid for by his father (around 600 pounds worth). By custom the ship’s senior surgeon, Robert McCormick, should have been the expedition’s naturalist. Darwin’s official duty was not as the ship’s naturalist. From the beginning of the voyage, the notion that Darwin was the Beagle’s naturalist existed only in his own mind. Disagreements between McCormick and Darwin would ultimately have the surgeon leave the expedition in a huff.


FitzRoy, after McCormick’s departure, basically allowed the official collection he had ordered to take second place to Darwin’s. “Darwin,” FitzRoy rumbled darkly in post-Beagle days, “should not forget the generosity extended to him by captain and crew alike. It seems only too evident, however, that he did” (Janet Browne, Voyaging, p. 227). Does this sound anything like an Indiana Jones?


In contrast, Wallace, by and large, paid his own way with the specimens he collected and sent off to his agent Samuel Stevens back in England. For Darwin, collecting was a fascination underwritten by his father, Dr. Robert Darwin. For Wallace collecting was a passion and a livelihood fueled by his own hard work.How many specimens did Wallace bring home? In the East alone, 310 species of mammals, 100 reptiles, 8,050 birds, 7,500 shells, 13,100 Lepidoptera (butterflies), 83,200 Lepidoptera (beetles), 13,400 “other insects.” Total: 125,660. This excludes species collected in South America, many of which were lost in a shipwreck.


Darwin amassed nothing approaching this. Wallace’s massive collecting reflects a man in need of an income — no specimens meant no sales. Darwin’s comparatively smaller scale collecting reflect the interests of hobbyist with the leisure of an independent income. Which do you think represents the more independent adventurous spirit? 

Disney, you may recall, once promised that a Darwin biopic was in the works absurdly casting young Charles in an Indiana Jones model of swashbuckling adventurer. That role, as well as that of sympathetic working man, really belongs to Alfred Wallace. For the true adventure story of his life, see also Professor Flannery’s Alfred Russel Wallace: A Rediscovered Life. 

Survivalism: a brief history.

 Survivalism 

Survivalism is a social movement of individuals or groups (called survivalists or preppers[1][2]) who proactively prepare for emergencies, such as natural disasters, as well as other disasters causing disruption to social order (that is, civil disorder) caused by political or economic crises. Preparations may anticipate short-term scenarios or long-term, on scales ranging from personal adversity, to local disruption of services, to international or global catastrophe. There is no bright line dividing general emergency preparedness from prepping in the form of survivalism (these concepts are a spectrum), but a qualitative distinction is often recognized whereby preppers/survivalists prepare especially extensively because they have higher estimations of the risk (odds) of catastrophes happening. Nonetheless, prepping can be as limited as preparing for a personal emergency (such as a job loss, storm damage to one's home, or getting lost in wooded terrain), or it can be as extensive as a personal identity or collective identity with a devoted lifestyle. Survivalism's emphases are on self-reliance, stockpiling supplies, and gaining survival knowledge and skills. The stockpiling of supplies is itself a wide spectrum, from survival kits (ready bags, bug-out bags) that anyone should have, to entire bunkers in extreme cases.


Survivalists often acquire first aid and emergency medical/paramedic training, self-defense training (martial arts, firearm safety), and self-sufficiency training, and they often build structures such as survival retreats or underground shelters that may help them survive a catastrophic failure of society.


Use of the term survivalist dates from the early 1980s.[3] 

The origins of the modern survivalist movement in the United Kingdom and the United States include government policies, threats of nuclear warfare, religious beliefs, and writers who warned of social or economic collapse in both non-fiction and apocalyptic and post-apocalyptic fiction.[citation needed]


The Cold War era civil defense programs promoted public atomic bomb shelters, personal fallout shelters, and training for children, such as the Duck and Cover films. The Church of Jesus Christ of Latter-day Saints (LDS Church) has long directed its members to store a year's worth of food for themselves and their families in preparation for such possibilities,[4] and the current teaching advises beginning with at least a three-month supply.[4]


The Great Depression that followed the Wall Street Crash of 1929 is cited by survivalists as an example of the need to be prepared.[5][6] 

The increased inflation rate in the 1960s, the US monetary devaluation, the continued concern over a possible nuclear exchange between the US and the Soviet Union, and perceived increasing vulnerability of urban centers to supply shortages and other systems failures caused a number of primarily conservative and libertarian thinkers to promote individual preparations. Harry Browne began offering seminars on how to survive a monetary collapse in 1967, with Don Stephens (an architect) providing input on how to build and equip a remote survival retreat. He gave a copy of his original Retreater's Bibliography to each seminar participant.[citation needed]


Articles on the subject appeared in small-distribution libertarian publications such as The Innovator and Atlantis Quarterly. It was during this period that Robert D. Kephart began publishing Inflation Survival Letter[7] (later renamed Personal Finance). For several years the newsletter included a continuing section on personal preparedness written by Stephens. It promoted expensive seminars around the US on similar cautionary topics. Stephens participated, along with James McKeever and other defensive investing, "hard money" advocates.

Sunday, 4 September 2022

The battle of Antioch: a brief history.

 Battle of Antioch (1098) 

The Battle of Antioch (1098) was a military engagement fought between the Frankish forces of the First Crusade and a Muslim coalition led by Kerbogha, atabeg of Mosul. Kerbogha's goal was to reclaim Antioch from the Crusaders and affirm his position as a regional power. 

Date 28 June 1098

Location 

Antioch (present-day Antakya, Turkey)

Result Crusader Victory

 

Belligerents

Crusaders

Seljuk Empire


Emirate of Mosul

Emirate of Damascus

Emirate of Homs

Various other Muslim Emirates[1]

Commanders and leaders

Bohemond of Taranto

Raymond IV of Toulouse

Adhemar of Le Puy

Godfrey of Bouillon

Robert II of Normandy

Robert II of Flanders

Hugh of Vermandois

Eustace III of Boulogne

Baldwin II of Hainaut

Tancred of Hauteville

Rainald III of Toul

Gaston IV of Béarn

Anselm of Ribemont

Kerbogha

Duqaq

Toghtekin

Janah ad-Dawla

Arslan-Tasch of Sindjar

Qaradja of Harran

Watthab ibn-Mahmud

Balduk of Samosata

Soqman ibn Ortoq

Ahmad ibn-Marwan Surrendered

Strength

~20,000

~35,000-40,000[2][3]

Casualties and losses

unknown

Heavy 

The conflict begins 

As the starving and outnumbered Crusaders emerged from the gates of the city and divided into six regiments, Kerbogha's commander, Watthab ibn Mahmud, urged him to immediately strike their advancing line.[4] However, Kerbogha was concerned a preemptive strike might only destroy the Crusader's front line and may also significantly weaken his own forces disproportionately. However, as the Franks continued to advance against the Turks, Kerbogha began to grasp the severity of the situation (he previously underestimated the size of the Crusading army), and attempted to establish an embassy between him and the Crusaders in order to broker a truce.[5] However, it was too late for him, and the leaders of the Crusade ignored his emissary 

Battle manoeuvres 

Kerbogha, now backed against a corner by the advancing Franks, opted to adopt a more traditional Turkish battle tactic. He would attempt to back his army up slightly in order to drag the Franks into unsteady land, while continuously pelting the line with horse archers, meanwhile making attempts to outflank the Franks. However, Bohemond of Taranto was ready for this, and he created a seventh division of Crusaders led by Rainald III of Toul to hold off the attack. Soon, many Emirs began to desert Kerbogha. Many of the Crusaders were also encouraged by the presumed visions of St. George, St. Mercurius, and Saint Demetrius among their ranks.[5] Finally, Duqaq, ruler of Damascus, deserted, spreading panic among the ranks of the Turks. Sökmen and the emir of Homs, Janah ad-Dawla, were the last loyal to Kerbogha, but they too soon deserted after realizing the battle was lost. The whole Turkish army was now in complete disarray, all fleeing in different directions; the Crusaders chased them as far as the Iron Bridge, slaying many of them. Kerbogha would go on to return to Mosul, defeated and stripped of his prestige  

References 

 France 1996, p. 261

 Asbridge 2004, p. 204

 Rubenstein 2011, p. 206

 Jonathan Simon Christopher Riley-Smith; Jonathan Riley-Smith (1 April 2003). The First Crusade and Idea of Crusading. Continuum. p. 59. ISBN 978-0-8264-6726-3.

 Runciman, Steven (1951–52). A History of the Crusades I: The First Crusade. Penguin Classics. pp. 204–205. ISBN 978-0-141-98550-3. 

Bibliography


Asbridge, Thomas (2004). The First Crusade: A New History. Oxford University Press. ISBN 9780195189056.

France, John (1996). Victory in the East: A Military History of the First Crusade. Cambridge University Press. ISBN 9780521589871.

Runciman, Steven (1951). A History of the Crusades, Volume I: The First Crusade and the Foundation of the Kingdom of Jerusalem. Cambridge: Penguin Classics. ISBN 978-0-141-98550-3.

Riley-Smith, Jonathan (1986). The First Crusade and the Idea of Crusading. University of Pennsylvania. ISBN 9780485112917.

Rubenstein, Jay (2011). Armies of Heaven: The First Crusade and the Quest for Apocalypse. New York: Basic Books.