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Sunday 30 October 2022

Garry Kasparov: a brief history.

 Garry Kasparov 

Garry Kimovich Kasparov[a] (born 13 April 1963) is a Russian chess grandmaster, former World Chess Champion, writer, political activist and commentator. His peak rating of 2851,[2] achieved in 1999, was the highest recorded until being surpassed by Magnus Carlsen in 2013. From 1984 until his retirement in 2005, Kasparov was ranked world No. 1 for a record 255 months overall for his career, the most in history. Kasparov also holds records for the most consecutive professional tournament victories (15) and Chess Oscars (11). 

Kasparov became the youngest ever undisputed World Chess Champion in 1985 at age 22 by defeating then-champion Anatoly Karpov.[3] He held the official FIDE world title until 1993, when a dispute with FIDE led him to set up a rival organization, the Professional Chess Association.[4] In 1997 he became the first world champion to lose a match to a computer under standard time controls when he lost to the IBM supercomputer Deep Blue in a highly publicized match. He continued to hold the "Classical" World Chess Championship until his defeat by Vladimir Kramnik in 2000. Despite losing the title, he continued winning tournaments and was the world's highest-rated player when he retired from professional chess in 2005.


Since retiring, he devoted his time to politics and writing. He formed the United Civil Front movement and joined as a member of The Other Russia, a coalition opposing the administration and policies of Vladimir Putin. In 2008, he announced an intention to run as a candidate in that year's Russian presidential race, but after encountering logistical problems in his campaign, for which he blamed "official obstruction", he withdrew.[5][6][7] In the wake of the Russian mass protests that began in 2011, he announced in 2013 that he had left Russia for the immediate future out of fear of persecution.[8] Following his flight from Russia, he had lived in New York City with his family.[9][10] In 2014, he obtained Croatian citizenship, and has maintained a residence in Podstrana near Split.[11][12][13]


Kasparov is currently chairman of the Human Rights Foundation and chairs its International Council. In 2017, he founded the Renew Democracy Initiative (RDI), an American political organization promoting and defending liberal democracy in the U.S. and abroad. He serves as chairman of the group. Kasparov is also a Security Ambassador for the software company Avast.[14] 

Early life and career 

Kasparov was born Garik Kimovich Weinstein (Russian: Гарик Кимович Вайнштейн, Garik Kimovich Vainshtein) in Baku, Azerbaijan SSR (now Azerbaijan), Soviet Union. His father, Kim Moiseyevich Weinstein, was Jewish and his mother, Klara Shagenovna Kasparova, was Armenian.[15][16][17][18] Kasparov has described himself as a "self-appointed Christian", although "very indifferent"[19] and identifying as Russian: "[A]lthough I'm half-Armenian, half-Jewish, I consider myself Russian because Russian is my native tongue, and I grew up with Russian culture."[20][21] Kasparov and his family had to flee anti-Armenian pogroms in Baku in January 1990 that were coordinated by local leaders with Soviet acquiescence.[22]


According to Kasparov himself, he was named after United States President Harry Truman,[23] "whom my father admired for taking a strong stand against communism. It was a rare name in Russia, until Harry Potter came along."[24]


Kasparov began the serious study of chess after he came across a chess problem set up by his parents and proposed a solution.[25] When Garry was seven years old, his father died of leukemia.[26] At the age of twelve, Garry, upon request of his mother Klara and with the consent of the family, adopted Klara's surname Kasparov, which was done to avoid possible antisemitic tensions, which were common in the USSR at the time.[27][28]


From age 7, Kasparov attended the Young Pioneer Palace in Baku and, at 10 began training at Mikhail Botvinnik's chess school under coach Vladimir Makogonov. Makogonov helped develop Kasparov's positional skills and taught him to play the Caro-Kann Defence and the Tartakower System of the Queen's Gambit Declined.[29] Kasparov won the Soviet Junior Championship in Tbilisi in 1976, scoring 7 points of 9, at age 13. He repeated the feat the following year, winning with a score of 8.5 of 9. He was being trained by Alexander Shakarov during this time.[30]


In 1978, Kasparov participated in the Sokolsky Memorial tournament in Minsk. He had been invited as an exception but took first place and became a chess master. Kasparov has repeatedly said that this event was a turning point in his life and that it convinced him to choose chess as his career. "I will remember the Sokolsky Memorial as long as I live", he wrote. He has also said that after the victory, he thought he had a very good shot at the World Championship.[31]


He first qualified for the Soviet Chess Championship at age 15 in 1978, the youngest-ever player at that level. He won the 64-player Swiss system tournament at Daugavpils on tiebreak over Igor V. Ivanov to capture the sole qualifying place.[32]


Kasparov rose quickly through the FIDE world rankings. Starting with oversight by the Russian Chess Federation, he participated in a grandmaster tournament in Banja Luka, SR Bosnia and Herzegovina (part of Yugoslavia at the time), in 1979 while still unrated (he was a replacement for the Soviet defector Viktor Korchnoi, who was originally invited but withdrew due to the threat of a boycott from the Soviets). Kasparov won this high-class tournament, emerging with a provisional rating of 2595, enough to catapult him to the top group of chess players (at the time, number 15 in the world).[33] The next year, 1980, he won the World Junior Chess Championship in Dortmund, West Germany. Later that year, he made his debut as the second reserve for the Soviet Union at the Chess Olympiad at Valletta, Malta, and became a Grandmaster.[34] 

Career 

As a teenager, Kasparov tied for first place in the USSR Chess Championship in 1981–82. His first win in a superclass-level international tournament was scored at Bugojno, SR Bosnia and Herzegovina, Yugoslavia in 1982. He earned a place in the 1982 Moscow Interzonal tournament, which he won, to qualify for the Candidates Tournament.[35] At age 19, he was the youngest Candidate since Bobby Fischer, who was 15 when he qualified in 1958. At this stage, he was already the No. 2-rated player in the world, trailing only World Chess Champion Anatoly Karpov on the January 1983 list. 

Kasparov's first (quarter-final) Candidates match was against Alexander Beliavsky, whom he defeated 6–3 (four wins, one loss).[36] Politics threatened Kasparov's semi-final against Viktor Korchnoi, which was scheduled to be played in Pasadena, California. Korchnoi had defected from the Soviet Union in 1976 and was at that time the strongest active non-Soviet player. Various political manoeuvres prevented Kasparov from playing Korchnoi, and Kasparov forfeited the match. This was resolved by Korchnoi allowing the match to be replayed in London, along with the previously scheduled match between Vasily Smyslov and Zoltán Ribli. The Kasparov-Korchnoi match was put together on short notice by Raymond Keene. Kasparov lost the first game but won the match 7–4 (four wins, one loss).[37]


In January 1984, Kasparov became the No. 1 ranked player in the world, with a FIDE rating of 2710. He became the youngest ever world No. 1, a record that lasted 12 years until being broken by Vladimir Kramnik in January 1996; the record is currently held by Magnus Carlsen.[38]


Later in 1984, he won the Candidates' final 8½–4½ (four wins, no losses) against the resurgent former world champion Vasily Smyslov, at Vilnius, thus qualifying to play Anatoly Karpov for the World Championship. That year he joined the Communist Party of the Soviet Union (CPSU), as a member of which he was elected to the Central Committee of Komsomol in 1987.[39]

The World Chess Championship 1984 match between Anatoly Karpov and Garry Kasparov had many ups and downs, and a very controversial finish. Karpov started in very good form, and after nine games Kasparov was down 4–0 in a "first to six wins" match. Fellow players predicted he would be whitewashed 6–0 within 18 games.[40]


In an unexpected turn of events, there followed a series of 17 successive draws, some relatively short, and others drawn in unsettled positions. Kasparov lost game 27 (5–0), then fought back with another series of draws until game 32 (5–1), earning his first-ever win against the World Champion. Another 14 successive draws followed, through game 46; the previous record length for a world title match had been 34 games, the match of José Raúl Capablanca vs. Alexander Alekhine in 1927.[41]


Kasparov won games 47 and 48 to bring the scores to 5–3 in Karpov's favour. Then the match was ended without result by Florencio Campomanes, the President of the Fédération Internationale des Échecs (FIDE), and a new match was announced to start a few months later. The termination was controversial, as both players stated that they preferred the match to continue. Announcing his decision at a press conference, Campomanes cited the health of the players, which had been strained by the length of the match.[42]


The match became the first, and so far only, world championship match to be abandoned without result. Kasparov's relations with Campomanes and FIDE were greatly strained, and the feud between them finally came to a head in 1993 with Kasparov's complete break-away from FIDE.

The second Karpov–Kasparov match in 1985 was organized in Moscow as the best of 24 games where the first player to win 12½ points would claim the World Champion title. The scores from the terminated match would not carry over; however, in the event of a 12–12 draw, the title would remain with Karpov. On 9 November 1985, Kasparov secured the title by a score of 13–11, winning the 24th game with Black,[43] using a Sicilian defence. He was 22 years old at the time, making him the youngest ever World Champion[44] and breaking the record held by Mikhail Tal for over 20 years.[45] Kasparov's win as Black in the 16th game has been recognized as one of the all-time masterpieces in chess history, including being voted the best game played during the first 64 issues of the magazine Chess Informant.[46][47]


As part of the arrangements following the aborted 1984 match, Karpov had been granted (in the event of his defeat) a right to rematch. Another match took place in 1986, hosted jointly in London and Leningrad,[48][49] with each city hosting 12 games. At one point in the match, Kasparov opened a three-point lead and looked well on his way to a decisive match victory. But Karpov fought back by winning three consecutive games to level the score late in the match. At this point, Kasparov dismissed one of his seconds, grandmaster Evgeny Vladimirov, accusing him of selling his opening preparation to the Karpov team (as described in Kasparov's autobiography Unlimited Challenge, chapter Stab in the Back). Kasparov scored one more win and kept his title by a final score of 12½–11½.[49]


A fourth match for the world title took place in 1987 in Seville,[50] as Karpov had qualified through the Candidates' Matches to again become the official challenger. This match was very close, with neither player holding more than a one-point lead at any time during the contest. Kasparov was down one full point at the time of the final game and needed a win to draw the match and retain his title. A long tense game ensued in which Karpov blundered away a pawn just before the first time control, and Kasparov eventually won a long ending. Kasparov retained his title as the match was drawn by a score of 12–12.[51]


The fifth match between Kasparov and Karpov was held in New York and Lyon in 1990, with each city hosting 12 games. Again the result was a close one, with Kasparov winning by a margin of 12½–11½. In their five world championship matches, Kasparov had 21 wins, 19 losses, and 104 draws in 144 games.[52] 

With the World Champion title in hand, Kasparov began opposing FIDE. In November 1986, he created the Grandmasters Association (GMA), an organization to represent professional chess players and give them more say in FIDE's activities. Kasparov assumed a leadership role. GMA's major achievement was in organizing a series of six World Cup tournaments for the world's top players. This caused a somewhat uneasy relationship to develop between him and FIDE.


This stand-off lasted until 1993, by which time a new challenger had qualified through the Candidates cycle for Kasparov's next World Championship defence: Nigel Short, a British grandmaster who had defeated Anatoly Karpov in a qualifying match and then Jan Timman in the finals held in early 1993. After a confusing and compressed bidding process produced lower financial estimates than expected,[53] the world champion and his challenger decided to play outside FIDE's jurisdiction, under another organization created by Kasparov called the Professional Chess Association (PCA). At this point, a great fracture occurred in the lineage of the FIDE World Championship. In an interview in 2007, Kasparov called the break with FIDE the worst mistake of his career, as it hurt the game in the long run.[54]


Kasparov and Short were ejected from FIDE and played their well-sponsored match in London in 1993. Kasparov won convincingly by a score of 12½–7½. The match considerably raised the profile of chess in the UK, with an unprecedented level of coverage on Channel 4. Meanwhile, FIDE organized a World Championship match between Jan Timman (the defeated Candidates finalist) and former World Champion Karpov (a defeated Candidates semi-finalist), which Karpov won.

FIDE removed Kasparov and Short from the FIDE rating lists. Until this happened, there was a parallel rating list presented by PCA which featured all the world top players regardless of their relation to FIDE. There were now two World Champions: PCA champion Kasparov and FIDE champion Karpov. The title remained split for 13 years.


Kasparov defended his title in a 1995 match against Viswanathan Anand at the World Trade Center in New York City. Kasparov won the match by four wins to one, with thirteen draws.[55]


Kasparov tried to organize another World Championship match under another organization, the World Chess Association (WCA) with Linares organizer Luis Rentero. Alexei Shirov and Vladimir Kramnik played a candidates match to decide the challenger, which Shirov won in an upset. But when Rentero admitted that the funds required and promised had never materialized, the WCA collapsed. This left Kasparov stranded, and yet another organization stepped in: BrainGames.com, headed by Raymond Keene. No match against Shirov was arranged, and talks with Anand collapsed, so a match was instead arranged against Kramnik.[56]


During this period, Kasparov was approached by Oakham School in the United Kingdom, at the time the only school in the country with a full-time chess coach,[57] and developed an interest in the use of chess in education. In 1997, Kasparov supported a scholarship programme at the school.[58] Kasparov also won the Marca Leyenda trophy that year.[59]


In 1999, he played a well-known game against Topalov wherein he won after a rook sacrifice and king hunt.[60][61] 

The Kasparov-Kramnik match took place in London during the latter half of 2000. Kramnik had been a student of Kasparov's at the famous Botvinnik/Kasparov chess school in Russia and had served on Kasparov's team for the 1995 match against Viswanathan Anand.[62]


The better-prepared Kramnik won game 2 against Kasparov's Grünfeld Defence and achieved winning positions in Games 4 and 6, although Kasparov held the draw in both games. Kasparov made a critical error in Game 10 with the Nimzo-Indian Defence, which Kramnik exploited to win in 25 moves. As White, Kasparov could not crack the passive but solid Berlin Defence in the Ruy Lopez, and Kramnik successfully drew all his games as Black. Kramnik won the match 8½–6½.[63]


After losing the title, Kasparov won a series of major tournaments, and remained the top-rated player in the world, ahead of both Kramnik and the FIDE World Champions. In 2001 he refused an invitation to the 2002 Dortmund Candidates Tournament for the Classical title, claiming his results had earned him a rematch with Kramnik.[64]


Kasparov and Karpov played a four-game match with rapid time controls over two days in December 2002 in New York City. Karpov surprised the experts and emerged victorious, winning two games and drawing one.[65]


Because of Kasparov's continuing strong results and status as world No. 1 in much of the public eye, he was included in the so-called "Prague Agreement", masterminded by Yasser Seirawan and intended to reunite the two World Championships. Kasparov was to play a match against the FIDE World Champion Ruslan Ponomariov in September 2003. But this match was called off after Ponomariov refused to sign his contract for it without reservation. In its place, there were plans for a match against Rustam Kasimdzhanov, winner of the FIDE World Chess Championship 2004, to be held in January 2005 in the United Arab Emirates. These also fell through owing to a lack of funding. Plans to hold the match in Turkey instead came too late. Kasparov announced in January 2005 that he was tired of waiting for FIDE to organize a match and so had decided to stop all efforts to regain the World Championship title.[66] 

After winning the prestigious Linares tournament for the ninth time, Kasparov announced on 10 March 2005 that he would retire from serious competitive chess. He cited as the reason a lack of personal goals in the chess world (he commented when winning the Russian championship in 2004 that it had been the last major title he had never won outright) and expressed frustration at the failure to reunify the world championship.[67][66]


Kasparov said he might play in some rapid chess events for fun, but he intended to spend more time on his books, including the My Great Predecessors series, and work on the links between decision-making in chess and other areas of life. He also stated that he would continue to involve himself in Russian politics, which he viewed as "headed down the wrong path."[68][69] 

On 22 August 2006, in his first public chess games since his retirement, Kasparov played in the Lichthof Chess Champions Tournament, a blitz event played at the time control of 5 minutes per side and 3-second increments per move. Kasparov tied for first with Anatoly Karpov, scoring 4½/6.[70]


Kasparov and Anatoly Karpov played a 12-game match from 21 to 24 September 2009, in Valencia, Spain. It consisted of four rapid (or semi rapid) games, in which Kasparov won 3–1, and eight blitz games, in which Kasparov won 6–2, winning the match with a total result of 9–3. The event took place exactly 25 years after the two players' legendary encounter at World Chess Championship 1984.[71]


Kasparov actively coached Magnus Carlsen for approximately one year, beginning in February 2009. The collaboration remained secret until September 2009.[72] Under Kasparov's tutelage, Carlsen in October 2009 became the youngest ever to achieve a FIDE rating higher than 2800, and he rose from world number four to world number one. While the pair initially planned to work together throughout 2010,[73] in March of that year it was announced that Carlsen had split from Kasparov and would no longer be using him as a trainer.[74] According to an interview with the German magazine Der Spiegel, Carlsen indicated that he would remain in contact and that he would continue to attend training sessions with Kasparov;[75] however, in fact, no further training sessions were held, and the cooperation gradually fizzled out over the course of the spring.[76]


In May 2010, he played 30 games simultaneously, winning each one, against players at Tel Aviv University in Israel.[77] In the same month, it was revealed that Kasparov had aided Viswanathan Anand in preparation for the World Chess Championship 2010 against challenger Veselin Topalov. Anand won the match 6½–5½ to retain the title.[78] 

On 22 August 2006, in his first public chess games since his retirement, Kasparov played in the Lichthof Chess Champions Tournament, a blitz event played at the time control of 5 minutes per side and 3-second increments per move. Kasparov tied for first with Anatoly Karpov, scoring 4½/6.[70]


Kasparov and Anatoly Karpov played a 12-game match from 21 to 24 September 2009, in Valencia, Spain. It consisted of four rapid (or semi rapid) games, in which Kasparov won 3–1, and eight blitz games, in which Kasparov won 6–2, winning the match with a total result of 9–3. The event took place exactly 25 years after the two players' legendary encounter at World Chess Championship 1984.[71]


Kasparov actively coached Magnus Carlsen for approximately one year, beginning in February 2009. The collaboration remained secret until September 2009.[72] Under Kasparov's tutelage, Carlsen in October 2009 became the youngest ever to achieve a FIDE rating higher than 2800, and he rose from world number four to world number one. While the pair initially planned to work together throughout 2010,[73] in March of that year it was announced that Carlsen had split from Kasparov and would no longer be using him as a trainer.[74] According to an interview with the German magazine Der Spiegel, Carlsen indicated that he would remain in contact and that he would continue to attend training sessions with Kasparov;[75] however, in fact, no further training sessions were held, and the cooperation gradually fizzled out over the course of the spring.[76]


In May 2010, he played 30 games simultaneously, winning each one, against players at Tel Aviv University in Israel.[77] In the same month, it was revealed that Kasparov had aided Viswanathan Anand in preparation for the World Chess Championship 2010 against challenger Veselin Topalov. Anand won the match 6½–5½ to retain the title.[78]In January 2011, Kasparov began training the U.S. grandmaster Hikaru Nakamura. The first of several training sessions was held in New York just before Nakamura participated in the Tata Steel Chess tournament in Wijk aan Zee, the Netherlands.[79] In December 2011, it was announced that the cooperation had come to an end.[80]


Kasparov played two blitz exhibition matches in the autumn of 2011. The first was in September against French grandmaster Maxime Vachier-Lagrave, in Clichy (France), which Kasparov won 1½–½. The second was a longer match consisting of eight blitz games played on 9 October, against English grandmaster Nigel Short. Kasparov won again by a score of 4½–3½.


A little after that, in October 2011, Kasparov played and defeated fourteen opponents in a simultaneous exhibition that took place in Bratislava.[81]


On 25 and 26 April 2015, Kasparov played a mini-match against Nigel Short. The match consisted of two rapid games and eight blitz games and was contested over the course of two days. Both commentators GM Maurice Ashley and Alejandro Ramírez remarked how Kasparov was an 'initiative hog' throughout the match, consistently not allowing Short to gain any foothold in the games, and won the match decisively with a score of 8½–1½.[82] Kasparov also managed to win all five games on the second day, with his victories characterised by aggressive pawn moves breaking up Short's position, thereby allowing Kasparov's pieces to achieve positional superiority.[83]


On Wednesday 19 August 2015, he played and won all 19 games of a simultaneous exhibition in Pula, Croatia.[84]


On Thursday 28 April and Friday 29 April 2016 at the Chess Club and Scholastic Center of Saint Louis, Kasparov played a 6-round exhibition blitz round-robin tournament with Fabiano Caruana, Wesley So, and Hikaru Nakamura in an event called the Ultimate Blitz Challenge.[85] He finished the tournament third with 9.5/18, behind Hikaru Nakamura (11/18) and Wesley So (10/18). At the post-tournament interview, Kasparov announced that he would donate his winnings from playing the next top-level blitz exhibition match to assist funding of the American Olympic Team.[86]


On 2 June 2016, Kasparov played against fifteen chess players in a simultaneous exhibition in the Kaiser-Friedrich-Halle of Mönchengladbach. He won all games.[87]

On 7 October 2013, Kasparov announced his candidacy for World Chess Federation president during a reception in Tallinn, Estonia, where the 84th FIDE Congress took place.[88] Kasparov's candidacy was supported by his former student, reigning World Chess Champion and FIDE#1 ranked player Magnus Carlsen.[89] At the FIDE General Assembly in August 2014, Kasparov lost the presidential election to incumbent FIDE president Kirsan Ilyumzhinov, with a vote of 110–61.[90]


A few days before the election took place, the New York Times Magazine had published a lengthy report on the viciously fought campaign. Included was information about a leaked contract between Kasparov and former FIDE Secretary General Ignatius Leong from Singapore, in which the Kasparov campaign reportedly "offered to pay Leong US$500,000 and to pay $250,000 a year for four years to the ASEAN Chess Academy, an organization Leong helped create to teach the game, specifying that Leong would be responsible for delivering 11 votes from his region [...]".[91] In September 2015, the FIDE Ethics Commission found Kasparov and Leong guilty of violating its Code of Ethics[92] and later suspended them for two years from all FIDE functions and meetings.[93] 

In 2017, Kasparov came out of retirement to participate in the inaugural St. Louis Rapid and Blitz tournament from 14 to 19 August, scoring 3.5/9 in the rapid and 9/18 in the blitz, finishing eighth out of ten participants, which included Nakamura, Caruana, former world champion Anand, and the eventual winner, Aronian.[94][95] Any tournament money that he earned would go towards charities to promote chess in Africa.[96]


In 2020, he participated in 9LX, which is a Chess 960 tournament. He finished eighth in a field of 10 players.[97] Notably, he drew a game against Magnus Carlsen, who tied for first place.


In 2021, he launched Kasparovchess, a subscription-based online chess community featuring documentaries, lessons, puzzles, podcasts, articles, interviews, and playing zones.[98]


In 2021, Kasparov played in the blitz section of the Grand Chess Tour event in Zagreb, Croatia. He performed poorly, however, scoring 0.5/9 on the first day and 2.0/9 on the second day, getting his only win against Jorden Van Foreest.[99][100] He also participated in 9LX 2, finishing fifth in a field of 10 players, with a score of 5/9.[101] 

Records and achievements 

Kasparov holds the record for the longest time as the No. 1 rated player in the world—from 1984 to 2005 (Vladimir Kramnik shared the No. 1 ranking with him once, in the January 1996 FIDE rating list).[200] He was also briefly ejected from the list following his split from FIDE in 1993, but during that time he headed the rating list of the rival PCA. At the time of his retirement, he was still ranked No. 1 in the world, with a rating of 2812. His rating has fallen inactive since the January 2006 rating list.[201]


In January 1990, Kasparov achieved the (then) highest FIDE rating ever, passing 2800 and breaking Bobby Fischer's old record of 2785. By the July 1999 and January 2000 FIDE rating lists, Kasparov had reached a 2851 Elo rating, at that time the highest rating ever achieved.[202] He held that record for the highest rating ever achieved until Magnus Carlsen attained a new record high rating of 2861 in January 2013.[203] 

Kasparov holds the record for most consecutive professional tournament victories, placing first or equal first in 15 individual tournaments from 1981 to 1990.[204] The streak was broken by Vasyl Ivanchuk at Linares 1991, where Kasparov placed second, half a point behind him after losing their individual game. The details of this record winning streak follow:[35]


Frunze 1981, USSR Championship, 12½/17, tie for 1st;

Bugojno 1982, 9½/13, 1st;

Moscow 1982, Interzonal, 10/13, 1st;

Nikšić 1983, 11/14, 1st;

Brussels OHRA 1986, 7½/10, 1st;

Brussels SWIFT 1987, 8½/11, tie for 1st;

Amsterdam Optiebeurs 1988, 9/12, 1st;

Belfort (World Cup) 1988, 11½/15, 1st;

Moscow 1988, USSR Championship, 11½/17, tie for 1st;

Reykjavík (World Cup) 1988, 11/17, 1st;

Barcelona (World Cup) 1989, 11/16, tie for 1st;

Skellefteå (World Cup) 1989, 9½/15, tie for 1st;

Tilburg 1989, 12/14, 1st;

Belgrade (Investbank) 1989, 9½/11, 1st;

Linares 1990, 8/11, 1st.

Kasparov went 9 years winning every super-tournament he played, in addition to contesting his series of 5 consecutive matches with Anatoly Karpov. His only failure in this time period in either tournament or match play was in the World Chess Championship 1984 when the 21-year-old Kasparov was trailing (−5, +3 = 40) against the defending champion Karpov before the match was abruptly cancelled.


Later on in his career, Kasparov went on another long streak of consecutive super-tournament wins.[205]


Wijk aan Zee Hoogovens 1999, 10/13, 1st;

Linares 1999, 10½/14, 1st;

Sarajevo 1999, 7/9, 1st;

Wijk aan Zee Corus 2000, 9½/13, 1st;

Linares 2000, 6/10, tie for 1st;

Sarajevo 2000, 8½/11, 1st;

Wijk aan Zee Corus 2001, 9/13, 1st;

Linares 2001, 7.5/10, 1st;

Astana 2001, 7/10, 1st;

Linares 2002, 8/12, 1st.

In these 10 consecutive classical super-tournaments wins, Kasparov had a score of 53 wins, 61 draws and 1 loss in 115 games with his only loss coming against Ivan Sokolov in Wijk aan Zee 1999.


Kasparov won the Chess Oscar a record eleven times.[206] 

Books and other writings 

Kasparov has written books on chess. He published a controversial[232] autobiography when still in his early 20s, originally titled Child of Change, later retitled Unlimited Challenge. This book was subsequently updated several times after he became World Champion. Its content is mainly literary, with a small chess component of key unannotated games. He published an annotated games collection in 1983, Fighting Chess: My Games and Career,[233] which has been updated several times in further editions. He also wrote a book annotating the games from his World Chess Championship 1985 victory, World Chess Championship Match: Moscow, 1985.[234]


He has annotated his own games extensively for the Yugoslav Chess Informant series and for other chess publications. In 1982, he co-authored Batsford Chess Openings with British grandmaster Raymond Keene and this book was an enormous seller. It was updated into a second edition in 1989. He also co-authored two opening books with his trainer Alexander Nikitin in the 1980s for British publisher Batsford – on the Classical Variation of the Caro-Kann Defence and on the Scheveningen Variation of the Sicilian Defence. Kasparov has also contributed extensively to the five-volume openings series Encyclopedia of Chess Openings from Chess Informant which Kasparov also wrote personal columns Garry's Choice, the publication which is inarguably the beginning of modern chess.[235][236]


In 2000, Kasparov co-authored Kasparov Against the World: The Story of the Greatest Online Challenge[237] with grandmaster Daniel King. The 202-page book analyzes the 1999 Kasparov versus the World game, and holds the record for the longest analysis devoted to a single chess game.[238] 

In 2003, the first volume of his five-volume work Garry Kasparov on My Great Predecessors was published. This volume, which deals with the world chess champions Wilhelm Steinitz, Emanuel Lasker, José Raúl Capablanca, Alexander Alekhine, and some of their strong contemporaries, has received lavish praise from some reviewers (including Nigel Short), while attracting criticism from others for historical inaccuracies and analysis of games directly copied from unattributed sources. Through suggestions on the book's website, most of these shortcomings were corrected in following editions and translations. Despite this, the first volume won the British Chess Federation's Book of the Year award in 2003. Volume two, covering Max Euwe, Mikhail Botvinnik, Vasily Smyslov and Mikhail Tal appeared later in 2003. Volume three, covering Tigran Petrosian and Boris Spassky appeared in early 2004. In December 2004, Kasparov released volume four, which covers Samuel Reshevsky, Miguel Najdorf, and Bent Larsen (none of these three were World Champions), but focuses primarily on Bobby Fischer. The fifth volume, devoted to the chess careers of World Champion Anatoly Karpov and challenger Viktor Korchnoi, was published in March 2006.[239] 

His book Revolution in the 70s (published in March 2007) covers "the openings revolution of the 1970s–1980s" and is the first book in a new series called "Modern Chess Series", which intends to cover his matches with Karpov and selected games. The book Revolution in the 70s concerns the revolution in opening theory that was witnessed in that decade. Such systems as the controversial (at the time) "Hedgehog" opening plan of passively developing the pieces no further than the first three ranks are examined in great detail. Kasparov also analyzes some of the most notable games played in that period. In a section at the end of the book, top opening theoreticians provide their own "take" on the progress made in opening theory in the 1980s.[240] 

In October 2015, Kasparov published a book titled Winter Is Coming: Why Vladimir Putin and the Enemies of the Free World Must Be Stopped. The title is a reference to the HBO television series Game of Thrones. In the book, Kasparov writes about the need for an organization composed solely of democratic countries to replace the United Nations. In an interview, he called the United Nations a "catwalk for dictators".[102] 

Kasparov believes that the conventional history of civilization is radically incorrect. Specifically, he believes that the history of ancient civilizations is based on misdatings of events and achievements that actually occurred in the medieval period.[241][242] He has cited several aspects of ancient history that he says are likely to be anachronisms.[243]


Kasparov has written in support of the pseudohistorical New Chronology (Fomenko), although with some reservations.[244] In 2001, he expressed a desire to devote his time to promoting the New Chronology after his chess career. "New Chronology is a great area for investing my intellect ... My analytical abilities are well placed to figure out what was right and what was wrong."[245] "When I stop playing chess, it may well be that I concentrate on promoting these ideas... I believe they can improve our lives."[245]


Later, Kasparov renounced his support of Fomenko theories but reaffirmed his belief that mainstream historical knowledge is highly inconsistent.[246][247]In 2007, he wrote How Life Imitates Chess, an examination of the parallels between decision-making in chess and in the business world.[248]


In 2008, Kasparov published a sympathetic obituary for Bobby Fischer, writing: "I am often asked if I ever met or played Bobby Fischer. The answer is no, I never had that opportunity. But even though he saw me as a member of the evil chess establishment that he felt had robbed and cheated him, I am sorry I never had a chance to thank him personally for what he did for our sport."[249]


He is the chief advisor for the book publisher Everyman Chess.[250]


Kasparov works closely with Mig Greengard and his comments can often be found on Greengard's blog.[251][252]


Kasparov collaborated with Max Levchin and Peter Thiel on The Blueprint, a book calling for a revival of world innovation, planned to release in March 2013 from W. W. Norton & Company. The book was never released, as the authors disagreed on its contents.[253]


Kasparov argued that chess has become the model for reasoning in the same way that the fruit fly Drosophila melanogaster became a model organism for geneticists, in an editorial comment on Google's AlphaZero chess-playing system. "I was pleased to see that AlphaZero had a dynamic, open style like my own," he wrote in late 2018.[254]


Kasparov served as a consultant for the 2020 Netflix miniseries The Queen's Gambit. He gave an extended interview to Slate describing his contributions.[255]


In 2020, Kasparov collaborated with Matt Calkins, founder and CEO of Appian, on HYPERAUTOMATION, a book about low-code development and the future of business automation. Kasparov wrote the foreword where he discusses his experiences with human–machine relationships.[256][257]


The New York Times published an essay by Kasparov titled "Garry Kasparov: What We Believe About Reality" in 2021.[258] The essay is part of a series called The Big Ideas: What Do We Believe,[259] which also includes essays by T.M. Luhrmann, Harry Reid, Ini Archibong, Errol Morris, and Carlo Rovelli, amongst others. 


Saturday 29 October 2022

The Watchtower Society's Commentary on tithes.

 TITHE 

A tenth part or 10 percent given or paid as a tribute, especially for religious purposes.


The Bible tells of two instances prior to the setting up of the Law covenant in which a tenth part of possessions were paid to God or to his representative. The first of these was on the occasion when Abraham gave Melchizedek one-tenth of the spoils of his victory over Chedorlaomer and his allies. (Gen. 14:18-20) The apostle Paul cites this incident as proof that Christ’s priesthood according to the manner of Melchizedek is superior to that of Levi, since Levi, being in the loins of Abraham, paid tithes, in effect, to Melchizedek. (Heb. 7:4-10) The second case concerned Jacob, who vowed at Bethel to give one-tenth of his substance to God.—Gen. 28:20-22.


However, these two accounts are merely instances of voluntarily giving one-tenth. There is no record to the effect that Abraham or Jacob commanded their descendants to follow such examples, thereby establishing a religious practice, custom or law. It would have been superfluous for Jacob, if already under a compulsory obligation to pay tithes, to vow to do so, as he did. It is therefore evident that the tithing arrangement was not a custom or a law among the early Hebrews. It was instituted with the inauguration of the Law covenant, not before. 

MOSAIC TITHING LAWS 

Jehovah gave Israel tithing laws for definite purposes, apparently involving the use of two tenths of their annual income, except during the sabbath years, when no tithe was paid, since no income was anticipated. (Lev. 25:1-12) However, some scholars believe there was only one tithe. Such tithes were in addition to the firstfruits they were under obligation to offer to Jehovah.—Ex. 23:19; 34:26.


The first tithe, consisting of one-tenth of the produce of the land and fruit trees and (evidently of the increase) of the herds and flocks, was brought to the sanctuary and given to the Levites, since they had no inheritance in the land but were devoted to the service of the sanctuary. (Lev. 27:30-32; Num. 18:21, 24) The Levites, in turn, gave a tenth of what they received to the Aaronic priesthood for their support.—Num. 18:25-29.


Evidently the grain was threshed and the fruit of the vine and of the olive tree was converted into wine and oil before tithing. (Num. 18:27, 30; Neh. 10:37) If an Israelite wished to give money instead of this produce, he could do so, provided he added an additional fifth to the valuation. (Lev. 27:31) But it was different with the flock and the herd. As the animals came out of the pen one by one through a gate, the owner stood by the gate with a rod and marked every tenth one as the tithe, without examination or selection.—Lev. 27:32, 33.


It seems there was an additional tithe, a second tenth, set aside each year for purposes other than the direct support of the Levitical priesthood, though the Levites shared in it. Normally it was used and enjoyed in large measure by the Israelite family when assembling together at the national festivals. In cases where the distance to Jerusalem was too great for the convenient transport of this tithe, then the produce was converted into money and this, in turn, was used in Jerusalem for the household’s sustenance and enjoyment during the holy convention there. (Deut. 12:4-7, 11, 17, 18; 14:22-27) Then, at the end of every third and sixth years of the seven-year sabbatical cycle, this tithe, instead of being used to defray expenses at the national assemblies, was set aside for the Levites, alien residents, widows and fatherless boys in the local community.—Deut. 14:28, 29; 26:12.


These tithing laws binding on Israel were not excessive. Nor should it be overlooked that God promised to prosper Israel by opening “the floodgates of the heavens” if his tithing laws were obeyed. (Mal. 3:10; Deut. 28:1, 2, 11-14) When the people became negligent as to tithing, the priesthood suffered, for the priests and Levites were forced to look to secular work and consequently neglected their ministerial services. (Neh. 13:10) Such unfaithfulness tended to bring about a decline in true worship. Sadly, when the ten tribes fell away to calf worship they used the tithe to support that false religion. (Amos 4:4, 5) On the other hand, when Israel was faithful to Jehovah and under the rule of righteous administrators, tithing for the Levites was restored, and true to Jehovah’s promise, there were no shortages.—2 Chron. 31:4-12; Neh. 10:37, 38; 12:44; 13:11-13. 

Under the Law there was no stated penalty to be applied to a person’s failing to tithe. Jehovah placed all under a strong moral obligation to provide the tithe; at the end of the three-year tithing cycle they were required to confess before Him that the tithe had been paid in full. (Deut. 26:12-15) Anything wrongfully withheld was viewed as something stolen from God.—Mal. 3:7-9.


By the first century C.E., the Jewish religious leaders, particularly among the scribes and Pharisees, made a sanctimonious show of tithing and other outward works, in a form of worship, but their hearts were far removed from God. (Matt. 15:1-9) Jesus reproved them for their selfish, hypocritical attitude, calling attention to their being meticulous to give a tenth even of “the mint and the dill and the cummin”—something they should have done—yet at the same time disregarding “the weightier matters of the Law, namely, justice and mercy and faithfulness.” (Matt. 23:23; Luke 11:42) By way of illustration, Jesus contrasted the Pharisee who boastfully felt self-righteous because of his own works of fasting and tithing, with the tax collector who, though considered as nothing by the Pharisee, humbled himself, confessed his sins to God and begged for divine mercy.—Luke 18:9-14. 

NO TITHING FOR CHRISTIANS 

At no time were first-century Christians commanded to pay tithes. The primary purpose of the tithing arrangement under the Law had been to support Israel’s temple and priesthood; consequently the obligation to pay tithes would cease when that Mosaic law covenant came to an end as fulfilled, through Christ’s death on the torture stake. (Eph. 2:15; Col. 2:13, 14) It is true that Levitical priests continued serving at the temple in Jerusalem until it was destroyed in 70 C.E., but Christians from and after 33 C.E. became part of a new spiritual priesthood that was not supported by tithes.—Rom. 6:14; Heb. 7:12; 1 Pet. 2:9.


As Christians they were encouraged to give support to the Christian ministry both by their own ministerial activity and by material contributions. Instead of giving fixed, specified amounts to defray congregational expenses, they were to contribute “according to what a person has,” giving “as he has resolved in his heart, not grudgingly or under compulsion, for God loves a cheerful giver.” (2 Cor. 8:12; 9:7) They were encouraged to follow the principle: “Let the older men who preside in a fine way be reckoned worthy of double honor, especially those who work hard in speaking and teaching. For the scripture says: ‘You must not muzzle a bull when it threshes out the grain’; also: ‘The workman is worthy of his wages.’” (1 Tim. 5:17, 18) However, the apostle Paul set an example in seeking to avoid bringing an undue financial burden on the congregation.—Acts 18:3; 1 Thess. 2:9. 

A good listener?

 Cats Recognize and Respond to Our Voices 

Denyse O'Leary 

Do cats care whether we talk to them or not? In a recent study, animal cognition experts found that cats may change their behavior when their “humans” are talking in a tone directed to them. But they don’t react the same way to a stranger who is talking that way or when the voice is directed elsewhere. Charlotte de Mouzon and colleagues from Université Paris Nanterre (Nanterre, France) investigated the way 16 cats reacted to “pre-recorded voices from both their owner and that of a stranger when saying phrases in cat-directed and human adult-directed tones.” With adult-directed tones, no “endearing” kitty talk is used. It might not be clear who the intended recipient of the message is, apart from what is being said: 

The authors investigated three conditions, with the first condition changing the voice of the speaker from a stranger’s voice to the cat’s owner. The second and third conditions changed the tone used (cat-directed or adult-directed) for the cat’s owner or a stranger’s voice, respectively. The authors recorded and rated the behavior intensity of cats reacting to the audio, checking for behaviors such as resting, ear moving, pupil dilation, and tail moving, amongst others.


SPRINGER, “CATS DISTINGUISH BETWEEN SPEECH DIRECTED AT THEM AND HUMANS” AT PHYS.ORG (OCTOBER 24, 2022); THE PAPER REQUIRES A FEE OR SUBSCRIPTION.

So What Happened? 

 Ten of the 16 cats decreased their behavior intensity when they heard three audio clips of a stranger calling them by name. But once they heard their owner’s voice, the cats turned their ears to the speakers and moved around the room more — and their pupils dilated. Not surprisingly, the researchers concluded that the cats recognized the voices of people they knew.


The second test involved ten cats, eight of which had been in the first test. They “decreased their behavior” (quit paying much attention) when their owners were speaking in an adult-directed tone. But they “significantly increased their behavior” (started paying more attention) when they heard that same owner speaking in the cat-directed tone. The cats — not surprisingly — did not change their behavior when a stranger’s voice was played in either tone. Conclusions?: 

The authors suggest that their findings bring a new dimension to cat-human relationships, with cat communication potentially relying on experience of the speaker’s voice. They conclude that one-to-one relationships are important for cats and humans to form strong bonds.


SPRINGER, “CATS DISTINGUISH BETWEEN SPEECH DIRECTED AT THEM AND HUMANS” AT PHYS.ORG (OCTOBER 24, 2022). 

One difficulty we face when trying to determine what a cat “can” or “can’t” understand is that the cat handles information differently from the dog — and it is natural for us to compare cats with dogs, especially in matters like intelligence or capacity for relationship. 

A Small Lone Predator 

The dog, in a natural state, hunts with other dogs. Communication is essential for success. The cat, by contrast, is a small lone predator who operates by stealth. He takes great care to conceal any information as to his presence until his prey is firmly in his power. In fact, many domestic cats will hide and conceal symptoms of their own pain and sickness because they are prey as well as predators. So determining what the cat actually knows is a more complex business than determining what a dog actually knows (for one thing, the dog may be much more anxious to tell you).


And it turns out that cats know more than many have supposed. For example, they know the names of other cats who live in the same household. But, of course, that’s information cats need.


For example, “FLUFFY! It’s time for your PILL!” is a piece of information that Fluffy’s housemate Tabby may understand quite well, in terms of its outcome (Fluffy is chased into the basement and cornered in the furnace room by a human clutching a pill). But Tabby, characteristically, stays well away from the whole business. Thus we would need artful research methods to show that Tabby does in fact know whether a particular “cat talk” communication was or was not directed at him and whether he knows what it means.


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


The "gentleman's game" : a brief history.

cricket:

By Marcus K. Williams 

cricket, England’s national summer sport, which is now played throughout the world, particularly in Australia, India, Pakistan, the West Indies, and the British Isles. 

Cricket is played with a bat and ball and involves two competing sides (teams) of 11 players. The field is oval with a rectangular area in the middle, known as the pitch, that is 22 yards (20.12 metres) by 10 feet (3.04 metres) wide. Two sets of three sticks, called wickets, are set in the ground at each end of the pitch. Across the top of each wicket lie horizontal pieces called bails. The sides take turns at batting and bowling (pitching); each turn is called an “innings” (always plural). Sides have one or two innings each, depending on the prearranged duration of the match, the object being to score the most runs. The bowlers, delivering the ball with a straight arm, try to break (hit) the wicket with the ball so that the bails fall. This is one of several ways that the batsman is dismissed, or put out. A bowler delivers six balls at one wicket (thus completing an “over”), then a different player from his side bowls six balls to the opposite wicket. The batting side defends its wicket. 

There are two batsman up at a time, and the batsman being bowled to (the striker) tries to hit the ball away from the wicket. A hit may be defensive or offensive. A defensive hit may protect the wicket but leave the batsmen no time to run to the opposite wicket. In that case the batsmen need not run, and play will resume with another bowl. If the batsman can make an offensive hit, he and the second batsman (the nonstriker) at the other wicket change places. Each time both batsmen can reach the opposite wicket, one run is scored. Providing they have enough time without being caught out and dismissed, the batsmen may continue to cross back and forth between the wickets, earning an additional run for each time both reach the opposite side. There is an outside boundary around the cricket field. A ball hit to or beyond the boundary scores four points if it hits the ground and then reaches the boundary, six points if it reaches the boundary from the air (a fly ball). The team with the highest number of runs wins a match. Should both teams be unable to complete their number of innings before the time allotted, the match is declared a draw. Scores in the hundreds are common in cricket.


Matches in cricket can range from informal weekend afternoon encounters on village greens to top-level international contests spread over five days in Test matches and played by leading professional players in grand stadiums. 

History 

Cricket is believed to have begun possibly as early as the 13th century as a game in which country boys bowled at a tree stump or at the hurdle gate into a sheep pen. This gate consisted of two uprights and a crossbar resting on the slotted tops; the crossbar was called a bail and the entire gate a wicket. The fact that the bail could be dislodged when the wicket was struck made this preferable to the stump, which name was later applied to the hurdle uprights. Early manuscripts differ about the size of the wicket, which acquired a third stump in the 1770s, but by 1706 the pitch—the area between the wickets—was 22 yards long.


The ball, once presumably a stone, has remained much the same since the 17th century. Its modern weight of between 5.5 and 5.75 ounces (156 and 163 grams) was established in 1774. 

The primitive bat was no doubt a shaped branch of a tree, resembling a modern hockey stick but considerably longer and heavier. The change to a straight bat was made to defend against length bowling, which had evolved with cricketers in Hambledon, a small village in southern England. The bat was shortened in the handle and straightened and broadened in the blade, which led to forward play, driving, and cutting. As bowling technique was not very advanced during this period, batting dominated bowling through the 18th century. 

The earliest reference to an 11-a-side match, played in Sussex for a stake of 50 guineas, dates from 1697. In 1709 Kent met Surrey in the first recorded intercounty match at Dartford, and it is probable that about this time a code of laws (rules) existed for the conduct of the game, although the earliest known version of such rules is dated 1744. Sources suggest that cricket was limited to the southern counties of England during the early 18th century, but its popularity grew and eventually spread to London, notably to the Artillery Ground, Finsbury, which saw a famous match between Kent and All-England in 1744. Heavy betting and disorderly crowds were common at matches. 

The aforementioned Hambledon Club, playing in Hampshire on Broadhalfpenny Down, was the predominant cricket force in the second half of the 18th century before the rise of the Marylebone Cricket Club (MCC) in London. Formed from a cricket club that played at White Conduit Fields, the club moved to Lord’s Cricket Ground in St. Marylebone borough in 1787 and became the MCC and in the following year published its first revised code of laws. Lord’s, which was named after its founder, Thomas Lord, has had three locations over its history. Moving to the current ground in St. John’s Wood in 1814, Lord’s became the headquarters of world cricket.


In 1836 the first match of North counties versus South counties was played, providing clear evidence of the spread of cricket. In 1846 the All-England XI, founded by William Clarke of Nottingham, began touring the country, and from 1852, when some of the leading professionals (including John Wisden, who later compiled the first of the famous Wisden almanacs on cricketing) seceded to form the United All-England XI, these two teams monopolized the best cricket talent until the rise of county cricket. They supplied the players for the first English touring team overseas in 1859.

Technical development 

Until early in the 19th century all bowling was underhand, and most bowlers favoured the high-tossed lob. Next came “the round-arm revolution,” in which many bowlers began raising the point at which they released the ball. Controversy raged furiously, and in 1835 the MCC rephrased the law to allow the hand to be raised as high as the shoulder. The new style led to a great increase in pace, or bowling speed. Gradually bowlers raised the hand higher and higher in defiance of the law. Matters were brought to a head in 1862 when an England team playing against Surrey left the field at London’s Kennington Oval in protest over a “no ball” call (i.e., an umpire’s decision that the bowler has thrown an illegal pitch). The argument centred on whether the bowler should be allowed to raise his arm above the shoulder. As a result of this controversy, the bowler was in 1864 officially accorded liberty to bowl overhand (but not to cock and straighten the arm). This change dramatically altered the game, making it yet more difficult for a batsman to judge the ball. Already a bowler was allowed to take a running start from any direction and for any distance. Once the bowler was allowed to release overhand, the ball could then reach speeds above 90 mph (145 km/hr). Though this is not as fast as the pitching speed in baseball, cricket has an additional twist in that the ball is usually delivered so as to bounce on the pitch (field) before the batsman can hit it. Thus, the ball may curve to the right or the left, bounce low or high, or spin toward or away from the batsman. 

Batsmen learned to protect themselves with pads and batting gloves, and a cane handle increased the resilience of the bat. Only the best batsmen, however, could cope with fast bowling, because the poor condition of most pitches made it yet more difficult for a batsman to predict the motion of the ball. As the grounds improved, however, batsmen grew accustomed to the new bowling style and went on the offensive. Other new bowling styles were also discovered, causing batsmen to adjust their technique further. 

In the early 20th century so many runs were being scored that debate ensued on reforming the “leg-before-wicket” law, which had been introduced in the 1774 laws to prohibit a batsman from using his body to prevent the ball from hitting his wicket. But the heavy scores were actually due to the performances of several outstanding batsmen, such as W.G. Grace, Sir John Berry Hobbs, and K.S. Ranjitsinhji (later the maharaja of Nawanagar). This was cricket’s golden age.


In the 20th century there was a series of attempts to aid the bowler and quicken the tempo of the game. Nevertheless, the game by the mid-20th century was characterized not by overwhelming offense but by defensive play on both sides and by a slow pace. In an attempt to shore up a declining fan base, one-day, or limited-overs, cricket was introduced. One-day cricket had first been played internationally when, after a Test match was rained out for the first days, on the last scheduled day of play a limited-overs match was held in order to give the fans some game to watch. The response was enthusiastic, and one-day cricket came into being. In this version of cricket the limited number of overs (usually 50 per side) leads to a faster paced though much-altered game. In one-day cricket there are some restrictions on placement of fielders. This led to new batting styles, such as the paddle shot (wherein the ball is hit behind the wicket because there are usually no fielders there) and the lofted shot (where the batsman tries to hit the ball past the fielders and over their heads). Twenty20 (T20), a style of one-day cricket consisting of 20 overs per side, debuted in 2003 and quickly became an international sensation. The first Twenty20 world championship was held in 2007, and one-day cricket, particularly Twenty20, became more popular than Test matches worldwide, although Test cricket retained a large following in England. The pace of Test matches increased dramatically in the late 20th century with the introduction of new bowling strategies. 

Organization of sport and types of competition

County and university cricket 

Some of the earliest organized cricket matches were between amateur and professional players. From 1806 (annually from 1819) to 1962, the Gentlemen-versus-Players match pitted the best amateurs against the best professionals. The series was ended in 1962 when the MCC and the counties abandoned the distinction between amateurs and professionals. Other early cricket matches took place between British universities. The Oxford-versus-Cambridge match, for example, has been played mainly at Lord’s since 1827 and became a high point of the summer season in London. 

University cricket was a kind of nursery for county cricket—i.e., matches between the various counties of England. Although the press acclaimed a “champion county” (Sussex) as early as 1827, qualification rules for county cricket were not laid down until 1873, and it was only in 1890 that the format of the county championship was formalized by the counties themselves. Gloucestershire dominated the 1870s, thanks to W.G. Grace and his brothers E.M. and G.F. Grace. From the 1880s to World War I, Nottinghamshire, Surrey, Yorkshire, Lancashire, Kent, and Middlesex constituted the Big Six that dominated county cricket. After World War I the northern counties, led by Yorkshire and Lancashire, largely professional teams, were the leaders. Surrey, with seven successive championships, dominated in the 1950s and Yorkshire in the 1960s, followed by Kent and Middlesex in the 1970s. The 1980s were dominated by Middlesex, Worcestershire, Essex, and Nottinghamshire. Other counties in first-class county cricket are Leicestershire, Somerset, Hampshire, Durham, Derbyshire, Warwickshire, Sussex, Northamptonshire, and Glamorgan.


After a postwar boom, slow play and lower numbers of runs characterized the 1950s, and this defensive nature of county cricket led to progressively decreased attendance. In the 1960s the MCC and the counties introduced a one-day knockout competition—called the Gillette Cup (1963–1980), the NatWest Bank Trophy (1981–2000), the C&G Trophy (2000–06), and the Friends Provident Trophy (2006–09)—and a separate Sunday afternoon league (the two competitions were merged in 2010 as the Clydesdale Bank 40), which revived public interest, although most counties remained dependent financially on proceeds from football pools and money received from Test matches and broadcasting fees. The immediate registration of overseas players was permitted, and each county, as of the early 1980s, was allowed one such player, who could, however, still play for his national team. The change worked well for the counties, and it also strengthened the national teams for whom those players appeared. In county cricket, bonus points were created to encourage batsmen and bowlers to play less defensively, and from 1988, to help the development of young batsmen and spin bowlers, four-day games increasingly replaced the three-day format. The longer game gives batsmen more time to build an innings and relieves them of the pressure to score runs quickly. Spin bowlers benefit from the longer game because the pitch wears as the game progresses and permits greater spin. 

The Cricket Council and the ECB 

A reorganization of English cricket took place in 1969, resulting in the end of the MCC’s long reign as the controlling body of the game, though the organization still retains responsibility for the laws. With the establishment of the Sports Council (a government agency charged with control of sports in Great Britain) and with the possibility of obtaining government aid for cricket, the MCC was asked to create a governing body for the game along the lines generally accepted by other sports in Great Britain. The Cricket Council, comprising the Test and County Cricket Board (TCCB), the National Cricket Association (NCA), and the MCC, was the result of these efforts. The TCCB, which amalgamated the Advisory County Cricket Committee and the Board of Control of Test Matches at Home, had responsibility for all first-class and minor-counties cricket in England and for overseas tours. The NCA consisted of representatives from clubs, schools, armed services cricket, umpires, and the Women’s Cricket Association. In 1997 there was another reorganization, and the TCCB, the NCA, and the Cricket Council were all subsumed under the England and Wales Cricket Board (ECB). 

International cricket 

International cricket in the early part of the 20th century was dominated by the original members of the Imperial Cricket Conference, England, Australia, and South Africa. Later renamed the International Cricket Conference and then the International Cricket Council, the ICC gradually took over more responsibility for the administration of the game and shifted its power base from west to east. When in 2005 the ICC moved its offices from Lord’s in London—home of the MCC, the game’s original rulers and still its lawmakers—to Dubai, the shift away from the old ways of governance was complete. The priorities of the game changed too. By the turn of the 21st century, only Australia and England still played Test cricket to full houses. Everywhere else, and particularly in India and Pakistan, crowds flocked to see limited-overs internationals. Test cricket became almost an afterthought. Although the power to change the laws of the game have remained with the MCC, the ICC developed its own Code of Conduct for players, officials, and administrators, which sets out disciplinary procedures and protects the spirit of the game. It also organized major international tournaments, including the one-day and Twenty20 World Cups and the Champions Trophy. In 2000 the ICC set up the Anti-Corruption Unit (renamed the Anti-Corruption Unit and Security Unit in 2003) to combat the growing threat of illegal gambling and match fixing. At the beginning of the 2010s, the ICC had 10 full members and dozens of associate and affiliate members. 

One of the founding members of the ICC, Australia remains one of its most powerful countries both on and off the field. The history of cricket in Australia dates to 1803 when the game was introduced by the crew of a British ship. The first intercolonial match took place in 1851 between Victoria and Tasmania, and by the end of the 19th century teams from England were touring Australia regularly. The first official Test match was played in Melbourne in 1877 by Australia and England, beginning the oldest rivalry in international cricket, a series that became known as The Ashes (see Test Matches below).


Cricket is played throughout Australia, and matches are ferociously competitive at every level. All the great Australian players from Sir Don Bradman to Shane Warne developed their skills in club cricket before graduating to the state and national teams, and the Australian style of cricket is marked by aggressiveness with bat, ball, and, often, voice in an attempt to intimidate opponents. Through the 20th century, Australia produced a series of outstanding teams, and the country dominated international cricket into the new century, winning three successive one-day World Cups (1999–2007) and twice recording runs of 16 consecutive Test victories (1999–2001 and 2005–08). In 2005 England’s Test victory over Australia, the first since 1987, was celebrated with an open-top bus ride through the city of London 

In June 2000 Bangladesh became the 10th country to be accorded full Test status. It played its first Test match in November of that year, against India in Dhaka. Known as the Tigers, the Bangladeshi team struggled to perform at the highest level, winning only three of its first 68 Tests. However, Bangladesh has defeated the nine countries that preceded it to Test status in one-day matches, a feat completed with a victory over England in Bristol in 2010. Bangladesh’s first appearance in an international tournament had come in England in the ICC Trophy competition for associate members in 1979. In 1997 Bangladesh won the trophy and qualified for the 1999 World Cup, beating Pakistan in the group stages. A domestic first-class tournament between six regional teams was established in 2000–01. Since Bangladesh gained Test status, cricket arguably has become the most popular sport in the country. 

Cricket is played in every corner of India, on city streets, in village fields, and on maidans—open playing fields, the largest of which (such as the Azad, Cross, and Oval maidans in South Mumbai) can host dozens of overlapping matches. Historically, Indian cricketers have displayed a good eye and strong wrists, and Indian batsmen, most notably Sunil Gavaskar and Sachin Tendulkar, have been some of the most productive and stylish in the history of cricket. The dry flat pitches of the subcontinent have also traditionally produced high-class spin bowlers.


The origins of the game in India date to the 18th century. A touring team led by the English gentleman cricketer Lord Hawke played a match against the “All India” team in January 1893. India played its first Test in 1932 and waited 20 years for its first Test victory, against England in Madras (now Chennai). The game developed so fast in India, however, that by the end of the 20th century India was one of the world’s foremost cricketing countries. With the growth of the Indian Premier League in the early 21st century, it became the undisputed home of Twenty20 cricket and the financial hub of the international game, though the popularity of Test cricket has declined dramatically in India. India’s prominence in one-day cricket was further confirmed when it won the Cricket World Cup in 2011. 

Cricket has always taken second place to rugby in the sports priorities of New Zealanders, but, as in Australia, the game has a strong national structure in New Zealand. The long history of domestic cricket in the country is often dated from the first representative interprovincial match, between Auckland and Wellington, in 1860, though there is evidence that unofficial matches between provinces were played in New Zealand decades earlier. The NZ Cricket Council was formed in 1894 and was admitted to full membership of the ICC in 1926. With only a small base of players on which to draw, New Zealand has always struggled to compete with England and Australia in Test cricket. As in most cricketing countries, the one-day game has proved more popular in New Zealand. In Richard Hadlee, who was knighted in 1990, the country produced one of the greatest cricketers of any era. 

The development of cricket in Pakistan has been chaotic, quixotic, and exotic in roughly equal measure. Under the leadership of Imran Khan, Pakistan won the 1992 World Cup, but often its cricket was blighted by political interference and scandal. A low point was reached in 2010: To begin with, the national team was in virtual exile, unable to persuade other countries to play in Pakistan for fear of terrorist attacks in the wake of an assault in Lahore on the visiting Sri Lankan team bus in March 2009 that left six policemen dead and several players injured. Moreover, three members of the Pakistani team touring England were involved in allegations of “spot fixing”—that is, fixing the results of certain bowls in return for money—and were banned by the ICC. Huge profits could be made in illegal betting markets in Asia by predicting the results of individual bowls. Only a few years earlier several Pakistan players also had been banned as a result of investigations over match fixing. Yet Pakistan has also produced a host of talented cricketers such as Khan, Wasim Akram, Abdul Qadir, and Inzamam-ul-Haq and has proved itself adept at Twenty20 cricket, winning the T20 World Cup in 2009. 

South Africa played its first Test, against England in Port Elizabeth, as early as in 1889. Cricket has been at the heart of the country’s sporting culture ever since. When South Africa was banned from the ICC from 1970 to 1991 because of its apartheid policies, cricket administrators worked quietly to integrate nonwhite players into the system, which was based largely on traditional all-white schools and state teams. When apartheid was abolished, cricket was far more prepared to cope with the social and political changes than was rugby union. Makhaya Ntini, a world-class fast bowler, who made his international debut for South Africa in 1998 and played in more than 100 Tests, served as a role model for the new generation of black cricketers. On the other hand, in 2000 Hansie Cronje, the captain of South Africa, was banned for match fixing in a scandal that brought into question the integrity of South African cricket. It was not until 2003, when South Africa hosted a successful World Cup, that the rehabilitation of country’s cricketing reputation was complete. South Africa has always been a great exporter of cricketers, mainly to England. Allan Lamb and Robin Smith were prominent members of the England team in the 1980s and ’90s; Kevin Pietersen and Jonathan Trott were mainstays of the Ashes-winning side of 2010. 

Even before Test status was awarded to Sri Lanka in 1981, the island country was a popular destination for touring teams, particularly for English teams on the way to Australia by boat. Given the disadvantages of its relatively small population and of the civil war that disrupted life on the island for three decades, Sri Lanka developed into a top cricketing country with surprising speed. In 1996 it won the World Cup, beating Australia in the final by playing aggressive, innovative cricket under the inspired leadership of Arjuna Ranatunga. The victory instilled belief in a new generation of players that included Sanath Jayasuriya; Mahela Jayawardene, an elegant and aggressive batsmen; and Muttiah Muralitharan, who in 2010 became the first bowler to take 800 Test wickets. The Indian Ocean tsunami of 2004 devastated the cricket-playing regions of southern Sri Lanka, including the Test match ground at Galle, and took the lives of many promising young players. Nonetheless, Sri Lanka recovered to reach the World Cup final again in 2007. Calamity struck again in 2009, when the Sri Lankan team’s bus was attacked by terrorists on the way to the ground for the second Test against Pakistan in Lahore. 

Cricket has been a unifying force in the Caribbean since the West Indies became the fourth Test-playing side in 1928. The islands have generally played other sports as independent countries, but British colonial influence contributed to the formation of a united regional team. For a time in the 1970s and ’80s, when the West Indian team featured a quartet of fast bowlers—led by Michael Holding, Malcolm Marshall, Andy Roberts, and Joel Garner—and batsmen of the destructive capacity of Sir Viv Richards and Clive Lloyd, the West Indies were virtually unbeatable. Blessed with an abundance of talented players and true pitches, Caribbean cricket has always been played with an unorthodox flourish, seen most clearly in the batsmanship of Sir Garfield Sobers, Richards, and Brian Lara.


In the 21st century cricket declined in popularity in the West Indies, a result of a lack of strong administrative leadership and because of the increasing appeal of potentially more lucrative sports such as athletics (track and field), football (soccer) and basketball. After playing in the finals of the first three World Cups (1975, 1979, and 1983) and winning the first two, the West Indian team failed—with the exception of 1996—to reach even the knockout stage of subsequent World Cups, including in 2007, as the host of the event. 

Until Test status was granted to Zimbabwe in 1992, the country’s best cricketers, such as Colin Bland, played for South Africa. Indeed, the history of the cricket in the two countries has been inextricably linked. Long before the newly independent and renamed Zimbabwe became an associate member of the ICC in 1980, teams representing its Rhodesian forerunner states had participated in the Currie Cup, the South African domestic first-class tournament (first in 1904–05, then in the early 1930s, and again after World War II). Competing in its first World Cup in 1983, Zimbabwe surprised the world by beating Australia, yet Graeme Hick, arguably the country’s best batsman, left shortly thereafter to play for England.


Zimbabwean cricket in the early 21st century has been marked by chaotic administration and political interference. In 2004 Heath Streak was sacked as captain of the national team, precipitating a crisis from which Zimbabwe took years to emerge, including an exile from Test cricket that began in 2006 and ended in 2011. The country’s political volatility during this period had much to do with the situation. In the 2003 World Cup, for example, England forfeited its match in Zimbabwe, citing security concerns. During the same tournament, two Zimbabwe players, Andy Flower and Henry Olonga, wore black armbands to “mourn the death of democracy” in their country. 

The first Test match, played by two national teams, was between Australia and England in Melbourne in 1877, with Australia winning. When Australia again won at the Oval at Kennington, London, in 1882, the Sporting Times printed an obituary notice announcing that English cricket would be cremated and the ashes taken to Australia, thus creating the “play for the Ashes.” The Ashes, kept in an urn at Lord’s irrespective of which country is victorious, are supposed to be those of a bail burned on the England tour of Australia in 1882–83. For the rest of the 19th century, the two countries met almost yearly. With W.G. Grace, the greatest cricketer of Victorian England, on its side, England was often too strong for the Australians, though Australia had the greatest bowler of this era in F.R. Spofforth and the first of the great wicketkeepers in J.McC. Blackham. 




On the hunt for a bridge between micro and macroevolution.

 An Evolutionist Searches for Missing Evidence 

Evolution News @DiscoveryCSC 

Jon Perry is a filmmaker and science educator who produces educational videos for the YouTube channel Stated Clearly. His main focus is defending and explaining evolution, with an emphasis on persuading “Bible Belt” folks, “creationists,” and “religious people.” See his interview here: 

Perry’s videos are clear and easy to watch, handsomely illustrated, relatively jargon-free, and have brought him a wide circle of scientific advisors, including such familiar names as P. Z. Myers, Joanna Masel, Hans Thewissen, Phillip Gingerich, and David Deamer.


That’s background. A recent Twitter thread from Perry is worth a look. As he puts it, Perry is seeking evidence of “single mutations of large phenotypic effect in animals.” The examples provided by his respondents — e.g., loss of structures, changes in coat color — are interesting, Perry allows, but not on point. Then his exchange with biologist Stuart Newman, a “Third Way” evolutionary theorist who doubts neo-Darwinian theory, devolves into rhetorical heat, as you can see below:



Perry is looking for the experimental or observational evidence to corroborate what he thinks the fossil record shows, namely, the rapid origin of anatomical novelties (e.g., bat wings, whale flippers, the Cambrian Explosion of new body plans). The obvious problem? Following the rise of neo-Darwinian orthodoxy in the 1930s, “single mutations of large phenotypic effect” were scorned by the mainstream of evolutionary biology as evidentially unsupported saltationism, and pushed to the periphery of acceptable topics for research. Or beyond that border: Stephen Jay Gould, in his introduction to the 1982 reissue of Richard Goldschimdt’s The Material Basis of Evolution (Yale, 1940) recounted how the very name “Goldschmidt” became a byword and laughing stock for properly trained biologists.

So we wish Perry well in his search for the missing evidence. The fact is, he wouldn’t have to ask around, on Twitter, if that evidence existed. He could just look it up for himself, and/or everyone would already know about the evidence, and there’d be no point in producing the video.

By the way, Newman’s question to Perry — what is the scenario for the origin and diversification of birds — is strikingly similar to the question Goldschmidt asks at the end of the introduction (pp. 6-7) to The Material Basis of Evolution. 




Friday 28 October 2022

And still yet more on the fossil record's antiDarwinian bias.

Fossil Friday: Ludodactylus and the Origin of Pterosaurs

Günter Bechly 

This Fossil Friday I want to show you a very well-preserved skull of a giant pterosaur from the Lower Cretaceous Crato Formation, which is about 115 million years old. I could photograph this specimen at a German trader’s collection in 2008, unfortunately only with a poor camera in low resolution. This fossil most likely belongs to the ornithocheirid species Ludodactylus sibbicki, which is otherwise only known from the holotype specimen (Frey et al. 2003, Unwin & Martill 2007). The holotype lacked the distal portion of the head crest, so that this yet undescribed specimen, which is here figured for the first time ever, finally shows how this crest really was shaped. The skull is 53.5 cm long and the estimated wing span of this species was up to 4 meters (Unwin & Martill 2007). These animals probably fed on fish on the open sea, similar to living albatrosses.


Pterosaurs had a unique construction of their wings, which were mainly supported by an enormously enlarged fourth finger. This is very different from the construction of the wings in bats and birds. Pterosaurs appear abruptly and fully formed in the fossil record of the Upper Triassic (Norian), about 227–208 million years ago, with eopterosaurs like Preondactylus and Carniadactylus. Pterosaurs are believed to be relatives to Late Triassic “reptiles” like Lagerpetidae (Ezcurra et al. 2020, Kammer et al. 2020, Baron 2021), and the enigmatic Scleromochlus (Benton 1999,  Bennett 2020, Foffa et al. 2022). However, those reptiles fail to show even the slightest adaptations for gliding or flying, or any trace of incipient pterosaur wings. Even the relationship of these fossils is highly disputed, e.g., with Bennet (2020) in his extensive study strongly rejecting any closer relationship of Scleromochlus with pterosaurs, while Foffa et al. (2022) strongly affirms it, which was celebrated in the media as “Scottish fossil revealed to be pterodactyl ancestor” (Gill 2022).

A Lack of Transitional Fossils

Outside of Darwinian fantasy land, we indeed lack any transitional fossils that would document an assumed gradual evolutionary development of characteristic pterosaur wings. In my view this strongly suggests that the transition happened very quickly as an abrupt saltation rather than mediated by hundreds of transitional species, for which there is not a shred of empirical evidence. Such saltations could not be explained by an unguided neo-Darwinian mechanism of natural selection acting on random mutations, but would require a massive infusion of new genetic and epigenetic information from outside the system. Therefore, the abrupt origin of pterosaurs clearly points to intelligent design as the best explanation. 

References 

Baron MG 2021. The origin of Pterosaurs. Earth-Science Reviews.221: 103777, 1–14. DOI: https://doi.org/10.1016/j.earscirev.2021.103777

Bennett SC 2020. Reassessment of the Triassic archosauriform Scleromochlus taylori: neither runner nor biped, but hopper. PeerJ 8: e8418, 1–77. DOI: https://doi.org/10.7717/peerj.8418

Benton MJ 1999. Scleromochlus taylori and the origin of dinosaurs and pterosaurs. Philosophical Transactions of the Royal Society of London B 354(1388), 1423–1446. DOI: https://doi.org/10.1098/rstb.1999.0489

Ezcurra MD, Nesbitt SJ & Bronzati M et al. 2020. Enigmatic dinosaur precursors bridge the gap to the origin of Pterosauria. Nature 588(7838), 445–449. DOI: https://doi.org/10.1038/s41586-020-3011-4

Foffa D, Dunne EM & Nesbitt SJ et al. 2022. Scleromochlus and the early evolution of Pterosauromorpha. Nature 610(7931), 313–318. DOI: https://doi.org/10.1038/s41586-022-05284-x

Frey E, Martill DM & Buchy M-C 2003. A new crested ornithocheirid from the Lower Cretaceous of northeastern Brazil and the unusual death of an unusual pterosaur. pp. 55–63 in: Buffetaut E & Mazin J-M (eds). Evolution and Palaeobiology of Pterosaurs. Geological Society of London – Special Publications. Vol. 217. [Google Books]

Gill V 2022. Scottish fossil revealed to be pterodactyl ancestor. BBC News October 6, 2022. https://www.bbc.com/news/science-environment-63146271

Kammerer CF, Nesbitt SJ, Flynn JJ, Ranivoharimanana L & Wyss AR 2020. A tiny ornithodiran archosaur from the Triassic of Madagascar and the role of miniaturization in dinosaur and pterosaur ancestry. PNAS 117(30), 17932–17936. DOI: https://doi.org/10.1073/pnas.1916631117

Unwin DW & Martill DM 2007. Pterosaurs of the Crato Formation. pp 475–524 in: Martill DM, Bechly G & Loveridge RF (eds). The Crato Fossil Beds of Brazil: Window into an Ancient World. Cambridge University Press, Cambridge (UK), xvi+625 pp.

   

 

Thursday 27 October 2022

Coptic John Ch.1 vrs.1-18 and eisegesis.

Coptic John 1:1-18 

Eisegesis refers to interpreting a text by reading into it one's own ideas, or other ideas foreign to the text itself. Some apologists continue in a futile attempt to do that with Coptic John 1:1c.


For example, it is claimed that the indefinite ou.noute of Coptic John 1:1c should be translated as 'the one and only God,' because the indefinite article denotes unity, not 'a god.' As a "proof," 1 Corinthians 8:6 and Ephesians 4:6 are quoted, where ou.noute n.ouwt is usually rendered as "one God."


But that is erroneous eisegesis. It is a blatant attempt to read philosophical dogma into Coptic grammar. The Coptic indefinite article ou does not of itself 'denote unity.' It simply means "a" when bound with a common or count Coptic noun like noute, "god." The Coptic text of the New Testament contains hundreds of examples that prove this. (For example, see Coptic Acts 28:6, where the anarthrous Greek theos is rendered by ou.noute in Sahidic (Sahidica) and ou.nouti in the Coptic Bohairic version. Horner and Greek-based English versions including the KJV render this as "a god.")


Further, it is not the Coptic indefinite article ou that means "one," but the bound idiom ou______n.ouwt. This idiom literally means "a single, an only," and is used in Coptic to denote "one," adjectivally: "one god," "one man," "one spirit," etc. (For example, see Coptic Romans 5:12; 1 Corinthians 6:16, 17)


Therefore, ou.noute n.ouwt simply means "one god." It is the context, not the grammar, of 1 Corinthians 8:6 and Ephesians 4:6 that mandates the translation "one God" because the specific and definite reference in those verses is p.eiwt, "the Father," whom the Lord Jesus identifies as p.noute m.me m.mauaa.F , "the true God alone" (John 17:3 Horner), "the only true God."


Neither the grammar nor meaning of Coptic 1 Corinthians 8:6 or Ephesians 4:6 is the same as Coptic John 1:1c, so those verses cannot be used to exegete Coptic John 1:1c. Whereas ou.noute n.ouwt means a single god, i.e, "one god" or "one God" (in context, with reference to the Father), the fact remains that ou.noute means "a god." It does not mean some philosophical unity that calls for translating it as 'the one and only God.'


It would be far more honest to read Coptic John 1:1c for what it says, instead of trying to import foreign concepts into it.


And what Coptic John 1:1c clearly says is "the Word was a god." Or, if you prefer, "the Word was divine." But definitely not, "the Word was God."

Memra 

Ps. Personally I would grant these eisegetes their contention that John1:1c is stating that the son is one God, just as 1Corinthians 8:6 is stating that the Father is one God, so that I could then have it explained to me just how this rendering helps trinitarians' case.

 

The origin of Man and the design debate IV

 The Human Fossil Record Lacks Intermediaries 

Casey Luskin 

Editor’s note: We are delighted to present a series by geologist Casey Luskin asking, “Do Fossils Demonstrate Human Evolution?” This is the fourth post in the series, which is adapted from the recent book, The Comprehensive Guide to Science and Faith. Find the full series here.

If  humans evolved from ape-like creatures, what were the transitional species between the ape-like hominins discussed earlier in this series and the truly human-like members of the Homo genus found in the fossil record? There aren’t any good candidates. 

The Demise of Homo habilis 

Many have cited Homo habilis (literally “handy man”) as a tool-using species that was a transitional “link” between the australopithecines and Homo.1 But its association with tools is doubtful and appears driven mainly by evolutionary considerations Anthropologist Ian Tattersall calls it “a wastebasket taxon, little more than a convenient recipient.2 for a motley assortment of hominin fossils.”3 Ignoring these difficulties and assuming habilis was a real species, chronology precludes it from being ancestral to Homo: habiline remains postdate the earliest fossil evidence of the genus Homo.4


Morphological analyses further confirm that habilis makes an unlikely “intermediate” between Australopithecus and Homo — and show habilis doesn’t even belong in Homo. An authoritative review in Science by Bernard Wood and Mark Collard found that habilis differs from Homo in terms of body size, shape, mode of locomotion, jaws and teeth, developmental patterns, and brain size, and should be reclassified within Australopithecus.5 A study by Sigrid Hartwig-Scherer and Robert D. Martin in the Journal of Human Evolution found the skeleton of habilis was more similar to living apes than were other australopithecines like Lucy.6 They conclude, “It is difficult to accept an evolutionary sequence in which Homo habilis, with less human-like locomotor adaptations, is intermediate between Australopithecus afaren[s]is…and fully bipedal Homo erectus.”7 Alan Walker and Pat Shipman similarly called habilis “more apelike than Lucy” and remarked, “Rather than representing an intermediate between Lucy and humans, [habilis] looked very much like an intermediate between the ancestral chimp-like condition and Lucy.”8 Hartwig-Scherer explains that habilis “displays much stronger similarities to African ape limb proportions” than Lucy — results she calls “unexpected in view of previous accounts of Homo habilis as a link between australopithecines and humans.”9 

The Link Resurrected? 

The news media might be heavily biased toward evolution, but at least it is predictable. Whenever a new hominin fossil is discovered, reporters seize the opportunity to push human evolution. Thus it was no surprise when news outlets buzzed about the latest “human ancestor” after a new species, Homo naledi, was unveiled in 2015. 


CNN declared, “Homo naledi: New Species of Human Ancestor Discovered in South Africa.”10 The Daily Mail reported, “Scientists Discover Skull of New Human Ancestor Homo Naledi.”11 PBS pronounced, “Trove of Fossils from a Long-Lost Human Ancestor.”12 And so on.


The find is striking because it represents probably the largest cache of hominin bones — many hundreds — ever found. In a field where a single scrap of jaw ignites the community, this is a big deal. But do we know that Homo naledi is a human ancestor, as news outlets declared? Dig into the details, and the answer again is no.


The primary claim about Homo naledi is that it was a “transitional form” or “mosaic” — a small-brained, upright-walking hominin with a trunk similar to the australopithecines, but with human-like hands and feet. But the technical material shows that even some of those supposedly human-like traits have unique features:


The hands showed “a unique combination of anatomy”13 including “unique first metacarpal morphology,”14and long, curved fingers that suggest naledi was, unlike humans, well-suited for “climbing and suspension.”15

Its foot “differs from modern humans in having more curved proximal pedal phalanges, and features suggestive of a reduced medial longitudinal arch,” giving it an overall “unique locomotor repertoire.”16 The foot shows, again, that unlike humans, it was “likely comfortable climbing trees.”17

The technical papers also reveal “unique features in the femur and tibia” — making a hindlimb that “differs from those of all other known hominins.”18 As for the head, “Cranial morphology of H. naledi is unique…”19 Sound familiar? Whatever it was, overall naledi appears quite unique. 


Indeed, the discoverers of naledi called it “a unique mosaic previously unknown in the human fossil record.”20Such terminology should raise a red flag. In the parlance of evolutionary biology, “mosaic” usually means a fossil has a suite of traits that are difficult to fit into the standard evolutionary tree. That is the case here.


In 2010, some of the same scientists who discovered and promoted naledi — a team led by Lee Berger of the University of Witwatersrand — were promoting a different hominin species, Australopithecus sediba, as the intermediate du jure between the australopithecines and Homo. However, sediba and naledi differ in important ways that make them unlikely partners in an evolutionary lineage. Specifically, sediba (classified within Australopithecus) had an advanced “Homo-like pelvis,”21 “surprisingly human teeth,”22 and a “human-like” lower trunk,23 whereas naledi — placed within Homo — bears an “australopith-like” and “primitive” pelvis,24 “primitive” teeth, and a “primitive or australopith-like trunk.”25 An australopithecine with apparently advanced Homo-like features seems a poor candidate to evolve into a member of Homo with primitive australopith-like versions of those same features. Thus, although both sediba and naledi have been said to be a human ancestor — by some of the same people, no less — evolutionarily speaking, traits are evolving in the wrong direction. As one news outlet put it: “Each [sediba and naledi] has different sets of australopith-like and human-like traits that can’t be easily reconciled on the same family tree.”26 

Problems with Chronology and Morphology 

In  any case, sediba cannot be ancestral to Homo because, like habilis, it postdates the origin of our genus and has the wrong morphology.27 Based upon fossil chronology, a 2019 study found that the likelihood that sediba is a human ancestor is less than 0.001.28 Commenting on sediba, Harvard’s Daniel Lieberman said, “The origins of the genus Homoremain as murky as ever,”29 and Donald Johanson remarked, “The transition to Homo continues to be almost totally confusing.”30


Another dubious claim about naledi is that it intentionally buried its dead — a testimony to its supposedly human-like intellect. Burying dead in the cave where it was found would require shimmying through a steep, narrow crevice while dragging a body a long distance in the dark — a physically challenging task for any hominin of any level of intelligence. For many reasons, multiple scientists — including two of Berger’s colleagues at the University of Witwatersrand — dispute the intentional burial hypothesis.31 Alison Brooks of George Washington University observed that claims of intentional burial are “so far out there that they really need a higher standard of proof.”32


But the deathblow to claims for Homo naledi as an ancestral or transitional fossil is its age. When first published, naledi‘s promoters suggested, on the basis of evolutionary considerations rather than geological evidence, that it lived 2–3 million years ago. But at that time the fossils hadn’t been dated geologically. Carol Ward of the University of Missouri warned, “Without dates, the fossils reveal almost nothing about hominin evolution.”33 This didn’t stop paleoanthropologists from speculating, predicting that naledi lived 2–3 million years ago and “represents an intermediate between Australopithecus and Homo erectus.”34 In 2017, Homo naledi‘s remains were dated to the “surprisingly” and “startlingly young” age of 236,000–335,000 years35 — an order of magnitude younger than the age predicted by evolutionary considerations, and far too young to be ancestral to our species. Anthropologist James Kidder candidly admitted, “Nearly everyone in the scientific community thought that the date of the Homo naledi fossils, when calculated, would fall within the same general time period as other primitive early Homo remains. We were wrong.”36


Many cautioned against the hype over naledi,37 and its trajectory resembles other hominins for which hyped claims of transitional or ancestral status eventually failed. When evaluating media claims of the newest human ancestor, a dose of healthy skepticism is warranted. 

Notes 

1)See Alan Walker and Pat Shipman, Wisdom of the Bones: In Search of Human Origins (New York: Alfred Knopf, 1996), 133.

2)Jeffrey Schwartz and Ian Tattersall, “Defining the Genus Homo,” Science 349 (August 28, 2015), 931-932.

3)Ian Tattersall, “The Many Faces of Homo habilis,” Evolutionary Anthropology 1 (1992), 33-37.

4)See F. Spoor et al., “Implications of New Early Homo Fossils from Ileret, East of Lake Turkana, Kenya,” Nature 448 (August 9, 2007), 688-691; Seth Borenstein, “Fossils Paint Messy Picture of Human Origins,” NBC News (August 8, 2007), https://www.nbcnews.com/id/wbna20178936 (accessed October 26, 2020).

5)Wood and Collard, “The Human Genus”; see also Mark Collard and Bernard Wood, “Defining the Genus Homo,” in Handbook of Paleoanthropology, 2107-2144.

6)Sigrid Hartwig-Scherer and Robert Martin, “Was ‘Lucy’ More Human than Her ‘Child’? Observations on Early Hominid Postcranial Skeletons,” Journal of Human Evolution 21 (1991), 439-449.

7)Hartwig-Scherer and Martin, “Was ‘Lucy’ More Human than Her ‘Child’?”

8)Walker and Shipman, Wisdom of the Bones, 132, 130.

9)Sigrid Hartwig-Scherer, “Apes or Ancestors?” Mere Creation: Science, Faith and Intelligent Design, ed. William A. Dembski (Downers Grove, IL: InterVarsity, 1998), 226.

10)David McKenzie and Hamilton Wende, “Homo naledi: New Species of Human Ancestor Discovered in South Africa,” CNN (September 10, 2015), http://www.cnn.com/2015/09/10/africa/homo-naledi-human-relative-species/ (accessed October 26, 2020).

11)Rachel Reilly, “Is This the First Human? Extraordinary Find in a South African Cave Suggests Man May Be Up to 2.8 Million Years Old,” Daily Mail(September 10, 2015), http://www.dailymail.co.uk/sciencetech/article-3228991/New-species-ancient-human-discovered-Fossilised-remains-15-bodies-unearthed-South-African-cave.html (accessed October 26, 2020). 

12)Trove of Fossils from a Long-Lost Human Ancestor Is Greatest Find in Decades,” PBS Newshour (September 10, 2015), https://www.pbs.org/newshour/show/new-family (accessed October 26, 2020).

13)University of the Witwatersrand, “The Hand and Foot of Homo naledi,” ScienceDaily (October 6, 2015), http://www.sciencedaily.com/releases/2015/10/151006123631.htm (accessed October 26, 2020).

14)Berger et al., “Homo naledi, a New Species of the Genus Homo from the Dinaledi Chamber, South Africa,” eLife 4 (2015), e09560.

15)Tracy Kivell et al., “The Hand of Homo naledi,” Nature Communications 6 (October 6, 2015), 8431.

16)W.E.H. Harcourt-Smith et al., “The Foot of Homo naledi,” Nature Communications 6 (October 6, 2015), 8432.

17)American Museum of Natural History, “Foot Fossils of Human Relative Illustrate Evolutionary ‘Messiness’ of Bipedal Walking,” ScienceDaily(October 6, 2015), http://www.sciencedaily.com/releases/2015/10/151006131938.htm (accessed October 26, 2020).

18)Berger et al., “Homo naledi, a New Species of the Genus Homo.”

19)Berger et al., “Homo naledi, a New Species of the Genus Homo.”

20)Harcourt-Smith et al., “The Foot of Homo naledi.”

21)Kate Wong, “First of Our Kind,” Scientific American (November 1, 2012), http://www.scientificamerican.com/article/first-of-our-kind-2012-12-07/ (accessed October 26, 2020). See also Brandon Bryn, “Australopithecus sediba May Have Paved the Way for Homo,” AAAS News (September 8, 2011), http://www.aaas.org/news/science-australopithecus-sediba-may-have-paved-way-homo (accessed October 26, 2020).

22)Ann Gibbons, “A Human Smile and Funny Walk for Australopithecus sediba,” Science 340 (April 12, 2013), 132-133. See also Nadia Ramlagan, “Human Evolution Takes a Twist with Australopithecus sediba,” AAAS News (April 11, 2013), http://www.aaas.org/news/science-human-evolution-takes-twist-australopithecus-sediba (accessed October 26, 2020). 

23)Peter Schmid et al., “Mosaic Morphology in the Thorax of Australopithecus sediba,” Science 340 (April 12, 2013), 1234598; Charles Choi, “Humanity’s Closest Ancestor Was Pigeon-Toed, Research Reveals,” LiveScience (April 11, 2013), https://www.livescience.com/28656-closest-human-ancestor-was-pigeon-toed.html (accessed October 26, 2020).

24)Caroline Vansickle et al., “Primitive Pelvic Features in a New Species of Homo,” The 85th Annual Meeting of the American Association of Physical Anthropologists, 2016, http://meeting.physanth.org/program/2016/session39/vansickle-2016-primitive-pelvic-features-in-a-new-species-of-homo.html (accessed October 26, 2020).

25)Berger et al., “Homo naledi, a New Species of the Genus Homo.”

26)Ed Yong, “6 Tiny Cavers, 15 Odd Skeletons, and 1 Amazing New Species of Ancient Human,” The Atlantic (September 10, 2015), http://www.theatlantic.com/science/archive/2015/09/homo-naledi-rising-star-cave-hominin/404362/ (accessed October 26, 2020).

27)Andrew Du and Zeresenay Alemseged, “Temporal evidence shows Australopithecus sediba is unlikely to be the ancestor of Homo,” Science Advances5 (May 8, 2019), eaav9038; Tim White, “Five’s a Crowd in Our Family Tree,” Current Biology 23 (February 4, 2013), R112-R115; William Kimbel, “Hesitation on Hominin History,” Nature 497 (May 30, 2013), 573-574; Gibbons, “Human Smile and Funny Walk for Australopithecus sediba”; Gibbons, “Who Was Homo habilis?” Science 332 (June 17, 2011), 1370-1371; Nicholas Wade, “New Fossils May Redraw Human Ancestry,” New York Times (September 8, 2011), http://www.nytimes.com/2011/09/09/science/09fossils.html (accessed October 26, 2020); John Noble Wilford, “Some Prehumans Feasted on Bark instead of Grasses,” New York Times (June 27, 2012), http://www.nytimes.com/2012/06/28/science/australopithecus-sediba-preferred-forest-foods-fossil-teeth-suggest.html (accessed October 26, 2020).

28)Du and Alemseged, “Temporal evidence shows Australopithecus sediba is unlikely to be the ancestor of Homo.” 

29)Carl Zimmer, “Yet Another ‘Missing Link,’” Slate (April 8, 2010), http://www.slate.com/articles/health_and_science/science/2010/04/yet_another_missing_link.single.html (accessed October 26, 2020).

30)Michael Balter, “Candidate Human Ancestor from South Africa Sparks Praise and Debate,” Science 328 (April 9, 2010), 154-155.

31)See Kate Wong, “Debate Erupts over Strange New Human Species,” Scientific American (April 8, 2016), http://www.scientificamerican.com/article/debate-erupts-over-strange-new-human-species/ (accessed October 26, 2020); Tanya Farber, “Professor’s Claims Rattle Naledi’s bones,” Sunday Times (April 24, 2016), http://www.timeslive.co.za/sundaytimes/stnews/2016/04/24/Professors-claims-rattle-Naledis-bones (accessed October 26, 2020); Aurore Val, “Deliberate Body Disposal by Hominins in the Dinaledi Chamber, Cradle of Humankind, South Africa?,” Journal of Human Evolution 96 (2016), 145-148.

32)Kate Wong, “Mysterious New Human Species Emerges from Heap of Fossils,” Scientific American (September 10, 2015), http://www.scientificamerican.com/article/mysterious-new-human-species-emerges-from-heap-of-fossils/ (accessed October 26, 2020). 

33)Quoted in Yong, “6 Tiny Cavers.” 

34)University of Colorado Anschutz Medical Campus, “Ancient ancestor of humans with tiny brain discovered,” ScienceDaily (September 10, 2015), https://www.sciencedaily.com/releases/2015/09/150910084610.htm (accessed October 26, 2020).

35)University of the Witwatersrand, “Homo naledi’s surprisingly young age opens up more questions on where we come from,” ScienceDaily (May 9, 2017), https://www.sciencedaily.com/releases/2017/05/170509083554.htm (accessed October 26, 2020). See also Dirks et al., “The age of Homo naledi and associated sediments in the Rising Star Cave, South Africa,” eLife 6 (2017), e24231.

36)James Kidder, “What Homo Naledi Means for the Study of Human Evolution,” BioLogos (May 30, 2017), http://biologos.org/blogs/guest/what-homo-naledi-means-for-the-study-of-human-evolution (accessed October 26, 2020).

37)See Chris Stringer, “Human Evolution: The Many Mysteries of Homo naledi,” eLife 4 (2015), e10627; Daniel Curnoe, “What About Homo naledi’s Geologic Age?,” Phys.org (September 15, 2015), http://phys.org/news/2015-09-opinion-homo-naledi-geologic-age.html (accessed October 26, 2020).