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Back in the 13th Century, Kharkhorin was constructed as a capital city of Mongol Empire (Yuan Dynasty) which attracted traders, dignitaries and skilled workers from across Asia and even Europe.
Yuan was the first dynasty to make Beijing (called Dadu by the Yuan) its capital, moving it there from Karakorum (now in Mongolia) in 1267.
哈爾和林, 蒙古古都
早在 13 世紀,哈爾和林就被建成為蒙古帝國(元朝)的首都,吸引了來自亞洲乃至歐洲的商人、政要和技術工人。
元朝是第一個將北京(元朝稱為大都)定都的朝代,並於 1267 年從喀喇崑崙(今蒙古境內)遷至北京。
Mongolia
2023/6/22
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Gnosticism (from Ancient Greek: γνωστικός gnostikos, "having knowledge", from γνῶσις gnōsis, knowledge) is a modern name for a variety of ancient religious ideas and systems, originating in Jewish Christian milieux in the first and second century AD. These systems believed that the material world is created by an emanation or 'works' of a lower god (demiurge), trapping the divine spark within the human body. This divine spark could be liberated by gnosis, spiritual knowledge acquired through direct experience. Some of the core teachings include the following:
All matter is evil, and the non-material, spirit-realm is good.
There is an unknowable God, who gave rise to many lesser spirit beings called Aeons.
The creator of the (material) universe is not the supreme god, but an inferior spirit (the Demiurge).
Gnosticism does not deal with "sin," only ignorance.
To achieve salvation, one needs gnosis (knowledge).
The Gnostic ideas and systems flourished in the Mediterranean world in the second century AD, in conjunction with and influenced by the early Christian movements and Middle Platonism. After the second century, a decline set in. In the Persian Empire, Gnosticism in the form of Manicheism spread as far as China, while Mandaeism is still alive in Iraq.
A major question in scholarly research is the qualification of Gnosticism, based on the study of its texts, as either an interreligious phenomenon or as an independent religion.
Gnosis refers to knowledge based on personal experience or perception. In a religious context, gnosis is mystical or esoteric knowledge based on direct participation with the divine. In most Gnostic systems, the sufficient cause of salvation is this "knowledge of" ("acquaintance with") the divine. It is an inward "knowing", comparable to that encouraged by Plotinus (neoplatonism), and differs from proto-orthodox Christian views.[1] Gnostics are "those who are oriented toward knowledge and understanding – or perception and learning – as a particular modality for living".
The usual meaning of gnostikos in Classical Greek texts is "learned" or "intellectual", such as used by Plato in the comparison of "practical" (praktikos) and "intellectual" (gnostikos). Plato's use of "learned" is fairly typical of Classical texts.
By the Hellenistic period, it began to also be associated with Greco-Roman mysteries, becoming synonymous with the Greek term musterion. The adjective is not used in the New Testament, but Clement of Alexandria[note 3] speaks of the "learned" (gnostikos) Christian in complimentary terms. The use of gnostikos in relation to heresy originates with interpreters of Irenaeus. Some scholars[note consider that Irenaeus sometimes uses gnostikos to simply mean "intellectual",[note 5] whereas his mention of "the intellectual sect" is a specific designation.
The term "Gnosticism" does not appear in ancient sources,[note 10] and was first coined in the 17th century by Henry More in a commentary on the seven letters of the Book of Revelation, where More used the term "Gnosticisme" to describe the heresy in Thyatira. The term Gnosticism was derived from the use of the Greek adjective gnostikos (Greek γνωστικός, "learned", "intellectual") by St. Irenaeus (c. 185 AD) to describe the school of Valentinus as he legomene gnostike haeresis "the heresy called Learned (gnostic)."
Origins
The earliest origins of Gnosticism are obscure and still disputed. The proto-orthodox Christian groups called Gnostics a heresy of Christianity,] but according to the modern scholars the theology's origin is closely related to Jewish sectarian milieus and early Christian sects. Scholars debate Gnosticism's origins as having roots in Neoplatonism and Buddhism, due to similarities in beliefs, but ultimately, its origins are currently unknown. As Christianity developed and became more popular, so did Gnosticism, with both proto-orthodox Christian and Gnostic Christian groups often existing in the same places. The Gnostic belief was widespread within Christianity until the proto-orthodox Christian communities expelled the group in the second and third centuries (C.E.). Gnosticism became the first group to be declared heretical.
Some scholars prefer to speak of "gnosis" when referring to first-century ideas that later developed into gnosticism, and to reserve the term "gnosticism" for the synthesis of these ideas into a coherent movement in the second century.No gnostic texts have been discovered that pre-date Christianity,and "pre-Christian Gnosticism as such is hardly attested in a way to settle the debate once and for all."
Jewish Christian origins
Contemporary scholarship largely agrees that Gnosticism has Jewish Christian origins, originating in the late first century AD in non rabbinical Jewish sects and early Christian sects.
Many heads of gnostic schools were identified as Jewish Christians by Church Fathers, and Hebrew words and names of God were applied in some gnostic systems. The cosmogonic speculations among Christian Gnostics had partial origins in Maaseh Bereshit and Maaseh Merkabah. This thesis is most notably put forward by Gershom Scholem (1897–1982) and Gilles Quispel (1916–2006). Scholem detected Jewish gnosis in the imagery of the merkavah, which can also be found in "Christian" Gnostic documents, for example the being "caught away" to the third heaven mentioned by Paul the Apostle. Quispel sees Gnosticism as an independent Jewish development, tracing its origins to Alexandrian Jews, to which group Valentinus was also connected.
Many of the Nag Hammadi texts make reference to Judaism, in some cases with a violent rejection of the Jewish God. Gershom Scholem once described Gnosticism as "the Greatest case of metaphysical anti-Semitism". Professor Steven Bayme said gnosticism would be better characterized as anti-Judaism. Recent research into the origins of Gnosticism shows a strong Jewish influence, particularly from Hekhalot literature.
Within early Christianity, the teachings of Paul and John may have been a starting point for Gnostic ideas, with a growing emphasis on the opposition between flesh and spirit, the value of charisma, and the disqualification of the Jewish law. The mortal body belonged to the world of inferior, worldly powers (the archons), and only the spirit or soul could be saved. The term gnostikos may have acquired a deeper significance here.
Alexandria was of central importance for the birth of Gnosticism. The Christian ecclesia (i. e. congregation, church) was of Jewish–Christian origin, but also attracted Greek members, and various strand of thought were available, such as "Judaic apocalypticism, speculation on divine wisdom, Greek philosophy, and Hellenistic mystery religions."
Regarding the angel Christology of some early Christians, Darrell Hannah notes:
[Some] early Christians understood the pre-incarnate Christ, ontologically, as an angel. This "true" angel Christology took many forms and may have appeared as early as the late First Century, if indeed this is the view opposed in the early chapters of the Epistle to the Hebrews. The Elchasaites, or at least Christians influenced by them, paired the male Christ with the female Holy Spirit, envisioning both as two gigantic angels. Some Valentinian Gnostics supposed that Christ took on an angelic nature and that he might be the Saviour of angels. The author of the Testament of Solomon held Christ to be a particularly effective "thwarting" angel in the exorcism of demons. The author of De Centesima and Epiphanius’ "Ebionites" held Christ to have been the highest and most important of the first created archangels, a view similar in many respects to Hermas’ equation of Christ with Michael. Finally, a possible exegetical tradition behind the Ascension of Isaiah and attested by Origen's Hebrew master, may witness to yet another angel Christology, as well as an angel Pneumatology.
The pseudepigraphical Christian text Ascension of Isaiah identifies Jesus with angel Christology:
[The Lord Christ is commissioned by the Father] And I heard the voice of the Most High, the father of my LORD as he said to my LORD Christ who will be called Jesus, ‘Go out and descend through all the heavens...
The Shepherd of Hermas is a Christian literary work considered as canonical scripture by some of the early Church fathers such as Irenaeus. Jesus is identified with angel Christology in parable 5, when the author mentions a Son of God, as a virtuous man filled with a Holy "pre-existent spirit".
Neoplatonic influences
See also: Platonic Academy, Neoplatonism and Gnosticism, and Neoplatonism and Christianity
In the 1880s Gnostic connections with neo-Platonism were proposed.Ugo Bianchi, who organised the Congress of Messina of 1966 on the origins of Gnosticism, also argued for Orphic and Platonic origins.Gnostics borrowed significant ideas and terms from Platonism, using Greek philosophical concepts throughout their text, including such concepts as hypostasis (reality, existence), ousia (essence, substance, being), and demiurge (creator God). Both Sethian Gnostics and Valentinian Gnostics seem to have been influenced by Plato, Middle Platonism, and Neo-Pythagoreanism academies or schools of thought. Both schools attempted "an effort towards conciliation, even affiliation" with late antique philosophy, and were rebuffed by some Neoplatonists, including Plotinus.
Persian origins or influences
Early research into the origins of Gnosticism proposed Persian origins or influences, spreading to Europe and incorporating Jewish elements. According to Wilhelm Bousset (1865–1920), Gnosticism was a form of Iranian and Mesopotamian syncretism,[29] and Richard August Reitzenstein (1861–1931) most famously situated the origins of Gnosticism in Persia.
Carsten Colpe (b. 1929) has analyzed and criticised the Iranian hypothesis of Reitzenstein, showing that many of his hypotheses are untenable. Nevertheless, Geo Widengren (1907–1996) argued for the origin of (Mandaean) Gnosticism in Mazdean (Zoroastrianism) Zurvanism, in conjunction with ideas from the Aramaic Mesopotamian world.
Buddhist parallels
In 1966, at the Congress of Median, Buddhologist Edward Conze noted phenomenological commonalities between Mahayana Buddhism and Gnosticism, in his paper Buddhism and Gnosis, following an early suggestion put forward by Isaac Jacob Schmidt. The influence of Buddhism in any sense on either the gnostikos Valentinus (c. 170) or the Nag Hammadi texts (3rd century) is not supported by modern scholarship, although Elaine Pagels (1979) called it a "possibility".
Characteristics
Cosmology
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The Syrian–Egyptian traditions postulate a remote, supreme Godhead, the Monad. From this highest divinity emanate lower divine beings, known as Aeons. The Demiurge, one of those Aeons, creates the physical world. Divine elements "fall" into the material realm, and are locked within human beings. This divine element returns to the divine realm when Gnosis, esoteric or intuitive knowledge of the divine element within, is obtained.
Dualism and monism
Gnostic systems postulate a dualism between God and the world, varying from the "radical dualist" systems of Manichaeism to the "mitigated dualism" of classic gnostic movements. Radical dualism, or absolute dualism, posits two co-equal divine forces, while in mitigated dualism one of the two principles is in some way inferior to the other. In qualified monism the second entity may be divine or semi-divine. Valentinian Gnosticism is a form of monism, expressed in terms previously used in a dualistic manner.
Moral and ritual practice
Gnostics tended toward asceticism, especially in their sexual and dietary practice. In other areas of morality, Gnostics were less rigorously ascetic, and took a more moderate approach to correct behaviour. In normative early Christianity the Church administered and prescribed the correct behaviour for Christians, while in Gnosticism it was the internalised motivation that was important. Ritualistic behaviour was not important unless it was based on a personal, internal motivation. Ptolemy's Epistle to Flora describes a general asceticism, based on the moral inclination of the individual.
Concepts
Monad
In many Gnostic systems, God is known as the Monad, the One. God is the high source of the pleroma, the region of light. The various emanations of God are called æons. According to Hippolytus, this view was inspired by the Pythagoreans, who called the first thing that came into existence the Monad, which begat the dyad, which begat the numbers, which begat the point, begetting lines, etc.
The Sethian cosmogony as most famously contained in the Apocryphon ("Secret book") of John describes an unknown God, very similar to the orthodox apophatic theology, but different from the orthodox teachings that this God is the creator of heaven and earth. Orthodox theologians often attempt to define God through a series of explicit positive statements: he is omniscient, omnipotent, and truly benevolent. The Sethian hidden transcendent God is, by contrast, defined through negative theology: he is immovable, invisible, intangible, ineffable; commonly, "he" is seen as being hermaphroditic, a potent symbol for being, as it were, "all-containing". In the Apocryphon of John, this god is good in that it bestows goodness. After the apophatic statements, the process of the Divine in action is used to describe the effect of such a god.
Pleroma
Pleroma (Greek πλήρωμα, "fullness") refers to the totality of God's powers. The heavenly pleroma is the center of divine life, a region of light "above" (the term is not to be understood spatially) our world, occupied by spiritual beings such as aeons (eternal beings) and sometimes archons. Jesus is interpreted as an intermediary aeon who was sent from the pleroma, with whose aid humanity can recover the lost knowledge of the divine origins of humanity. The term is thus a central element of Gnostic cosmology.
Pleroma is also used in the general Greek language, and is used by the Greek Orthodox church in this general form, since the word appears in the Epistle to the Colossians. Proponents of the view that Paul was actually a gnostic, such as Elaine Pagels, view the reference in Colossians as a term that has to be interpreted in a gnostic sense.
Emanation
The Supreme Light or Consciousness descends through a series of stages, gradations, worlds, or hypostases, becoming progressively more material and embodied. In time it will turn around to return to the One (epistrophe), retracing its steps through spiritual knowledge and contemplation.
Aeon
In many Gnostic systems, the aeons are the various emanations of the superior God or Monad. From this first being, also an æon, a series of different emanations occur, beginning in certain Gnostic texts with the hermaphroditic Barbelo, from which successive pairs of aeons emanate, often in male–female pairings called syzygies. The numbers of these pairings varied from text to text, though some identify their number as being thirty. The aeons as a totality constitute the pleroma, the "region of light". The lowest regions of the pleroma are closest to the darkness; that is, the physical world.
Two of the most commonly paired æons were Christ and Sophia (Greek: "Wisdom"); the latter refers to Christ as her "consort" in A Valentinian Exposition.
Sophia
In Gnostic tradition, the term Sophia (Σoφíα, Greek for "wisdom") refers to the final and lowest emanation of God. In most if not all versions of the gnostic myth, Sophia births the demiurge, who in turn brings about the creation of materiality. The positive or negative depiction of materiality thus resides a great deal on mythic depictions of Sophia's actions. She is occasionally referred to by the Hebrew equivalent of Achamoth (this is a feature of Ptolemy's version of the Valentinian gnostic myth). Jewish Gnosticism with a focus on Sophia was active by 90 AD.[citation needed]
Sophia, emanating without her partner, resulted in the production of the Demiurge (Greek: lit. "public builder"),[50] who is also referred to as Yaldabaoth and variations thereof in some Gnostic texts.[43] This creature is concealed outside the pleroma;[43] in isolation, and thinking itself alone, it creates materiality and a host of co-actors, referred to as archons. The demiurge is responsible for the creation of mankind; trapping elements of the pleroma stolen from Sophia inside human bodies.[43][51] In response, the Godhead emanates two savior aeons, Christ and the Holy Spirit; Christ then embodies itself in the form of Jesus, in order to be able to teach man how to achieve gnosis, by which they may return to the pleroma.[52]
Demiurge[edit]
A lion-faced deity found on a Gnostic gem in Bernard de Montfaucon's L'antiquité expliquée et représentée en figures may be a depiction of Yaldabaoth, the Demiurge; however, cf. Mithraic Zervan Akarana[53]
Main article: Demiurge
The term demiurge derives from the Latinized form of the Greek term dēmiourgos, δημιουργός, literally "public or skilled worker".[note 20] This figure is also called "Yaldabaoth",[43] Samael (Aramaic: sæmʻa-ʼel, "blind god"), or "Saklas" (Syriac: sækla, "the foolish one"), who is sometimes ignorant of the superior god, and sometimes opposed to it; thus in the latter case he is correspondingly malevolent. Other names or identifications are Ahriman, El, Satan, and Yahweh.
The demiurge creates the physical universe and the physical aspect of humanity.[55] The demiurge typically creates a group of co-actors named archons who preside over the material realm and, in some cases, present obstacles to the soul seeking ascent from it.[43] The inferiority of the demiurge's creation may be compared to the technical inferiority of a work of art, painting, sculpture, etc. to the thing the art represents. In other cases it takes on a more ascetic tendency to view material existence negatively, which then becomes more extreme when materiality, including the human body, is perceived as evil and constrictive, a deliberate prison for its inhabitants.
Moral judgements of the demiurge vary from group to group within the broad category of Gnosticism, viewing materiality as being inherently evil, or as merely flawed and as good as its passive constituent matter allows.[56]
Archon[edit]
Main article: Archon (Gnosticism)
In late antiquity some variants of Gnosticism used the term archon to refer to several servants of the demiurge.[51] In this context they may be seen as having the roles of the angels and demons of the Old Testament.[citation needed]
According to Origen's Contra Celsum, a sect called the Ophites posited the existence of seven archons, beginning with Iadabaoth or Ialdabaoth, who created the six that follow: Iao, Sabaoth, Adonaios, Elaios, Astaphanos, and Horaios.[57] Similarly to the Mithraic Kronos and Vedic Narasimha, a form of Vishnu, Ialdabaoth had a head of a lion.[43][58][59]
Other concepts[edit]
Other Gnostic concepts are:[60]
sarkic – earthly, hidebound, ignorant, uninitiated. The lowest level of human thought; the fleshly, instinctive level of thinking.
hylic – lowest order of the three types of human. Unable to be saved since their thinking is entirely material, incapable of understanding the gnosis.
psychic – "soulful", partially initiated. Matter-dwelling spirits
pneumatic – "spiritual", fully initiated, immaterial souls escaping the doom of the material world via gnosis.
kenoma – the visible or manifest cosmos, "lower" than the pleroma
charisma – gift, or energy, bestowed by pneumatics through oral teaching and personal encounters
logos – the divine ordering principle of the cosmos; personified as Christ. See also Odic force.
hypostasis – literally "that which stands beneath" the inner reality, emanation (appearance) of God, known to psychics
ousia – essence of God, known to pneumatics. Specific individual things or being.
Jesus as Gnostic saviour[edit]
Jesus is identified by some Gnostics as an embodiment of the supreme being who became incarnate to bring gnōsis to the earth,[61][52] while others adamantly denied that the supreme being came in the flesh, claiming Jesus to be merely a human who attained divinity through gnosis and taught his disciples to do the same.[citation needed] Among the Mandaeans, Jesus was considered a mšiha kdaba or "false messiah" who perverted the teachings entrusted to him by John the Baptist.[62] Still other traditions identify Mani and Seth – third son of Adam and Eve – as salvific figures.
Development[edit]
Three periods can be discerned in the development of Gnosticism:[63]
Late first century and early second century: development of Gnostic ideas, contemporaneous with the writing of the New Testament;
mid-second century to early third century: high point of the classical Gnostic teachers and their systems, "who claimed that their systems represented the inner truth revealed by Jesus";[63]
end of second century to fourth century: reaction by the proto-orthodox church and condemnation as heresy, and subsequent decline.
During the first period, three types of tradition developed:[63]
Genesis was reinterpreted in Jewish milieus, viewing Jahweh as a jealous God who enslaved people; freedom was to be obtained from this jealous God;
A wisdom tradition developed, in which Jesus' sayings were interpreted as pointers to an esoteric wisdom, in which the soul could be divinized through identification with wisdom.[63][note 21] Some of Jesus' sayings may have been incorporated into the gospels to put a limit on this development. The conflicts described in 1 Corinthians may have been inspired by a clash between this wisdom tradition and Paul's gospel of crucifixion and arising;[63]
A mythical story developed about the descent of a heavenly creature to reveal the Divine world as the true home of human beings.[63] Jewish Christianity saw the Messiah, or Christ, as "an eternal aspect of God's hidden nature, his "spirit" and "truth", who revealed himself throughout sacred history".[25]
The movement spread in areas controlled by the Roman Empire and Arian Goths,[65] and the Persian Empire. It continued to develop in the Mediterranean and Middle East before and during the 2nd and 3rd centuries, but decline also set in during the third century, due to a growing aversion from the Catholic Church, and the economic and cultural deterioration of the Roman Empire.[66] Conversion to Islam, and the Albigensian Crusade (1209–1229), greatly reduced the remaining number of Gnostics throughout the Middle Ages, though a few Mandaean communities still exist. Gnostic and pseudo-gnostic ideas became influential in some of the philosophies of various esoteric mystical movements of the 19th and 20th centuries in Europe and North America, including some that explicitly identify themselves as revivals or even continuations of earlier gnostic groups.
Relation with early Christianity[edit]
Dillon notes that Gnosticism raises questions about the development of early Christianity.[67]
Orthodoxy and heresy[edit]
See also: Diversity in early Christian theology
The Christian heresiologists, most notably Irenaeus, regarded Gnosticism as a Christian heresy. Modern scholarship notes that early Christianity was very diverse, and Christian orthodoxy only settled in the 4th century, when the Roman Empire declined and Gnosticism lost its influence.[68][66][69][67] Gnostics and proto-orthodox Christians shared some terminology. Initially, they were hard to distinguish from each other.[70]
According to Walter Bauer, "heresies" may well have been the original form of Christianity in many regions.[71] This theme was further developed by Elaine Pagels,[72] who argues that "the proto-orthodox church found itself in debates with gnostic Christians that helped them to stabilize their own beliefs."[67] According to Gilles Quispel, Catholicism arose in response to Gnosticism, establishing safeguards in the form of the monarchic episcopate, the creed, and the canon of holy books.[73]
Historical Jesus[edit]
See also: Jesus in comparative mythology and Christ myth theory
The Gnostic movements may contain information about the historical Jesus, since some texts preserve sayings which show similarities with canonical sayings.[74] Especially the Gospel of Thomas has a significant amount of parallel sayings.[74] Yet, a striking difference is that the canonical sayings center on the coming endtime, while the Thomas-sayings center on a kingdom of heaven that is already here, and not a future event.[75] According to Helmut Koester, this is because the Thomas-sayings are older, implying that in the earliest forms of Christianity Jesus was regarded as a wisdom-teacher.[75] An alternative hypothesis states that the Thomas authors wrote in the second century, changing existing sayings and eliminating the apocalyptic concerns.[75] According to April DeConick, such a change occurred when the endtime did not come, and the Thomasine tradition turned toward a "new theology of mysticism" and a "theological commitment to a fully-present kingdom of heaven here and now, where their church had attained Adam and Eve's divine status before the Fall."[75]
Johannine literature[edit]
The prologue of the Gospel of John describes the incarnated Logos, the light that came to earth, in the person of Jesus.[76] The Apocryphon of John contains a scheme of three descendants from the heavenly realm, the third one being Jesus, just as in the Gospel of John. The similarities probably point to a relationship between gnostic ideas and the Johannine community.[76] According to Raymond Brown, the Gospel of John shows "the development of certain gnostic ideas, especially Christ as heavenly revealer, the emphasis on light versus darkness, and anti-Jewish animus."[76] The Johannine material reveals debates about the redeemer myth.[63] The Johannine letters show that there were different interpretations of the gospel story, and the Johannine images may have contributed to second-century Gnostic ideas about Jesus as a redeemer who descended from heaven.[63] According to DeConick, the Gospel of John shows a "transitional system from early Christianity to gnostic beliefs in a God who transcends our world."[76] According to DeConick, John may show a bifurcation of the idea of the Jewish God into Jesus' Father in Heaven and the Jews' father, "the Father of the Devil" (most translations say "of [your] father the Devil"), which may have developed into the gnostic idea of the Monad and the Demiurge.[76]
Paul and Gnosticism[edit]
Tertullian calls Paul "the apostle of the heretics",[77] because Paul's writings were attractive to gnostics, and interpreted in a gnostic way, while Jewish Christians found him to stray from the Jewish roots of Christianity.[78] In I Corinthians Paul refers to some church members as "having knowledge" (Greek: τὸν ἔχοντα γνῶσιν, ton echonta gnosin).[79] James Dunn claims that in some cases, Paul affirmed views that were closer to gnosticism than to proto-orthodox Christianity.[80]
According to Clement of Alexandria, the disciples of Valentinus said that Valentinus was a student of a certain Theudas, who was a student of Paul,[80] and Elaine Pagels notes that Paul's epistles were interpreted by Valentinus in a gnostic way, and Paul could be considered a proto-gnostic as well as a proto-Catholic.[60] Many Nag Hammadi texts, including, for example, the Prayer of Paul and the Coptic Apocalypse of Paul, consider Paul to be "the great apostle".[80] The fact that he claimed to have received his gospel directly by revelation from God appealed to the gnostics, who claimed gnosis from the risen Christ.[81] The Naassenes, Cainites, and Valentinians referred to Paul's epistles.[82] Timothy Freke and Peter Gandy have expanded upon this idea of Paul as a gnostic teacher;[83] although their premise that Jesus was invented by early Christians based on an alleged Greco-Roman mystery cult has been dismissed by scholars.[84][note 22] However, his revelation was different from the gnostic revelations.[85]
Major movements[edit]
Syrian-Egyptian Gnosticism[edit]
Syrian-Egyptian Gnosticism includes Sethianism, Valentinianism, Basilideans, Thomasine traditions, and Serpent Gnostics, as well as a number of other minor groups and writers.[86] Hermeticism is also a western Gnostic tradition,[66] though it differs in some respects from these other groups.[87] The Syrian–Egyptian school derives much of its outlook from Platonist influences. It depicts creation in a series of emanations from a primal monadic source, finally resulting in the creation of the material universe. These schools tend to view evil in terms of matter that is markedly inferior to goodness and lacking spiritual insight and goodness rather than as an equal force.
Many of these movements used texts related to Christianity, with some identifying themselves as specifically Christian, though quite different from the Orthodox or Roman Catholic forms. Jesus and several of his apostles, such as Thomas the Apostle, claimed as the founder of the Thomasine form of Gnosticism, figure in many Gnostic texts. Mary Magdalene is respected as a Gnostic leader, and is considered superior to the twelve apostles by some gnostic texts, such as the Gospel of Mary. John the Evangelist is claimed as a Gnostic by some Gnostic interpreters,[88] as is even St. Paul.[60] Most of the literature from this category is known to us through the Nag Hammadi Library.
Sethite-Barbeloite[edit]
Main article: Sethianism
Sethianism was one of the main currents of Gnosticism during the 2nd to 3rd centuries, and the prototype of Gnosticism as condemned by Irenaeus.[89] Sethianism attributed its gnosis to Seth, third son of Adam and Eve and Norea, wife of Noah, who also plays a role in Mandeanism and Manicheanism. Their main text is the Apocryphon of John, which does not contain Christian elements,[89] and is an amalgam of two earlier myths.[90] Earlier texts such as Apocalypse of Adam show signs of being pre-Christian and focus on the Seth, third son of Adam and Eve.[91] Later Sethian texts continue to interact with Platonism. Sethian texts such as Zostrianos and Allogenes draw on the imagery of older Sethian texts, but utilize "a large fund of philosophical conceptuality derived from contemporary Platonism, (that is, late middle Platonism) with no traces of Christian content."[31][note 23]
According to John D. Turner, German and American scholarship views Sethianism as "a distinctly inner-Jewish, albeit syncretistic and heterodox, phenomenon", while British and French scholarship tends to see Sethianism as "a form of heterodox Christian speculation".[92] Roelof van den Broek notes that "Sethianism" may never have been a separate religious movement, and that the term refers rather to a set of mythological themes which occur in various texts.[93]
According to Smith, Sethianism may have begun as a pre-Christian tradition, possibly a syncretic cult that incorporated elements of Christianity and Platonism as it grew.[94] According to Temporini, Vogt, and Haase, early Sethians may be identical to or related to the Nazarenes (sect), the Ophites, or the sectarian group called heretics by Philo.[91]
According to Turner, Sethianism was influenced by Christianity and Middle Platonism, and originated in the second century as a fusion of a Jewish baptizing group of possibly priestly lineage, the so-called Barbeloites,[95] named after Barbelo, the first emanation of the Highest God, and a group of Biblical exegetes, the Sethites, the "seed of Seth".[96] At the end of the second century, Sethianism grew apart from the developing Christian orthodoxy, which rejected the docetian view of the Sethians on Christ.[97] In the early third century, Sethianism was fully rejected by Christian heresiologists, as Sethianism shifted toward the contemplative practices of Platonism while losing interest in their own origins.[98] In the late third century, Sethianism was attacked by neo-Platonists like Plotinus, and Sethianism became alienated from Platonism. In the early- to mid-fourth century, Sethianism fragmented into various sectarian Gnostic groups such as the Archontics, Audians, Borborites, and Phibionites, and perhaps Stratiotici, and Secundians.[99][31] Some of these groups existed into the Middle Ages.[99]
Samaritan Baptist sects[edit]
According to Magris, Samaritan Baptist sects were an offshoot of John the Baptist.[100] One offshoot was in turn headed by Dositheus, Simon Magus, and Menander. It was in this milieu that the idea emerged that the world was created by ignorant angels. Their baptismal ritual removed the consequences of sin, and led to a regeneration by which natural death, which was caused by these angels, was overcome.[100] The Samaritan leaders were viewed as "the embodiment of God's power, spirit, or wisdom, and as the redeemer and revealer of 'true knowledge'".[100]
The Simonians were centered on Simon Magus, the magician baptised by Philip and rebuked by Peter in Acts 8, who became in early Christianity the archetypal false teacher. The ascription by Justin Martyr, Irenaeus, and others of a connection between schools in their time and the individual in Acts 8 may be as legendary as the stories attached to him in various apocryphal books. Justin Martyr identifies Menander of Antioch as Simon Magus' pupil. According to Hippolytus, Simonianism is an earlier form of the Valentinian doctrine.[101]
The Basilidians or Basilideans were founded by Basilides of Alexandria in the second century. Basilides claimed to have been taught his doctrines by Glaucus, a disciple of St. Peter, but could also have been a pupil of Menander.[102] Basilidianism survived until the end of the 4th century as Epiphanius knew of Basilidians living in the Nile Delta. It was, however, almost exclusively limited to Egypt, though according to Sulpicius Severus it seems to have found an entrance into Spain through a certain Mark from Memphis. St. Jerome states that the Priscillianists were infected with it.
Valentinianism[edit]
Main article: Valentinianism
Valentinianism was named after its founder Valentinus (c. 100 – 180), who was a candidate for bishop of Rome but started his own group when another was chosen.[103] Valentinianism flourished after the middle of the 2nd century. The school was popular, spreading to Northwest Africa and Egypt, and through to Asia Minor and Syria in the east,[104] and Valentinus is specifically named as gnostikos by Irenaeus. It was an intellectually vibrant tradition,[105] with an elaborate and philosophically "dense" form of Gnosticism. Valentinus' students elaborated on his teachings and materials, and several varieties of their central myth are known.
Valentinian Gnosticism may have been monistic rather than dualistic.[note 24] In the Valentinian myths, the creation of a flawed materiality is not due to any moral failing on the part of the Demiurge, but due to the fact that he is less perfect than the superior entities from which he emanated.[108] Valentinians treat physical reality with less contempt than other Gnostic groups, and conceive of materiality not as a separate substance from the divine, but as attributable to an error of perception which becomes symbolized mythopoetically as the act of material creation.[108]
The followers of Valentinius attempted to systematically decode the Epistles, claiming that most Christians made the mistake of reading the Epistles literally rather than allegorically. Valentinians understood the conflict between Jews and Gentiles in Romans to be a coded reference to the differences between Psychics (people who are partly spiritual but have not yet achieved separation from carnality) and Pneumatics (totally spiritual people). The Valentinians argued that such codes were intrinsic in gnosticism, secrecy being important to ensuring proper progression to true inner understanding.[note 25]
According to Bentley Layton "Classical Gnosticism" and "The School of Thomas" antedated and influenced the development of Valentinus, whom Layton called "the great [Gnostic] reformer" and "the focal point" of Gnostic development. While in Alexandria, where he was born, Valentinus probably would have had contact with the Gnostic teacher Basilides, and may have been influenced by him.[109] Simone Petrement, while arguing for a Christian origin of Gnosticism, places Valentinus after Basilides, but before the Sethians. According to Petrement, Valentinus represented a moderation of the anti-Judaism of the earlier Hellenized teachers; the demiurge, widely regarded as a mythological depiction of the Old Testament God of the Hebrews, is depicted as more ignorant than evil.[110]
Thomasine traditions[edit]
The Thomasine Traditions refers to a group of texts which are attributed to the apostle Thomas.[111][note 26] Karen L. King notes that "Thomasine Gnosticism" as a separate category is being criticised, and may "not stand the test of scholarly scrutiny".[112]
Marcion[edit]
Marcion was a Church leader from Sinope (present-day Turkey), who preached in Rome around 150 CE,[113] but was expelled and started his own congregation, which spread throughout the Mediterranean. He rejected the Old Testament, and followed a limited Christian canon, which included only a redacted version of Luke, and ten edited letters of Paul.[114] Some scholars do not consider him to be a gnostic,[115][note 27] but his teachings clearly resemble some Gnostic teachings.[113] He preached a radical difference between the God of the Old Testament, the Demiurge, the "evil creator of the material universe", and the highest God, the "loving, spiritual God who is the father of Jesus", who had sent Jesus to the earth to free mankind from the tyranny of the Jewish Law.[113][2] Like the Gnostics, Marcion argued that Jesus was essentially a divine spirit appearing to men in the shape of a human form, and not someone in a true physical body.[116] Marcion held that the heavenly Father (the father of Jesus Christ) was an utterly alien god; he had no part in making the world, nor any connection with it.[116]
Hermeticism[edit]
Hermeticism is closely related to Gnosticism, but its orientation is more positive.[66][87]
Other Gnostic groups[edit]
Serpent Gnostics. The Naassenes, Ophites and the Serpentarians gave prominence to snake symbolism, and snake handling played a role in their ceremonies.[113]
Cerinthus (c. 100), the founder of a heretical school with gnostic elements. Like a Gnostic, Cerinthus depicted Christ as a heavenly spirit separate from the man Jesus, and he cited the demiurge as creating the material world. Unlike the Gnostics, Cerinthus taught Christians to observe the Jewish law; his demiurge was holy, not lowly; and he taught the Second Coming. His gnosis was a secret teaching attributed to an apostle. Some scholars believe that the First Epistle of John was written as a response to Cerinthus.[117]
The Cainites are so-named since Hippolytus of Rome claims that they worshiped Cain, as well as Esau, Korah, and the Sodomites. There is little evidence concerning the nature of this group. Hippolytus claims that they believed that indulgence in sin was the key to salvation because since the body is evil, one must defile it through immoral activity (see libertinism). The name Cainite is used as the name of a religious movement, and not in the usual Biblical sense of people descended from Cain.
The Carpocratians, a libertine sect following only the Gospel according to the Hebrews
The school of Justin, which combined gnostic elements with the ancient Greek religion.
The Borborites, a libertine Gnostic sect, said to be descended from the Nicolaitans[118]
Persian Gnosticism[edit]
The Persian Schools, which appeared in the western Persian province of Babylonia (in particular, within the Sassanid province of Asuristan), and whose writings were originally produced in the Aramaic dialects spoken in Babylonia at the time, are representative of what is believed to be among the oldest of the Gnostic thought forms. These movements are considered by most to be religions in their own right, and are not emanations from Christianity or Judaism.
Manichaeism[edit]
Manicheanism priests writing at their desks, with panel inscription in Sogdian. Manuscript from Khocho, Tarim Basin.
Main article: Manichaeism
Manichaeism was founded by the Prophet Mani (216–276). Mani's father was a member of the Jewish-Christian sect of the Elcesaites, a subgroup of the Gnostic Ebionites. At ages 12 and 24, Mani had visionary experiences of a "heavenly twin" of his, calling him to leave his father's sect and preach the true message of Christ. In 240–41, Mani travelled to the Indo-Greek Kingdom of the Sakhas in modern-day Afghanistan, where he studied Hinduism and its various extant philosophies. Returning in 242, he joined the court of Shapur I, to whom he dedicated his only work written in Persian, known as the Shabuhragan. The original writings were written in Syriac Aramaic, in a unique Manichaean script.
Manichaeism conceives of two coexistent realms of light and darkness that become embroiled in conflict. Certain elements of the light became entrapped within darkness, and the purpose of material creation is to engage in the slow process of extraction of these individual elements. In the end the kingdom of light will prevail over darkness. Manicheanism inherits this dualistic mythology from Zurvanist Zoroastrianism,[119] in which the eternal spirit Ahura Mazda is opposed by his antithesis, Angra Mainyu. This dualistic teaching embodied an elaborate cosmological myth that included the defeat of a primal man by the powers of darkness that devoured and imprisoned the particles of light.[120]
According to Kurt Rudolph, the decline of Manichaeism that occurred in Persia in the 5th century was too late to prevent the spread of the movement into the east and the west.[121] In the west, the teachings of the school moved into Syria, Northern Arabia, Egypt and North Africa.[note 28] There is evidence for Manicheans in Rome and Dalmatia in the 4th century, and also in Gaul and Spain. From Syria it progressed still farther, into Palestine, Asia Minor and Armenia. The influence of Manicheanism was attacked by imperial elects and polemical writings, but the religion remained prevalent until the 6th century, and still exerted influence in the emergence of the Paulicians, Bogomils and Cathari in the Middle Ages, until it was ultimately stamped out by the Catholic Church.[121]
In the east, Rudolph relates, Manicheanism was able to bloom, because the religious monopoly position previously held by Christianity and Zoroastrianism had been broken by nascent Islam. In the early years of the Arab conquest, Manicheanism again found followers in Persia (mostly amongst educated circles), but flourished most in Central Asia, to which it had spread through Iran. Here, in 762, Manicheanism became the state religion of the Uyghur Empire.[121]
Mandaeanism[edit]
Main article: Mandaeanism
Mandaean house of worship in Nasiriya, Iraq
The Mandaeans are Semites and speak a dialect of Eastern Aramaic known as Mandaic. Their religion has been practised primarily around the lower Karun, Euphrates and Tigris and the rivers that surround the Shatt-al-Arab waterway, part of southern Iraq and Khuzestan Province in Iran. Mandaeanism is still practiced in small numbers, in parts of southern Iraq and the Iranian province of Khuzestan, and there are thought to be between 60,000 and 70,000 Mandaeans worldwide.[124]
The name of the group derives from the term Mandā d-Heyyi, which roughly means "Knowledge of Life". Although the exact chronological origins of this movement are not known, John the Baptist eventually came to be a key figure in the religion, as an emphasis on baptism is part of their core beliefs. As with Manichaeism, despite certain ties with Christianity,[125] Mandaeans do not believe in Moses, Jesus, or Mohammed. Their beliefs and practices likewise have little overlap with the religions that manifested from those religious figures and the two should not be confused. Significant amounts of original Mandaean Scripture, written in Mandaean Aramaic, survive in the modern era. The primary source text is known as the Genzā Rabbā and has portions identified by some scholars as being copied as early as the 3rd century. There is also the Qolastā, or Canonical Book of Prayer and The Book of John the Baptist (sidra ḏ-iahia).
Middle Ages[edit]
After its demise in the Mediterranean world, Gnosticism lived on in the periphery of the Byzantine Empire, and resurfaced in the western world. The Paulicians, an Adoptionist group which flourished between 650 and 872 in Armenia and the Eastern Themes of the Byzantine Empire, were accused by orthodox medieval sources of being Gnostic and quasi Manichaean Christian. The Bogomils, emerged in Bulgaria between 927 and 970 and spread throughout Europe. It was as synthesis of Armenian Paulicianism and the Bulgarian Orthodox Church reform movement.
The Cathars (Cathari, Albigenses or Albigensians) were also accused by their enemies of the traits of Gnosticism; though whether or not the Cathari possessed direct historical influence from ancient Gnosticism is disputed. If their critics are reliable the basic conceptions of Gnostic cosmology are to be found in Cathar beliefs (most distinctly in their notion of a lesser, Satanic, creator god), though they did not apparently place any special relevance upon knowledge (gnosis) as an effective salvific force.[verification needed]
Islam[edit]
The message of the Islamic prophet Muhammad shows close similarities to many Gnostic ideas. The Quran, like Gnostic cosmology, makes a sharp distinction between this world and the afterlife. The notion of four rivers in heaven, as mentioned in the Quran, separating this world from the other , also appears frequently in Mandaean literature. God is commonly thought of as being beyond human comprehension. In some Islamic schools of thought, somehow identifiable with the Gnostic Monad.[126][127] However, according to Islam and unlike most Gnostic sects, not rejection of this world, but performing good deeds leads to the heaven. And according to the Islamic belief in strict Oneness of God, there was no room for a lower deity; such as the demiurge.[128] According to Islam, both good and evil come from one God, a position especially opposed by the Manichaeans. Ibn al-Muqaffa depicted the Islamic deity as a demonic entity who "fights with humans and boasts about His victories" and "sitting on a throne, from which He can descend". It would be impossible that both light and darkness were created from one source, since they were regarded as two different eternal principles.[129] Muslim theologists countered this accusation by the example of a repeating sinner, who says: "I laid, and I repent";[130] this would prove that good can also result out of evil.
Islam also integrated traces of an entity given authority over the lower world in some early writings: Iblis is regarded by some Sufis as the owner of this world, and humans must avoid the treasures of this world, since they would belong to him.[131] In the Isma'ili Shia work Umm al Kitab, Azazil's role resembles whose of the Gnostic demiurge.[132] Like the demiurge, he is endowed with the ability to create his own world and seeks to imprison humans in the material world, but here, his power is limited and depends on the higher God.[133] Such Gnostic anthropogenic can be found frequently among Isma'ili traditions.[134] However, Ismailism were often criticised as non-Islamic. Ghazali characterized them as a group who are outwardly Shias but were actually adherence of a dualistic and philosophical religion. Further traces of Gnostic ideas can be found in Sufi anthropogenic.[135] Like the gnostic conception of human beings imprisoned in matter, Sufi-traditions acknowledges the human soul is an accomplice of the material world and subject to bodily desires similar to the way archontic spheres envelop the pneuma.[136] The Ruh must therefore gain victory over the lower and material-bound psyche, to overcome his animal nature. A human being captured by his animal desires, mistakenly claims autonomy and independence from the "higher God", thus resembling the lower deity in classical gnostic traditions. However, since the goal is not to abandon the created world, but just to free oneself from ones own lower desires, it can be disputed whether this can still be Gnostic, but rather a completion of the message of Muhammad.[129] It seems that Gnostic ideas were an influential part of early Islamic development but later lost its influence. However the Gnostic light metaphorics and the idea of unity of existence still prevailed in later Islamic thought.[127]
Kabbalah[edit]
Gnostic ideas found a Jewish variation in the mystical study of Kabbalah. Many core Gnostic ideas reappear in Kabbalah, where they are used for dramatically reinterpreting earlier Jewish sources according to this new system.[137] The Kabbalists originated in 13th-century Provence,[note 29] which was at that time also the center of the Gnostic Cathars. While some scholars in the middle of the 20th century tried to assume an influence between the Cathar "gnostics" and the origins of the Kabbalah, this assumption has proved to be an incorrect generalization not substantiated by any original texts.[139] On the other hand, other scholars, such as Scholem, have postulated that there was originally a "Jewish gnosticism", which influenced the early origins of gnosticism.[140]
Kabbalah does not employ the terminology or labels of non-Jewish Gnosticism, but grounds the same or similar concepts in the language of the Torah (the first five books of the Hebrew Bible).[141] The 13th-century Zohar ("Splendor"), a foundational text in Kabbalah, is written in the style of a Jewish Aramaic Midrash, clarifying the five books of the Torah with a new Kabbalistic system that uses completely Jewish terms.[142]
Modern times[edit]
Main article: Gnosticism in modern times
The Mandaeans are an ancient Gnostic sect that have survived to this day and are found today in Iraq.[143] Their namesake owes to their following John the Baptist and in that country, they have about five thousand followers.[143] A number of ecclesiastical bodies that think of themselves as Gnostic have set up or re-founded since World War II, including the Ecclesia Gnostica, Apostolic Johannite Church, Ecclesia Gnostica Catholica, the Gnostic Church of France, the Thomasine Church, the Alexandrian Gnostic Church, the North American College of Gnostic Bishops,[144] and the Universal Gnosticism of Samael Aun Weor.[145]
A number of 19th-century thinkers such as Arthur Schopenhauer,[146] Albert Pike and Madame Blavatsky studied Gnostic thought extensively and were influenced by it, and even figures like Herman Melville and W. B. Yeats were more tangentially influenced.[147] Jules Doinel "re-established" a Gnostic church in France in 1890, which altered its form as it passed through various direct successors (Fabre des Essarts as Tau Synésius and Joanny Bricaud as Tau Jean II most notably), and, though small, is still active today.[148]
Early 20th-century thinkers who heavily studied and were influenced by Gnosticism include Carl Jung (who supported Gnosticism), Eric Voegelin (who opposed it), Jorge Luis Borges (who included it in many of his short stories), and Aleister Crowley, with figures such as Hermann Hesse being more moderately influenced. René Guénon founded the gnostic review, La Gnose in 1909, before moving to a more Perennialist position, and founding his Traditionalist School. Gnostic Thelemite organizations, such as Ecclesia Gnostica Catholica and Ordo Templi Orientis, trace themselves to Crowley's thought.
The discovery and translation of the Nag Hammadi library after 1945 has had a huge effect on Gnosticism since World War II. Intellectuals who were heavily influenced by Gnosticism in this period include Lawrence Durrell, Hans Jonas, Philip K. Dick and Harold Bloom, with Albert Camus and Allen Ginsberg being more moderately influenced.[147] Celia Green has written on Gnostic Christianity in relation to her own philosophy.[149]
Alfred North Whitehead was aware of the existence of the newly discovered Gnostic scrolls. Accordingly, Michel Weber has proposed a Gnostic interpretation of his late metaphysics.[150]
Sources[edit]
Heresiologists[edit]
Prior to the discovery of the Nag Hammadi library in 1945 Gnosticism was known primarily through the works of heresiologists, Church Fathers who opposed those movements. These writings had an antagonistic bias towards gnostic teachings, and were incomplete. Several heresiological writers, such as Hippolytus, made little effort to exactly record the nature of the sects they reported on, or transcribe their sacred texts. Reconstructions of incomplete Gnostic texts were attempted in modern times, but research on Gnosticism was coloured by the orthodox views of those heresiologists.
Justin Martyr (c. 100/114 – c. 162/168) wrote the First Apology, addressed to Roman Emperor Antoninus Pius, which criticising Simon Magus, Menander and Marcion. Since this time, both Simon and Menander have been considered as 'proto-Gnostic'.[151] Irenaeus (died c. 202) wrote Against Heresies (c. 180–185), which identifies Simon Magus from Flavia Neapolis in Samaria as the inceptor of Gnosticism. From Samaria he charted an apparent spread of the teachings of Simon through the ancient "knowers" into the teachings of Valentinus and other, contemporary Gnostic sects.[note 30] Hippolytus (170–235) wrote the ten-volume Refutation Against all Heresies, of which eight have been unearthed. It also focuses on the connection between pre-Socratic (and therefore Pre-Incantation of Christ) ideas and the false beliefs of early gnostic heretical leaders. Thirty-three of the groups he reported on are considered Gnostic by modern scholars, including 'the foreigners' and 'the Seth people'. Hippolytus further presents individual teachers such as Simon, Valentinus, Secundus, Ptolemy, Heracleon, Marcus and Colorbasus. Tertullian (c. 155–230) from Carthage wrote Adversus Valentinianos ('Against the Valentinians'), c. 206, as well as five books around 207–208 chronicling and refuting the teachings of Marcion.
Gnostic texts[edit]
See also: Gnostic texts and Nag Hammadi library
Prior to the discovery at Nag Hammadi, a limited number of texts were available to students of Gnosticism. Reconstructions were attempted from the records of the heresiologists, but these were necessarily coloured by the motivation behind the source accounts.
The Nag Hammadi library [note 31] is a collection of Gnostic texts discovered in 1945 near Nag Hammadi, Upper Egypt. Twelve leather-bound papyrus codices buried in a sealed jar were found by a local farmer named Muhammed al-Samman.[152] The writings in these codices comprised fifty-two mostly Gnostic treatises, but they also include three works belonging to the Corpus Hermeticum and a partial translation/alteration of Plato's Republic. These codices may have belonged to a nearby Pachomian monastery, and buried after Bishop Athanasius condemned the use of non-canonical books in his Festal Letter of 367.[153] Though the original language of composition was probably Greek, the various codices contained in the collection were written in Coptic. A 1st- or 2nd-century date of composition for the lost Greek originals has been proposed, though this is disputed; the manuscripts themselves date from the 3rd and 4th centuries. The Nag Hammadi texts demonstrated the fluidity of early Christian scripture and early Christianity itself.[note 32]
Academic studies[edit]
Development[edit]
Prior to the discovery of Nag Hammadi, the Gnostic movements were largely perceived through the lens of the early church heresiologists. Johann Lorenz von Mosheim (1694–1755) proposed that Gnosticism developed on its own in Greece and Mesopotamia, spreading to the west and incorporating Jewish elements. According to Mosheim, Jewish thought took Gnostic elements and used them against Greek philosophy.[33] J. Horn and Ernest Anton Lewald proposed Persian and Zoroastrian origins, while Jacques Matter described Gnosticism as an intrusion of eastern cosmological and theosophical speculation into Christianity.[33]
In the 1880s Gnosticism was placed within Greek philosophy, especially neo-Platonism.[29] Adolf von Harnack (1851–1930), who belonged to the School of the History of Dogma and proposed a Kirchengeschichtliches Ursprungsmodell, saw gnosticism as an internal development within the church under the influence of Greek philosophy.[29][155] According to Harnack, Gnosticism was the "acute Hellenization of Christianity."[29]
The Religionsgeschichtliche Schule ("history of religions school", 19th century) had a profound influence on the study of Gnosticism.[29] The Religionsgeschichtliche Schule saw Gnosticism as a pre-Christian phenomenon, and Christian gnosis as only one, and even marginal instance of this phenomenon.[29] According to Wilhelm Bousset (1865–1920), Gnosticism was a form of Iranian and Mesopotamian syncretism,[29] and Eduard Norden (1868–1941) also proposed pre-Christian origins,[29] while Richard August Reitzenstein (1861–1931), and Rudolf Bultmann (1884–1976) also situated the origins of Gnosticism in Persia.[29] Hans Heinrich Schaeder (1896–1957) and Hans Leisegang saw Gnosticism as an amalgam of eastern thought in a Greek form.[29]
Hans Jonas (1903–1993) took an intermediate approach, using both the comparative approach of the Religionsgeschichtliche Schule and the existentialist hermeneutics of Bultmann. Jonas emphasized the duality between God and the world, and concluded that Gnosticism cannot be derived from Platonism.[19]
Contemporary scholarship largely agrees that Gnosticism has Jewish or Judeo-Christian origins;[19] this theses is most notably put forward by Gershom G. Scholem (1897–1982) and Gilles Quispel (1916–2006).[156]
The study of Gnosticism and of early Alexandrian Christianity received a strong impetus from the discovery of the Coptic Nag Hammadi Library in 1945.[157][158] A great number of translations have been published, and the works of Elaine Pagels, Professor of Religion at Princeton University, especially The Gnostic Gospels, which detailed the suppression of some of the writings found at Nag Hammadi by early bishops of the Christian church, has popularized Gnosticism in mainstream culture,[web 3][web 4] but also incited strong responses and condemnations from clergical writers.[159]
Definitions of Gnosticism[edit]
According to Matthew J. Dillon, six trends can be discerned in the definitions of Gnosticism:[160]
Typologies, "a catalogue of shared characteristics that are used to classify a group of objects together."[160]
Traditional approaches, viewing Gnosticism as a Christian heresy[161]
Phenomenological approaches, most notably Hans Jonas[162]
Restricting Gnosticism, "identifying which groups were explicitly called gnostics",[163] or which groups were clearly sectarian[163]
Deconstructing Gnosticism, abandoning the category of "Gnosticism"[164]
Psychology and cognitive science of religion, approaching Gnosticism as a psychological phenomena[165]
Typologies[edit]
The 1966 Messina conference on the origins of gnosis and Gnosticism proposed to designate
... a particular group of systems of the second century after Christ" as gnosticism, and to use gnosis to define a conception of knowledge that transcends the times, which was described as "knowledge of divine mysteries for an élite.[166]
This definition has now been abandoned.[160] It created a religion, "Gnosticism", from the "gnosis" which was a widespread element of ancient religions,[note 33] suggesting a homogeneous conception of gnosis by these Gnostic religions, which did not exist at the time.[167]
According to Dillon, the texts from Nag Hammadi made clear that this definition was limited, and that they are "better classified by movements (such as Valentinian), mythological similarity (Sethian), or similar tropes (presence of a Demiurge)."[160] Dillon further notes that the Messian-definition "also excluded pre-Christian Gnosticism and later developments, such as the Mandaeans and the Manichaeans."[160]
Hans Jonas discerned two main currents of Gnosticism, namely Syrian-Egyptian, and Persian, which includes Manicheanism and Mandaeanism.[19] Among the Syrian-Egyptian schools and the movements they spawned are a typically more Monist view. Persian Gnosticism possesses more dualist tendencies, reflecting a strong influence from the beliefs of the Persian Zurvanist Zoroastrians. Those of the medieval Cathars, Bogomils, and Carpocratians seem to include elements of both categories.
Gilles Quispel divided Syrian-Egyptian Gnosticism further into Jewish Gnosticism (the Apocryphon of John)[89] and Christian Gnosis (Marcion, Basilides, Valentinus). This "Christian Gnosticism" was Christocentric, and influenced by Christian writings such as the Gospel of John and the Pauline epistles.[168] Other authors speak rather of "Gnostic Christians", noting that Gnostics were a prominent substream in the early church.[169]
Traditional approaches – Gnosticism as Christian heresy[edit]
The best known example of this approach is Adolf von Harnack (1851–1930), who stated that "Gnosticism is the acute Hellenization of Christianity."[161] According to Dillon, "many scholars today continue in the vein of Harnack in reading gnosticism as a late and contaminated version of Christianity", notably Darrell Block, who criticises Elaine Pagels for her view that early Christianity was wildly diverse.[162]
Phenomenological approaches[edit]
Hans Jonas (1903–1993) t
In the 333 years that the Spaniards ruled the Philippines, every able-bodied males were asked to offer to the church/state a certain number of days of service in a year. For instance, churches are always constructed mainly by the inhabitants themselves. According to accounts, all male residents in Sibonga were asked to deliver two big stones to church every Monday. Skilled workers like masons, painters and carpenters often volunteered and were rewarded little except with the belief that they will be rewarded in the next life.
the Church of Nuestra Señora del Pilar of Sibonga, South Cebu, the Philippines
more pics and journeys in colloidfarl.blogspot.com/
Alamdanga, Chuadanga, Bangladesh.
His strong hands play subtly with the clay.
The wheel listens to his mind, the clay shapes up his imagination.
You'll forget the face, but you'll surely remember those hands.
A potter shaping up the clay. Captured from Korra, Chuadanga, Bangladesh.
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Tailem Bend transformations.
The town of Tailem Bend was not surveyed until 1887. It happened then because the Intercolonial Railway to Melbourne passed through the area and it had opened. Despite the railway arriving in 1887 and a Murray River ferry crossing Tailem Bend only started to develop in the 20th century. Growth was very slow in the town until Commissioner Webb decided to move the railway marshalling yards and the rail engine workshops from Murray Bridge to Tailem Bend in 1925. A government school had opened in 1902 but it was a tiny town. The only church built before the Webb era was a tiny Methodist church. But once Webb’s plans for Tailem Bend were announced the Catholics built a church in 1924, the Anglicans opened a church in 1926 and the Methodists opened a new stone church in 1927. Before the Webb era the finest building in Tailem Bend was the 1914 built Art Nouveau style railway station. The Tailem Bend hotel was also an early structure built in 1902 like the government school. That school was enlarged to cater for the new students from Tailem Bend North in 1927 when a two storey section was built.
Commissioner Webb mainly moved railway operations to Tailem Bend for the reasons above – good flat land, further from Adelaide, starting point of the Murray Mallee rail lines, good areas for marshalling yards, and plentiful water. Webb also wanted and built his new American style roundhouse (14 bays) for engine repairs and storage at Tailem Bend. He had electrified signalling from Adelaide to Tailem Bend to improve efficiency and speed of trains, especially goods trains through the Adelaide Hills and he moved train control to the despatch room at Tailem Bend. Although he was not in favour of it parliament did force him to build another Murray Mallee railway line from Wanbi to Yinkanie near Moorook in 1925. He was, however in favour of a line and bridge across the Murray River to Renmark and Barmera in 1927. As his operations moved from Murray Bridge he installed an electricity generator for the railways and for use by the town residents in 1927. This provide electricity until ETSA took over supply in 1957. Webb’s hub at Tailem Bend was also where train crews changed and slept over as necessary. This required barracks. Webb also built a new coaling station at Tailem Bend and moved administrative staff from Murray Bridge to the town.
Webb did not forget about his workers despite the union opposition to him. He had already undertaken major building of railway workers cottages at stations around the state but at Tailem Bend he was able to create a rail and the new marshalling yards. The main streets included Webb Street and Railway Terrace and the railway siding that took Tailem Bend North students by train to Murray Bridge High School- Wurtun Station. Webb favoured good housing for railway workers as he said they were always being moved to new locations. Webb liked Greek Ionic columns and volutes which he used on the Adelaide Railway Station. The workers cottages in Tailem Bend also had Ionic volutes on their veranda posts and 25 had been partially built by the end of 1925. Houses were of similar design but there was a hierarchy and more skilled workers got bigger and slightly better houses. More railway houses were erected elsewhere in the town. The town population swelled from a couple of hundred residents to several thousand in a year or so. Today the Webb era housing remains, the roundhouse has been demolished but the turntable and some track remain and the marshalling yards are seldom used. The Art Nouveau railway station of 1914 is no longer used by railway passengers. It is the Information Centre.
April Is National Welding Month
The American Welding Society sponsors this month as “National Welding Month” and shares important facts about the need and significance for qualified welders.
Some interesting facts about welding:
Welding is the joining of two or more materials through heat or heat and pressure, forming a bond between two pieces of metal or plastic.
There are more than 80 welding processes.
Welding is used to build ships, automobiles, planes, trains, and space vehicles.
Welding is used in construction of buildings, bridges, pipelines, power plants, and oil refineries.
Welding is used in the manufacturing of small electronic devices, medical equipment, and nanotechnology.
Advancements in materials, processes, and equipment make modern welding an increasingly high-tech skill.
What’s in store for the future of the Welding Industry?
Advancing manufacturing technology creates more uses for welding in the workplace and is expanding opportunities.
New materials are creating a greater need for a highly educated and innovative welder workforce.
Automation reinforces the need for skilled machine operators.
There is an increased emphasis on skilled workers with identifiable credentials to ensure quality.
Are you considering a career in welding?
Industry in the U.S. projects it will need over 450,000 welding professionals by 2022.
Many welders are highly skilled problem-solvers working in the aerospace, automotive, electronics, construction, manufacturing, oil and gas, rail, and shipbuilding industries.
A welding career can lead to financial security, career advancement, and important work in areas around the world.
Here, we see a welder at work, taking care of a rail connection on the railroad for the Winter Holiday Express Railway.
(This is my first try at using small battery powered lights on a close up photo on a Lego set up. The first photo I cropped didn't pass my approval, so I cropped it a little more.)
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Happy belated birthday to my favorite time machine, who turned 75 this last week. The Fort Wayne Railroad Historical Society operates and maintains this child of 1944, which rolled out of the Lima Locomotive Works in Lima, Ohio in a radically different era. Having grown up in Fort Wayne, I came to know this engine and she kindled a love for steam powered trains in me ever since. In our modern electronic era, the engineering prowess with paper and pencils that could conjure more than four thousand horsepower at the pull of a lever seems almost alien. The skill of converting the power of boiling water into moving people and freight thousands of miles across steel track with steel wheels is just marvelous to think about. Surely such a machine designed today would be with computers and sensors and milled with laser cut precision and robots. Instead the craftsmanship of hundreds of skilled workers is self evident in this immense iron horse. These machines, which are seemingly alive when a fire is lit and water is boiled into steam pressure, speak to the past and guard their tales and lessons for future generations to learn from and marvel at. Check out her website at www.fortwaynerailroad.org and see how you can help her out. Here’s to another 75 and beyond, 765!
The history of the Citroën «Facile à Fabriquer, Facile à Financer», or FAF for “easy to make, easy to finance”, could be traced back to the early post-war period. Introduced in 1948, the 2CV was adapted, re-bodied and modified throughout its entire career, in particular to cope with the harsh environments of developing countries. Although Citroën introduced the Mehari in 1968 to satisfy customers on the coast or in the countryside, its plastic bodywork was not robust enough for third world countries. However, the market potential was significant, and Citroën engineers had to find a solution. The FAF project is presented in 1978 at the Dakar Fair. While the mechanical base was still derived from the 2CV, the bodywork used a unique production method. Made of sheet metal rather than plastic, the parts were cut according to a pattern and then folded along the dotted lines to form the different parts. The FAFs were to be manufactured locally, by low-skilled workers in countries without an automotive industry. Numerous versions were proposed, but without any exceptional success. In 1979, the FAF A 4x4 was presented. Equipped with a «patrol» body, it is powered by the twin-cylinder engine of the Visa and was aimed at African armies, but also at the French and Portuguese armies to replace their ageing Jeeps. A very confidential series will be produced, without any contract ever being signed. The FAF we present to you is a civilian A 4x4. Exhibited at the Porte de Versailles 4x4 and outdoor car show in September 1983, it has an original decoration, reminiscent of the “Croisières Citroën” of the 1930s. Its aesthetic is reworked: headlight grills, fake grass floor mats, specific 6 stripes paint for example. With about 2,200 km on the odometer, a dogleg gearbox and the possibility of switching between two or four wheel drive, this rare A 4x4 has only one thing to look forward to: crossing dunes, deserts or forests.
l'Aventure Peugeot Citroën DS, la Vente Officielle
Aguttes
Estimated : € 15.000 - 20.000
Sold for € 28.500
Citroen Heritage
93600 Aulnay-sous-Bois
France
September 2021
The rabbi is copying or correcting a copy of the Old Testament (Hebrew Bible) at Masada the jewish stronghold captured by the Romans in AD 73.
Please don't use this image on websites, blogs or other media without my explicit permission.
© rogerperriss@aol.com All rights reserved.
A lighter is a type of flat-bottomed barge used to transfer goods and passengers to and from moored ships. Lighters were traditionally unpowered and were moved and steered using long oars called "sweeps" and the motive power of water currents. They were operated by highly skilled workers called lightermen and were a characteristic sight in London's docks until about the 1960s, when technological changes made this form of lightering largely redundant. Unpowered lighters continue to be moved by powered tugs, however, and lighters may also now themselves be powered. The term is also used in the Lighter Aboard Ship (LASH) system.
Stefan, „Kabelaffe“ [Elektriker] (1963 – 1992)
Oberhausen 1980
Zuwanderungsgeschichten gibt es sehr viele im Ruhrgebiet. Diese hier ist ungewöhnlich. Stefan wuchs in Luxemburg auf. Sein Vater war als Jugendlicher aus der DDR geflohen, seine Mutter war Luxemburgerin. Stefan hatte einen deutschen Pass und war schon mit 14 sehr bekannt bei der luxemburgischen Polizei wegen Vandalismus, nächtlicher Ruhestörung und Drogendelikten. Als er 16 war, schickte ihn sein Vater zur Ausbildung ins Ruhrgebiet. Stefan wurde Energieanlagenelektroniker beim Maschinenbauer Babcock-Wilcox in Oberhausen. Während seiner Lehre ging er voll und ganz auf in der Arbeiter- und Saufkultur des Ruhrpotts. Er sprengte als Freizeit-Komiker jede Party und durfte, als er mit dem Facharbeiterbrief in der Hand und einer BMW-Limousine unterm Arsch im rheinland-pfälzischen AKW Mühlheim-Kärlich zu arbeiten begann, als polytoxikoman gelten: egal, welche Droge, Stefan probierte sie alle aus, auch während der Arbeit (Ich habe viele gute Gründe, gegen Atomkraft zu sein). Nach seiner zweiten Entziehungskur bekam er immerhin noch einen Job, bei dem er in den Wohnungen alter Omas die Sicherungskästen warten musste. Gestorben ist er mit 29, nachdem er Gerüchten zufolge Aufputschpillen genommen hatte, um eine Wette zu gewinnen. Aber seine Witze waren immer gut.
There are many stories of immigration in the Ruhr area. This one is unusual. Stefan grew up in Luxembourg. His father had fled the GDR as a teenager, his mother was from Luxembourg. Stefan had a German passport and by the age of 14 was well known to the Luxembourg police for vandalism, nighttime disturbances and drug-related crimes. When he was 16, his father sent him to the Ruhr area for apprenticeship. Stefan became an electronics technician for power systems at the machine builder Babcock-Wilcox in Oberhausen. During his apprenticeship, he immersed himself completely in the working-class and drinking culture of the Ruhr area. As a recreational comedian, he conquered every party and could be considered a polytoxicomaniac when he started to work with the skilled worker's certificate in his hand and a BMW limousine under his ass in the nuclear power plant in Mühlheim-Kärlich: no matter which drug, Stefan tried all of them, even at work (I have many good reasons to be against nuclear power). After his second rehab, he still got a job servicing the fuse boxes in old grandmothers' homes. He died at 29 after rumored to have taken stimulant pills to win a bet. But his jokes were always good.
A lady assembles a lantern in a shop that specializes in lantern design/making for any season. But Christmas is their busiest time of the year.
(for further pictures and information please go to the end of page and by clicking on the link my modest promises will be fulfilled!)
Parliament building
The original intention was to build two separate buildings for the Imperial Council and the House of Representatives of the by the February Patent 1861 established Reichsrat (Imperial Council). After the Compromise with Hungary, however, this plan was dropped and in the year 1869 the architect Theophil von Hansen by the Ministry of the Interior entrusted with the elaboration of the monumental project for a large parliament building. The first cut of the spade followed in June 1874, the foundation stone bears the date "2nd September 1874". At the same time was worked on the erection of the imperial museums, the Town Hall and the University. Theophil Hansen took - as already mentioned - well thought out and in a very meaningful way the style of the Viennese parliament building from ancient Greece; stem important constitutional terms but also from the Greek antiquity - such as "politics", "democracy" and others. Symbolic meaning had also that from nearly all crown lands of the monarchy materials have been used for the construction of the parliament building. Thus, the structure should symbolize the confluence of all the forces "of the in the in the Reichsrat represented kingdoms and countries" in the Vienna parliament building. With the downfall of the Austro-Hungarian monarchy ended the era of the multinational Parliament in Vienna.
Since November 1918, the building is the seat of the parliamentary bodies of the Republic of Austria, first the National Assembly and later the National Council in the until its destruction in 1945 remained unchanged session hall of the former Imperial Council holding meetings. During the Second World War, the parliament building was severely affected, about half of the building fabric were destroyed. On 7th February 1945 the portico by bombing suffered serious damage. Two columns were totally destroyed, the edge ceiling construction with the richly gilded coffered ceiling and a magnificent frieze painting, which was 121 meters long and 2 meters high and the most ideal and economic roles of the Parliament representing allegorically, were seriously damaged. During reconstruction, the rebuilding did not occur in the originally from Hansen originating features: instead of Pavonazzo marble for the wall plate cover Salzburg marble was used. The frieze painting initially not could be recovered, only in the 90s it should be possible to restore single surviving parts. In addition to destructions in the Chancellery Wing at the Ring Road as well as in the portico especially the Imperial Council tract was severely affected by the effects of war. The meeting room of the Imperial Council was completely burned out, in particular the figural jewelry as well as the ruined marble statues of Lycurgus, Solon, Themistocles, Aristides, Sophocles, Socrates, Pericles and Demosthenes appearing hardly recoverable. In this circumstances, it was decided not to reconstruct the old Imperial Council hall, but a new hall with a businesslike but refined and convenient furnishing for the National Council of the Republic of Austria to build. During the reconstruction of the building in the years 1945 to 1956 efforts were also made the yet by Hansen envisaged technical independence further to develop and to perfect. Thus the parliament building now has an emergency generator, which ensures, any time, adequate electricity supply of the house in case of failure of the city network, and a variety of other technical facilities, which guarantee a high supply autonomy. Not only from basic considerations in the sense of seperation of powers but also from the possibility of an extraordinary emergency, is this a compelling need. National Council and the Federal Council as the elected representative bodies of the Austrian people must at all times - especially in case of disaster - the material conditions for their activity have guaranteed. This purpose serve the mentioned facilities and many others, sometimes very complicated ones and the persons entrusted with their maintenance. To the staff of the Parliamentary Administration therefore belong not only academics, stenographers, administrators, secretaries and officials of the room service as in each parliament, but also the with the maintenance of the infrastructure of the parliament building entrusted technicians and skilled workers.
Analogous to other parliaments was for years, even decades tried to acquire or to rent one or the other object near the Parliament building. Finally one was able in 1981 to start with a basic conversion or expansion of the house Reichsratsstrasse 9 under planning by the architect Prof. Dr. Sepp Stein, in this connection was given the order the parliament building through a tunnel with the house in the Reichsratsstrasse to connect. With this tunnel not only a connection for pedestrians should be established, but also a technical integration of the two houses. In the basement of the building in which in early 1985 could be moved in, confluences the road tunnel; furthermore it serves the accommodation of technical rooms as well as of the storage, preparation and staff rooms for a restauration, a main kitchen and a restaurant for about 130 people are housed on the ground floor. On the first floor are located dining rooms for about 110 people; workrooms for MPs are in the second, offices in the third to the sixth floor housed. Ten years after the house Reichsratsstrasse 9 another building could be purchased, the house Reichsratsstrasse 1, and, again under the planning leadership of architect Prof. Dr. Sepp Stein, adapted for the purposes of the Parliament. This house also through an in the basement joining under road tunnel with the Parliament building was connected. The basement houses storage rooms, the ground floor next to an "info-shop" where information materials concerning the Austrian Parlament can be obtained, the Parliament Post Office and the printery. In the six upper floors are offices and other work spaces for different departments of the Parliamentary Administration. The previously by these departments used rooms in the Parliament building were, after it was moved into the house Reichsratsstrasse in 1994, mostly the parliamentary clubs made available. Already in 1992 by the rental of rooms in a building in the Schenkenstraße for the parliamentary staff of the deputies office premises had been created.
Pallas Athene
Parliament Vienna
The 5.5 meter high monumental statue of Pallas Athena in front of the parliament building in Vienna gives not only the outside appearance of this building a striking sculptural accent, but has almost become a symbolic figure of the Austrian parliamentarism. The Danish architect Theophil Hansen, according to which draft in the years 1874-1884 the parliament building has been built, has designed this as a "work of art (Gesamtkunstwerk)"; thus, his planning also including the figural decoration of the building. The in front of the Parliament ramp to be built monumental fountain should according to Hansen's original planning be crowned of an allegoric representation of the Austria, that is, a symbolization of Austria. In the definitive, in 1878 by Hansen submitted figure program took its place Pallas Athena, the Greek goddess of wisdom. The monumental statue was realized only after Hansen's death, but according to his design by sculptor Carl Kundmann in 1902.
Meeting room of the former House of Representatives
The meeting room of the former House of Representatives is largely preserved faithfully and now serves the meetings of the Federal Assembly as well as ceremonies and commemorative meetings of the National Council and the Federal Council. Architecturally, the hall is modeled on a Greek theater. Before the end wall is the presidium with the lectern and the Government Bench, in the semicircle the seats of the deputies are arranged. The from Carrara marble carved statues on the front wall - between the of Unterberger marble manufactured columns and pilasters - represent Roman statesmen, the by Friedrich Eisenmenger realised frieze painting depicts the emergence of political life, and the pediment group above it should symbolize the daily routine.
Portico
The large portico, in its proportions recreating the Parthenon of the Acropolis of Athens, forms the central chamber of the parliament building and should according to the original intention serve as a meeting place between members of the House of Representatives and of the Imperial Council. Today it functions as a venue, such as for the annual reception of the President of the National Council and the President of the Federal Council for the Diplomatic Corps. When choosing materials for the parliament building, Theophil Hansen strove to use marbles and stones from the crown lands of the monarchy, thus expressing their attachment to their Parliament. For example, consist the 24 monolithic, that is, produced from one-piece, columns, each more than 16 tons of weight, of the great hypostyle hall of Adnet marble, the floor panels of Istrian karst marble. When in the last months of the Second World War the Parliament building was severely affected by bomb hits, also the portico suffered severe damage, and the two columns in the north-west corner of the hall were destroyed, the edge ceiling construction with the richly gilded coffered ceiling and below the ceiling running frieze painting by Eduard Lebiedzki have been severely damaged. The two destroyed columns in 1950 were replaced by two new ones, broken from the same quarry as the originals, but not exhibiting the same pattern. The parts of the Lebiedzki frieze which have been restorable only in the 90s could be restored.
A profile picture of Doc as it taxis to the runway to prepare for takeoff.
In late 1939, the Army Air Corps issued a formal specification for a "superbomber", capable of delivering 20,000 lbs of bombs to a target 2,600 miles away at 400 mph.
The B-29 Superfortress was one of the most advanced bombers of the time, with innovations such as a pressurized cabin, a central fire-control system, and remote-controlled machine gun turrets.
In wartime, the B-29 was capable of flight up to 31,850 feet at speeds of 350 mph. Designed as a high-altitude daytime bomber, the B-29 flew more low-altitude nighttime incendiary bombing missions.
As part of the World War II military buildup, 3,970 B-29s were built during production at four assembly plants across the United States.
Doc is a B-29 Superfortress and one of 1,644 manufactured in Wichita during World War II. Since 1987 when Tony Mazzolini found Doc on sitting and rotting away in the Mojave Desert, plans have been in the works to restore the historic warbird to flying status to serve as a flying museum.
Over the past 15+ years, hundreds of volunteers have worked on Doc and the restoration project. Skilled workers and retirees from Wichita’s aviation industry, veterans, active duty military and others wanting to honor those who served, have spent tens of thousands of hours on Doc’s restoration. Countless individuals and organizations also made financial and in-kind contributions to keep the project going. Below is a brief timeline of Doc’s military service, the restoration effort and Doc’s current mission.
In March of 1945, B-29 No. 44-69972 (now known as Doc) was delivered to the U.S. Army. About five months later another B-29 was used to drop two atomic bombs on Japan, eventually leading to Japan’s surrender and the end of World War II.
In July of 1951, Doc was assigned to radar calibration duty, along with a few other B-29s. The squadron was known as the Seven Dwarfs. In May of 1955, Doc was assigned to target-towing duty and in March a year later, Doc and the rest of its squadron became targets for bomb training at China Lake, California.
For 42 years, Doc sat in the Mojave Desert serving as a target for the U.S. Navy. In 1987, Tony Mazzolini found Doc and began plans to remove and eventually restore the B-29 warbird to flying status. It would take another 12 years before Mazzolini and his team would be able to take possession of the airplane from the U.S. government.
After more than a decade of contacting multiple government agencies and working with volunteers in the China Lake area, Tony took possession of the once target practice plane. A few months later in April of 1998, Tony and his team of volunteers towed Doc out of its 42 year resting place on the floor of the Mojave Desert.
After arranging for an inspection by an expert on aging Boeing aircraft, Mazzolini realized it would take extensive resources and specific expertise to return the Doc to flying condition. So the B-29 returned to Wichita in sections on flatbed trailers in May of 2000. Volunteers began the process of reassembling the B-29 and drew up plans to restore the historic warbird which was now sitting a few hundred feet from where it first rolled off the Boeing-Wichita assembly line some 50+ years before. Dedicated volunteers spent countless hours in the early stages of restoring the historic plane.
In February of 2013, a group of Wichita aviation enthusiasts & business leaders led by retired Spirit AeroSystems CEO Jeff Turner formed Doc’s Friends, a 501c3 non-profit board to manage the restoration project and help see it through to completion.
Doc's first flight after the restoration process was 2016.
Sources: www.b29doc.com/docs-story/
www.airplanes-online.com/b29-superfortress-airplane-nose-...
The present day concept of an 'artist':
Artist is a descriptive term applied to a person who engages in an activity deemed to be an art. An artist also may be defined unofficially as "a person who expresses him- or herself through a medium". The word is also used in a qualitative sense of, a person creative in, innovative in, or adept at, an artistic practice.
Most often, the term describes those who create within a context of the fine arts or 'high culture', activities such as drawing, painting, sculpture, acting, dancing, writing, filmmaking, PHOTOGRAPHY, and music—people who use imagination, talent, or skill to create works that may be judged to have an aesthetic value. Art historians and critics define artists as those who produce art within a recognized or recognizable discipline. Contrasting terms for highly-skilled workers in media in the applied arts or decorative arts include artisan, craftsman, and specialized terms such as potter, goldsmith or glassblower. Fine arts artists such as painters succeeded in the Renaissance in raising their status, formerly similar to these workers, to a decisively higher level, but in the 20th century the distinction became rather less relevant[citation needed].
The term may be also used loosely or metaphorically to denote highly skilled people in any non-"art" activities, as well— law, medicine, mechanics, or mathematics, for example.
Often, discussions on the subject focus on the differences among "artist" and "technician", "entertainer" and "artisan", "fine art" and "applied art", or what constitutes art and what does not. The French word artiste (which in French, simply means "artist") has been imported into the English language where it means a performer (frequently in Music Hall or Vaudeville). Use of the word "artiste" can also be a pejorative term.[3]
The English word 'artiste' has thus, a narrower range of meaning than the word 'artiste' in French.
Have a really great weekend! It's a keeper and so are you my incredibly talented friends!
A 58% graduate rate and the highest drop-out rate of any Metropolitan City in America. 1 Freshman in 4 in Detroit will graduate from High School according to Time magazine. Which is bad for so many reasons. The one we hear about most in Detroit is that it means less students means less tax dollars. The other side of that coin is less skilled workers in the area, resulting in less jobs requiring those skills, etc. We need to stop making the mistakes of the past, set ourselves up for success. Easier said than done.
Buckingham Fountain is a Chicago Landmark in the center of Grant Park, between Queen's Landing and Ida B. Wells Drive. Dedicated in 1927 and donated to the city by philanthropist Kate S. Buckingham, it is one of the largest fountains in the world. Built in a rococo wedding cake style and inspired by the Latona Fountain at the Palace of Versailles, its design allegorically represents nearby Lake Michigan. The fountain operates from May to mid-October, with regular water shows and evening colored-light shows. During the winter, the fountain is decorated with festival lights.
The fountain area is considered Chicago's front door, since it is located in the center of Grant Park, the city's front yard near the intersection of Columbus Drive and Ida B. Wells Drive. The fountain itself represents Lake Michigan, with four sets of sea horses (two per set) symbolizing the four states—Illinois, Wisconsin, Michigan and Indiana—that border the lake. The fountain was designed by beaux arts architect Edward H. Bennett. The statues were created by the French sculptor Marcel F. Loyau. The design of the fountain was inspired by the Bassin de Latone and modeled after Latona Fountain at Versailles.
The fountain was donated to the city by Kate Sturges Buckingham in memory of her brother, Clarence Buckingham, and was constructed at a cost of $750,000. The fountain's official name is the Clarence Buckingham Memorial Fountain. Kate Buckingham also established the Buckingham Fountain Endowment Fund with an initial investment of $300,000 to pay for maintenance. Buckingham Fountain was dedicated on August 26, 1927.
In August 2016, in a partnership with the City of Chicago, the Chicago Parks District and Everywhere Wireless, the Buckingham Fountain viewing area joined many Chicago beaches and the Museum Campus in providing free Wi-Fi to visitors.
Many tourists and Chicagoans visit the fountain each year. The fountain operates daily 8:00 a.m. to 11:00 p.m. from mid-April through mid-October, unless below freezing weather conditions dictate otherwise. Water shows occur every hour on-the-hour and last 20 minutes. During shows, the center jet shoots up vertically to 150 feet (46 m), and after dusk shows are choreographed with lights and music. The last show begins at 10:00 p.m. nightly.
The fountain is constructed of Georgia pink marble and contains 1.5 million U.S. gallons (5,700,000 L) of water. During a display, more than 14,000 U.S. gallons per minute (0.88 m3/s) are pushed through its 193 jets. The bottom pool of the fountain is 280 ft (85 m) in diameter, the lower basin is 103 ft (31 m), the middle basin is 60 ft (18 m) and the upper basin is 24 ft (7.3 m). The lip of the upper basin is 25 ft (7.6 m) above the water in the lower basin.
The fountain's pumps are controlled by a Honeywell computer which was previously located in Atlanta, Georgia, until the 1994 renovation when it was moved to the pump house of the fountain. The fountain's security system is monitored from Arlington Heights (a Chicago suburb).
In 1994, the fountain received a $2.8 million restoration to its three smallest basins which developed leaks due to Chicago's harsh winters.
The latest renovation project on Buckingham Fountain began in September 2008. This three-phase project will modernize aging internal systems in the fountain and restore deteriorated features. Funding is a combination from the Buckingham endowment, city and park district funds and a grant from the Lollapalooza music festival which is held annually near the fountain.
Phase I was dedicated April 3, 2009. This phase included permeable pavers to surround the fountain. This replaced the crushed stone that was used since the fountain was constructed. The pavers make a safer and smoother surface and complies with the Americans with Disabilities Act of 1990.
Phase II began in the winter of 2009. This phase included the demolition of the fountain table, installation of extensive underdrainage system, new landscaping, site lighting, signs, site furnishings, sewer system, selective demolition within or adjacent to the fountain's outer basin, repairs of some existing cast-in-place concrete elements and installation of new cast-in-place elements. Work was not completed due to lack of funds and the Chicago Park District has not announced when it expects to finish this phase.
Phase III updates have not been scheduled until Phase II projects are completed. This phase will include the restoration of Buckingham Fountain and fountain table, the construction of a new equipment room with selective demolition, structural construction and repair, masonry restoration and repair, mechanical and electrical work, bronze restoration and repair and installation of site improvements and amenities.
Chicago is the most populous city in the U.S. state of Illinois and in the Midwestern United States. With a population of 2,746,388 in the 2020 census, it is the third-most populous city in the United States after New York City and Los Angeles. As the seat of Cook County, the second-most populous county in the U.S., Chicago is the center of the Chicago metropolitan area, which is often colloquially called "Chicagoland".
Located on the shore of Lake Michigan, Chicago was incorporated as a city in 1837 near a portage between the Great Lakes and the Mississippi River watershed. It grew rapidly in the mid-19th century. In 1871, the Great Chicago Fire destroyed several square miles and left more than 100,000 homeless, but Chicago's population continued to grow. Chicago made noted contributions to urban planning and architecture, such as the Chicago School, the development of the City Beautiful Movement, and the steel-framed skyscraper.
Chicago is an international hub for finance, culture, commerce, industry, education, technology, telecommunications, and transportation. It has the largest and most diverse derivatives market in the world, generating 20% of all volume in commodities and financial futures alone. O'Hare International Airport is routinely ranked among the world's top six busiest airports by passenger traffic, and the region is also the nation's railroad hub. The Chicago area has one of the highest gross domestic products (GDP) of any urban region in the world, generating $689 billion in 2018. Chicago's economy is diverse, with no single industry employing more than 14% of the workforce.
Chicago is a major tourist destination. Chicago's culture has contributed much to the visual arts, literature, film, theater, comedy (especially improvisational comedy), food, dance, and music (particularly jazz, blues, soul, hip-hop, gospel, and electronic dance music, including house music). Chicago is home to the Chicago Symphony Orchestra and the Lyric Opera of Chicago, while the Art Institute of Chicago provides an influential visual arts museum and art school. The Chicago area also hosts the University of Chicago, Northwestern University, and the University of Illinois Chicago, among other institutions of learning. Chicago has professional sports teams in each of the major professional leagues, including two Major League Baseball teams.
In the mid-18th century, the area was inhabited by the Potawatomi, an indigenous tribe who had succeeded the Miami and Sauk and Fox peoples in this region.
The first known permanent settler in Chicago was trader Jean Baptiste Point du Sable. Du Sable was of African descent, perhaps born in the French colony of Saint-Domingue (Haiti), and established the settlement in the 1780s. He is commonly known as the "Founder of Chicago."
In 1795, following the victory of the new United States in the Northwest Indian War, an area that was to be part of Chicago was turned over to the U.S. for a military post by native tribes in accordance with the Treaty of Greenville. In 1803, the U.S. Army constructed Fort Dearborn, which was destroyed during the War of 1812 in the Battle of Fort Dearborn by the Potawatomi before being later rebuilt.
After the War of 1812, the Ottawa, Ojibwe, and Potawatomi tribes ceded additional land to the United States in the 1816 Treaty of St. Louis. The Potawatomi were forcibly removed from their land after the 1833 Treaty of Chicago and sent west of the Mississippi River as part of the federal policy of Indian removal.
On August 12, 1833, the Town of Chicago was organized with a population of about 200. Within seven years it grew to more than 6,000 people. On June 15, 1835, the first public land sales began with Edmund Dick Taylor as Receiver of Public Monies. The City of Chicago was incorporated on Saturday, March 4, 1837, and for several decades was the world's fastest-growing city.
As the site of the Chicago Portage, the city became an important transportation hub between the eastern and western United States. Chicago's first railway, Galena and Chicago Union Railroad, and the Illinois and Michigan Canal opened in 1848. The canal allowed steamboats and sailing ships on the Great Lakes to connect to the Mississippi River.
A flourishing economy brought residents from rural communities and immigrants from abroad. Manufacturing and retail and finance sectors became dominant, influencing the American economy. The Chicago Board of Trade (established 1848) listed the first-ever standardized "exchange-traded" forward contracts, which were called futures contracts.
In the 1850s, Chicago gained national political prominence as the home of Senator Stephen Douglas, the champion of the Kansas–Nebraska Act and the "popular sovereignty" approach to the issue of the spread of slavery. These issues also helped propel another Illinoisan, Abraham Lincoln, to the national stage. Lincoln was nominated in Chicago for U.S. president at the 1860 Republican National Convention, which was held in a purpose-built auditorium called the Wigwam. He defeated Douglas in the general election, and this set the stage for the American Civil War.
To accommodate rapid population growth and demand for better sanitation, the city improved its infrastructure. In February 1856, Chicago's Common Council approved Chesbrough's plan to build the United States' first comprehensive sewerage system. The project raised much of central Chicago to a new grade with the use of jackscrews for raising buildings. While elevating Chicago, and at first improving the city's health, the untreated sewage and industrial waste now flowed into the Chicago River, and subsequently into Lake Michigan, polluting the city's primary freshwater source.
The city responded by tunneling two miles (3.2 km) out into Lake Michigan to newly built water cribs. In 1900, the problem of sewage contamination was largely resolved when the city completed a major engineering feat. It reversed the flow of the Chicago River so that the water flowed away from Lake Michigan rather than into it. This project began with the construction and improvement of the Illinois and Michigan Canal, and was completed with the Chicago Sanitary and Ship Canal that connects to the Illinois River, which flows into the Mississippi River.
In 1871, the Great Chicago Fire destroyed an area about 4 miles (6.4 km) long and 1-mile (1.6 km) wide, a large section of the city at the time. Much of the city, including railroads and stockyards, survived intact, and from the ruins of the previous wooden structures arose more modern constructions of steel and stone. These set a precedent for worldwide construction. During its rebuilding period, Chicago constructed the world's first skyscraper in 1885, using steel-skeleton construction.
The city grew significantly in size and population by incorporating many neighboring townships between 1851 and 1920, with the largest annexation happening in 1889, with five townships joining the city, including the Hyde Park Township, which now comprises most of the South Side of Chicago and the far southeast of Chicago, and the Jefferson Township, which now makes up most of Chicago's Northwest Side. The desire to join the city was driven by municipal services that the city could provide its residents.
Chicago's flourishing economy attracted huge numbers of new immigrants from Europe and migrants from the Eastern United States. Of the total population in 1900, more than 77% were either foreign-born or born in the United States of foreign parentage. Germans, Irish, Poles, Swedes, and Czechs made up nearly two-thirds of the foreign-born population (by 1900, whites were 98.1% of the city's population).
Labor conflicts followed the industrial boom and the rapid expansion of the labor pool, including the Haymarket affair on May 4, 1886, and in 1894 the Pullman Strike. Anarchist and socialist groups played prominent roles in creating very large and highly organized labor actions. Concern for social problems among Chicago's immigrant poor led Jane Addams and Ellen Gates Starr to found Hull House in 1889. Programs that were developed there became a model for the new field of social work.
During the 1870s and 1880s, Chicago attained national stature as the leader in the movement to improve public health. City laws and later, state laws that upgraded standards for the medical profession and fought urban epidemics of cholera, smallpox, and yellow fever were both passed and enforced. These laws became templates for public health reform in other cities and states.
The city established many large, well-landscaped municipal parks, which also included public sanitation facilities. The chief advocate for improving public health in Chicago was John H. Rauch, M.D. Rauch established a plan for Chicago's park system in 1866. He created Lincoln Park by closing a cemetery filled with shallow graves, and in 1867, in response to an outbreak of cholera he helped establish a new Chicago Board of Health. Ten years later, he became the secretary and then the president of the first Illinois State Board of Health, which carried out most of its activities in Chicago.
In the 1800s, Chicago became the nation's railroad hub, and by 1910 over 20 railroads operated passenger service out of six different downtown terminals. In 1883, Chicago's railway managers needed a general time convention, so they developed the standardized system of North American time zones. This system for telling time spread throughout the continent.
In 1893, Chicago hosted the World's Columbian Exposition on former marshland at the present location of Jackson Park. The Exposition drew 27.5 million visitors, and is considered the most influential world's fair in history. The University of Chicago, formerly at another location, moved to the same South Side location in 1892. The term "midway" for a fair or carnival referred originally to the Midway Plaisance, a strip of park land that still runs through the University of Chicago campus and connects the Washington and Jackson Parks.
During World War I and the 1920s there was a major expansion in industry. The availability of jobs attracted African Americans from the Southern United States. Between 1910 and 1930, the African American population of Chicago increased dramatically, from 44,103 to 233,903. This Great Migration had an immense cultural impact, called the Chicago Black Renaissance, part of the New Negro Movement, in art, literature, and music. Continuing racial tensions and violence, such as the Chicago race riot of 1919, also occurred.
The ratification of the 18th amendment to the Constitution in 1919 made the production and sale (including exportation) of alcoholic beverages illegal in the United States. This ushered in the beginning of what is known as the gangster era, a time that roughly spans from 1919 until 1933 when Prohibition was repealed. The 1920s saw gangsters, including Al Capone, Dion O'Banion, Bugs Moran and Tony Accardo battle law enforcement and each other on the streets of Chicago during the Prohibition era. Chicago was the location of the infamous St. Valentine's Day Massacre in 1929, when Al Capone sent men to gun down members of a rival gang, North Side, led by Bugs Moran.
Chicago was the first American city to have a homosexual-rights organization. The organization, formed in 1924, was called the Society for Human Rights. It produced the first American publication for homosexuals, Friendship and Freedom. Police and political pressure caused the organization to disband.
The Great Depression brought unprecedented suffering to Chicago, in no small part due to the city's heavy reliance on heavy industry. Notably, industrial areas on the south side and neighborhoods lining both branches of the Chicago River were devastated; by 1933 over 50% of industrial jobs in the city had been lost, and unemployment rates amongst blacks and Mexicans in the city were over 40%. The Republican political machine in Chicago was utterly destroyed by the economic crisis, and every mayor since 1931 has been a Democrat.
From 1928 to 1933, the city witnessed a tax revolt, and the city was unable to meet payroll or provide relief efforts. The fiscal crisis was resolved by 1933, and at the same time, federal relief funding began to flow into Chicago. Chicago was also a hotbed of labor activism, with Unemployed Councils contributing heavily in the early depression to create solidarity for the poor and demand relief; these organizations were created by socialist and communist groups. By 1935 the Workers Alliance of America begun organizing the poor, workers, the unemployed. In the spring of 1937 Republic Steel Works witnessed the Memorial Day massacre of 1937 in the neighborhood of East Side.
In 1933, Chicago Mayor Anton Cermak was fatally wounded in Miami, Florida, during a failed assassination attempt on President-elect Franklin D. Roosevelt. In 1933 and 1934, the city celebrated its centennial by hosting the Century of Progress International Exposition World's Fair. The theme of the fair was technological innovation over the century since Chicago's founding.
During World War II, the city of Chicago alone produced more steel than the United Kingdom every year from 1939 – 1945, and more than Nazi Germany from 1943 – 1945.
The Great Migration, which had been on pause due to the Depression, resumed at an even faster pace in the second wave, as hundreds of thousands of blacks from the South arrived in the city to work in the steel mills, railroads, and shipping yards.
On December 2, 1942, physicist Enrico Fermi conducted the world's first controlled nuclear reaction at the University of Chicago as part of the top-secret Manhattan Project. This led to the creation of the atomic bomb by the United States, which it used in World War II in 1945.
Mayor Richard J. Daley, a Democrat, was elected in 1955, in the era of machine politics. In 1956, the city conducted its last major expansion when it annexed the land under O'Hare airport, including a small portion of DuPage County.
By the 1960s, white residents in several neighborhoods left the city for the suburban areas – in many American cities, a process known as white flight – as Blacks continued to move beyond the Black Belt. While home loan discriminatory redlining against blacks continued, the real estate industry practiced what became known as blockbusting, completely changing the racial composition of whole neighborhoods. Structural changes in industry, such as globalization and job outsourcing, caused heavy job losses for lower-skilled workers. At its peak during the 1960s, some 250,000 workers were employed in the steel industry in Chicago, but the steel crisis of the 1970s and 1980s reduced this number to just 28,000 in 2015. In 1966, Martin Luther King Jr. and Albert Raby led the Chicago Freedom Movement, which culminated in agreements between Mayor Richard J. Daley and the movement leaders.
Two years later, the city hosted the tumultuous 1968 Democratic National Convention, which featured physical confrontations both inside and outside the convention hall, with anti-war protesters, journalists and bystanders being beaten by police. Major construction projects, including the Sears Tower (now known as the Willis Tower, which in 1974 became the world's tallest building), University of Illinois at Chicago, McCormick Place, and O'Hare International Airport, were undertaken during Richard J. Daley's tenure. In 1979, Jane Byrne, the city's first female mayor, was elected. She was notable for temporarily moving into the crime-ridden Cabrini-Green housing project and for leading Chicago's school system out of a financial crisis.
In 1983, Harold Washington became the first black mayor of Chicago. Washington's first term in office directed attention to poor and previously neglected minority neighborhoods. He was re‑elected in 1987 but died of a heart attack soon after. Washington was succeeded by 6th ward alderperson Eugene Sawyer, who was elected by the Chicago City Council and served until a special election.
Richard M. Daley, son of Richard J. Daley, was elected in 1989. His accomplishments included improvements to parks and creating incentives for sustainable development, as well as closing Meigs Field in the middle of the night and destroying the runways. After successfully running for re-election five times, and becoming Chicago's longest-serving mayor, Richard M. Daley declined to run for a seventh term.
In 1992, a construction accident near the Kinzie Street Bridge produced a breach connecting the Chicago River to a tunnel below, which was part of an abandoned freight tunnel system extending throughout the downtown Loop district. The tunnels filled with 250 million US gallons (1,000,000 m3) of water, affecting buildings throughout the district and forcing a shutdown of electrical power. The area was shut down for three days and some buildings did not reopen for weeks; losses were estimated at $1.95 billion.
On February 23, 2011, Rahm Emanuel, a former White House Chief of Staff and member of the House of Representatives, won the mayoral election. Emanuel was sworn in as mayor on May 16, 2011, and won re-election in 2015. Lori Lightfoot, the city's first African American woman mayor and its first openly LGBTQ mayor, was elected to succeed Emanuel as mayor in 2019. All three city-wide elective offices were held by women (and women of color) for the first time in Chicago history: in addition to Lightfoot, the city clerk was Anna Valencia and the city treasurer was Melissa Conyears-Ervin.
On May 15, 2023, Brandon Johnson assumed office as the 57th mayor of Chicago.
Illinois is a state in the Midwestern region of the United States. It borders Great Lakes to its northeast, the Mississippi River to its west, and the Wabash and Ohio rivers to its south. Its largest metropolitan areas are Chicago and the Metro East region of Greater St. Louis. Other metropolitan areas include Peoria and Rockford, as well as Springfield, its capital, and Champaign-Urbana, home to the main campus of the state's flagship university. Of the fifty U.S. states, Illinois has the fifth-largest gross domestic product (GDP), the sixth-largest population, and the 25th-largest land area.
Illinois has a highly diverse economy, with the global city of Chicago in the northeast, major industrial and agricultural hubs in the north and center, and natural resources such as coal, timber, and petroleum in the south. Owing to its central location and favorable geography, the state is a major transportation hub: the Port of Chicago has access to the Atlantic Ocean through the Great Lakes and Saint Lawrence Seaway and to the Gulf of Mexico from the Mississippi River via the Illinois Waterway. Chicago has been the nation's railroad hub since the 1860s, and its O'Hare International Airport has been among the world's busiest airports for decades. Illinois has long been considered a microcosm of the United States and a bellwether in American culture, exemplified by the phrase Will it play in Peoria?.
Present-day Illinois was inhabited by various indigenous cultures for thousands of years, including the advanced civilization centered in the Cahokia region. The French were the first Europeans to arrive, settling near the Mississippi and Illinois River in the 17th century in the region they called Illinois Country, as part of the sprawling colony of New France. Following U.S. independence in 1783, American settlers began arriving from Kentucky via the Ohio River, and the population grew from south to north. Illinois was part of the United States' oldest territory, the Northwest Territory, and in 1818 it achieved statehood. The Erie Canal brought increased commercial activity in the Great Lakes, and the small settlement of Chicago became one of the fastest growing cities in the world, benefiting from its location as one of the few natural harbors in southwestern Lake Michigan. The invention of the self-scouring steel plow by Illinoisan John Deere turned the state's rich prairie into some of the world's most productive and valuable farmland, attracting immigrant farmers from Germany and Sweden. In the mid-19th century, the Illinois and Michigan Canal and a sprawling railroad network greatly facilitated trade, commerce, and settlement, making the state a transportation hub for the nation.
By 1900, the growth of industrial jobs in the northern cities and coal mining in the central and southern areas attracted immigrants from Eastern and Southern Europe. Illinois became one of America's most industrialized states and remains a major manufacturing center. The Great Migration from the South established a large community of African Americans, particularly in Chicago, who founded the city's famous jazz and blues cultures. Chicago became a leading cultural, economic, and population center and is today one of the world's major commercial centers; its metropolitan area, informally referred to as Chicagoland, holds about 65% of the state's 12.8 million residents.
Two World Heritage Sites are in Illinois, the ancient Cahokia Mounds, and part of the Wright architecture site. Major centers of learning include the University of Chicago, University of Illinois, and Northwestern University. A wide variety of protected areas seek to conserve Illinois' natural and cultural resources. Historically, three U.S. presidents have been elected while residents of Illinois: Abraham Lincoln, Ulysses S. Grant, and Barack Obama; additionally, Ronald Reagan was born and raised in the state. Illinois honors Lincoln with its official state slogan Land of Lincoln. The state is the site of the Abraham Lincoln Presidential Library and Museum in Springfield and the future home of the Barack Obama Presidential Center in Chicago.
Cloud Gate is a public sculpture by Indian-born British artist Anish Kapoor, that is the centerpiece of AT&T Plaza at Millennium Park in the Loop community area of Chicago, Illinois. The sculpture and AT&T Plaza are located on top of Park Grill, between the Chase Promenade and McCormick Tribune Plaza & Ice Rink. Constructed between 2004 and 2006, the sculpture is nicknamed "The Bean" because of its shape, a name Kapoor initially disliked, but later grew fond of. Kapoor himself even uses this title when referring to his work. Made up of 168 stainless steel plates welded together, its highly polished exterior has no visible seams. It measures 33 by 66 by 42 feet (10 by 20 by 13 m), and weighs 110 short tons (100 t; 98 long tons).
Kapoor's design was inspired by liquid mercury and the sculpture's surface reflects and distorts the city's skyline. Visitors are able to walk around and under Cloud Gate's 12-foot (3.7 m) high arch. On the underside is the "omphalos" (Greek for "navel"), a concave chamber that warps and multiplies reflections. The sculpture builds upon many of Kapoor's artistic themes, and it is popular with tourists as a photo-taking opportunity for its unique reflective properties.
The sculpture was the result of a design competition. After Kapoor's design was chosen, numerous technological concerns regarding the design's construction and assembly arose, in addition to concerns regarding the sculpture's upkeep and maintenance. Various experts were consulted, some of whom believed the design could not be implemented. Eventually, a feasible method was found, but the sculpture's construction fell behind schedule. It was unveiled in an incomplete form during the Millennium Park grand opening celebration in 2004, before being concealed again while it was completed. Cloud Gate was formally dedicated on May 15, 2006, and has since gained considerable popularity, both domestically and internationally.
Sir Anish Mikhail Kapoor, CBE, RA (born 12 March 1954) is a British-Indian sculptor specializing in installation art and conceptual art. Born in Mumbai, Kapoor attended the elite all-boys Indian boarding school The Doon School, before moving to the UK to begin his art training at Hornsey College of Art and, later, Chelsea School of Art and Design.
His notable public sculptures include Cloud Gate (2006, also known as "The Bean") in Chicago's Millennium Park; Sky Mirror, exhibited at the Rockefeller Center in New York City in 2006 and Kensington Gardens in London in 2010; Temenos, at Middlehaven, Middlesbrough; Leviathan, at the Grand Palais in Paris in 2011; and ArcelorMittal Orbit, commissioned as a permanent artwork for London's Olympic Park and completed in 2012. In 2017, Kapoor designed the statuette for the 2018 Brit Awards.
An image of Kapoor features in the British cultural icons section of the newly designed British passport in 2015. In 2016, he was announced as a recipient of the LennonOno Grant for Peace.
Kapoor has received several distinctions and prizes, such as the Premio Duemila Prize at the XLIV Venice Biennale in 1990, the Turner Prize in 1991, the Unilever Commission for the Turbine Hall at Tate Modern, the Padma Bhushan by the Indian government in 2012, a knighthood in the 2013 Birthday Honours for services to visual arts, an honorary doctorate degree from the University of Oxford in 2014. and the 2017 Genesis Prize for "being one of the most influential and innovative artists of his generation and for his many years of advocacy for refugees and displaced people".
Millennium Park is a public park located in the Loop community area of Chicago, operated by the Chicago Department of Cultural Affairs. The park, opened in 2004 and intended to celebrate the third millennium, is a prominent civic center near the city's Lake Michigan shoreline that covers a 24.5-acre (9.9 ha) section of northwestern Grant Park. Featuring a variety of public art, outdoor spaces and venues, the park is bounded by Michigan Avenue, Randolph Street, Columbus Drive and East Monroe Drive. In 2017, Millennium Park was the top tourist destination in Chicago and in the Midwest, and placed among the top ten in the United States with 25 million annual visitors.
Planning of the park, situated in an area occupied by parkland, the Illinois Central rail yards, and parking lots, began in October 1997. Construction began in October 1998, and Millennium Park was opened in a ceremony on July 16, 2004, four years behind schedule. The three-day opening celebrations were attended by some 300,000 people and included an inaugural concert by the Grant Park Orchestra and Chorus. The park has received awards for its accessibility and green design. Millennium Park has free admission, and features the Jay Pritzker Pavilion, Cloud Gate, the Crown Fountain, the Lurie Garden, and various other attractions. The park is connected by the BP Pedestrian Bridge and the Nichols Bridgeway to other parts of Grant Park. Because the park sits atop parking garages, the commuter rail Millennium Station and rail lines, it is considered the world's largest rooftop garden. In 2015, the park became the location of the city's annual Christmas tree lighting.
Some observers consider Millennium Park the city's most important project since the World's Columbian Exposition of 1893. It far exceeded its originally proposed budget of $150 million. The final cost of $475 million was borne by Chicago taxpayers and private donors. The city paid $270 million; private donors paid the rest, and assumed roughly half of the financial responsibility for the cost overruns. The construction delays and cost overruns were attributed to poor planning, many design changes, and cronyism. Many critics have praised the completed park.
From 1852 until 1997, the Illinois Central Railroad owned a right of way between downtown Chicago and Lake Michigan, in the area that became Grant Park and used it for railroad tracks. In 1871, Union Base-Ball Grounds was built on part of the site that became Millennium Park; the Chicago White Stockings played home games there until the grounds were destroyed in the Great Chicago Fire. Lake Front Park, the White Stockings' new ball grounds, was built in 1878 with a short right field due to the railroad tracks. The grounds were improved and the seating capacity was doubled in 1883, but the team had to move after the season ended the next year, as the federal government had given the city the land "with the stipulation that no commercial venture could use it". Daniel Burnham planned Grant Park around the Illinois Central Railroad property in his 1909 Plan of Chicago. Between 1917 and 1953, a prominent semicircle of paired Greek Doric-style columns (called a peristyle) was placed in this area of Grant Park (partially recreated in the new Millennium Park). In 1997, when the city gained airspace rights over the tracks, it decided to build a parking facility over them in the northwestern corner of Grant Park. Eventually, the city realized that a grand civic amenity might lure private dollars in a way that a municipal improvement such as ordinary parking structure would not, and thus began the effort to create Millennium Park. The park was originally planned under the name Lakefront Millennium Park.
The park was conceived as a 16-acre (6.5 ha) landscape-covered bridge over an underground parking structure to be built on top of the Metra/Illinois Central Railroad tracks in Grant Park. The parks overall design was by Skidmore, Owings & Merrill, and gradually additional architects and artists such as Frank Gehry and Thomas Beeby were incorporated into the plan. Sponsors were sought by invitation only.
In February 1999, the city announced it was negotiating with Frank Gehry to design a proscenium arch and orchestra enclosure for a bandshell, as well as a pedestrian bridge crossing Columbus Drive, and that it was seeking donors to cover his work. At the time, the Chicago Tribune dubbed Gehry "the hottest architect in the universe"[19] in reference to the acclaim for his Guggenheim Museum Bilbao, and they noted the designs would not include Mayor Richard M. Daley's trademarks, such as wrought iron and seasonal flower boxes. Millennium Park project manager Edward Uhlir said "Frank is just the cutting edge of the next century of architecture," and noted that no other architect was being sought. Gehry was approached several times by Skidmore architect Adrian Smith on behalf of the city. His hesitance and refusal to accept the commission was overcome by Cindy Pritzker, the philanthropist, who had developed a relationship with the architect when he won the Pritzker Prize in 1989. According to John H. Bryan, who led fund-raising for the park, Pritzker enticed Gehry in face-to-face discussions, using a $15 million funding commitment toward the bandshell's creation. Having Gehry get involved helped the city realize its vision of having modern themes in the park; upon rumors of his involvement the Chicago Sun-Times proclaimed "Perhaps the future has arrived", while the Chicago Tribune noted that "The most celebrated architect in the world may soon have a chance to bring Chicago into the 21st Century".
Plans for the park were officially announced in March 1998 and construction began in September of that year. Initial construction was under the auspices of the Chicago Department of Transportation, because the project bridges the railroad tracks. However, as the project grew and expanded, its broad variety of features and amenities outside the scope of the field of transportation placed it under the jurisdiction of the city's Public Buildings Commission.
In April 1999, the city announced that the Pritzker family had donated $15 million to fund Gehry's bandshell and an additional nine donors committed $10 million. The day of this announcement, Gehry agreed to the design request. In November, when his design was unveiled, Gehry said the bridge design was preliminary and not well-conceived because funding for it was not committed. The need to fund a bridge to span the eight-lane Columbus Drive was evident, but some planning for the park was delayed in anticipation of details on the redesign of Soldier Field. In January 2000, the city announced plans to expand the park to include features that became Cloud Gate, the Crown Fountain, the McDonald's Cycle Center, and the BP Pedestrian Bridge. Later that month, Gehry unveiled his new winding design for the bridge.
Mayor Daley's influence was key in getting corporate and individual sponsors to pay for much of the park. Bryan, the former chief executive officer (CEO) of Sara Lee Corporation who spearheaded the fundraising, says that sponsorship was by invitation and no one refused the opportunity to be a sponsor. One Time magazine writer describes the park as the crowning achievement for Mayor Daley, while another suggests the park's cost and time overages were examples of the city's mismanagement. The July 16–18, 2004, opening ceremony was sponsored by J.P. Morgan Chase & Co.
The community around Millennium Park has become one of the most fashionable and desired residential addresses in Chicago. In 2006, Forbes named the park's 60602 zip code as the hottest in terms of price appreciation in the country, with upscale buildings such as The Heritage at Millennium Park (130 N. Garland) leading the way for other buildings, such as Waterview Tower, The Legacy and Joffrey Tower. The median sale price for residential real estate was $710,000 in 2005 according to Forbes, also ranking it on the list of most expensive zip codes. The park has been credited with increasing residential real estate values by $100 per square foot ($1,076 per m2).
Millennium Park is a portion of the 319-acre (129.1 ha) Grant Park, known as the "front lawn" of downtown Chicago, and has four major artistic highlights: the Jay Pritzker Pavilion, Cloud Gate, the Crown Fountain, and the Lurie Garden. Millennium Park is successful as a public art venue in part due to the grand scale of each piece and the open spaces for display. A showcase for postmodern architecture, it also features the McCormick Tribune Ice Skating Rink, the BP Pedestrian Bridge, the Joan W. and Irving B. Harris Theater for Music and Dance, Wrigley Square, the McDonald's Cycle Center, the Exelon Pavilions, the AT&T Plaza, the Boeing Galleries, the Chase Promenade, and the Nichols Bridgeway.
Millennium Park is considered one of the largest green roofs in the world, having been constructed on top of a railroad yard and large parking garages. The park, which is known for being user friendly, has a very rigorous cleaning schedule with many areas being swept, wiped down or cleaned multiple times a day. Although the park was unveiled in July 2004, some features opened earlier, and upgrades continued for some time afterwards. Along with the cultural features above ground (described below) the park has its own 2218-space parking garage
Chicago is the most populous city in the U.S. state of Illinois and in the Midwestern United States. With a population of 2,746,388 in the 2020 census, it is the third-most populous city in the United States after New York City and Los Angeles. As the seat of Cook County, the second-most populous county in the U.S., Chicago is the center of the Chicago metropolitan area, which is often colloquially called "Chicagoland".
Located on the shore of Lake Michigan, Chicago was incorporated as a city in 1837 near a portage between the Great Lakes and the Mississippi River watershed. It grew rapidly in the mid-19th century. In 1871, the Great Chicago Fire destroyed several square miles and left more than 100,000 homeless, but Chicago's population continued to grow. Chicago made noted contributions to urban planning and architecture, such as the Chicago School, the development of the City Beautiful Movement, and the steel-framed skyscraper.
Chicago is an international hub for finance, culture, commerce, industry, education, technology, telecommunications, and transportation. It has the largest and most diverse derivatives market in the world, generating 20% of all volume in commodities and financial futures alone. O'Hare International Airport is routinely ranked among the world's top six busiest airports by passenger traffic, and the region is also the nation's railroad hub. The Chicago area has one of the highest gross domestic products (GDP) of any urban region in the world, generating $689 billion in 2018. Chicago's economy is diverse, with no single industry employing more than 14% of the workforce.
Chicago is a major tourist destination. Chicago's culture has contributed much to the visual arts, literature, film, theater, comedy (especially improvisational comedy), food, dance, and music (particularly jazz, blues, soul, hip-hop, gospel, and electronic dance music, including house music). Chicago is home to the Chicago Symphony Orchestra and the Lyric Opera of Chicago, while the Art Institute of Chicago provides an influential visual arts museum and art school. The Chicago area also hosts the University of Chicago, Northwestern University, and the University of Illinois Chicago, among other institutions of learning. Chicago has professional sports teams in each of the major professional leagues, including two Major League Baseball teams.
In the mid-18th century, the area was inhabited by the Potawatomi, an indigenous tribe who had succeeded the Miami and Sauk and Fox peoples in this region.
The first known permanent settler in Chicago was trader Jean Baptiste Point du Sable. Du Sable was of African descent, perhaps born in the French colony of Saint-Domingue (Haiti), and established the settlement in the 1780s. He is commonly known as the "Founder of Chicago."
In 1795, following the victory of the new United States in the Northwest Indian War, an area that was to be part of Chicago was turned over to the U.S. for a military post by native tribes in accordance with the Treaty of Greenville. In 1803, the U.S. Army constructed Fort Dearborn, which was destroyed during the War of 1812 in the Battle of Fort Dearborn by the Potawatomi before being later rebuilt.
After the War of 1812, the Ottawa, Ojibwe, and Potawatomi tribes ceded additional land to the United States in the 1816 Treaty of St. Louis. The Potawatomi were forcibly removed from their land after the 1833 Treaty of Chicago and sent west of the Mississippi River as part of the federal policy of Indian removal.
On August 12, 1833, the Town of Chicago was organized with a population of about 200. Within seven years it grew to more than 6,000 people. On June 15, 1835, the first public land sales began with Edmund Dick Taylor as Receiver of Public Monies. The City of Chicago was incorporated on Saturday, March 4, 1837, and for several decades was the world's fastest-growing city.
As the site of the Chicago Portage, the city became an important transportation hub between the eastern and western United States. Chicago's first railway, Galena and Chicago Union Railroad, and the Illinois and Michigan Canal opened in 1848. The canal allowed steamboats and sailing ships on the Great Lakes to connect to the Mississippi River.
A flourishing economy brought residents from rural communities and immigrants from abroad. Manufacturing and retail and finance sectors became dominant, influencing the American economy. The Chicago Board of Trade (established 1848) listed the first-ever standardized "exchange-traded" forward contracts, which were called futures contracts.
In the 1850s, Chicago gained national political prominence as the home of Senator Stephen Douglas, the champion of the Kansas–Nebraska Act and the "popular sovereignty" approach to the issue of the spread of slavery. These issues also helped propel another Illinoisan, Abraham Lincoln, to the national stage. Lincoln was nominated in Chicago for U.S. president at the 1860 Republican National Convention, which was held in a purpose-built auditorium called the Wigwam. He defeated Douglas in the general election, and this set the stage for the American Civil War.
To accommodate rapid population growth and demand for better sanitation, the city improved its infrastructure. In February 1856, Chicago's Common Council approved Chesbrough's plan to build the United States' first comprehensive sewerage system. The project raised much of central Chicago to a new grade with the use of jackscrews for raising buildings. While elevating Chicago, and at first improving the city's health, the untreated sewage and industrial waste now flowed into the Chicago River, and subsequently into Lake Michigan, polluting the city's primary freshwater source.
The city responded by tunneling two miles (3.2 km) out into Lake Michigan to newly built water cribs. In 1900, the problem of sewage contamination was largely resolved when the city completed a major engineering feat. It reversed the flow of the Chicago River so that the water flowed away from Lake Michigan rather than into it. This project began with the construction and improvement of the Illinois and Michigan Canal, and was completed with the Chicago Sanitary and Ship Canal that connects to the Illinois River, which flows into the Mississippi River.
In 1871, the Great Chicago Fire destroyed an area about 4 miles (6.4 km) long and 1-mile (1.6 km) wide, a large section of the city at the time. Much of the city, including railroads and stockyards, survived intact, and from the ruins of the previous wooden structures arose more modern constructions of steel and stone. These set a precedent for worldwide construction. During its rebuilding period, Chicago constructed the world's first skyscraper in 1885, using steel-skeleton construction.
The city grew significantly in size and population by incorporating many neighboring townships between 1851 and 1920, with the largest annexation happening in 1889, with five townships joining the city, including the Hyde Park Township, which now comprises most of the South Side of Chicago and the far southeast of Chicago, and the Jefferson Township, which now makes up most of Chicago's Northwest Side. The desire to join the city was driven by municipal services that the city could provide its residents.
Chicago's flourishing economy attracted huge numbers of new immigrants from Europe and migrants from the Eastern United States. Of the total population in 1900, more than 77% were either foreign-born or born in the United States of foreign parentage. Germans, Irish, Poles, Swedes, and Czechs made up nearly two-thirds of the foreign-born population (by 1900, whites were 98.1% of the city's population).
Labor conflicts followed the industrial boom and the rapid expansion of the labor pool, including the Haymarket affair on May 4, 1886, and in 1894 the Pullman Strike. Anarchist and socialist groups played prominent roles in creating very large and highly organized labor actions. Concern for social problems among Chicago's immigrant poor led Jane Addams and Ellen Gates Starr to found Hull House in 1889. Programs that were developed there became a model for the new field of social work.
During the 1870s and 1880s, Chicago attained national stature as the leader in the movement to improve public health. City laws and later, state laws that upgraded standards for the medical profession and fought urban epidemics of cholera, smallpox, and yellow fever were both passed and enforced. These laws became templates for public health reform in other cities and states.
The city established many large, well-landscaped municipal parks, which also included public sanitation facilities. The chief advocate for improving public health in Chicago was John H. Rauch, M.D. Rauch established a plan for Chicago's park system in 1866. He created Lincoln Park by closing a cemetery filled with shallow graves, and in 1867, in response to an outbreak of cholera he helped establish a new Chicago Board of Health. Ten years later, he became the secretary and then the president of the first Illinois State Board of Health, which carried out most of its activities in Chicago.
In the 1800s, Chicago became the nation's railroad hub, and by 1910 over 20 railroads operated passenger service out of six different downtown terminals. In 1883, Chicago's railway managers needed a general time convention, so they developed the standardized system of North American time zones. This system for telling time spread throughout the continent.
In 1893, Chicago hosted the World's Columbian Exposition on former marshland at the present location of Jackson Park. The Exposition drew 27.5 million visitors, and is considered the most influential world's fair in history. The University of Chicago, formerly at another location, moved to the same South Side location in 1892. The term "midway" for a fair or carnival referred originally to the Midway Plaisance, a strip of park land that still runs through the University of Chicago campus and connects the Washington and Jackson Parks.
During World War I and the 1920s there was a major expansion in industry. The availability of jobs attracted African Americans from the Southern United States. Between 1910 and 1930, the African American population of Chicago increased dramatically, from 44,103 to 233,903. This Great Migration had an immense cultural impact, called the Chicago Black Renaissance, part of the New Negro Movement, in art, literature, and music. Continuing racial tensions and violence, such as the Chicago race riot of 1919, also occurred.
The ratification of the 18th amendment to the Constitution in 1919 made the production and sale (including exportation) of alcoholic beverages illegal in the United States. This ushered in the beginning of what is known as the gangster era, a time that roughly spans from 1919 until 1933 when Prohibition was repealed. The 1920s saw gangsters, including Al Capone, Dion O'Banion, Bugs Moran and Tony Accardo battle law enforcement and each other on the streets of Chicago during the Prohibition era. Chicago was the location of the infamous St. Valentine's Day Massacre in 1929, when Al Capone sent men to gun down members of a rival gang, North Side, led by Bugs Moran.
Chicago was the first American city to have a homosexual-rights organization. The organization, formed in 1924, was called the Society for Human Rights. It produced the first American publication for homosexuals, Friendship and Freedom. Police and political pressure caused the organization to disband.
The Great Depression brought unprecedented suffering to Chicago, in no small part due to the city's heavy reliance on heavy industry. Notably, industrial areas on the south side and neighborhoods lining both branches of the Chicago River were devastated; by 1933 over 50% of industrial jobs in the city had been lost, and unemployment rates amongst blacks and Mexicans in the city were over 40%. The Republican political machine in Chicago was utterly destroyed by the economic crisis, and every mayor since 1931 has been a Democrat.
From 1928 to 1933, the city witnessed a tax revolt, and the city was unable to meet payroll or provide relief efforts. The fiscal crisis was resolved by 1933, and at the same time, federal relief funding began to flow into Chicago. Chicago was also a hotbed of labor activism, with Unemployed Councils contributing heavily in the early depression to create solidarity for the poor and demand relief; these organizations were created by socialist and communist groups. By 1935 the Workers Alliance of America begun organizing the poor, workers, the unemployed. In the spring of 1937 Republic Steel Works witnessed the Memorial Day massacre of 1937 in the neighborhood of East Side.
In 1933, Chicago Mayor Anton Cermak was fatally wounded in Miami, Florida, during a failed assassination attempt on President-elect Franklin D. Roosevelt. In 1933 and 1934, the city celebrated its centennial by hosting the Century of Progress International Exposition World's Fair. The theme of the fair was technological innovation over the century since Chicago's founding.
During World War II, the city of Chicago alone produced more steel than the United Kingdom every year from 1939 – 1945, and more than Nazi Germany from 1943 – 1945.
The Great Migration, which had been on pause due to the Depression, resumed at an even faster pace in the second wave, as hundreds of thousands of blacks from the South arrived in the city to work in the steel mills, railroads, and shipping yards.
On December 2, 1942, physicist Enrico Fermi conducted the world's first controlled nuclear reaction at the University of Chicago as part of the top-secret Manhattan Project. This led to the creation of the atomic bomb by the United States, which it used in World War II in 1945.
Mayor Richard J. Daley, a Democrat, was elected in 1955, in the era of machine politics. In 1956, the city conducted its last major expansion when it annexed the land under O'Hare airport, including a small portion of DuPage County.
By the 1960s, white residents in several neighborhoods left the city for the suburban areas – in many American cities, a process known as white flight – as Blacks continued to move beyond the Black Belt. While home loan discriminatory redlining against blacks continued, the real estate industry practiced what became known as blockbusting, completely changing the racial composition of whole neighborhoods. Structural changes in industry, such as globalization and job outsourcing, caused heavy job losses for lower-skilled workers. At its peak during the 1960s, some 250,000 workers were employed in the steel industry in Chicago, but the steel crisis of the 1970s and 1980s reduced this number to just 28,000 in 2015. In 1966, Martin Luther King Jr. and Albert Raby led the Chicago Freedom Movement, which culminated in agreements between Mayor Richard J. Daley and the movement leaders.
Two years later, the city hosted the tumultuous 1968 Democratic National Convention, which featured physical confrontations both inside and outside the convention hall, with anti-war protesters, journalists and bystanders being beaten by police. Major construction projects, including the Sears Tower (now known as the Willis Tower, which in 1974 became the world's tallest building), University of Illinois at Chicago, McCormick Place, and O'Hare International Airport, were undertaken during Richard J. Daley's tenure. In 1979, Jane Byrne, the city's first female mayor, was elected. She was notable for temporarily moving into the crime-ridden Cabrini-Green housing project and for leading Chicago's school system out of a financial crisis.
In 1983, Harold Washington became the first black mayor of Chicago. Washington's first term in office directed attention to poor and previously neglected minority neighborhoods. He was re‑elected in 1987 but died of a heart attack soon after. Washington was succeeded by 6th ward alderperson Eugene Sawyer, who was elected by the Chicago City Council and served until a special election.
Richard M. Daley, son of Richard J. Daley, was elected in 1989. His accomplishments included improvements to parks and creating incentives for sustainable development, as well as closing Meigs Field in the middle of the night and destroying the runways. After successfully running for re-election five times, and becoming Chicago's longest-serving mayor, Richard M. Daley declined to run for a seventh term.
In 1992, a construction accident near the Kinzie Street Bridge produced a breach connecting the Chicago River to a tunnel below, which was part of an abandoned freight tunnel system extending throughout the downtown Loop district. The tunnels filled with 250 million US gallons (1,000,000 m3) of water, affecting buildings throughout the district and forcing a shutdown of electrical power. The area was shut down for three days and some buildings did not reopen for weeks; losses were estimated at $1.95 billion.
On February 23, 2011, Rahm Emanuel, a former White House Chief of Staff and member of the House of Representatives, won the mayoral election. Emanuel was sworn in as mayor on May 16, 2011, and won re-election in 2015. Lori Lightfoot, the city's first African American woman mayor and its first openly LGBTQ mayor, was elected to succeed Emanuel as mayor in 2019. All three city-wide elective offices were held by women (and women of color) for the first time in Chicago history: in addition to Lightfoot, the city clerk was Anna Valencia and the city treasurer was Melissa Conyears-Ervin.
On May 15, 2023, Brandon Johnson assumed office as the 57th mayor of Chicago.
Illinois is a state in the Midwestern region of the United States. It borders Great Lakes to its northeast, the Mississippi River to its west, and the Wabash and Ohio rivers to its south. Its largest metropolitan areas are Chicago and the Metro East region of Greater St. Louis. Other metropolitan areas include Peoria and Rockford, as well as Springfield, its capital, and Champaign-Urbana, home to the main campus of the state's flagship university. Of the fifty U.S. states, Illinois has the fifth-largest gross domestic product (GDP), the sixth-largest population, and the 25th-largest land area.
Illinois has a highly diverse economy, with the global city of Chicago in the northeast, major industrial and agricultural hubs in the north and center, and natural resources such as coal, timber, and petroleum in the south. Owing to its central location and favorable geography, the state is a major transportation hub: the Port of Chicago has access to the Atlantic Ocean through the Great Lakes and Saint Lawrence Seaway and to the Gulf of Mexico from the Mississippi River via the Illinois Waterway. Chicago has been the nation's railroad hub since the 1860s, and its O'Hare International Airport has been among the world's busiest airports for decades. Illinois has long been considered a microcosm of the United States and a bellwether in American culture, exemplified by the phrase Will it play in Peoria?.
Present-day Illinois was inhabited by various indigenous cultures for thousands of years, including the advanced civilization centered in the Cahokia region. The French were the first Europeans to arrive, settling near the Mississippi and Illinois River in the 17th century in the region they called Illinois Country, as part of the sprawling colony of New France. Following U.S. independence in 1783, American settlers began arriving from Kentucky via the Ohio River, and the population grew from south to north. Illinois was part of the United States' oldest territory, the Northwest Territory, and in 1818 it achieved statehood. The Erie Canal brought increased commercial activity in the Great Lakes, and the small settlement of Chicago became one of the fastest growing cities in the world, benefiting from its location as one of the few natural harbors in southwestern Lake Michigan. The invention of the self-scouring steel plow by Illinoisan John Deere turned the state's rich prairie into some of the world's most productive and valuable farmland, attracting immigrant farmers from Germany and Sweden. In the mid-19th century, the Illinois and Michigan Canal and a sprawling railroad network greatly facilitated trade, commerce, and settlement, making the state a transportation hub for the nation.
By 1900, the growth of industrial jobs in the northern cities and coal mining in the central and southern areas attracted immigrants from Eastern and Southern Europe. Illinois became one of America's most industrialized states and remains a major manufacturing center. The Great Migration from the South established a large community of African Americans, particularly in Chicago, who founded the city's famous jazz and blues cultures. Chicago became a leading cultural, economic, and population center and is today one of the world's major commercial centers; its metropolitan area, informally referred to as Chicagoland, holds about 65% of the state's 12.8 million residents.
Two World Heritage Sites are in Illinois, the ancient Cahokia Mounds, and part of the Wright architecture site. Major centers of learning include the University of Chicago, University of Illinois, and Northwestern University. A wide variety of protected areas seek to conserve Illinois' natural and cultural resources. Historically, three U.S. presidents have been elected while residents of Illinois: Abraham Lincoln, Ulysses S. Grant, and Barack Obama; additionally, Ronald Reagan was born and raised in the state. Illinois honors Lincoln with its official state slogan Land of Lincoln. The state is the site of the Abraham Lincoln Presidential Library and Museum in Springfield and the future home of the Barack Obama Presidential Center in Chicago.
Chicago is the most populous city in the U.S. state of Illinois and in the Midwestern United States. With a population of 2,746,388 in the 2020 census, it is the third-most populous city in the United States after New York City and Los Angeles. As the seat of Cook County, the second-most populous county in the U.S., Chicago is the center of the Chicago metropolitan area, which is often colloquially called "Chicagoland".
Located on the shore of Lake Michigan, Chicago was incorporated as a city in 1837 near a portage between the Great Lakes and the Mississippi River watershed. It grew rapidly in the mid-19th century. In 1871, the Great Chicago Fire destroyed several square miles and left more than 100,000 homeless, but Chicago's population continued to grow. Chicago made noted contributions to urban planning and architecture, such as the Chicago School, the development of the City Beautiful Movement, and the steel-framed skyscraper.
Chicago is an international hub for finance, culture, commerce, industry, education, technology, telecommunications, and transportation. It has the largest and most diverse derivatives market in the world, generating 20% of all volume in commodities and financial futures alone. O'Hare International Airport is routinely ranked among the world's top six busiest airports by passenger traffic, and the region is also the nation's railroad hub. The Chicago area has one of the highest gross domestic products (GDP) of any urban region in the world, generating $689 billion in 2018. Chicago's economy is diverse, with no single industry employing more than 14% of the workforce.
Chicago is a major tourist destination. Chicago's culture has contributed much to the visual arts, literature, film, theater, comedy (especially improvisational comedy), food, dance, and music (particularly jazz, blues, soul, hip-hop, gospel, and electronic dance music, including house music). Chicago is home to the Chicago Symphony Orchestra and the Lyric Opera of Chicago, while the Art Institute of Chicago provides an influential visual arts museum and art school. The Chicago area also hosts the University of Chicago, Northwestern University, and the University of Illinois Chicago, among other institutions of learning. Chicago has professional sports teams in each of the major professional leagues, including two Major League Baseball teams.
In the mid-18th century, the area was inhabited by the Potawatomi, an indigenous tribe who had succeeded the Miami and Sauk and Fox peoples in this region.
The first known permanent settler in Chicago was trader Jean Baptiste Point du Sable. Du Sable was of African descent, perhaps born in the French colony of Saint-Domingue (Haiti), and established the settlement in the 1780s. He is commonly known as the "Founder of Chicago."
In 1795, following the victory of the new United States in the Northwest Indian War, an area that was to be part of Chicago was turned over to the U.S. for a military post by native tribes in accordance with the Treaty of Greenville. In 1803, the U.S. Army constructed Fort Dearborn, which was destroyed during the War of 1812 in the Battle of Fort Dearborn by the Potawatomi before being later rebuilt.
After the War of 1812, the Ottawa, Ojibwe, and Potawatomi tribes ceded additional land to the United States in the 1816 Treaty of St. Louis. The Potawatomi were forcibly removed from their land after the 1833 Treaty of Chicago and sent west of the Mississippi River as part of the federal policy of Indian removal.
On August 12, 1833, the Town of Chicago was organized with a population of about 200. Within seven years it grew to more than 6,000 people. On June 15, 1835, the first public land sales began with Edmund Dick Taylor as Receiver of Public Monies. The City of Chicago was incorporated on Saturday, March 4, 1837, and for several decades was the world's fastest-growing city.
As the site of the Chicago Portage, the city became an important transportation hub between the eastern and western United States. Chicago's first railway, Galena and Chicago Union Railroad, and the Illinois and Michigan Canal opened in 1848. The canal allowed steamboats and sailing ships on the Great Lakes to connect to the Mississippi River.
A flourishing economy brought residents from rural communities and immigrants from abroad. Manufacturing and retail and finance sectors became dominant, influencing the American economy. The Chicago Board of Trade (established 1848) listed the first-ever standardized "exchange-traded" forward contracts, which were called futures contracts.
In the 1850s, Chicago gained national political prominence as the home of Senator Stephen Douglas, the champion of the Kansas–Nebraska Act and the "popular sovereignty" approach to the issue of the spread of slavery. These issues also helped propel another Illinoisan, Abraham Lincoln, to the national stage. Lincoln was nominated in Chicago for U.S. president at the 1860 Republican National Convention, which was held in a purpose-built auditorium called the Wigwam. He defeated Douglas in the general election, and this set the stage for the American Civil War.
To accommodate rapid population growth and demand for better sanitation, the city improved its infrastructure. In February 1856, Chicago's Common Council approved Chesbrough's plan to build the United States' first comprehensive sewerage system. The project raised much of central Chicago to a new grade with the use of jackscrews for raising buildings. While elevating Chicago, and at first improving the city's health, the untreated sewage and industrial waste now flowed into the Chicago River, and subsequently into Lake Michigan, polluting the city's primary freshwater source.
The city responded by tunneling two miles (3.2 km) out into Lake Michigan to newly built water cribs. In 1900, the problem of sewage contamination was largely resolved when the city completed a major engineering feat. It reversed the flow of the Chicago River so that the water flowed away from Lake Michigan rather than into it. This project began with the construction and improvement of the Illinois and Michigan Canal, and was completed with the Chicago Sanitary and Ship Canal that connects to the Illinois River, which flows into the Mississippi River.
In 1871, the Great Chicago Fire destroyed an area about 4 miles (6.4 km) long and 1-mile (1.6 km) wide, a large section of the city at the time. Much of the city, including railroads and stockyards, survived intact, and from the ruins of the previous wooden structures arose more modern constructions of steel and stone. These set a precedent for worldwide construction. During its rebuilding period, Chicago constructed the world's first skyscraper in 1885, using steel-skeleton construction.
The city grew significantly in size and population by incorporating many neighboring townships between 1851 and 1920, with the largest annexation happening in 1889, with five townships joining the city, including the Hyde Park Township, which now comprises most of the South Side of Chicago and the far southeast of Chicago, and the Jefferson Township, which now makes up most of Chicago's Northwest Side. The desire to join the city was driven by municipal services that the city could provide its residents.
Chicago's flourishing economy attracted huge numbers of new immigrants from Europe and migrants from the Eastern United States. Of the total population in 1900, more than 77% were either foreign-born or born in the United States of foreign parentage. Germans, Irish, Poles, Swedes, and Czechs made up nearly two-thirds of the foreign-born population (by 1900, whites were 98.1% of the city's population).
Labor conflicts followed the industrial boom and the rapid expansion of the labor pool, including the Haymarket affair on May 4, 1886, and in 1894 the Pullman Strike. Anarchist and socialist groups played prominent roles in creating very large and highly organized labor actions. Concern for social problems among Chicago's immigrant poor led Jane Addams and Ellen Gates Starr to found Hull House in 1889. Programs that were developed there became a model for the new field of social work.
During the 1870s and 1880s, Chicago attained national stature as the leader in the movement to improve public health. City laws and later, state laws that upgraded standards for the medical profession and fought urban epidemics of cholera, smallpox, and yellow fever were both passed and enforced. These laws became templates for public health reform in other cities and states.
The city established many large, well-landscaped municipal parks, which also included public sanitation facilities. The chief advocate for improving public health in Chicago was John H. Rauch, M.D. Rauch established a plan for Chicago's park system in 1866. He created Lincoln Park by closing a cemetery filled with shallow graves, and in 1867, in response to an outbreak of cholera he helped establish a new Chicago Board of Health. Ten years later, he became the secretary and then the president of the first Illinois State Board of Health, which carried out most of its activities in Chicago.
In the 1800s, Chicago became the nation's railroad hub, and by 1910 over 20 railroads operated passenger service out of six different downtown terminals. In 1883, Chicago's railway managers needed a general time convention, so they developed the standardized system of North American time zones. This system for telling time spread throughout the continent.
In 1893, Chicago hosted the World's Columbian Exposition on former marshland at the present location of Jackson Park. The Exposition drew 27.5 million visitors, and is considered the most influential world's fair in history. The University of Chicago, formerly at another location, moved to the same South Side location in 1892. The term "midway" for a fair or carnival referred originally to the Midway Plaisance, a strip of park land that still runs through the University of Chicago campus and connects the Washington and Jackson Parks.
During World War I and the 1920s there was a major expansion in industry. The availability of jobs attracted African Americans from the Southern United States. Between 1910 and 1930, the African American population of Chicago increased dramatically, from 44,103 to 233,903. This Great Migration had an immense cultural impact, called the Chicago Black Renaissance, part of the New Negro Movement, in art, literature, and music. Continuing racial tensions and violence, such as the Chicago race riot of 1919, also occurred.
The ratification of the 18th amendment to the Constitution in 1919 made the production and sale (including exportation) of alcoholic beverages illegal in the United States. This ushered in the beginning of what is known as the gangster era, a time that roughly spans from 1919 until 1933 when Prohibition was repealed. The 1920s saw gangsters, including Al Capone, Dion O'Banion, Bugs Moran and Tony Accardo battle law enforcement and each other on the streets of Chicago during the Prohibition era. Chicago was the location of the infamous St. Valentine's Day Massacre in 1929, when Al Capone sent men to gun down members of a rival gang, North Side, led by Bugs Moran.
Chicago was the first American city to have a homosexual-rights organization. The organization, formed in 1924, was called the Society for Human Rights. It produced the first American publication for homosexuals, Friendship and Freedom. Police and political pressure caused the organization to disband.
The Great Depression brought unprecedented suffering to Chicago, in no small part due to the city's heavy reliance on heavy industry. Notably, industrial areas on the south side and neighborhoods lining both branches of the Chicago River were devastated; by 1933 over 50% of industrial jobs in the city had been lost, and unemployment rates amongst blacks and Mexicans in the city were over 40%. The Republican political machine in Chicago was utterly destroyed by the economic crisis, and every mayor since 1931 has been a Democrat.
From 1928 to 1933, the city witnessed a tax revolt, and the city was unable to meet payroll or provide relief efforts. The fiscal crisis was resolved by 1933, and at the same time, federal relief funding began to flow into Chicago. Chicago was also a hotbed of labor activism, with Unemployed Councils contributing heavily in the early depression to create solidarity for the poor and demand relief; these organizations were created by socialist and communist groups. By 1935 the Workers Alliance of America begun organizing the poor, workers, the unemployed. In the spring of 1937 Republic Steel Works witnessed the Memorial Day massacre of 1937 in the neighborhood of East Side.
In 1933, Chicago Mayor Anton Cermak was fatally wounded in Miami, Florida, during a failed assassination attempt on President-elect Franklin D. Roosevelt. In 1933 and 1934, the city celebrated its centennial by hosting the Century of Progress International Exposition World's Fair. The theme of the fair was technological innovation over the century since Chicago's founding.
During World War II, the city of Chicago alone produced more steel than the United Kingdom every year from 1939 – 1945, and more than Nazi Germany from 1943 – 1945.
The Great Migration, which had been on pause due to the Depression, resumed at an even faster pace in the second wave, as hundreds of thousands of blacks from the South arrived in the city to work in the steel mills, railroads, and shipping yards.
On December 2, 1942, physicist Enrico Fermi conducted the world's first controlled nuclear reaction at the University of Chicago as part of the top-secret Manhattan Project. This led to the creation of the atomic bomb by the United States, which it used in World War II in 1945.
Mayor Richard J. Daley, a Democrat, was elected in 1955, in the era of machine politics. In 1956, the city conducted its last major expansion when it annexed the land under O'Hare airport, including a small portion of DuPage County.
By the 1960s, white residents in several neighborhoods left the city for the suburban areas – in many American cities, a process known as white flight – as Blacks continued to move beyond the Black Belt. While home loan discriminatory redlining against blacks continued, the real estate industry practiced what became known as blockbusting, completely changing the racial composition of whole neighborhoods. Structural changes in industry, such as globalization and job outsourcing, caused heavy job losses for lower-skilled workers. At its peak during the 1960s, some 250,000 workers were employed in the steel industry in Chicago, but the steel crisis of the 1970s and 1980s reduced this number to just 28,000 in 2015. In 1966, Martin Luther King Jr. and Albert Raby led the Chicago Freedom Movement, which culminated in agreements between Mayor Richard J. Daley and the movement leaders.
Two years later, the city hosted the tumultuous 1968 Democratic National Convention, which featured physical confrontations both inside and outside the convention hall, with anti-war protesters, journalists and bystanders being beaten by police. Major construction projects, including the Sears Tower (now known as the Willis Tower, which in 1974 became the world's tallest building), University of Illinois at Chicago, McCormick Place, and O'Hare International Airport, were undertaken during Richard J. Daley's tenure. In 1979, Jane Byrne, the city's first female mayor, was elected. She was notable for temporarily moving into the crime-ridden Cabrini-Green housing project and for leading Chicago's school system out of a financial crisis.
In 1983, Harold Washington became the first black mayor of Chicago. Washington's first term in office directed attention to poor and previously neglected minority neighborhoods. He was re‑elected in 1987 but died of a heart attack soon after. Washington was succeeded by 6th ward alderperson Eugene Sawyer, who was elected by the Chicago City Council and served until a special election.
Richard M. Daley, son of Richard J. Daley, was elected in 1989. His accomplishments included improvements to parks and creating incentives for sustainable development, as well as closing Meigs Field in the middle of the night and destroying the runways. After successfully running for re-election five times, and becoming Chicago's longest-serving mayor, Richard M. Daley declined to run for a seventh term.
In 1992, a construction accident near the Kinzie Street Bridge produced a breach connecting the Chicago River to a tunnel below, which was part of an abandoned freight tunnel system extending throughout the downtown Loop district. The tunnels filled with 250 million US gallons (1,000,000 m3) of water, affecting buildings throughout the district and forcing a shutdown of electrical power. The area was shut down for three days and some buildings did not reopen for weeks; losses were estimated at $1.95 billion.
On February 23, 2011, Rahm Emanuel, a former White House Chief of Staff and member of the House of Representatives, won the mayoral election. Emanuel was sworn in as mayor on May 16, 2011, and won re-election in 2015. Lori Lightfoot, the city's first African American woman mayor and its first openly LGBTQ mayor, was elected to succeed Emanuel as mayor in 2019. All three city-wide elective offices were held by women (and women of color) for the first time in Chicago history: in addition to Lightfoot, the city clerk was Anna Valencia and the city treasurer was Melissa Conyears-Ervin.
On May 15, 2023, Brandon Johnson assumed office as the 57th mayor of Chicago.
Illinois is a state in the Midwestern region of the United States. It borders Great Lakes to its northeast, the Mississippi River to its west, and the Wabash and Ohio rivers to its south. Its largest metropolitan areas are Chicago and the Metro East region of Greater St. Louis. Other metropolitan areas include Peoria and Rockford, as well as Springfield, its capital, and Champaign-Urbana, home to the main campus of the state's flagship university. Of the fifty U.S. states, Illinois has the fifth-largest gross domestic product (GDP), the sixth-largest population, and the 25th-largest land area.
Illinois has a highly diverse economy, with the global city of Chicago in the northeast, major industrial and agricultural hubs in the north and center, and natural resources such as coal, timber, and petroleum in the south. Owing to its central location and favorable geography, the state is a major transportation hub: the Port of Chicago has access to the Atlantic Ocean through the Great Lakes and Saint Lawrence Seaway and to the Gulf of Mexico from the Mississippi River via the Illinois Waterway. Chicago has been the nation's railroad hub since the 1860s, and its O'Hare International Airport has been among the world's busiest airports for decades. Illinois has long been considered a microcosm of the United States and a bellwether in American culture, exemplified by the phrase Will it play in Peoria?.
Present-day Illinois was inhabited by various indigenous cultures for thousands of years, including the advanced civilization centered in the Cahokia region. The French were the first Europeans to arrive, settling near the Mississippi and Illinois River in the 17th century in the region they called Illinois Country, as part of the sprawling colony of New France. Following U.S. independence in 1783, American settlers began arriving from Kentucky via the Ohio River, and the population grew from south to north. Illinois was part of the United States' oldest territory, the Northwest Territory, and in 1818 it achieved statehood. The Erie Canal brought increased commercial activity in the Great Lakes, and the small settlement of Chicago became one of the fastest growing cities in the world, benefiting from its location as one of the few natural harbors in southwestern Lake Michigan. The invention of the self-scouring steel plow by Illinoisan John Deere turned the state's rich prairie into some of the world's most productive and valuable farmland, attracting immigrant farmers from Germany and Sweden. In the mid-19th century, the Illinois and Michigan Canal and a sprawling railroad network greatly facilitated trade, commerce, and settlement, making the state a transportation hub for the nation.
By 1900, the growth of industrial jobs in the northern cities and coal mining in the central and southern areas attracted immigrants from Eastern and Southern Europe. Illinois became one of America's most industrialized states and remains a major manufacturing center. The Great Migration from the South established a large community of African Americans, particularly in Chicago, who founded the city's famous jazz and blues cultures. Chicago became a leading cultural, economic, and population center and is today one of the world's major commercial centers; its metropolitan area, informally referred to as Chicagoland, holds about 65% of the state's 12.8 million residents.
Two World Heritage Sites are in Illinois, the ancient Cahokia Mounds, and part of the Wright architecture site. Major centers of learning include the University of Chicago, University of Illinois, and Northwestern University. A wide variety of protected areas seek to conserve Illinois' natural and cultural resources. Historically, three U.S. presidents have been elected while residents of Illinois: Abraham Lincoln, Ulysses S. Grant, and Barack Obama; additionally, Ronald Reagan was born and raised in the state. Illinois honors Lincoln with its official state slogan Land of Lincoln. The state is the site of the Abraham Lincoln Presidential Library and Museum in Springfield and the future home of the Barack Obama Presidential Center in Chicago.
Urbex Benelux -
A recycling center , thrift store , is an organization that takes care of the reuse of goods.
Recycling companies were established from the 80s of the twentieth century to limit the waste stream of often good things and to promote reuse .
The recycling centers have a dual objective: on the one hand, the collection of reusable items. In this way, they help financially disadvantaged people with cheap basic equipment for their household and promote the reuse of goods. On the other hand, (low) skilled workers are employed in recycling centers for the collection, sorting, repairing and selling of the goods.
en.wikipedia.org/wiki/Giza_pyramid_complex
The Giza pyramid complex (also called the Giza necropolis) in Egypt is home to the Great Pyramid, the Pyramid of Khafre, and the Pyramid of Menkaure, along with their associated pyramid complexes and the Great Sphinx. All were built during the Fourth Dynasty of the Old Kingdom of ancient Egypt, between c. 2600 – c. 2500 BC. The site also includes several temples, cemeteries, and the remains of a workers' village.
The site is at the edge of the Western Desert, approximately 9 km (5.6 mi) west of the Nile River in the city of Giza, and about 13 km (8.1 mi) southwest of the city centre of Cairo. It forms the northernmost part of the 16,000 ha (160 km2; 62 sq mi) Pyramid Fields of the Memphis and its Necropolis UNESCO World Heritage Site, inscribed in 1979. The pyramid fields include the Abusir, Saqqara, and Dahshur pyramid complexes, which were all built in the vicinity of Egypt's ancient capital of Memphis.[1] Further Old Kingdom pyramid fields were located at the sites Abu Rawash, Zawyet El Aryan, and Meidum.
The Great Pyramid and the Pyramid of Khafre are the largest pyramids built in ancient Egypt, and they have historically been common as emblems of Ancient Egypt in the Western imagination They were popularised in Hellenistic times, when the Great Pyramid was listed by Antipater of Sidon as one of the Seven Wonders of the World. It is by far the oldest of the Ancient Wonders and the only one still in existence.
Literature on ancient Giza is vast; for an overview with further references, see Manuelian[3] or Lehner and Hawass.
Maadi settlements
The earliest settlement of the Giza plateau predates the pyramid complexes. Four jars from the Maadi culture were found at the foot of the Great Pyramid, likely from a disturbed earlier settlement. Further Maadi settlement near the site was uncovered during work on the Greater Cairo Wastewater Project. Recent reassessment of the radiocarbon dating puts the Maadi culture's eponymous settlement to c. 3800 – c. 3400 BC, which is also the likely maximum possible range for the Giza remains.
The Giza pyramid complex consists of the Great Pyramid (also known as the Pyramid of Cheops or Khufu and constructed c. 2580 – c. 2560 BC), the somewhat smaller Pyramid of Khafre (or Chephren) a few hundred metres to the south-west, and the relatively modest-sized Pyramid of Menkaure (or Mykerinos) a few hundred metres farther south-west. The Great Sphinx lies on the east side of the complex. Consensus among Egyptologists is that the head of the Great Sphinx is that of Khafre. Along with these major monuments are a number of smaller satellite edifices, known as "queens" pyramids, causeways, and temples.[8] Besides the archaeological structures, the ancient landscape has also been investigated.
Khufu's complex
Khufu's pyramid complex consists of a valley temple, now buried beneath the village of Nazlet el-Samman; diabase paving and nummulitic limestone walls have been found but the site has not been excavated. The valley temple was connected to a causeway that was largely destroyed when the village was constructed. The causeway led to the Mortuary Temple of Khufu, which was connected to the pyramid. Of this temple, the basalt pavement is the only thing that remains. The king's pyramid has three smaller queen's pyramids associated with it and three boat pits. The boat pits contained a ship, and the two pits on the south side of the pyramid contained intact ships when excavated. One of these ships, the Khufu ship, has been restored and was originally displayed at the Giza Solar boat museum, then subsequently moved to the Grand Egyptian Museum.
Khufu's pyramid still has a limited number of casing stones at its base. These casing stones were made of fine white limestone quarried at Tura.
Khafre's complex
Main articles: Pyramid of Khafre and Great Sphinx of Giza
Khafre's pyramid complex consists of a valley temple, the Sphinx temple, a causeway, a mortuary temple, and the king's pyramid. The valley temple yielded several statues of Khafre. Several were found in a well in the floor of the temple by Mariette in 1860. Others were found during successive excavations by Sieglin (1909–1910), Junker, Reisner, and Hassan. Khafre's complex contained five boat-pits and a subsidiary pyramid with a serdab.
Khafre's pyramid appears larger than the adjacent Khufu Pyramid by virtue of its more elevated location, and the steeper angle of inclination of its construction—it is, in fact, smaller in both height and volume. Khafre's pyramid retains a prominent display of casing stones at its apex.
Menkaure's complex
Menkaure's pyramid complex consists of a valley temple, a causeway, a mortuary temple, and the king's pyramid. The valley temple once contained several statues of Menkaure. During the 5th Dynasty, a smaller ante-temple was added on to the valley temple. The mortuary temple also yielded several statues of Menkaure. The king's pyramid, completed c. 2510 BC, has three subsidiary or queen's pyramids. Of the four major monuments, only Menkaure's pyramid is seen today without any of its original polished limestone casing
Sphinx
The Sphinx dates from the reign of king Khafre. During the New Kingdom, Amenhotep II dedicated a new temple to Hauron-Haremakhet and this structure was added onto by later rulers.
Tomb of Queen Khentkaus I
Main article: Pyramid of Khentkaus I
Khentkaus I was buried in Giza. Her tomb is known as LG 100 and G 8400 and is located in the Central Field, near the valley temple of Menkaure. The pyramid complex of Queen Khentkaus includes her pyramid, a boat pit, a valley temple, and a pyramid town.
Construction
Main article: Egyptian pyramid construction techniques
Most construction theories are based on the idea that the pyramids were built by moving huge stones from a quarry and dragging and lifting them into place. Disagreements arise over the feasibility of the different proposed methods by which the stones were conveyed and placed.
In building the pyramids, the architects might have developed their techniques over time. They would select a site on a relatively flat area of bedrock—not sand—which provided a stable foundation. After carefully surveying the site and laying down the first level of stones, they constructed the pyramids in horizontal levels, one on top of the other.
For the Great Pyramid, most of the stone for the interior seems to have been quarried immediately to the south of the construction site. The smooth exterior of the pyramid was made of a fine grade of white limestone that was quarried across the Nile. These exterior blocks had to be carefully cut, transported by river barge to Giza, and dragged up ramps to the construction site. Only a few exterior blocks remain in place at the bottom of the Great Pyramid. During the Middle Ages (5th century to 15th century), people may have taken the rest away for building projects in the city of Cairo.
To ensure that the pyramid remained symmetrical, the exterior casing stones all had to be equal in height and width. Workers might have marked all the blocks to indicate the angle of the pyramid wall and trimmed the surfaces carefully so that the blocks fit together. During construction, the outer surface of the stone was smooth limestone; excess stone has eroded over time.
New insights into the closing stages of the Great Pyramid building were provided by the recent find of Wadi el-Jarf papyri, especially the diary of inspector Merer, whose team was assigned to deliver the white limestone from Tura quarries to Giza. The journal was already published, as well as a popular account of the importance of this discovery.
Purpose
The pyramids of Giza and others are thought to have been constructed to house the remains of the deceased pharaohs who ruled Ancient Egypt. A portion of the pharaoh's spirit called his ka was believed to remain with his corpse. Proper care of the remains was necessary in order for the "former Pharaoh to perform his new duties as king of the dead". It is theorized the pyramid not only served as a tomb for the pharaoh, but also as a storage pit for various items he would need in the afterlife. "The people of Ancient Egypt believed that death on Earth was the start of a journey to the next world." The embalmed body of the King was entombed underneath or within the pyramid to protect it and allow his transformation and ascension to the afterlife.
Astronomy
The sides of all three of the Giza pyramids were astronomically oriented to the cardinal directions within a small fraction of a degree. According to the disputed Orion correlation theory, the arrangement of the pyramids is a representation of the constellation Orion.
Workers' village
The work of quarrying, moving, setting, and sculpting the huge amount of stone used to build the pyramids might have been accomplished by several thousand skilled workers, unskilled laborers and supporting workers. Bakers, carpenters, water carriers, and others were also needed for the project. Along with the methods used to construct the pyramids, there is also wide speculation regarding the exact number of workers needed for a building project of this magnitude. When Greek historian Herodotus visited Giza in 450 BC, he was told by Egyptian priests that "the Great Pyramid had taken 400,000 men 20 years to build, working in three-month shifts 100,000 men at a time." Evidence from the tombs indicates that a workforce of 10,000 laborers working in three-month shifts took around 30 years to build a pyramid.
The Giza pyramid complex is surrounded by a large stone wall, outside which Mark Lehner and his team discovered a town where the pyramid workers were housed. The village is located to the southeast of the Khafre and Menkaure complexes. Among the discoveries at the workers' village are communal sleeping quarters, bakeries, breweries, and kitchens (with evidence showing that bread, beef, and fish were dietary staples), a copper workshop, a hospital, and a cemetery (where some of the skeletons were found with signs of trauma associated with accidents on a building site). The metal processed at the site was the so-called arsenical copper. The same material was also identified among the copper artefacts from the "Kromer" site, from the reigns of Khufu and Khafre.
The workers' town appears to date from the middle 4th Dynasty (2520–2472 BC), after the accepted time of Khufu and completion of the Great Pyramid. According to Lehner and the AERA team:
The development of this urban complex must have been rapid. All of the construction probably happened in the 35 to 50 years that spanned the reigns of Khafre and Menkaure, builders of the Second and Third Giza Pyramids.
Using pottery shards, seal impressions, and stratigraphy to date the site, the team further concludes:
The picture that emerges is that of a planned settlement, some of the world's earliest urban planning, securely dated to the reigns of two Giza pyramid builders: Khafre (2520–2494 BC) and Menkaure (2490–2472 BC).
Radiocarbon data for the Old Kingdom Giza plateau and the workers' settlement were published in 2006, and then re-evaluated in 2011.
Cemeteries
As the pyramids were constructed, the mastabas for lesser royals were constructed around them. Near the pyramid of Khufu, the main cemetery is G 7000, which lies in the East Field located to the east of the main pyramid and next to the Queen's pyramids. These cemeteries around the pyramids were arranged along streets and avenues. Cemetery G 7000 was one of the earliest and contained tombs of wives, sons, and daughters of these 4th Dynasty rulers. On the other side of the pyramid in the West Field, the royals' sons Wepemnofret and Hemiunu were buried in Cemetery G 1200 and Cemetery G 4000, respectively. These cemeteries were further expanded during the 5th and 6th Dynasties.
West Field
Main article: Giza West Field
The West Field is located to the west of Khufu's pyramid. It is divided into smaller areas such as the cemeteries referred to as the Abu Bakr Excavations (1949–1950, 1950–1951, 1952, and 1953), and several cemeteries named based on the mastaba numbers such as Cemetery G 1000, Cemetery G 1100, etc. The West Field contains Cemetery G1000 – Cemetery G1600, and Cemetery G 1900. Further cemeteries in this field are: Cemeteries G 2000, G 2200, G 2500, G 3000, G 4000, and G 6000. Three other cemeteries are named after their excavators: Junker Cemetery West, Junker Cemetery East, and Steindorff Cemetery.
East Field
Main article: Giza East Field
The East Field is located to the east of Khufu's pyramid and contains cemetery G 7000. This cemetery was a burial place for some of the family members of Khufu. The cemetery also includes mastabas from tenants and priests of the pyramids dated to the 5th Dynasty and 6th Dynasty.
Cemetery GIS
This cemetery dates from the time of Menkaure (Junker) or earlier (Reisner), and contains several stone-built mastabas dating from as late as the 6th Dynasty. Tombs from the time of Menkaure include the mastabas of the royal chamberlain Khaemnefert, the King's son Khufudjedef (master of the royal largesse), and an official named Niankhre.
Central Field
Main article: Central Field, Giza
The Central Field contains several burials of royal family members. The tombs range in date from the end of the 4th Dynasty to the 5th Dynasty or even later.[
Tombs dating from the Saite and later period were found near the causeway of Khafre and the Great Sphinx. These tombs include the tomb of a commander of the army named Ahmose and his mother Queen Nakhtubasterau, who was the wife of Pharaoh Amasis II.
South Field
The South Field includes mastabas dating from the 1st Dynasty to 3rd Dynasty as well as later burials. Of the more significant of these early dynastic tombs are one referred to as "Covington's tomb", otherwise known as Mastaba T, and the large Mastaba V which contained artifacts naming the 1st Dynasty pharaoh Djet. Other tombs date from the late Old Kingdom (5th and 6th Dynasty). The south section of the field contains several tombs dating from the Saite period and later.
Tombs of the pyramid builders
In 1990, tombs belonging to the pyramid workers were discovered alongside the pyramids, with an additional burial site found nearby in 2009. Although not mummified, they had been buried in mudbrick tombs with beer and bread to support them in the afterlife. The tombs' proximity to the pyramids and the manner of burial supports the theory that they were paid laborers who took pride in their work and were not slaves, as was previously thought. Evidence from the tombs indicates that a workforce of 10,000 laborers working in three-month shifts took around 30 years to build a pyramid. Most of the workers appear to have come from poor families. Specialists such as architects, masons, metalworkers, and carpenters were permanently employed by the king to fill positions that required the most skill.
Shafts
There are multiple burial-shafts and various unfinished shafts and tunnels located in the Giza complex that were discovered and mentioned prominently by Selim Hassan in his report Excavations at Giza 1933–1934. He states: "Very few of the Saitic [referring to the Saite Period) shafts have been thoroughly examined, for the reason that most of them are flooded."
Osiris Shaft
The Osiris Shaft is a narrow burial-shaft leading to three levels for a tomb and below it a flooded area. It was first mentioned by Hassan, and a thorough excavation was conducted by a team led by Hawass in 1999. It was opened to tourists in November 2017.
New Kingdom and Late Period
During the New Kingdom Giza was still an active site. A brick-built chapel was constructed near the Sphinx during the early 18th Dynasty, probably by King Thutmose I. Amenhotep II built a temple dedicated to Hauron-Haremakhet near the Sphinx. As a prince, the future pharaoh Thutmose IV visited the pyramids and the Sphinx; he reported being told in a dream that if he cleared the sand that had built up around the Sphinx, he would be rewarded with kingship. This event is recorded in the Dream Stele, which he had installed between the Sphinx's front legs.
During the early years of his reign, Thutmose IV, together with his wife Queen Nefertari, had stelae erected at Giza.
Pharaoh Tutankhamun had a structure built, which is now referred to as the king's resthouse.
During the 19th Dynasty, Seti I added to the temple of Hauron-Haremakhet, and his son Ramesses II erected a stela in the chapel before the Sphinx and usurped the resthouse of Tutankhamun.
During the 21st Dynasty, the Temple of Isis Mistress-of-the-Pyramids was reconstructed. During the 26th Dynasty, a stela made in this time mentions Khufu and his Queen Henutsen.
Division of the 1903–1905 excavation of the Giza Necropolis
In 1903, rights to excavate the West Field and Pyramids of the Giza Necropolis were divided by three institutions from Italy, Germany, and the United States of America.
Background
Prior to the division of the Giza Plateau into three institutional concessions in 1903, amateur and private excavations at the Giza Necropolis had been permitted to operate. The work of these amateur archaeologists failed to meet high scientific standards. Montague Ballard, for instance, excavated in the Western Cemetery (with the hesitant permission of the Egyptian Antiquities Service) and neither kept records of his finds nor published them.
Italian, German, and American Concessions at Giza
In 1902, the Egyptian Antiquities Service under Gaston Maspero resolved to issue permits exclusively to authorized individuals representing public institutions. In November of that year, the Service awarded three scholars with concessions on the Giza Necropolis. They were the Italian Ernesto Schiaparelli from the Turin Museum, the German Georg Steindorff from the University of Leipzig who had funding from Wilhelm Pelizaeus, and the American George Reisner from the Hearst Expedition. Within a matter of months, the site had been divided between the concessionaires following a meeting at the Mena House Hotel involving Schiaparelli, Ludwig Borchardt (Steindorff's representative in Egypt), and Reisner.
Division of the West Field
By the turn of the 20th century, the three largest pyramids on the Giza plateau were considered mostly exhausted by previous excavations, so the Western Cemetery and its collection of private mastaba tombs were thought to represent the richest unexcavated part of the plateau. George Reisner's wife, Mary, drew names from a hat to assign three long east-west plots of the necropolis among the Italian, German, and American missions. Schiaparelli was assigned the southernmost strip, Borchardt the center, and Reisner the northernmost.
Division of the Pyramids
Rights to excavate the Pyramids were then also negotiated between Schiaparelli, Borchardt, and Reisner. Schiaparelli gained rights to excavate the Great Pyramid of Khufu along with its three associated queens' pyramids and most of its Eastern Cemetery. Borchardt received Khafre's pyramid, its causeway, the Sphinx, and the Sphinx's associated temples. Reisner claimed Menkaure's pyramid as well as its associated queens' pyramids and pyramid temple, along with a portion of Schiaparelli's Eastern Cemetery. Any future disputes were to be resolved by Inspector James Quibell, as per a letter from Borchardt to Maspero.
Immediate Aftermath
This arrangement lasted until 1905, when, under the supervision of Schiaparelli and Francesco Ballerini, the Italian excavations ceased at Giza. As the Italians were more interested in sites which might yield more papyri, they turned their concession of the southern strip of the Western Cemetery over to the Americans under Reisner.
Modern usage
In 1978, the Grateful Dead played a series of concerts later released as Rocking the Cradle: Egypt 1978. In 2007, Colombian singer Shakira performed at the complex to a crowd of approximately 100,000 people. The complex was used for the final draw of the 2019 Africa Cup of Nations and the 2021 World Men's Handball Championship.
Egypt's Minister of Tourism unveiled plans for a €17,000,000 revamp of the complex by the end of 2021, in order to boost tourism in Egypt as well as make the site more accessible and tourist-friendly. According to Lonely Planet, the refurbishment includes a new visitors' centre, an environmentally-friendly electric bus, a restaurant (the 9 Pyramids Lounge), as well as a cinema, public toilets, site-wide signage, food trucks, photo booths, and free Wi-Fi. The new facility is part of a wider plan to renovate the 4,500 year old site.
I wanted to capture this picture of all three saints and then find out information of them. Please see below some information of them from left to right.
The Life of Saint Elizabeth Ann Seton
“Elizabeth Ann Seton is a saint. St. Elizabeth Ann Seton is an American. All of us say this with special joy, and with the intention of honoring the land and the nation from which she sprang forth as the first flower in the calendar of the saints. Elizabeth Ann Seton was wholly American! Rejoice for your glorious daughter. Be proud of her. And know how to preserve her fruitful heritage.” –Pope Paul VI
Elizabeth Ann Bayley was born in New York City on August 28, 1774 to a prominent Episcopal family, and lost her mother at the age of three. In 1794, at the age of 19, Elizabeth married William Magee Seton, a wealthy businessman with whom she had five children. William died of tuberculosis in 1803, leaving Elizabeth a young widow. After discovering Catholicism in Italy, where her husband had died, Elizabeth returned to the United States and entered the Catholic Church in 1805 in New York.
After a number of difficult years, Elizabeth moved in 1809 to Emmitsburg, Maryland, where she founded the Sisters of Charity of St. Joseph’s, the first community for religious women established in the United States. She also began St. Joseph’s Academy and Free School, planting the seeds of Catholic education in the United States. Her legacy now includes religious congregations in the United States and Canada, whose members work on the unmet needs of people living in poverty in North America and beyond.
Mother Seton, as she is often called, was canonized on Sunday, September 14, 1975 in St. Peter’s Square by Pope Paul VI. She was the first citizen born in the United States to be given the title of “Saint.” Her remains are entombed in Emmitsburg in the Basilica at the National Shrine that bears her name.
Frances Cabrini, our University’s namesake, was born on July 15, 1850 in the small village of Sant'Angelo Lodigiano, Italy. Enthralled by the stories of missionaries, she made up her mind to join a religious order.
Her dream was not easily acquired, as her frail health held her back from joining the Daughters of the Sacred Heart, the order who had been her teachers and mentors.
Undeterred, in 1880, Frances founded her own order with seven other young women—the Institute of the Missionary Sisters of the Sacred Heart of Jesus.
She and her Sisters wanted to be missionaries in China and despite all obstacles; she visited Rome to obtain an audience with Pope Leo XIII. The Pope told Frances to go “not to the East, but to the West” to New York rather than to China as she had expected. She was to help the thousands of Italian immigrants already in the United States.
In 1889, New York seemed to be filled with chaos and poverty, and into this new world stepped Mother Frances Cabrini and her Sister companions. Cabrini organized catechism and education classes for the Italian immigrants and provided for the needs of the many orphans. She established schools and orphanages despite tremendous odds.
Soon, requests for her to open schools came to Frances Cabrini from all over the world. She traveled to Europe, Central and South America, and throughout the United States. She made 24 trans-Atlantic crossings and established 67 institutions: schools, hospitals, and orphanages.
Mother Cabrini
On December 22, 1917, in Chicago, she died. In 1946, she was canonized a saint by PopePius XII in recognition of her holiness and service to mankind.
Today, the Missionary Sisters and their lay collaborator can be found on six continents and 17 countries throughout the world; wherever there is a need.
Discover more about Saint Frances’s life and indomitable spirit at mothercabrini.org.
St. Kateri Tekakwitha is the first Native American to be recognized as a saint by the Catholic Church. She was born in 1656, in the Mohawk village of Ossernenon. Her mother was an Algonquin, who was captured by the Mohawks and who took a Mohawk chief for her husband.
She contracted smallpox as a four-year-old child which scarred her skin. The scars were a source of humiliation in her youth. She was commonly seen wearing a blanket to hide her face. Worse, her entire family died during the outbreak. Kateri Tekakwitha was subsequently raised by her uncle, who was the chief of a Mohawk clan.
Kateri was known as a skilled worker, who was diligent and patient. However, she refused to marry. When her adoptive parents proposed a suitor to her, she refused to entertain the proposal. They punished her by giving her more work to do, but she did not give in. Instead, she remained quiet and diligent. Eventually they were forced to relent and accept that she had no interest in marriage.
At age 19, Kateri Tekakwitha converted to Catholicism, taking a vow of chastity and pledging to marry only Jesus Christ. Her decision was very unpopular with her adoptive parents and their neighbors. Some of her neighbors started rumors of sorcery. To avoid persecution, she traveled to a Christian native community south of Montreal.
Facts about Tulips
🌷 1634 to 1637 is known as the “Tulip Mania” period.
🌷 During the “Tulip Mania”, a Tulip was worth more than a precious diamond. Sometimes ten times the annual income of a wealthy skilled worker.
🌷 Netherlands is still the world’s main producer of commercially sold Tulips.
🌷 Tulip petals are edible though the taste is unpleasant.
🌷 Storing Tulips in a very cold place for up to 12 weeks can “force” Tulips to blooming early.
🌷The Dutch Royal Family sent 1,000,000 Tulip bulbs to Ottawa in 1945 to show gratitude for sheltering Princess Juliana and daughters during the Nazi occupation.
🌷The world’s largest tulip festival is celebrated by Canadians in Ottawa. Bed of Tulips are spread from Commissioner’s Park at Dow’s Lake to Parliament Hill… and across the Ottawa River.
From Cottage Industry to Factory
Cloth merchants, for instance, would buy raw wool from the sheep owners, have it spun into yarn by farmers' wives, and take it to country weavers to be made into textiles. These country weavers could manufacture the cloth more cheaply than city craftsmen could because they got part of their living from their gardens or small farms.
The merchants would then collect the cloth and give it out again to finishers and dyers. Thus they controlled clothmaking from start to finish. Similar methods of organizing and controlling the process of manufacture came to prevail in other industries, such as the nail, cutlery, and leather goods.
Some writers call this the putting-out system. Others call it the domestic system because the work was done in the home ("domestic" comes from the Latin word for home). Another term is cottage industry, for most of the workers belonged to the class of farm laborers known as cotters and carried on the work in their cottages.
This system of industry had several advantages over older systems. It gave the merchant a large supply of manufactured articles at a low price. It also enabled him to order the particular kinds of items that he needed for his markets. It provided employment for every member of a craft worker's family and gave jobs to skilled workers who had no capital to start businesses for themselves. A few merchants who had enough capital had gone a step further. They brought workers together under one roof and supplied them with spinning wheels and looms or with the implements of other trades. These establishments were factories, though they bear slight resemblance to the factories of today.
Why the Revolution Began in England
English merchants were leaders in developing a commerce which increased the demand for more goods. The expansion in trade had made it possible to accumulate capital to use in industry. A cheaper system of production had grown up which was largely free from regulation.
There also were new ideas in England which aided the movement. One of these was the growing interest in scientific investigation and invention. Another was the doctrine of laissez-faire, or letting business alone. This doctrine had been growing in favor throughout the 18th century. It was especially popular after the British economist Adam Smith argued powerfully for it in his great work 'The Wealth of Nations' (1776).
For centuries the craft guilds and the government had controlled commerce and industry down to the smallest detail. Now many Englishmen had come to believe that it was better to let business be regulated by the free play of supply and demand rather than by laws. Thus the English government for the most part kept its hands off and left business free to adopt the new inventions and the methods of production which were best suited to them.
The most important of the machines that ushered in the Industrial Revolution were invented in the last third of the 18th century. Earlier in the century, however, three inventions had been made which opened the way for the later machines. One was the crude, slow-moving steam engine built by Thomas Newcomen (1705), which was used to pump water out of mines. The second was John Kay's flying shuttle (1733). It enabled one person to handle a wide loom more rapidly than two persons could operate it before. The third was a frame for spinning cotton thread with rollers, first set up by Lewis Paul and John Wyatt (1741). Their invention was not commercially practical, but it was the first step toward solving the problem of machine spinning.
Inventions in Textile Industry
As the flying shuttle sped up weaving, the demand for cotton yarn increased. Many inventors set to work to improve the spinning wheel. James Hargreaves, a weaver who was also a carpenter, patented his spinning jenny in 1770. It enabled one worker to run eight spindles instead of one.
About the same time Richard Arkwright developed his water frame, a machine for spinning with rollers operated by water power. In 1779 Samuel Crompton, a spinner, combined Hargreaves' jenny and Arkwright's roller frame into a spinning machine, called a mule. It produced thread of greater fineness and strength than the jenny or the roller frame. Since the roller frame and the mule were large and heavy, it became the practice to install them in mills, where they could be run by water power. They were tended by women and children.
These improvements in spinning machinery called for further improvements in weaving. In 1785 Edmund Cartwright patented a power loom. In spite of the need for it, weaving machinery came into use very slowly. First, many improvements had to be made before the loom was satisfactory. Second, the hand weavers violently opposed its adoption because it threw many of them out of work. Those who got jobs in the factories were obliged to take the same pay as unskilled workers. Thus they rioted, smashed the machines, and tried to prevent their use. The power loom was only coming into wide operation in the cotton industry by 1813. It did not completely replace the hand loom in weaving cotton until 1850. It was not well adapted to the making of some woolens. As late as 1880 many hand looms were still in use for weaving woolen cloth.
Many other machines contributed to the progress of the textile industry. In 1785 Thomas Bell of Glasgow invented cylinder printing of cotton goods. This was a great improvement on block printing. It made successive impressions of a design "join up" and did the work more rapidly and more cheaply. In 1793 the available supply of cotton was increased by Eli Whitney's invention of the cotton gin. In 1804 J.M. Jacquard, a Frenchman, perfected a loom on which patterns might be woven in fabrics by mechanical means. This loom was later adapted to the making of lace, which became available to everyone
Watt's Steam Engine
While textile machinery was developing, progress was being made in other directions. In 1763 James Watt, a Scottish mechanic, was asked to repair a model of a Newcomen steam engine. He saw how crude and inefficient it was and by a series of improvements made it a practical device for running machinery.
Wheels turned by running water had been the chief source of power for the early factories. These were necessarily situated on swift-running streams. When the steam engine became efficient, it was possible to locate factories in more convenient places.
Coal and Iron
The first users of steam engines were the coal and iron industries. They were destined to be basic industries in the new age of machinery. As early as 1720 many steam engines were in operation. In coal mines they pumped out the water which usually flooded the deep shafts. In the iron industry they pumped water to create the draft in blast furnaces.
The iron industry benefited also from other early inventions of the 18th century. Iron was scarce and costly, and production was falling off because England's forests could not supply enough charcoal for smelting the ore. Ironmasters had long been experimenting with coal as a fuel for smelting. Finally the Darby family, after three generations of effort, succeeded with coal that had been transformed into coke. This created a new demand for coal and laid the foundation for the British coal industry. The next great steps were taken in the 1780s, when Henry Cort developed the processes of puddling and rolling. Puddling produced nearly pure malleable iron. Hand in hand with the adoption of the new inventions went the rapid development of the factory system of manufacture.
Changing Conditions in England
The new methods increased the amount of goods produced and decreased the cost. The worker at a machine with 100 spindles on it could spin 100 threads of cotton more rapidly than 100 workers could on the old spinning wheels. Southern planters in the United States were able to meet the increased demand for raw cotton because they were using the cotton gin. This machine could do the job of 50 men in cleaning cotton. Similar improvements were being made in other lines of industry. British merchants no longer found it a problem to obtain enough goods to supply their markets. On the contrary, at times the markets were glutted with more goods than could be sold. Then mills were closed and workers were thrown out of employment.
With English factories calling for supplies, such as American cotton, and sending goods to all parts of the world, better transportation was needed. The roads of England were wretchedly poor and often impassable. Packhorses and wagons crawled along them, carrying small loads. Such slow and inadequate transportation kept the cost of goods high. Here again the need produced the invention. Thomas Telford and John MacAdam each developed a method of road construction better than any that had been known since the ancient Romans built their famous roads.
Building Canals and Railways
Many canals were dug. They connected the main rivers and so furnished a network of waterways for transporting coal and other heavy goods. A canalboat held much more than a wagon. It moved smoothly if slowly over the water, with a single horse hitched to the towline. In some places, where it was impossible to dig canals and where heavy loads of coal had to be hauled, mine owners laid down wooden or iron rails. On these early railroads one horse could haul as much coal as 20 horses could on ordinary roads.
Early in the 19th century came George Stephenson's locomotive and Robert Fulton's steamboat, an American invention. They marked the beginning of modern transportation on land and sea. Railroads called for the production of more goods, for they put factory-made products within reach of many more people at prices they could afford to pay.
Global corporations have discovered the rich lime goo makes for great rocket fuel! The race is on the exploit the Agreon's natural resource for personal gain. With skilled workers highly sought after from many planets, it's likely you might see someone you recognise.
The mountain contains a black light to illuminate the alien barracks.
Plasmo's franchises are deploying to all major planetary systems, call today to find out how you can be a part of the interstellar grog syndicate!
Hope you like my biggest layout to date. It was too large to set up at home unless I clear the garage out. I had a little help from Taz-maniac, Bricktron and Intrastella on the left side of the display.
The Palace of International Forums ‘Uzbekistan’ stands on Amir Timur Square in the very centre of Tashkent, it is considered the country’s most significant representative building; ‘Uzbekistan’ has been designed as a platform for hosting acts of state, congresses, conferences and other cultural highlights. The palace was ceremonially opened in September 2009 to celebrate Tashkent’s 2200th anniversary.
More than 5000 architects, project managers and skilled workers cooperated on this huge project.
The Palace of International Forums has maintained the classical external elements for its appearance, yet it hints to the visitor its modern interior through the extensively glazed facade. The main foyer with a ceiling height of over 16 meters and an area of 2,500 square meters is intentionally staged and atmospherically dense creating bounteousness. The extravagant chandelier with 1.1 million Swarovski crystals is nine meter high, while its 23-meter length outlines the longitudinal axis of the foyer. In this grandeur open floor plan of the foyer the “floating” staircases relieve the monumental palace coulisse as they support the organizational structure of the interior.
The overwhelming impression of the room is achieved by using exquisite materials. The walls were covered in mother of pearl, stucco work and more than 1300 running meters of Swarovski wallpaper. The ebony parquet floor was enhanced with marquetry made of over 32 tons of Carrara Arabescato and Sivic marble for added effect. The unusual ceiling with its organic shapes emphasised by indirect lighting reinforces the height of the room and also serves to convey an impression of generous space. The dimensions are also reflected in the furnishings. The room remains spacious even with a total of eighteen round banquet tables, Walter-Knoll chairs in matching colours of brown-beige and a ten meters long, slightly bent "president?s table" put up.
The colour composition of white, black and cre`me, combined with fine ebony, makes for a very high-class effect. At the same time, the materials were chosen not only for their exclusiveness, but also according to functional aspects. For example, sound-control plaster was used to achieve perfect room acoustics.
The lighting concept offers some true highlights: Two opulent Swarovski crystal lamps, each consisting of 1600 separate stones with a diameter of 7 cm, break every ray of light and draw all looks. Effectively used indirect light emphasises the contours of the organic shapes and, at the same time, creates a festive and ceremonial atmosphere. Recessed lamps and some spots are placed in the ceiling construction to sparkle like stars in the sky.
en.wikipedia.org/wiki/Giza_pyramid_complex
The Giza pyramid complex (also called the Giza necropolis) in Egypt is home to the Great Pyramid, the Pyramid of Khafre, and the Pyramid of Menkaure, along with their associated pyramid complexes and the Great Sphinx. All were built during the Fourth Dynasty of the Old Kingdom of ancient Egypt, between c. 2600 – c. 2500 BC. The site also includes several temples, cemeteries, and the remains of a workers' village.
The site is at the edge of the Western Desert, approximately 9 km (5.6 mi) west of the Nile River in the city of Giza, and about 13 km (8.1 mi) southwest of the city centre of Cairo. It forms the northernmost part of the 16,000 ha (160 km2; 62 sq mi) Pyramid Fields of the Memphis and its Necropolis UNESCO World Heritage Site, inscribed in 1979. The pyramid fields include the Abusir, Saqqara, and Dahshur pyramid complexes, which were all built in the vicinity of Egypt's ancient capital of Memphis.[1] Further Old Kingdom pyramid fields were located at the sites Abu Rawash, Zawyet El Aryan, and Meidum.
The Great Pyramid and the Pyramid of Khafre are the largest pyramids built in ancient Egypt, and they have historically been common as emblems of Ancient Egypt in the Western imagination They were popularised in Hellenistic times, when the Great Pyramid was listed by Antipater of Sidon as one of the Seven Wonders of the World. It is by far the oldest of the Ancient Wonders and the only one still in existence.
Literature on ancient Giza is vast; for an overview with further references, see Manuelian[3] or Lehner and Hawass.
Maadi settlements
The earliest settlement of the Giza plateau predates the pyramid complexes. Four jars from the Maadi culture were found at the foot of the Great Pyramid, likely from a disturbed earlier settlement. Further Maadi settlement near the site was uncovered during work on the Greater Cairo Wastewater Project. Recent reassessment of the radiocarbon dating puts the Maadi culture's eponymous settlement to c. 3800 – c. 3400 BC, which is also the likely maximum possible range for the Giza remains.
The Giza pyramid complex consists of the Great Pyramid (also known as the Pyramid of Cheops or Khufu and constructed c. 2580 – c. 2560 BC), the somewhat smaller Pyramid of Khafre (or Chephren) a few hundred metres to the south-west, and the relatively modest-sized Pyramid of Menkaure (or Mykerinos) a few hundred metres farther south-west. The Great Sphinx lies on the east side of the complex. Consensus among Egyptologists is that the head of the Great Sphinx is that of Khafre. Along with these major monuments are a number of smaller satellite edifices, known as "queens" pyramids, causeways, and temples.[8] Besides the archaeological structures, the ancient landscape has also been investigated.
Khufu's complex
Khufu's pyramid complex consists of a valley temple, now buried beneath the village of Nazlet el-Samman; diabase paving and nummulitic limestone walls have been found but the site has not been excavated. The valley temple was connected to a causeway that was largely destroyed when the village was constructed. The causeway led to the Mortuary Temple of Khufu, which was connected to the pyramid. Of this temple, the basalt pavement is the only thing that remains. The king's pyramid has three smaller queen's pyramids associated with it and three boat pits. The boat pits contained a ship, and the two pits on the south side of the pyramid contained intact ships when excavated. One of these ships, the Khufu ship, has been restored and was originally displayed at the Giza Solar boat museum, then subsequently moved to the Grand Egyptian Museum.
Khufu's pyramid still has a limited number of casing stones at its base. These casing stones were made of fine white limestone quarried at Tura.
Khafre's complex
Main articles: Pyramid of Khafre and Great Sphinx of Giza
Khafre's pyramid complex consists of a valley temple, the Sphinx temple, a causeway, a mortuary temple, and the king's pyramid. The valley temple yielded several statues of Khafre. Several were found in a well in the floor of the temple by Mariette in 1860. Others were found during successive excavations by Sieglin (1909–1910), Junker, Reisner, and Hassan. Khafre's complex contained five boat-pits and a subsidiary pyramid with a serdab.
Khafre's pyramid appears larger than the adjacent Khufu Pyramid by virtue of its more elevated location, and the steeper angle of inclination of its construction—it is, in fact, smaller in both height and volume. Khafre's pyramid retains a prominent display of casing stones at its apex.
Menkaure's complex
Menkaure's pyramid complex consists of a valley temple, a causeway, a mortuary temple, and the king's pyramid. The valley temple once contained several statues of Menkaure. During the 5th Dynasty, a smaller ante-temple was added on to the valley temple. The mortuary temple also yielded several statues of Menkaure. The king's pyramid, completed c. 2510 BC, has three subsidiary or queen's pyramids. Of the four major monuments, only Menkaure's pyramid is seen today without any of its original polished limestone casing
Sphinx
The Sphinx dates from the reign of king Khafre. During the New Kingdom, Amenhotep II dedicated a new temple to Hauron-Haremakhet and this structure was added onto by later rulers.
Tomb of Queen Khentkaus I
Main article: Pyramid of Khentkaus I
Khentkaus I was buried in Giza. Her tomb is known as LG 100 and G 8400 and is located in the Central Field, near the valley temple of Menkaure. The pyramid complex of Queen Khentkaus includes her pyramid, a boat pit, a valley temple, and a pyramid town.
Construction
Main article: Egyptian pyramid construction techniques
Most construction theories are based on the idea that the pyramids were built by moving huge stones from a quarry and dragging and lifting them into place. Disagreements arise over the feasibility of the different proposed methods by which the stones were conveyed and placed.
In building the pyramids, the architects might have developed their techniques over time. They would select a site on a relatively flat area of bedrock—not sand—which provided a stable foundation. After carefully surveying the site and laying down the first level of stones, they constructed the pyramids in horizontal levels, one on top of the other.
For the Great Pyramid, most of the stone for the interior seems to have been quarried immediately to the south of the construction site. The smooth exterior of the pyramid was made of a fine grade of white limestone that was quarried across the Nile. These exterior blocks had to be carefully cut, transported by river barge to Giza, and dragged up ramps to the construction site. Only a few exterior blocks remain in place at the bottom of the Great Pyramid. During the Middle Ages (5th century to 15th century), people may have taken the rest away for building projects in the city of Cairo.
To ensure that the pyramid remained symmetrical, the exterior casing stones all had to be equal in height and width. Workers might have marked all the blocks to indicate the angle of the pyramid wall and trimmed the surfaces carefully so that the blocks fit together. During construction, the outer surface of the stone was smooth limestone; excess stone has eroded over time.
New insights into the closing stages of the Great Pyramid building were provided by the recent find of Wadi el-Jarf papyri, especially the diary of inspector Merer, whose team was assigned to deliver the white limestone from Tura quarries to Giza. The journal was already published, as well as a popular account of the importance of this discovery.
Purpose
The pyramids of Giza and others are thought to have been constructed to house the remains of the deceased pharaohs who ruled Ancient Egypt. A portion of the pharaoh's spirit called his ka was believed to remain with his corpse. Proper care of the remains was necessary in order for the "former Pharaoh to perform his new duties as king of the dead". It is theorized the pyramid not only served as a tomb for the pharaoh, but also as a storage pit for various items he would need in the afterlife. "The people of Ancient Egypt believed that death on Earth was the start of a journey to the next world." The embalmed body of the King was entombed underneath or within the pyramid to protect it and allow his transformation and ascension to the afterlife.
Astronomy
The sides of all three of the Giza pyramids were astronomically oriented to the cardinal directions within a small fraction of a degree. According to the disputed Orion correlation theory, the arrangement of the pyramids is a representation of the constellation Orion.
Workers' village
The work of quarrying, moving, setting, and sculpting the huge amount of stone used to build the pyramids might have been accomplished by several thousand skilled workers, unskilled laborers and supporting workers. Bakers, carpenters, water carriers, and others were also needed for the project. Along with the methods used to construct the pyramids, there is also wide speculation regarding the exact number of workers needed for a building project of this magnitude. When Greek historian Herodotus visited Giza in 450 BC, he was told by Egyptian priests that "the Great Pyramid had taken 400,000 men 20 years to build, working in three-month shifts 100,000 men at a time." Evidence from the tombs indicates that a workforce of 10,000 laborers working in three-month shifts took around 30 years to build a pyramid.
The Giza pyramid complex is surrounded by a large stone wall, outside which Mark Lehner and his team discovered a town where the pyramid workers were housed. The village is located to the southeast of the Khafre and Menkaure complexes. Among the discoveries at the workers' village are communal sleeping quarters, bakeries, breweries, and kitchens (with evidence showing that bread, beef, and fish were dietary staples), a copper workshop, a hospital, and a cemetery (where some of the skeletons were found with signs of trauma associated with accidents on a building site). The metal processed at the site was the so-called arsenical copper. The same material was also identified among the copper artefacts from the "Kromer" site, from the reigns of Khufu and Khafre.
The workers' town appears to date from the middle 4th Dynasty (2520–2472 BC), after the accepted time of Khufu and completion of the Great Pyramid. According to Lehner and the AERA team:
The development of this urban complex must have been rapid. All of the construction probably happened in the 35 to 50 years that spanned the reigns of Khafre and Menkaure, builders of the Second and Third Giza Pyramids.
Using pottery shards, seal impressions, and stratigraphy to date the site, the team further concludes:
The picture that emerges is that of a planned settlement, some of the world's earliest urban planning, securely dated to the reigns of two Giza pyramid builders: Khafre (2520–2494 BC) and Menkaure (2490–2472 BC).
Radiocarbon data for the Old Kingdom Giza plateau and the workers' settlement were published in 2006, and then re-evaluated in 2011.
Cemeteries
As the pyramids were constructed, the mastabas for lesser royals were constructed around them. Near the pyramid of Khufu, the main cemetery is G 7000, which lies in the East Field located to the east of the main pyramid and next to the Queen's pyramids. These cemeteries around the pyramids were arranged along streets and avenues. Cemetery G 7000 was one of the earliest and contained tombs of wives, sons, and daughters of these 4th Dynasty rulers. On the other side of the pyramid in the West Field, the royals' sons Wepemnofret and Hemiunu were buried in Cemetery G 1200 and Cemetery G 4000, respectively. These cemeteries were further expanded during the 5th and 6th Dynasties.
West Field
Main article: Giza West Field
The West Field is located to the west of Khufu's pyramid. It is divided into smaller areas such as the cemeteries referred to as the Abu Bakr Excavations (1949–1950, 1950–1951, 1952, and 1953), and several cemeteries named based on the mastaba numbers such as Cemetery G 1000, Cemetery G 1100, etc. The West Field contains Cemetery G1000 – Cemetery G1600, and Cemetery G 1900. Further cemeteries in this field are: Cemeteries G 2000, G 2200, G 2500, G 3000, G 4000, and G 6000. Three other cemeteries are named after their excavators: Junker Cemetery West, Junker Cemetery East, and Steindorff Cemetery.
East Field
Main article: Giza East Field
The East Field is located to the east of Khufu's pyramid and contains cemetery G 7000. This cemetery was a burial place for some of the family members of Khufu. The cemetery also includes mastabas from tenants and priests of the pyramids dated to the 5th Dynasty and 6th Dynasty.
Cemetery GIS
This cemetery dates from the time of Menkaure (Junker) or earlier (Reisner), and contains several stone-built mastabas dating from as late as the 6th Dynasty. Tombs from the time of Menkaure include the mastabas of the royal chamberlain Khaemnefert, the King's son Khufudjedef (master of the royal largesse), and an official named Niankhre.
Central Field
Main article: Central Field, Giza
The Central Field contains several burials of royal family members. The tombs range in date from the end of the 4th Dynasty to the 5th Dynasty or even later.[
Tombs dating from the Saite and later period were found near the causeway of Khafre and the Great Sphinx. These tombs include the tomb of a commander of the army named Ahmose and his mother Queen Nakhtubasterau, who was the wife of Pharaoh Amasis II.
South Field
The South Field includes mastabas dating from the 1st Dynasty to 3rd Dynasty as well as later burials. Of the more significant of these early dynastic tombs are one referred to as "Covington's tomb", otherwise known as Mastaba T, and the large Mastaba V which contained artifacts naming the 1st Dynasty pharaoh Djet. Other tombs date from the late Old Kingdom (5th and 6th Dynasty). The south section of the field contains several tombs dating from the Saite period and later.
Tombs of the pyramid builders
In 1990, tombs belonging to the pyramid workers were discovered alongside the pyramids, with an additional burial site found nearby in 2009. Although not mummified, they had been buried in mudbrick tombs with beer and bread to support them in the afterlife. The tombs' proximity to the pyramids and the manner of burial supports the theory that they were paid laborers who took pride in their work and were not slaves, as was previously thought. Evidence from the tombs indicates that a workforce of 10,000 laborers working in three-month shifts took around 30 years to build a pyramid. Most of the workers appear to have come from poor families. Specialists such as architects, masons, metalworkers, and carpenters were permanently employed by the king to fill positions that required the most skill.
Shafts
There are multiple burial-shafts and various unfinished shafts and tunnels located in the Giza complex that were discovered and mentioned prominently by Selim Hassan in his report Excavations at Giza 1933–1934. He states: "Very few of the Saitic [referring to the Saite Period) shafts have been thoroughly examined, for the reason that most of them are flooded."
Osiris Shaft
The Osiris Shaft is a narrow burial-shaft leading to three levels for a tomb and below it a flooded area. It was first mentioned by Hassan, and a thorough excavation was conducted by a team led by Hawass in 1999. It was opened to tourists in November 2017.
New Kingdom and Late Period
During the New Kingdom Giza was still an active site. A brick-built chapel was constructed near the Sphinx during the early 18th Dynasty, probably by King Thutmose I. Amenhotep II built a temple dedicated to Hauron-Haremakhet near the Sphinx. As a prince, the future pharaoh Thutmose IV visited the pyramids and the Sphinx; he reported being told in a dream that if he cleared the sand that had built up around the Sphinx, he would be rewarded with kingship. This event is recorded in the Dream Stele, which he had installed between the Sphinx's front legs.
During the early years of his reign, Thutmose IV, together with his wife Queen Nefertari, had stelae erected at Giza.
Pharaoh Tutankhamun had a structure built, which is now referred to as the king's resthouse.
During the 19th Dynasty, Seti I added to the temple of Hauron-Haremakhet, and his son Ramesses II erected a stela in the chapel before the Sphinx and usurped the resthouse of Tutankhamun.
During the 21st Dynasty, the Temple of Isis Mistress-of-the-Pyramids was reconstructed. During the 26th Dynasty, a stela made in this time mentions Khufu and his Queen Henutsen.
Division of the 1903–1905 excavation of the Giza Necropolis
In 1903, rights to excavate the West Field and Pyramids of the Giza Necropolis were divided by three institutions from Italy, Germany, and the United States of America.
Background
Prior to the division of the Giza Plateau into three institutional concessions in 1903, amateur and private excavations at the Giza Necropolis had been permitted to operate. The work of these amateur archaeologists failed to meet high scientific standards. Montague Ballard, for instance, excavated in the Western Cemetery (with the hesitant permission of the Egyptian Antiquities Service) and neither kept records of his finds nor published them.
Italian, German, and American Concessions at Giza
In 1902, the Egyptian Antiquities Service under Gaston Maspero resolved to issue permits exclusively to authorized individuals representing public institutions. In November of that year, the Service awarded three scholars with concessions on the Giza Necropolis. They were the Italian Ernesto Schiaparelli from the Turin Museum, the German Georg Steindorff from the University of Leipzig who had funding from Wilhelm Pelizaeus, and the American George Reisner from the Hearst Expedition. Within a matter of months, the site had been divided between the concessionaires following a meeting at the Mena House Hotel involving Schiaparelli, Ludwig Borchardt (Steindorff's representative in Egypt), and Reisner.
Division of the West Field
By the turn of the 20th century, the three largest pyramids on the Giza plateau were considered mostly exhausted by previous excavations, so the Western Cemetery and its collection of private mastaba tombs were thought to represent the richest unexcavated part of the plateau. George Reisner's wife, Mary, drew names from a hat to assign three long east-west plots of the necropolis among the Italian, German, and American missions. Schiaparelli was assigned the southernmost strip, Borchardt the center, and Reisner the northernmost.
Division of the Pyramids
Rights to excavate the Pyramids were then also negotiated between Schiaparelli, Borchardt, and Reisner. Schiaparelli gained rights to excavate the Great Pyramid of Khufu along with its three associated queens' pyramids and most of its Eastern Cemetery. Borchardt received Khafre's pyramid, its causeway, the Sphinx, and the Sphinx's associated temples. Reisner claimed Menkaure's pyramid as well as its associated queens' pyramids and pyramid temple, along with a portion of Schiaparelli's Eastern Cemetery. Any future disputes were to be resolved by Inspector James Quibell, as per a letter from Borchardt to Maspero.
Immediate Aftermath
This arrangement lasted until 1905, when, under the supervision of Schiaparelli and Francesco Ballerini, the Italian excavations ceased at Giza. As the Italians were more interested in sites which might yield more papyri, they turned their concession of the southern strip of the Western Cemetery over to the Americans under Reisner.
Modern usage
In 1978, the Grateful Dead played a series of concerts later released as Rocking the Cradle: Egypt 1978. In 2007, Colombian singer Shakira performed at the complex to a crowd of approximately 100,000 people. The complex was used for the final draw of the 2019 Africa Cup of Nations and the 2021 World Men's Handball Championship.
Egypt's Minister of Tourism unveiled plans for a €17,000,000 revamp of the complex by the end of 2021, in order to boost tourism in Egypt as well as make the site more accessible and tourist-friendly. According to Lonely Planet, the refurbishment includes a new visitors' centre, an environmentally-friendly electric bus, a restaurant (the 9 Pyramids Lounge), as well as a cinema, public toilets, site-wide signage, food trucks, photo booths, and free Wi-Fi. The new facility is part of a wider plan to renovate the 4,500 year old site.
Tailem Bend transformations.
The town of Tailem Bend was not surveyed until 1887. It happened then because the Intercolonial Railway to Melbourne passed through the area and it had opened. Despite the railway arriving in 1887 and a Murray River ferry crossing Tailem Bend only started to develop in the 20th century. Growth was very slow in the town until Commissioner Webb decided to move the railway marshalling yards and the rail engine workshops from Murray Bridge to Tailem Bend in 1925. A government school had opened in 1902 but it was a tiny town. The only church built before the Webb era was a tiny Methodist church. But once Webb’s plans for Tailem Bend were announced the Catholics built a church in 1924, the Anglicans opened a church in 1926 and the Methodists opened a new stone church in 1927. Before the Webb era the finest building in Tailem Bend was the 1914 built Art Nouveau style railway station. The Tailem Bend hotel was also an early structure built in 1902 like the government school. That school was enlarged to cater for the new students from Tailem Bend North in 1927 when a two storey section was built.
Commissioner Webb mainly moved railway operations to Tailem Bend for the reasons above – good flat land, further from Adelaide, starting point of the Murray Mallee rail lines, good areas for marshalling yards, and plentiful water. Webb also wanted and built his new American style roundhouse (14 bays) for engine repairs and storage at Tailem Bend. He had electrified signalling from Adelaide to Tailem Bend to improve efficiency and speed of trains, especially goods trains through the Adelaide Hills and he moved train control to the despatch room at Tailem Bend. Although he was not in favour of it parliament did force him to build another Murray Mallee railway line from Wanbi to Yinkanie near Moorook in 1925. He was, however in favour of a line and bridge across the Murray River to Renmark and Barmera in 1927. As his operations moved from Murray Bridge he installed an electricity generator for the railways and for use by the town residents in 1927. This provide electricity until ETSA took over supply in 1957. Webb’s hub at Tailem Bend was also where train crews changed and slept over as necessary. This required barracks. Webb also built a new coaling station at Tailem Bend and moved administrative staff from Murray Bridge to the town.
Webb did not forget about his workers despite the union opposition to him. He had already undertaken major building of railway workers cottages at stations around the state but at Tailem Bend he was able to create a rail and the new marshalling yards. The main streets included Webb Street and Railway Terrace and the railway siding that took Tailem Bend North students by train to Murray Bridge High School- Wurtun Station. Webb favoured good housing for railway workers as he said they were always being moved to new locations. Webb liked Greek Ionic columns and volutes which he used on the Adelaide Railway Station. The workers cottages in Tailem Bend also had Ionic volutes on their veranda posts and 25 had been partially built by the end of 1925. Houses were of similar design but there was a hierarchy and more skilled workers got bigger and slightly better houses. More railway houses were erected elsewhere in the town. The town population swelled from a couple of hundred residents to several thousand in a year or so. Today the Webb era housing remains, the roundhouse has been demolished but the turntable and some track remain and the marshalling yards are seldom used. The Art Nouveau railway station of 1914 is no longer used by railway passengers. It is the Information Centre and it also has an excellent railway museum.
Conclusion and epilogue.
Webb was a workaholic and only a passion driven man could have achieved so much in so few years. Within four years he had completed most of his transformations. Although he was disliked by the workers and unions, and criticised by the journalists and many politicians, those who worked closest with him were devoted and loyal followers and supporters. He kept in contact with his private secretary up to his death in 1936 as did his wife who maintained her Adelaide friendships through correspondence until her death in 1949. His impact on South Australia was tremendous. In the city we saw his Adelaide Railway station and at the Port Adelaide Rail Museum we saw some of his giant locomotives, his Brill rail cars from Philadelphia. We travelled on his duplicated rail track and tunnel/cuttings from Eden Hills to Belair and we saw his town of North Tailem Bend and his new rail bridge across the Murray River. But his legacy exactly one hundred years after he came to Adelaide can be seen in almost every railway town of South Australia. But trains and passenger services are non-existent. William Webb was criticised and vilified constantly yet he continued spending vast sums of money. By the time he left Adelaide the Great Depression had hit and payment on government loans to finance Webb’s transformation were hitting the government hard. The state was near bankruptcy. Some of the criticism of Webb were justified, perhaps he should have introduced the changes more slowly and cheaply but he did the job he was charged to do- transforming SAR and increasing potential railway revenue and saving the 1922 rail system from imminent collapse. It was not until troop and materials movement during World War Two became essential that the value of Webb’s transformation was fully appreciated. Although Webb thought about and toyed with the idea of diesel trains and the end of the steam era he did nothing about that as it was beyond his brief. After he left it was twenty years before new improvements were made in the 1950s – air conditioned Blue Bird trains for rural services, Red Hen diesel trains on suburban routes and eventually air conditioned modern carriages and sleeper cars on the Overland to Melbourne.
It was serendipity that in 1935 Webb was appointed to lead the Texas Centennial Exposition of 1936. Texas declared its independence from Mexico in 1836 and won its independence. At the same time as Texas was planning centennial celebrations South Australia was planning its own 1936 centenary too. Webb was credited with organising and supervising the grand Texan event which was in chaos when he took it over. The exposition grounds were mud when he arrived and he travelled them by the only means possible – horse back. The work load was huge and Webb was not well. He worked long hours seven days a week. His doctor told him to slow down but he could not do that. By January 1936 he was clearly ill with heart disease and exhaustion and once the Exposition began in June he was working till two am some mornings. He took ill at home and was taken to hospital where he died on 9th August 1936. His wife and son Bill and his wife and children continued to live in Dallas Texas. Texas gave Webb a state funeral and he was buried in Dallas. The city of Dallas stopped in honour of William Webb and when news of his death reached Adelaide a month later the Advertiser printed a sympathetic obituary.
wednesday 21st feb 12 pm , Support The Highly Skilled - injustice by Home Office. sihk community from across the united kigdom attended the second rally , Protesting against inhumane delays and injustice by the Home Office.
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I have a great experience for pre production. Since I came in LA, I have been working as a Camera Operator, Camera assistant, Key Grip and G/E for more than 60 shooting production. The reason why a lots of production call me on set is I could communicate with my team, then could find out the solution in limited time and has a patient for that. Also I have a knowledge for Final Cut Pro 7 and Premiere Pro. Which is involving principle color grading and data management skill. In addition, I can do photo shooting and editing. One of the thing is my photograph had shown on the Louvre Museum Digital display. Therefore, I would say I am a multi skilled worker.
Experience
・ARRI FLEX 16ST, 16SR, 16SR2, 16SR3, ALEXA
・CANON XH-A1, CANON EOS 60D, 7D, 5D Mark Ⅱ
・PANASONIC AJ-HDC27F, PANASONIC AG-AF105
・SONY F900, SONY FS700, SONY F3, SONY F5
・RED ONE, RED EPIC
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Languages
Japanese(Native), English
This shot on Los Angeles.
Portfolio flic.kr/s/aHsk7LUokY
Facebook fb.com/tatsuya.ouchi.5
Linkedin www.linkedin.com/in/tatsuyaouchi
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500px 500px.com/tatsuyaouchi
I have a great experience for pre production. Since I came in LA, I have been working as a Camera Operator, Camera assistant, Key Grip and G/E for more than 60 shooting production. The reason why a lots of production call me on set is I could communicate with my team, then could find out the solution in limited time and has a patient for that. Also I have a knowledge for Final Cut Pro 7 and Premiere Pro. Which is involving principle color grading and data management skill. In addition, I can do photo shooting and editing. One of the thing is my photograph had shown on the Louvre Museum Digital display. Therefore, I would say I am a multi skilled worker.
Experience
・ARRI FLEX 16ST, 16SR, 16SR2, 16SR3, ALEXA
・CANON XH-A1, CANON EOS 60D, 7D, 5D Mark Ⅱ
・PANASONIC AJ-HDC27F, PANASONIC AG-AF105
・SONY F900, SONY FS700, SONY F3, SONY F5
・RED ONE, RED EPIC
・Blackmagic Cinema Camera
Languages
Japanese(Native), English
A ship caulker was a highly skilled worker; without his efforts the boat would leak severely. Bob Kach lectured about wooden ship building in East Guilford and Madison during the 19th century. He gave an overview of the activity especially at East Wharf and West Wharf and also described the techniques and skill used.
See more scenes from this lecture series at flic.kr/s/aHsmzwcPzs
(Photo credit Bob Gundersen www.flickr.com/photos/bobphoto51/albums)
A thrilling walk on Niagara Falls’ wild side, the spectacular Cave of the Winds Tour takes visitors into a stormy mist zone, where “soaking up the experience” takes on new meaning!
The journey begins with an elevator ride 175 feet down into the Niagara Gorge. Geared-up in a souvenir rain poncho and specially designed sandals, guests follow wooden walkways along Niagara River to the Hurricane Deck, just a few breathtaking feet from the torrents of Niagara Falls. Here, rushing Bridal Veil Falls creates tropical storm-like conditions. Talk about a rush! Nowhere else on Earth gets you closer to the Falls!
Each spring, special-edition Cave of the Winds Tours are offered so visitors can experience a seasonal version of the attraction and see the decks being built for the upcoming season. Skilled workers rebuild the wooden boardwalks that will allow summer visitors to reach the Hurricane Deck – the walkways and decks are removed every November and reassembled each spring to protect them from the extreme winter weather conditions that prevail in the Niagara Gorge.
Have a wonderful Friday nd great weekend you all. HFF.
+++ DISCLAIMER +++
Nothing you see here is real, even though the conversion or the presented background story might be based on historical facts. BEWARE!
Some Background:
The Ki-38 fighter was designed by the Tachikawa Aircraft Company Limited (立川飛行機株式会社, Tachikawa Hikōki Kabushiki Kaisha) near Tokyo, an aircraft manufacturer in the Empire of Japan, specializing primarily in aircraft for the Imperial Japanese Army Air Force. The Ki-38 prototype was produced in response to a December 1937 specification for a successor to the popular fixed-gear Nakajima Ki-27 Nate. The specification called for a top speed of 500 km/h (310 mph), a climb rate of 5,000 m (16,000 ft) in five minutes and a range of 800 km (500 mi). Maneuverability was to be at least as good as that of Ki-27.
When first flown in early January 1939, the Ki-38 prototype was a disappointment. Japanese test pilots complained that it was less maneuverable than the Ki-27 Nate and not much faster. Even though the competition was eventually won by the Ki-43, service trials determined the aircraft to hold sufficient promise to warrant further work, leading to the adoption of an expanded and strengthened wing and a more refined Mitsubishi Ha-102 (Army Type 100 1,050hp Air Cooled Radial) 14-cylinder air-cooled radial piston engine. During spring 1939, following the completion of further proving trials, an order for a pre-production batch of 25 aircraft was placed.
As a whole, the Ki-38 was an all-modern design consisting of all-metal skin and understructure construction with low-set monoplane wing appendages. The wings were straight in their general design with rounded tips and set well-forward of amidships. The engine was fitted to the extreme forward section of the fuselage in a traditional manner, powering a three-bladed propeller installation. Interestingly, the cockpit was also situated well-forward in the design, shortening the visual obstacle that was the engine compartment to some extent. However, views were still obstructed by the short engine housing to the front and the wings to the lower sides. The fuselage tapered at the rear to which a single vertical tail fin was affixed along with mid-mounted horizontal tailplanes. The undercarriage was retractable and of the "tail-dragger" arrangement consisting of two main single-wheeled landing gear legs and a fixed, diminutive tail wheel leg at the rear.
The series-production Ki-38-I was further modified to enhance its performance. These changes involved a major weight saving program, a slimmer and longer fuselage with bigger tail surfaces and a new, more streamlined bubble-style canopy that offered, even while bearing many struts, the pilot a very good all-round field of view.
In addition to good maneuverability, the Ki-38-I had a good top speed of more than 500 km/h (310 mph). The initial Ki-38 was armed with four 7.7 mm (0.303 in) Type 89 machine guns in the wings, but this soon turned out to be insufficient against armored Allied fighters and bombers. Quickly, the inner pair of weapons was, after just 50 aircraft, replaced with 12.7 mm (0.50 in) Ho-103 machine guns in the Ki-38-Ib (the initial version subsequently became the Ki-38-Ia), of which 75 were built. On board of the following Ki-38-Ic, the inner weapons were replaced with a pair of even heavier and more effective 20 mm (0.787 in) Ho-5 cannon, which required fairings for the ammunition under the wings and made this version easy to identify. The Ki-38-Ic became the most frequent variant, with 150 examples built.
All types also featured external hardpoints for a drop tank under the fuselage or a pair of bombs of up to 250 kg (550 lb) caliber under the wings. Late production aircraft were designated Ki-38-II. The pilot enjoyed a slightly taller canopy and a reflector gunsight in place of the earlier telescopic gunsight. The revised machines were also fitted with a 13 mm (0.51 in) armor plate for the pilot's head and back, and the aircraft's fuel tanks were coated in rubber to form a crude self-sealing tank. This was later replaced by a 3-layer rubber bladder, 8mm core construction, with 2mm oil-proof lamination. Some earlier aircraft were retrofitted with these elements, when available to the field workshops, and they dramatically improved the aircraft’s resilience to enemy fire. However, the bladder proved to be highly resistant only against light 7.7 mm (0.303 in) bullets but was not as effective against larger calibers. The Ki-38-II’s armament was the same as the Ki-38-Ic’s and 120 aircraft were built.
Ki-38 production started in November 1939 at the Tachikawa Hikoki KK and at the 1st Army Air Arsenal (Tachikawa Dai-Ichi Rikugun Kokusho) plants, also at Tachikawa. Although Tachikawa Hikoki successfully managed to enter into large-scale production of the Ki-38, the 1st Army Air Arsenal was less successful – hampered by a shortage of skilled workers, it was ordered to stop production after 49 Ki-38 were built, and Tachikawa ceased production of the Ki-38 altogether in favor of the Ki-43 in mid-1944.
Once it was identified and successfully distinguished from the IJA’s new Ki-43 “Oscar” and the IJN’s A6M “Zero” (Oscar), which both had very similar outlines, the Ki-38 received the Allied code name “Brad”. Even though it was not produced in the numbers of the Ki-43 or the A6M, the Ki-38 fought in China, Burma, the Malay Peninsula, New Guinea, the Philippines, South Pacific islands and the Japanese home islands. Like the Oscar and the Zero, the Ki-38 initially enjoyed air superiority in the skies of Malaya, Netherlands East Indies, Burma and New Guinea. This was partly due to the better performance of the Brad and partly due to the relatively small numbers of combat-ready Allied fighters, mostly the Curtiss P-36 Hawk, Curtiss P-40, Brewster Buffalo, Hawker Hurricane and Curtiss-Wright CW-21 in Asia and the Pacific during the first months of the war.
As the war progressed, however, the fighter suffered from the same weaknesses as its slower, fixed-gear Ki-27 "Nate" predecessor and the more advanced naval A6M Zero: light armor and less-than-effective self-sealing fuel tanks, which caused high casualties in combat. Its armament of four light machine guns also proved inadequate against the more heavily armored Allied aircraft. Both issues were more or less mended with improved versions, but the Ki-38 could never keep up with the enemy fighters’ development and potential. And as newer Allied aircraft were introduced, the Japanese were forced into a defensive war and most aircraft were flown by inexperienced pilots.
General characteristics:
Crew: 1
Length: 8.96 m (29 ft 4 in)
Wingspan: 10.54 m (34 ft 7 in)
Height: 3.03 m (9 ft 11 in)
Wing area: 17.32 m² (186.4 sq ft)
Empty weight: 2,158 kg (4,758 lb)
Gross weight: 2,693 kg (5,937 lb)
Max takeoff weight: 2,800 kg (6,173 lb)
Powerplant:
1× Mitsubishi Ha-102 14-cylinder air-cooled radial piston engine with 1,050hp (755 kW),
driving a 3-bladed variable-pitch propeller
Performance
Maximum speed: 509 km/h (316 mph, 275 kn)
Cruise speed: 450 km/h (280 mph, 240 kn)
Range: 600 km (370 mi, 320 nmi)
Service ceiling: 10,000 m (33,000 ft)
Time to altitude: 2,000 m (6,600 ft) in 3 minutes 24 seconds
Wing loading: 155.4 kg/m2 (31.8 lb/sq ft)
Power/mass: 0.182 hp/lb (0.299 kW/kg)
Armament:
2× 20 mm (0.787 in) Ho-5 cannon with 150 rpg
2× 7.7 mm (0.303 in) Type 89 machine guns with 500 rpg
2× underwing hardpoints for single 30 kg (66 lb) or 2 × 250 kg (550 lb) bombs
1× ventral hardpoint for a 200 l (53 US gal; 44 imp gal) drop tank
The kit and its assembly:
I always thought that the French Bloch MB 150 had some early WWII Japanese look to it, and with this idea I recently procured a relatively cheap Heller kit for this conversion project that would yield the purely fictional Tachikawa Ki-38 for the IJA – even though the Ki-38 existed as a Kawasaki project and eventually became the Ki-45, so that the 38 as kitai number was never actively used.
The Heller MB 150 is a vintage kit, and it is not a good one. You get raised panel lines, poor details (the engine is a joke) and mediocre fit. If you want a good MB 150 in 1:72, look IMHO elsewhere.
For the Ki-38 I wanted to retain most of the hull, the first basic change was the integration of a cowling from a Japanese Mitsubishi Ha-102 two-row radial (left over from an Airfix Ki-46 “Dinah”), which also received a new three-blade propeller with a different spinner on a metal axis inside. The engine also received some more interior details, even though the spinner blocks most sight.
The next, more radical move was to replace the MB 150’s spinal cockpit fairing with a bubble canopy and a lowered back – I found a very old and glue-tinted canopy from a Matchbox A6M in the spares box, and it turned out to be very suitable for the Ki-38. However, cleaning the clear piece was quite challenging, because all raised struts had to be sanded away to get rid of the old glue and paint residues, and re-polishing it back to a more or less translucent state took several turns with ever finer sandpaper, polishing paste and soft polishing mops on a mini drill. The spine was re-created with 2C-putty and the canopy was blended into it and into the fuselage with several PSR turns.
Inside, I used a different pilot figure (which would later be hard to see, though), added a fuel tank behind the seat with some supporting struts and inserted a piece of styrene sheet to separate the landing gear well from the cockpit – OOB it’s simply open.
The landing gear was basically taken OOB, I just replaced the original tail skid with a wheel and modified the wheels with hub covers, because the old kit wants you to push them onto long axis’ with knobs at their tips so that they remain turnable. Meh!
The fairings under the guns in the wings (barrels scratched from the MB 150’s OOB parts) are conformal underwing fuel tanks from a late Seafire (Special Hobby kit).
Painting and markings:
The initial plan was a simple green/grey IJA livery, but the model looked SO much like an A6M that I rather decided to give it a more elaborate paint scheme. I eventually found an interesting camouflage on a Mitsubishi Ki-51 “Sonia” attack plane, even though without indications concerning its unit, time frame or theater of operations (even though I assume that it was used in the China-Burma-India theater): an overall light grey base, onto which opaque green contrast fields/stripes had been added, and the remaining light grey upper areas were overpainted with thin sinuous lines of the same green. This was adapted onto the Ki-38 with a basis in Humbrol 167 (RAF Barley Grey) and FS 34102 (Humbrol 117) for the green cammo. I also wanted to weather the model considerably, as a measure to hide some hardware flaws, so that a partial “primer coat” with Aluminum (Revell 99) was added to several areas, to shine through later. The yellow ID markings on the wings’ leading edges were painted with Humbrol 69. The propeller blades were painted with Humbrol 180, the spinner in a slightly lighter mix of 180 and 160.
Interior surfaces were painted with a dull yellowish green, a mix of Revell 16 and 42, just the inside of the landing gear covers became grey as the outside, in a fashion very similar to early Ki-43s.
The decals came form various sources, including a Hasegawa Ki-61 sheet for the unit markings and some stencils and hinomaru in suitable sizes from a generic roundel sheet.
Some dry-brushing with light grey was done to emphasize edges and details, and some soot stains were added with graphite to the exhausts and the guns. Finally, the kit was sealed with matt acrylic varnish, some more dry-brushing with aluminum was done, esp. around the cockpit, and position lights were added with translucent paint.
An unexpected result – I was not prepared that the modified MB 150 looks THAT much like a Mitsubishi A6M or the Ki-43! There’s even an Fw 190-ish feel to it, from certain angles. O.K., the canopy actually comes from a Zero and the cowling looks very similar, too. But the overall similarity is baffling, just the tail is the most distinguishing feature! However, due to the poor basis and the almost blind canopy donor, the model is far from stellar or presentable – but some in-flight shots look pretty convincing, and even the camouflage appears to be quite effective over wooded terrain.
A poster / ad that I really like.
Around 1900, the bicycle comes financially within reach of every skilled worker (the 'man with the cap').
Before WW2 in The Netherlands you could always see clearly (and also hear by the way) from which social class somebody originated.
This Simplex ad is a very clever advertisement aiming at two different social classes: the working class and the (lower) middle class. Men of both classes wore a cap. But men and boys who considered themselves 'middle class' ('kleine middenstand') also wore a necktie.
I had loved to see if this man on his bike wore a necktie or not. ;-)
My grandfather considered himself working class, but had no problems with using a necktie if the situation asked for it.
Designed by Daan Hoeksema.
Around 1900 Simplex and Burgers were the major Dutch bicycle producers.
0254
The Cheng Hoon Teng temple ("Temple of Green Cloud") is a Taoist temple, located at No. 25 Jalan Tokong. It is the oldest functioning temple in Malaysia. The temple, with its curved roof ridge, cut-and-paste chien nien decoration, and gable design, reflects the architectural style of South China, of craftsmen from Fujian and Guangdong. It has recently been restored, and in the process garnered a prestigious Unesco award for outstanding architectural restoration. The Temple is dedicated to the Goddess of Mercy (Kuan Yin). This temple was constructed by skilled workers from China - master craftsmen, artisans and carpenters, who replicated the designs of the Southern Chinese temple. The building conforms strictly to the principles of Feng Shui, incorporating the fundamental belief that every aspect of life is closely related to attaining perfect harmony with nature.
Opened in 1941, the Brisbane Dental Hospital and College is an imposing two-storey, rendered masonry, neo-Georgian building looming above the corner to Turbot and Albert Streets and surrounded by terraced gardens. The Brisbane Dental Hospital and College was designed to be an integral component of an urban design proposal, The Turbot Street Development Scheme, for the city block bounded by Albert and Turbot Streets, Jacob's Ladder and Wickham Terrace. The Scheme, designed by Raymond Clare Nowland, senior architect in the Queensland Department of Public Works, included a Public Art Gallery, Public Library, the Dental Hospital and College and a beautifying of Wickham Park. The Brisbane Dental Hospital and College was the only part of the scheme to be realised. The site was part of an earlier Brisbane City Council reserve within Wickham Park which was exchanged in the 1930s for State owned land in Adelaide Street, adjacent to the former Supreme Court, enabling Adelaide Street to continue through to North Quay.
From the early twentieth century, there was a general enthusiasm for town planning throughout the British Empire, America, Europe and Australia. Nowland was one of a number of town planning activists in Brisbane advocating the development of a town planning strategy for Brisbane during the 1920s and 1930s. The Turbot Street Development Scheme is one of a number of urban design proposals for Brisbane reflecting this concern. Wickham Park was chosen from among a number of sites as the site for the project. The Scheme excited considerable public interest and comment and there was much discussion about the suitability of the site. It was considered that its central location gave it the advantage of convenience of access to public transport; that the siting of the buildings at a higher level and in a park would ensure a quiet environment and ample natural lighting to the buildings; that it was unlikely that the site would be hemmed in or overshadowed by further development; and that the site lent itself "to artistic approaches and aesthetic surroundings".
The monumentality and civic grandeur given to the Brisbane Dental Hospital and College through its association with a larger urban design proposal in a commanding, inner-city position reflect the importance of the building for the State Government and for the University of Queensland. Speaking at the laying of the foundation stone for the building on 20 March 1938 the Minister for Health and Home Affairs, Edward Hanlon, observed that the building was to harmonise architecturally with its near neighbour, the Brisbane City Hall, making "Turbot Street one of the most beautiful streets in any city in the Commonwealth".
When a Faculty of Dentistry was formed within the University of Queensland in 1935, the Queensland State Government agreed to fund and build a new dental hospital and college. The first public Dental Clinic in Queensland had been established in Brisbane in 1908 and by 1926 the Clinic had been taken over by the Department of Home Affairs and was known as the Brisbane Dental Hospital. The proposed new Dental Hospital was to be the base for the dental services provided by the Brisbane and South Coast Hospitals Board and was part of an overall Government policy to provide public dental services throughout Queensland.
In June 1932 the Forgan Smith Labor Government came to power from a campaign that advocated increased government spending to counter the effects of the Depression. The Forgan Smith Government embarked on a large public works building program designed to promote the employment of local skilled workers, the purchase of local building materials and the production of commodious, low maintenance buildings which would be a long-term asset to the State. This building program included: government offices; schools and colleges; university buildings; court houses and police stations; hospitals and asylums; and gaols.
Many of the programs have had lasting beneficial effects for the citizens of Queensland including the establishment of a system of public health care administered through a range of new hospitals and clinics. Notable projects undertaken include the University of Queensland Medical School, Herston; the Women's Hospital at the Brisbane General Hospital; the Brisbane Dental Hospital and College; and the Wilson Ophthalmic Hostel.
The Brisbane Dental Hospital and College was a building of major importance to Queensland and among the most ambitious projects within the Forgan Smith Government's building program. Construction commenced in September 1938 and the building was opened 6 July 1941 with Edward Hanlon declaring that the building was "better equipped and finished than any other dental hospital in Australia". The building is important in the overall development of the University of Queensland and the development of facilities for the training of medical and dental practitioners. The University embraced the model for training health practitioners promoted by the American Medical Association which advocated increased laboratory training in basic medical sciences and the use of hospitals for clinical training. The Brisbane Dental Hospital and College reflects this approach to health care training in its provision of specialist laboratories and a training hospital. During this time the architect responsible for the design of the Hospital and College, Raymond Clare Nowland, was also designing the University of Queensland Medical School which also reflects the adoption of this teaching model.
Raymond Clare Nowland joined the architectural office of the DPW in November 1932 where he became a senior architect in 1938. He produced the most significant buildings of his career between 1932 and 1942 including the University of Queensland Medical School, Herston (1939); Brisbane Dental Hospital and College (1941); Police Barracks, Petrie Terrace (1942) and the Cairns Government Offices (1935) (QHR 600376). Nowland undertook architectural studies at the Sydney Technical College (1911-14) and the Architectural Association School London (1919). In private practice from 1926-32, he undertook a range of domestic and commercial commissions including the Brisbane Clinic, Wickham Terrace, Brisbane (1930) (QHR 600171). The design of the Brisbane Clinic was influenced by an American medical model, the Mayo Clinic. His preference for designing within a restrained classicism reflects his architectural training, the prevailing professional architectural attitudes and the design direction given by the Chief Architect, A.B. Leven. Along with many British Empire architects of the 1930s both Leven and Nowland shared a respect for simplicity, order and rational planning which in his public work enabled Nowland to make a notable contribution to the architectural fabric of Queensland towns and cities.
In an earlier sketch design vertical emphasis was given to the building by recessed spandrels below the windows at each level. The monumental presence of the building was emphasised by rusticated quoins and pilasters framing the end wings. Changes to the building program, availability of materials, budget restrictions and an augmentation of the program to include servicing and air-conditioning resulted in alterations to the earlier sketch design proposal. The building was to have been constructed of sandstone but difficulties with supply and additional budget restrictions resulted in a substitution of brick and cement render and a reduction in the texture and decoration of the elevations. Considerable foundation work was undertaken to bridge the railway tunnel beneath the site to avoid vibration in the building.
The ground floor accommodated the Dental Hospital and the first floor and roof housed the Dental College. The ground floor provided offices for the Director and support staff, surgeries and associated facilities, and a reception/waiting room. The first floor provided a waiting room, surgeries and associated facilities, staff offices, two lecture theatres and a museum. The flat roof housed the library, upper part of the large lecture theatre and air-conditioning plant. The building program was augmented to include additional servicing so a mezzanine floor was inserted between the ground and first floors to accommodate air-conditioning and servicing to the College level surgeries. The Brisbane Dental Hospital and College was the first public building in Queensland to install air-conditioning. Rubber floors were provided in the surgeries and corridors on each floor, terrazzo was applied to the ground floor entrance and waiting room and other floors were linoleum. The waiting rooms featured Queensland maple panelling and purpose built silky oak furniture.
Additional roof-top accommodation for laboratories and staff, and staff and student common rooms was constructed in 1949. In the 1960s the University of Queensland erected a freestanding building (design by James Birrell) to the northeast, connecting with a walkway to the College level of the earlier building. A small brick extension was erected in the courtyard in 1985. Aggressive refurbishment of the fabric, furniture, fittings and equipment of the Hospital facilities and College surgeries and teaching areas was undertaken from 1997 to 1999. The integrity of the planning has survived along with some internal fabric including the entrance doors and surrounding panelling, timber casement windows, sills, doors, shelving, corridor finishes and three sets of terrazzo stairs. Servicing of surgeries and work areas continues to be facilitated by the mezzanine service floor.
**Queensland Heritage Register**
Global corporations have discovered the rich lime goo makes for great rocket fuel! The race is on the exploit the Agreon's natural resource for personal gain. With skilled workers highly sought after from many planets, it's likely you might see someone you recognise.
The mountain contains a black light to illuminate the alien barracks.
Plasmo's franchises are deploying to all major planetary systems, call today to find out how you can be a part of the interstellar grog syndicate!
Hope you like my biggest layout to date. It was too large to set up at home unless I clear the garage out. I had a little help from Taz-maniac, Bricktron and Intrastella on the left side of the display.
Dimitris Pikionis, an inspired architect, city planner, artist, set designer and thinker executed the landscaping of the archaeological area around the Acropolis, Philopappos' Hill and St. Demetrius Loumbardiaris between 1950-1957. He created two winding walks one of which accesses the Acropolis, whereas the other leads away from the Sacred Rock to an Anderon (plateau) on Philopappos' Hill, from which the monuments of the Acropolis can be best viewed. Pikionis constructed the Loumbardiaris kiosk with its pergola and the Anderon framed by semicircular benches and other marble seats, by drawing from ancient linear compositions. He integrated the remains of the ancient habitations which were revealed on the site. The construction was done without preplanning, on site, using skilled workers who shaped the surfaces of the paved walks using pitching chisels and a variety of pointed chisels. Pikionis himself organized the planting of trees in the specific area. He boosted the shrub vegetation and the planting of wild and domestic olive trees, even plants that the ancient people used in their temples such as pomegranate, laurel or myrtle trees.Pikionis' priority was to blend the natural and archaeological landscape, which classified his work as a creation of high aesthetics. He was awarded for this accomplishment and the Greek Ministry of Culture listed his work in 1996.
(for further pictures and information please go to the end of page and by clicking on the link my modest promises will be fulfilled!)
Parliament building
The original intention was to build two separate buildings for the Imperial Council and the House of Representatives of the by the February Patent 1861 established Reichsrat (Imperial Council). After the Compromise with Hungary, however, this plan was dropped and in the year 1869 the architect Theophil von Hansen by the Ministry of the Interior entrusted with the elaboration of the monumental project for a large parliament building. The first cut of the spade followed in June 1874, the foundation stone bears the date "2nd September 1874". At the same time was worked on the erection of the imperial museums, the Town Hall and the University. Theophil Hansen took - as already mentioned - well thought out and in a very meaningful way the style of the Viennese parliament building from ancient Greece; stem important constitutional terms but also from the Greek antiquity - such as "politics", "democracy" and others. Symbolic meaning had also that from nearly all crown lands of the monarchy materials have been used for the construction of the parliament building. Thus, the structure should symbolize the confluence of all the forces "of the in the in the Reichsrat represented kingdoms and countries" in the Vienna parliament building. With the downfall of the Austro-Hungarian monarchy ended the era of the multinational Parliament in Vienna.
Since November 1918, the building is the seat of the parliamentary bodies of the Republic of Austria, first the National Assembly and later the National Council in the until its destruction in 1945 remained unchanged session hall of the former Imperial Council holding meetings. During the Second World War, the parliament building was severely affected, about half of the building fabric were destroyed. On 7th February 1945 the portico by bombing suffered serious damage. Two columns were totally destroyed, the edge ceiling construction with the richly gilded coffered ceiling and a magnificent frieze painting, which was 121 meters long and 2 meters high and the most ideal and economic roles of the Parliament representing allegorically, were seriously damaged. During reconstruction, the rebuilding did not occur in the originally from Hansen originating features: instead of Pavonazzo marble for the wall plate cover Salzburg marble was used. The frieze painting initially not could be recovered, only in the 90s it should be possible to restore single surviving parts. In addition to destructions in the Chancellery Wing at the Ring Road as well as in the portico especially the Imperial Council tract was severely affected by the effects of war. The meeting room of the Imperial Council was completely burned out, in particular the figural jewelry as well as the ruined marble statues of Lycurgus, Solon, Themistocles, Aristides, Sophocles, Socrates, Pericles and Demosthenes appearing hardly recoverable. In this circumstances, it was decided not to reconstruct the old Imperial Council hall, but a new hall with a businesslike but refined and convenient furnishing for the National Council of the Republic of Austria to build. During the reconstruction of the building in the years 1945 to 1956 efforts were also made the yet by Hansen envisaged technical independence further to develop and to perfect. Thus the parliament building now has an emergency generator, which ensures, any time, adequate electricity supply of the house in case of failure of the city network, and a variety of other technical facilities, which guarantee a high supply autonomy. Not only from basic considerations in the sense of seperation of powers but also from the possibility of an extraordinary emergency, is this a compelling need. National Council and the Federal Council as the elected representative bodies of the Austrian people must at all times - especially in case of disaster - the material conditions for their activity have guaranteed. This purpose serve the mentioned facilities and many others, sometimes very complicated ones and the persons entrusted with their maintenance. To the staff of the Parliamentary Administration therefore belong not only academics, stenographers, administrators, secretaries and officials of the room service as in each parliament, but also the with the maintenance of the infrastructure of the parliament building entrusted technicians and skilled workers.
Analogous to other parliaments was for years, even decades tried to acquire or to rent one or the other object near the Parliament building. Finally one was able in 1981 to start with a basic conversion or expansion of the house Reichsratsstrasse 9 under planning by the architect Prof. Dr. Sepp Stein, in this connection was given the order the parliament building through a tunnel with the house in the Reichsratsstrasse to connect. With this tunnel not only a connection for pedestrians should be established, but also a technical integration of the two houses. In the basement of the building in which in early 1985 could be moved in, confluences the road tunnel; furthermore it serves the accommodation of technical rooms as well as of the storage, preparation and staff rooms for a restauration, a main kitchen and a restaurant for about 130 people are housed on the ground floor. On the first floor are located dining rooms for about 110 people; workrooms for MPs are in the second, offices in the third to the sixth floor housed. Ten years after the house Reichsratsstrasse 9 another building could be purchased, the house Reichsratsstrasse 1, and, again under the planning leadership of architect Prof. Dr. Sepp Stein, adapted for the purposes of the Parliament. This house also through an in the basement joining under road tunnel with the Parliament building was connected. The basement houses storage rooms, the ground floor next to an "info-shop" where information materials concerning the Austrian Parlament can be obtained, the Parliament Post Office and the printery. In the six upper floors are offices and other work spaces for different departments of the Parliamentary Administration. The previously by these departments used rooms in the Parliament building were, after it was moved into the house Reichsratsstrasse in 1994, mostly the parliamentary clubs made available. Already in 1992 by the rental of rooms in a building in the Schenkenstraße for the parliamentary staff of the deputies office premises had been created.
Pallas Athene
Parliament Vienna
The 5.5 meter high monumental statue of Pallas Athena in front of the parliament building in Vienna gives not only the outside appearance of this building a striking sculptural accent, but has almost become a symbolic figure of the Austrian parliamentarism. The Danish architect Theophil Hansen, according to which draft in the years 1874-1884 the parliament building has been built, has designed this as a "work of art (Gesamtkunstwerk)"; thus, his planning also including the figural decoration of the building. The in front of the Parliament ramp to be built monumental fountain should according to Hansen's original planning be crowned of an allegoric representation of the Austria, that is, a symbolization of Austria. In the definitive, in 1878 by Hansen submitted figure program took its place Pallas Athena, the Greek goddess of wisdom. The monumental statue was realized only after Hansen's death, but according to his design by sculptor Carl Kundmann in 1902.
Meeting room of the former House of Representatives
The meeting room of the former House of Representatives is largely preserved faithfully and now serves the meetings of the Federal Assembly as well as ceremonies and commemorative meetings of the National Council and the Federal Council. Architecturally, the hall is modeled on a Greek theater. Before the end wall is the presidium with the lectern and the Government Bench, in the semicircle the seats of the deputies are arranged. The from Carrara marble carved statues on the front wall - between the of Unterberger marble manufactured columns and pilasters - represent Roman statesmen, the by Friedrich Eisenmenger realised frieze painting depicts the emergence of political life, and the pediment group above it should symbolize the daily routine.
Portico
The large portico, in its proportions recreating the Parthenon of the Acropolis of Athens, forms the central chamber of the parliament building and should according to the original intention serve as a meeting place between members of the House of Representatives and of the Imperial Council. Today it functions as a venue, such as for the annual reception of the President of the National Council and the President of the Federal Council for the Diplomatic Corps. When choosing materials for the parliament building, Theophil Hansen strove to use marbles and stones from the crown lands of the monarchy, thus expressing their attachment to their Parliament. For example, consist the 24 monolithic, that is, produced from one-piece, columns, each more than 16 tons of weight, of the great hypostyle hall of Adnet marble, the floor panels of Istrian karst marble. When in the last months of the Second World War the Parliament building was severely affected by bomb hits, also the portico suffered severe damage, and the two columns in the north-west corner of the hall were destroyed, the edge ceiling construction with the richly gilded coffered ceiling and below the ceiling running frieze painting by Eduard Lebiedzki have been severely damaged. The two destroyed columns in 1950 were replaced by two new ones, broken from the same quarry as the originals, but not exhibiting the same pattern. The parts of the Lebiedzki frieze which have been restorable only in the 90s could be restored.
Global corporations have discovered the rich lime goo makes for great rocket fuel! The race is on the exploit the Agreon's natural resource for personal gain. With skilled workers highly sought after from many planets, it's likely you might see someone you recognise.
The mountain contains a black light to illuminate the alien barracks.
Plasmo's franchises are deploying to all major planetary systems, call today to find out how you can be a part of the interstellar grog syndicate!
Hope you like my biggest layout to date. It was too large to set up at home unless I clear the garage out. I had a little help from Taz-maniac, Bricktron and Intrastella on the left side of the display.
The Cathedral of San Vigilio – the Duomo di Trento - was erected on an area which housed an ancient temple dedicated to the city's Patron Saint. A church built in the Padania style was probably found here before the death of the Saint. In the 11th century, the Prince-Bishop Uldarico II began works on the cathedral. In 1212 this first building was almost completely demolished by Federico Vanga - one of the Bishops who contributed the most to the city's urban-artistic development - to make room for a cathedral in the Romanesque-Lombard style. The Bishop entrusted the project to a team of Campione-based skilled workers, headed by Adamo d'Arogno. At the end of the 13th century, the cathedral's Northern transept was decorated with an allegorical rose window known as the Wheel of Fortune. In the 14th century, the church got expanded, and Gothic features were added to it. In 1628, the Crucifix Chapel was planned by Giuseppe Alberti. Built in the Baroque style, it houses a group of wooden sculptures at whose feet the decrees of the Council of Trent (1545-1563) were issued.
Знаменитый романский храм с тремя нефами является сокровищницей сакрального искусства с живописными и скульптурными свидетельствами от раннего христианского века до девятнадцатого века. Здание собора начали строить еще в 1130 году. Ранее на этом месте находилась римская базилика, однако, к 12 столетию она была почти полностью разрушена и местные власти решили построить тут католический храм. Кстати, часть древнеримской базилики до сих пор сохранилась здесь, однако просто так ее увидеть нельзя, ведь она спрятана в подземной крипте. В 1545 году в именно в здании Кафедрального собора Сан-Виджилио прошел известный Тридентский собор — важнейшее собрание в истории католицизма, когда главные представители католической церкви во главе с Папой решали как им остановить столь масштабное распространение протестантизма в мире.
The history of the Citroën «Facile à Fabriquer, Facile à Financer», or FAF for “easy to make, easy to finance”, could be traced back to the early post-war period. Introduced in 1948, the 2CV was adapted, re-bodied and modified throughout its entire career, in particular to cope with the harsh environments of developing countries. Although Citroën introduced the Mehari in 1968 to satisfy customers on the coast or in the countryside, its plastic bodywork was not robust enough for third world countries. However, the market potential was significant, and Citroën engineers had to find a solution. The FAF project is presented in 1978 at the Dakar Fair. While the mechanical base was still derived from the 2CV, the bodywork used a unique production method. Made of sheet metal rather than plastic, the parts were cut according to a pattern and then folded along the dotted lines to form the different parts. The FAFs were to be manufactured locally, by low-skilled workers in countries without an automotive industry. Numerous versions were proposed, but without any exceptional success. In 1979, the FAF A 4x4 was presented. Equipped with a «patrol» body, it is powered by the twin-cylinder engine of the Visa and was aimed at African armies, but also at the French and Portuguese armies to replace their ageing Jeeps. A very confidential series will be produced, without any contract ever being signed. The FAF we present to you is a civilian A 4x4. Exhibited at the Porte de Versailles 4x4 and outdoor car show in September 1983, it has an original decoration, reminiscent of the “Croisières Citroën” of the 1930s. Its aesthetic is reworked: headlight grills, fake grass floor mats, specific 6 stripes paint for example. With about 2,200 km on the odometer, a dogleg gearbox and the possibility of switching between two or four wheel drive, this rare A 4x4 has only one thing to look forward to: crossing dunes, deserts or forests.
l'Aventure Peugeot Citroën DS, la Vente Officielle
Aguttes
Estimated : € 15.000 - 20.000
Sold for € 28.500
Citroen Heritage
93600 Aulnay-sous-Bois
France
September 2021
During wartime condiitons and due to the vast number of homes destroyed a programme of constructing prefabricated houses was begun in the UK in an effort to start to deal with displaced persons housing needs in a way that was efficient to deliver. In the post-war years of austerity this need was even greater, allied to a shortage of materials such as steel and of skilled workers, and the idea behind pre-fabrication as a constructional technique was heavily promoted. The idea of being able to easily assemble housing units, largely works built and including basic interior finishes and components, appeared compelling as it allowed a uniformity of construction standards and a lesser need for 'wet trades' to fit them out. I recall this debate continuing to this day in London Underground where the search for 'standardised components' for construction and finishes continues as it does ont he railways.
The idea was sound and indeed many Continental countries and to an extent the US perservered, whereas in the UK many were constructed but seemed destined to problematic life span and constructional issues, such as around insulation. Indeed, the programme of tower block construction using a similar 'panel' construction in the 1960s and '70s came to an apbrupt end given the massive structural failure following the blast at Ronan Point, in east London, where defective and poor workmanship played a major part in the disaster.
This article in the May 1948 issue of Architectural Review, and of very period appearance in terms of typography and graphic design, looks at the Arcon permanent home that seems to have been a continuation of the construction of the Arcon pre-fabricated home. As can be seen this two-story home, in terrace, used a mix of on-site wet trades and supplied components. I'm sure Taylor Woodrow were the company behind this, but I'm not sure. The article shows a prototype group at Cranford Park, Southall, Middlesex. I can find little mention of the Arcon permanent method so I'm not sure how may were constructed or if this group survive? They appear to have used relatively lightweight materials (no doubt to eke out materials and construction time) and also used asbestos in various forms, the latter history of which we are all to sadly aware.
This page is dominated by a fine colour rendering of the scheme by Peter Shepheard.
+++ DISCLAIMER +++
Nothing you see here is real, even though the conversion or the presented background story might be based on historical facts. BEWARE!
Some Background:
The Ki-38 fighter was designed by the Tachikawa Aircraft Company Limited (立川飛行機株式会社, Tachikawa Hikōki Kabushiki Kaisha) near Tokyo, an aircraft manufacturer in the Empire of Japan, specializing primarily in aircraft for the Imperial Japanese Army Air Force. The Ki-38 prototype was produced in response to a December 1937 specification for a successor to the popular fixed-gear Nakajima Ki-27 Nate. The specification called for a top speed of 500 km/h (310 mph), a climb rate of 5,000 m (16,000 ft) in five minutes and a range of 800 km (500 mi). Maneuverability was to be at least as good as that of Ki-27.
When first flown in early January 1939, the Ki-38 prototype was a disappointment. Japanese test pilots complained that it was less maneuverable than the Ki-27 Nate and not much faster. Even though the competition was eventually won by the Ki-43, service trials determined the aircraft to hold sufficient promise to warrant further work, leading to the adoption of an expanded and strengthened wing and a more refined Mitsubishi Ha-102 (Army Type 100 1,050hp Air Cooled Radial) 14-cylinder air-cooled radial piston engine. During spring 1939, following the completion of further proving trials, an order for a pre-production batch of 25 aircraft was placed.
As a whole, the Ki-38 was an all-modern design consisting of all-metal skin and understructure construction with low-set monoplane wing appendages. The wings were straight in their general design with rounded tips and set well-forward of amidships. The engine was fitted to the extreme forward section of the fuselage in a traditional manner, powering a three-bladed propeller installation. Interestingly, the cockpit was also situated well-forward in the design, shortening the visual obstacle that was the engine compartment to some extent. However, views were still obstructed by the short engine housing to the front and the wings to the lower sides. The fuselage tapered at the rear to which a single vertical tail fin was affixed along with mid-mounted horizontal tailplanes. The undercarriage was retractable and of the "tail-dragger" arrangement consisting of two main single-wheeled landing gear legs and a fixed, diminutive tail wheel leg at the rear.
The series-production Ki-38-I was further modified to enhance its performance. These changes involved a major weight saving program, a slimmer and longer fuselage with bigger tail surfaces and a new, more streamlined bubble-style canopy that offered, even while bearing many struts, the pilot a very good all-round field of view.
In addition to good maneuverability, the Ki-38-I had a good top speed of more than 500 km/h (310 mph). The initial Ki-38 was armed with four 7.7 mm (0.303 in) Type 89 machine guns in the wings, but this soon turned out to be insufficient against armored Allied fighters and bombers. Quickly, the inner pair of weapons was, after just 50 aircraft, replaced with 12.7 mm (0.50 in) Ho-103 machine guns in the Ki-38-Ib (the initial version subsequently became the Ki-38-Ia), of which 75 were built. On board of the following Ki-38-Ic, the inner weapons were replaced with a pair of even heavier and more effective 20 mm (0.787 in) Ho-5 cannon, which required fairings for the ammunition under the wings and made this version easy to identify. The Ki-38-Ic became the most frequent variant, with 150 examples built.
All types also featured external hardpoints for a drop tank under the fuselage or a pair of bombs of up to 250 kg (550 lb) caliber under the wings. Late production aircraft were designated Ki-38-II. The pilot enjoyed a slightly taller canopy and a reflector gunsight in place of the earlier telescopic gunsight. The revised machines were also fitted with a 13 mm (0.51 in) armor plate for the pilot's head and back, and the aircraft's fuel tanks were coated in rubber to form a crude self-sealing tank. This was later replaced by a 3-layer rubber bladder, 8mm core construction, with 2mm oil-proof lamination. Some earlier aircraft were retrofitted with these elements, when available to the field workshops, and they dramatically improved the aircraft’s resilience to enemy fire. However, the bladder proved to be highly resistant only against light 7.7 mm (0.303 in) bullets but was not as effective against larger calibers. The Ki-38-II’s armament was the same as the Ki-38-Ic’s and 120 aircraft were built.
Ki-38 production started in November 1939 at the Tachikawa Hikoki KK and at the 1st Army Air Arsenal (Tachikawa Dai-Ichi Rikugun Kokusho) plants, also at Tachikawa. Although Tachikawa Hikoki successfully managed to enter into large-scale production of the Ki-38, the 1st Army Air Arsenal was less successful – hampered by a shortage of skilled workers, it was ordered to stop production after 49 Ki-38 were built, and Tachikawa ceased production of the Ki-38 altogether in favor of the Ki-43 in mid-1944.
Once it was identified and successfully distinguished from the IJA’s new Ki-43 “Oscar” and the IJN’s A6M “Zero” (Oscar), which both had very similar outlines, the Ki-38 received the Allied code name “Brad”. Even though it was not produced in the numbers of the Ki-43 or the A6M, the Ki-38 fought in China, Burma, the Malay Peninsula, New Guinea, the Philippines, South Pacific islands and the Japanese home islands. Like the Oscar and the Zero, the Ki-38 initially enjoyed air superiority in the skies of Malaya, Netherlands East Indies, Burma and New Guinea. This was partly due to the better performance of the Brad and partly due to the relatively small numbers of combat-ready Allied fighters, mostly the Curtiss P-36 Hawk, Curtiss P-40, Brewster Buffalo, Hawker Hurricane and Curtiss-Wright CW-21 in Asia and the Pacific during the first months of the war.
As the war progressed, however, the fighter suffered from the same weaknesses as its slower, fixed-gear Ki-27 "Nate" predecessor and the more advanced naval A6M Zero: light armor and less-than-effective self-sealing fuel tanks, which caused high casualties in combat. Its armament of four light machine guns also proved inadequate against the more heavily armored Allied aircraft. Both issues were more or less mended with improved versions, but the Ki-38 could never keep up with the enemy fighters’ development and potential. And as newer Allied aircraft were introduced, the Japanese were forced into a defensive war and most aircraft were flown by inexperienced pilots.
General characteristics:
Crew: 1
Length: 8.96 m (29 ft 4 in)
Wingspan: 10.54 m (34 ft 7 in)
Height: 3.03 m (9 ft 11 in)
Wing area: 17.32 m² (186.4 sq ft)
Empty weight: 2,158 kg (4,758 lb)
Gross weight: 2,693 kg (5,937 lb)
Max takeoff weight: 2,800 kg (6,173 lb)
Powerplant:
1× Mitsubishi Ha-102 14-cylinder air-cooled radial piston engine with 1,050hp (755 kW),
driving a 3-bladed variable-pitch propeller
Performance
Maximum speed: 509 km/h (316 mph, 275 kn)
Cruise speed: 450 km/h (280 mph, 240 kn)
Range: 600 km (370 mi, 320 nmi)
Service ceiling: 10,000 m (33,000 ft)
Time to altitude: 2,000 m (6,600 ft) in 3 minutes 24 seconds
Wing loading: 155.4 kg/m2 (31.8 lb/sq ft)
Power/mass: 0.182 hp/lb (0.299 kW/kg)
Armament:
2× 20 mm (0.787 in) Ho-5 cannon with 150 rpg
2× 7.7 mm (0.303 in) Type 89 machine guns with 500 rpg
2× underwing hardpoints for single 30 kg (66 lb) or 2 × 250 kg (550 lb) bombs
1× ventral hardpoint for a 200 l (53 US gal; 44 imp gal) drop tank
The kit and its assembly:
I always thought that the French Bloch MB 150 had some early WWII Japanese look to it, and with this idea I recently procured a relatively cheap Heller kit for this conversion project that would yield the purely fictional Tachikawa Ki-38 for the IJA – even though the Ki-38 existed as a Kawasaki project and eventually became the Ki-45, so that the 38 as kitai number was never actively used.
The Heller MB 150 is a vintage kit, and it is not a good one. You get raised panel lines, poor details (the engine is a joke) and mediocre fit. If you want a good MB 150 in 1:72, look IMHO elsewhere.
For the Ki-38 I wanted to retain most of the hull, the first basic change was the integration of a cowling from a Japanese Mitsubishi Ha-102 two-row radial (left over from an Airfix Ki-46 “Dinah”), which also received a new three-blade propeller with a different spinner on a metal axis inside. The engine also received some more interior details, even though the spinner blocks most sight.
The next, more radical move was to replace the MB 150’s spinal cockpit fairing with a bubble canopy and a lowered back – I found a very old and glue-tinted canopy from a Matchbox A6M in the spares box, and it turned out to be very suitable for the Ki-38. However, cleaning the clear piece was quite challenging, because all raised struts had to be sanded away to get rid of the old glue and paint residues, and re-polishing it back to a more or less translucent state took several turns with ever finer sandpaper, polishing paste and soft polishing mops on a mini drill. The spine was re-created with 2C-putty and the canopy was blended into it and into the fuselage with several PSR turns.
Inside, I used a different pilot figure (which would later be hard to see, though), added a fuel tank behind the seat with some supporting struts and inserted a piece of styrene sheet to separate the landing gear well from the cockpit – OOB it’s simply open.
The landing gear was basically taken OOB, I just replaced the original tail skid with a wheel and modified the wheels with hub covers, because the old kit wants you to push them onto long axis’ with knobs at their tips so that they remain turnable. Meh!
The fairings under the guns in the wings (barrels scratched from the MB 150’s OOB parts) are conformal underwing fuel tanks from a late Seafire (Special Hobby kit).
Painting and markings:
The initial plan was a simple green/grey IJA livery, but the model looked SO much like an A6M that I rather decided to give it a more elaborate paint scheme. I eventually found an interesting camouflage on a Mitsubishi Ki-51 “Sonia” attack plane, even though without indications concerning its unit, time frame or theater of operations (even though I assume that it was used in the China-Burma-India theater): an overall light grey base, onto which opaque green contrast fields/stripes had been added, and the remaining light grey upper areas were overpainted with thin sinuous lines of the same green. This was adapted onto the Ki-38 with a basis in Humbrol 167 (RAF Barley Grey) and FS 34102 (Humbrol 117) for the green cammo. I also wanted to weather the model considerably, as a measure to hide some hardware flaws, so that a partial “primer coat” with Aluminum (Revell 99) was added to several areas, to shine through later. The yellow ID markings on the wings’ leading edges were painted with Humbrol 69. The propeller blades were painted with Humbrol 180, the spinner in a slightly lighter mix of 180 and 160.
Interior surfaces were painted with a dull yellowish green, a mix of Revell 16 and 42, just the inside of the landing gear covers became grey as the outside, in a fashion very similar to early Ki-43s.
The decals came form various sources, including a Hasegawa Ki-61 sheet for the unit markings and some stencils and hinomaru in suitable sizes from a generic roundel sheet.
Some dry-brushing with light grey was done to emphasize edges and details, and some soot stains were added with graphite to the exhausts and the guns. Finally, the kit was sealed with matt acrylic varnish, some more dry-brushing with aluminum was done, esp. around the cockpit, and position lights were added with translucent paint.
An unexpected result – I was not prepared that the modified MB 150 looks THAT much like a Mitsubishi A6M or the Ki-43! There’s even an Fw 190-ish feel to it, from certain angles. O.K., the canopy actually comes from a Zero and the cowling looks very similar, too. But the overall similarity is baffling, just the tail is the most distinguishing feature! However, due to the poor basis and the almost blind canopy donor, the model is far from stellar or presentable – but some in-flight shots look pretty convincing, and even the camouflage appears to be quite effective over wooded terrain.
Locotractor for railway handling, narrow gauge system.
Locotractor operating while pulling a T8 in the workshop.
Freely inspired by locotractors in service in the Rhaetian railway workshops, it is powered by the powerful Lego 43362 engine (black).
The power supply with 9v speed regulator allows perfect modularity of the power.
The traction is on four wheels with final transmission with double worm screw (reduction ratio 1:12).
The locotractor, equipped with ballast, allows the movement of heavy trains.
Four steering rubber wheels allow travel on the road; the wheels are retractable.
The functional flashing light completes the safety equipment.
The vehicle is radio-controlled by the skilled worker.
Series: CRYSTAL CRAFTING #2
Crystals Master taking off the Crystal block from the furnace
Location: House of Waterford Crystal - Parnell Street - Waterford - County Waterford - Munster - Ireland - IE - Europe - EU
Photographer: Mark
Photoshop Camera Raw Filter (RED) +Art (Added the Fire Sparks)
The Cathedral of San Vigilio – the Duomo di Trento - was erected on an area which housed an ancient temple dedicated to the city's Patron Saint. A church built in the Padania style was probably found here before the death of the Saint. In the 11th century, the Prince-Bishop Uldarico II began works on the cathedral. In 1212 this first building was almost completely demolished by Federico Vanga - one of the Bishops who contributed the most to the city's urban-artistic development - to make room for a cathedral in the Romanesque-Lombard style. The Bishop entrusted the project to a team of Campione-based skilled workers, headed by Adamo d'Arogno. At the end of the 13th century, the cathedral's Northern transept was decorated with an allegorical rose window known as the Wheel of Fortune. In the 14th century, the church got expanded, and Gothic features were added to it. In 1628, the Crucifix Chapel was planned by Giuseppe Alberti. Built in the Baroque style, it houses a group of wooden sculptures at whose feet the decrees of the Council of Trent (1545-1563) were issued.
Знаменитый романский храм с тремя нефами является сокровищницей сакрального искусства с живописными и скульптурными свидетельствами от раннего христианского века до девятнадцатого века. Здание собора начали строить еще в 1130 году. Ранее на этом месте находилась римская базилика, однако, к 12 столетию она была почти полностью разрушена и местные власти решили построить тут католический храм. Кстати, часть древнеримской базилики до сих пор сохранилась здесь, однако просто так ее увидеть нельзя, ведь она спрятана в подземной крипте. В 1545 году в именно в здании Кафедрального собора Сан-Виджилио прошел известный Тридентский собор — важнейшее собрание в истории католицизма, когда главные представители католической церкви во главе с Папой решали как им остановить столь масштабное распространение протестантизма в мире.