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James Beaton was succeeded by his nephew, the celebrated Cardinal David Beaton. Celebrated by some, despised by many others, Beaton was an undeniably brilliant man, who made it his life's work to oppose the Reformation and the spread of Protestantism.
The story of his eventual assassination is well known. The cardinal had been actively engaged in strengthening the fortifications of the castle against the threatened attack from his implacable enemy, King Henry VIII. One morning in May 1546, a group of conspirators, some eight or ten in number, loitered about in the early morning near the entrance, and then taking advantage of the arrival of the masons employed at the castle, gained admittance via the postern door (see photo 5). They then stabbed the porter and threw his body into the moat, and sent the workmen quietly off the premises, leaving them in complete possession of the castle, before its inmates were astir, following which they dismissed the servants and other inmates one by one.
In this manner, says Tytler, a hundred workmen and fifty household servants were disposed of by a handful of men, who, closing the gates and dropping the portcullis, became complete masters of the castle. The Cardinal was then dispatched (and, some sources say, his body left hanging out of a window of the main tower), after which the murderers kept possession of the castle, their numbers being somewhat augmented. Assistance was sent by King Henry, which enabled the castle's occupants to withstand a siege that was to last nearly a year.
In October 1546, the Earl of Arran and the Scottish Privy Council met at St Andrews, and siege operations commenced in earnest. A tunnel was started by Arran's men, with the intention of undermining the Fore Tower, however the defenders heard the digging and started digging a counter-mine to intercept it and on the third attempt, they were successful. Both the mine and counter-mines were cut through solid rock and were rediscovered in 1879. They are open to the public today.
An account written by one of those besieged in the castle describes how:
"In the month of December, being about six months after the cardinal's murder, and immediately following an attempt at a compromise, the governor (Arran) sent to the west (siege) trenches, four cannons, a battering culverin, two smaller culverins, and some double falcons, in order to batter the sea-tower that is at the north-west and the west wall.
This was on a Friday, and on Wednesday, they began, and shot from seven in the morning continually, till four in the evening. That day they shot down all the battlements, and the tophouse of the sea-tower, and the whole roof of the chambers next the sea; and all this day, they shot upon the east side of the castle with fedderit ballatlis* at the hall and chapel, and dislodged us from that part by the down-putting of the roof and slates."
(*A balista was an enormous cross-bow that fired heavy iron bolts, fletched like arrows, to increase their accuracy.)
In the meanwhile, the English and French Governments were both active in their preparations, the former to succour the garrison in the castle, the latter to attack them, but the French were ready first. In the summer of 1547 they sent twenty-one galleys, under the command of Leon Stronzius, Prior of Capua, both a priest and a warrior, to assist the Governor of Scotland in reducing the castle.
The French mounted their lighter ordnance both upon the college steeple, and also upon the walls of the abbey kirk, from where they could see and fire into the castle courtyard "so that no man durst walk therein, or go up to the wall head."
The French captain told the governor, that "they had been unexpert warriors who had not mounted their ordnance on the steeple-heads in that manner earlier, and that he wondered at the keepers of the castle; that they had not first broken down the heads of the steeples." He then set up "the great battery", consisting of the two Scottish cannons and six French; and to prevent slaughter while they were being moved into position, he devised that the cannons should pass down the streets by engines, without any man with them.
Upon opening fire, the battery, within a few hours made such breaches in the wall that, despairing of their strength, after consultation, they yielded the castle and themselves to the King of France. The French captain entered and spoiled the castle very rigorously ; wherein they found great store of vivers, clothes, armour, silver, and plate, which, with the captives, they carried away in their galleys to France. The governor, by the advice of the council, demolished the castle, least it should be a receptacle of rebels."
Cardinal Beaton's successor, Archbishop John Hamilton, rebuilt the castle, building fine Renaissance style work on top of the remains of the earlier walls, but in 1587 the Act of Annexation was passed which transferred the castle of St. Andrews, along with other church property, to the Crown. In the mid-17th century, the Town Council ordered stone to be taken from the castle for use in repairing the harbour walls.
German postcard by Ross Verlag, no. 44301/1, 1929-1930. Photo: United Artists.
Lupe Velez (1908-1944), was one of the first Mexican actresses to succeed in Hollywood. Her nicknames were 'The Mexican Spitfire' and 'Hot Pepper'. She was the leading lady in such silent films as The Gaucho (1927), Lady of the Pavements (1928), and Wolf Song (1929). During the 1930s, her well-known explosive screen persona was exploited in a series of successful films like Hot Pepper (1933), Strictly Dynamite (1934), and Hollywood Party (1934). In the 1940s, Vélez's popularity peaked after appearing in the Mexican Spitfire films, a series created to capitalise on Vélez's well-documented fiery personality. She had several highly publicised romances and a stormy marriage. In 1944, Vélez died of an intentional overdose of the barbiturate drug Seconal. Her death and the circumstances surrounding it have been the subject of speculation and controversy.
Lupe Vélez was born María Guadalupe Villalobos Vélez in 1908 in the city of San Luis Potosí in Mexico. She was the daughter of Jacobo Villalobos Reyes, a colonel in the army of the dictator Porfirio Diaz, and his wife Josefina Vélez, an opera singer according to some sources, or vaudeville singer according to others. She had three sisters: Mercedes, Reina and Josefina, and a brother, Emigdio. The family was financially comfortable and lived in a large home. At the age of 13, her parents sent her to study at Our Lady of the Lake (now Our Lady of the Lake University) in San Antonio, Texas. It was at Our Lady of the Lake that Vélez learned to speak English and began to dance. She later admitted that she liked dance class, but was otherwise a poor student. Denny Jackson at IMDb: "Life was hard for her family, and Lupe returned to Mexico to help them out financially. She worked as a salesgirl for a department store for the princely sum of $4 a week. Every week she would turn most of her salary over to her mother, but kept a little for herself so she could take dancing lessons. By now, she figured, with her mature shape and grand personality, she thought she could make a try at show business." She began her career as a performer in Mexican vaudeville in 1924. She initially performed under her paternal surname, but after her father returned home from the war, he was outraged that his daughter had decided to become a stage performer. She chose her maternal surname, "Vélez", as her stage name and her mother introduced Vélez and her sister Josefina to the popular Spanish Mexican vedette María Conesa, "La Gatita Blanca". Vélez debuted in a show led by Conesa, where she sang 'Oh Charley, My Boy' and danced the shimmy. Aurelio Campos, a young pianist, and friend of the Vélez sisters recommended Lupe to stage producers, Carlos Ortega and Manuel Castro. Ortega and Castro were preparing a season revue at the Regis Theatre and hired Vélez to join the company in March 1925. Later that year, Vélez starred in the revues 'Mexican Rataplan' and '¡No lo tapes!', both parodies of the Bataclan's shows in Paris. Her suggestive singing and provocative dancing was a hit with audiences, and she soon established herself as one of the main stars of vaudeville in Mexico. After a year and a half, Vélez left the revue after the manager refused to give her a raise. She then joined the Teatro Principal but was fired after three months due to her "feisty attitude". Vélez was quickly hired by the Teatro Lirico, where her salary rose to 100 pesos a day. In 1926, Frank A. Woodyard, an American who had seen Vélez perform, recommended her to stage director Richard Bennett, the father of actresses Joan and Constance Bennett. Bennett was looking for an actress to portray a Mexican cantina singer in his upcoming play 'The Dove'. He sent Vélez a telegram inviting her to Los Angeles to appear in the play. Vélez had been planning to go to Cuba to perform, but quickly changed her plans and traveled to Los Angeles. However, upon arrival, she discovered that she had been replaced by another actress.
While in Los Angeles, Lupe Vélez met the comedian Fanny Brice. Brice recommended her to Flo Ziegfeld, who hired her to perform in New York City. While Vélez was preparing to leave Los Angeles, she received a call from MGM producer Harry Rapf, who offered her a screen test. Producer and director Hal Roach saw Vélez's screen test and hired her for a small role in the comic Laurel and Hardy short Sailors, Beware! (Fred Guiol, Hal Yates, 1927). After her debut, Vélez appeared in another Hal Roach short, What Women Did for Me (James Parrott, 1927), opposite Charley Chase. Later that year, she did a screen test for the upcoming Douglas Fairbanks feature The Gaucho (F. Richard Jones, 1927). Fairbanks was impressed by Vélez and hired her to appear in the film with him. The Gaucho was a hit and critics were duly impressed with Vélez's ability to hold her own alongside Fairbanks, who was well known for his spirited acting and impressive stunts. Her second major film was Stand and Deliver (Donald Crisp, 1928), produced by Cecil B. DeMille. That same year, she was named one of the WAMPAS Baby Stars. Then she appeared in Lady of the Pavements (1929), directed by D. W. Griffith, and Where East Is East (Tod Browning, 1929), starring Lon Chaney as an animal trapper in Laos. In the Western The Wolf Song (Victor Fleming, 1929), she appeared alongside Gary Cooper. As she was regularly cast as 'exotic' or 'ethnic' women that were volatile and hot-tempered, gossip columnists took to referring to Vélez as "Mexican Hurricane", "The Mexican Wildcat", "The Mexican Madcap", "Whoopee Lupe" and "The Hot Tamale". Lupe Vélez made the transition to sound films without difficulty. Studio executives had predicted that her accent would likely hamper her ability to make the transition. That idea was dispelled after she appeared in the all-talking Rin Tin Tin vehicle, Tiger Rose (George Fitzmaurice, 1929). The film was a hit and Vélez's sound career was established. Vélez appeared in a series of Pre-Code films like Hell Harbor (Henry King, 1930), The Storm (William Wyler, 1930), and the crime drama East Is West (Monta Bell, 1930) opposite Edward G. Robinson. The next year, she appeared in her second film for Cecil B. DeMille, Squaw Man (Cecil B. DeMille, 1931), opposite Warner Baxter, in Resurrection (Edwin Carewe, 1931), and The Cuban Love Song (W.S. Van Dyke, 1931), with the popular singer Lawrence Tibbett. She had a supporting role in Kongo (William J. Cowen, 1932) with Walter Huston, a sound remake of West of Zanzibar (Tod Browning, 1928) which tries to outdo the Lon Chaney original in morbidity. She also starred in Spanish-language versions of Universal films like Resurrección (Eduardo Arozamena, David Selman, 1931), the Spanish version of Resurrection (1931), and Hombres en mi vida (Eduardo Arozamena, David Selman, 1932), the Spanish version of Men in Her Life (William Beaudine, 1931) in which Lois Moran had starred.
In 1932, Lupe Vélez took a break from her film career and traveled to New York City where she was signed by Broadway impresario Florenz Ziegfeld, Jr. to take over the role of "Conchita" in the musical revue 'Hot-Cha!'. The show also starred Bert Lahr, Eleanor Powell, and Buddy Rogers. Back in Hollywood, Lupe switched to comedy after playing dramatic roles for five years. Denny Jackson at IMDb: "In 1933 she played the lead role of Pepper in Hot Pepper (1933). This film showcased her comedic talents and helped her to show the world her vital personality. She was delightful." After Hot Pepper (John G. Blystone, 1933) with Edmund Lowe and Victor McLaglen, Lupe played beautiful but volatile, characters in a series of successful films like Strictly Dynamite (Elliott Nugent, 1934), Palooka (Benjamin Stoloff, 1934) both opposite Jimmy Durante, and Hollywood Party (Allan Dwan, a.o., 1934) with Laurel and Hardy. Although Vélez was a popular actress, RKO Pictures did not renew her contract in 1934. Over the next few years, Vélez worked for various studios as a freelance actress; she also spent two years in England where she filmed The Morals of Marcus (Miles Mander, 1935) and Gypsy Melody (Edmond T. Gréville, 1936). She returned to Los Angeles the following year where she appeared in the final part of the Wheeler & Woolsey comedy High Flyers (Edward F. Cline, 1937). In 1938, Vélez made her final appearance on Broadway in the musical You Never Know, by Cole Porter. The show received poor reviews from critics but received a large amount of publicity due to the feud between Vélez and fellow cast member Libby Holman. Holman was irritated by the attention Vélez garnered from the show with her impersonations of several actresses including Gloria Swanson, Katharine Hepburn, and Shirley Temple. The feud came to a head during a performance in New Haven, Connecticut after Vélez punched Holman in between curtain calls and gave her a black eye. The feud effectively ended the show. Upon her return to Mexico City in 1938 to star in her first Mexican film, Vélez was greeted by ten thousand fans. The film La Zandunga (Fernando de Fuentes, 1938) co-starring Arturo de Córdova, was a critical and financial success. Vélez was slated to appear in four more Mexican films, but instead, she returned to Los Angeles and went back to work for RKO Pictures. In 1939, Lupe Vélez was cast opposite Leon Errol and Donald Woods in the B-comedy, The Girl from Mexico (Leslie Goodwins, 1939). Despite being a B film, it was a hit with audiences and RKO re-teamed her with Errol and Wood for a sequel, Mexican Spitfire (Leslie Goodwins, 1940). That film was also a success and led to a series of eight Spitfire films. Wikipedia: "In the series, Vélez portrays Carmelita Lindsay, a temperamental yet friendly Mexican singer married to Dennis 'Denny' Lindsay (Woods), an elegant American gentleman. The Spitfire films rejuvenated Vélez's career. Moreover, they were films in which a Latina headlined for eight films straight –a true rarity." In addition to the Spitfire series, she was cast in such films as Six Lessons from Madame La Zonga (John Rawlins, 1941), Playmates (David Butler, 1941) opposite John Barrymore, and Redhead from Manhattan (Lew Landers, 1943). In 1943, the final film in the Spitfire series, Mexican Spitfire's Blessed Event (Leslie Goodwins, 1943), was released. By that time, the novelty of the series had begun to wane. Velez co-starred with Eddie Albert in the romantic comedy, Ladies' Day (Leslie Goodwins, 1943), about an actress and a baseball player. In 1944, Vélez returned to Mexico to star in an adaptation of Émile Zola's novel Nana (Roberto Gavaldón, Celestino Gorostiza, 1944), which was well-received. It would be her final film. After filming wrapped, Vélez returned to Los Angeles and began preparing for another stage role in New York.
Lupe Vélez's temper and jealousy in her often tempestuous romantic relationships were well documented and became tabloid fodder, often overshadowing her career. Vélez was straightforward with the press and was regularly contacted by gossip columnists for stories about her romantic exploits. Her first long-term relationship was with actor Gary Cooper. Vélez met Cooper while filming The Wolf Song in 1929 and began a two-year affair with him. The relationship was passionate but often stormy. Reportedly Vélez chased Cooper around with a knife during an argument and cut him severely enough to require stitches. By that time, the rocky relationship had taken its toll on Cooper who had lost 45 pounds and was suffering from nervous exhaustion. Paramount Pictures ordered him to take a vacation to recuperate. While he was boarding the train, Vélez showed up at the train station and fired a pistol at him. During her marriage to actor Johnny Weissmuller, stories of their frequent physical fights were regularly reported in the press. Vélez reportedly inflicted scratches, bruises, and love-bites on Weissmuller during their fights and "passionate love-making". In July 1934, after ten months of marriage, Vélez filed for divorce citing cruelty. She withdrew the petition a week later after reconciling with Weissmuller. In January 1935, she filed for divorce a second time and was granted an interlocutory decree that was dismissed when the couple reconciled a month later. In August 1938, Vélez filed for divorce for a third time, again charging Weissmuller with cruelty. Their divorce was finalised in August 1939. After the divorce became final, Vélez began dating actor Guinn "Big Boy" Williams in late 1940. They were reportedly engaged but never married. Vélez was also linked to author Erich Maria Remarque and the boxers Jack Johnson and Jack Dempsey. In 1943, Vélez began an affair with her La Zandunga co-star Arturo de Córdova. De Córdova had recently moved to Hollywood after signing with Paramount Pictures. Despite the fact that de Córdova was married to Mexican actress Enna Arana with whom he had four children, Vélez granted an interview to gossip columnist Louella Parsons in September 1943 and announced that the two were engaged. Vélez ended the engagement in early 1944, reportedly after de Córdova's wife refused to give him a divorce. Vélez then met and began dating a struggling young Austrian actor named Harald Maresch (who went by the stage name Harald Ramond). In September 1944, she discovered she was pregnant with Ramond's child. She announced their engagement in late November 1944. On 10 December, four days before her death, Vélez announced she had ended the engagement and kicked Ramond out of her home. On the evening of 13 December 1944, Vélez dined with her two friends, the silent film star Estelle Taylor and Venita Oakie. In the early morning hours of 14 December, Vélez retired to her bedroom, where she consumed 75 Seconal pills and a glass of brandy. Her secretary, Beulah Kinder, found the actress's body on her bed later that morning. A suicide note addressed to Harald Ramond was found nearby. Lupe Vélez was only 36 years old. More than four-thousand people filed past her casket during her funeral. Her body was interred in Mexico City, at Panteón Civil de Dolores Cemetery. Velez' estate, valued at $125,000 and consisting mostly of her Rodeo House home, two cars, jewelry, and personal effects were left to her secretary Beulah Kinder with the remainder in trust for her mother, Mrs. Josephine Velez. Together with Dolores del Rio, Ramon Novarro, and José Mojica, she was one of the few Mexican people who had made history in the early years of Hollywood.
Sources: Denny Jackson (IMDb), Wikipedia, and IMDb.
And, please check out our blog European Film Star Postcards.
Nothing succeeds like excess! The Ann Starrett Mansion, an exhuberant Victorian in Port Townsend, Washington.
As of June, 2013, this is an inn. www.starrettmansion.com
Cluttersome objects flanking the bottom steps have been PhotoShopped away.
In 1981 the Peugeot J7 was succeeded by the J9. In fact it was a modernized J7 but only very few parts were exchangeable.
Like the J7 also the Peugeot J9 was available in many models and body variations.
Along with the J9 also the 1981-1993 Peugeot J5 was built. It had a totally redesigned body which was developed in cooperation with Citroën, Fiat and Talbot UK.
After production of the J9 in France was ceased it was continued under license by Karsan in Turkey till 2010.
Found at the back yard of classic car specialist Garage Tinga.
This J9 was in a good condition and for sale.
Note the handy high roof and the bicycle carrying rack at the back.
2112 or 2304 cc Peugeot 504 Diesel engine.
2020 kg.
Original first reg. number: Nov. 30, 1984. (still valid, Dec. 2022).
New Dutch reg. number (probably after camper conversion): June 1990.
Sold on May 2, 2022,
Leimuiden, Burgemeester Bakhuizenlaan, June 15, 2018.
© 2018 Sander Toonen Amsterdam/Halfweg | All Rights Reserved
I was heading back downriver from a long day out when I heard the unmistakable sound of a Prothonotary Warbler singing. Very hard to come by now in Howard County even as a migrant. I was ecstatic when I spotted him foraging watched him sing. He flew across the river to the Carroll County side. I believe he is on territory and trying to attract a mate. It's late but I hope he succeeds.
Colosseum
Following, a text, in english, from the Wikipedia the Free Encyclopedia:
The Colosseum, or the Coliseum, originally the Flavian Amphitheatre (Latin: Amphitheatrum Flavium, Italian Anfiteatro Flavio or Colosseo), is an elliptical amphitheatre in the centre of the city of Rome, Italy, the largest ever built in the Roman Empire. It is considered one of the greatest works of Roman architecture and Roman engineering.
Occupying a site just east of the Roman Forum, its construction started between 70 and 72 AD[1] under the emperor Vespasian and was completed in 80 AD under Titus,[2] with further modifications being made during Domitian's reign (81–96).[3] The name "Amphitheatrum Flavium" derives from both Vespasian's and Titus's family name (Flavius, from the gens Flavia).
Capable of seating 50,000 spectators,[1][4][5] the Colosseum was used for gladiatorial contests and public spectacles such as mock sea battles, animal hunts, executions, re-enactments of famous battles, and dramas based on Classical mythology. The building ceased to be used for entertainment in the early medieval era. It was later reused for such purposes as housing, workshops, quarters for a religious order, a fortress, a quarry, and a Christian shrine.
Although in the 21st century it stays partially ruined because of damage caused by devastating earthquakes and stone-robbers, the Colosseum is an iconic symbol of Imperial Rome. It is one of Rome's most popular tourist attractions and still has close connections with the Roman Catholic Church, as each Good Friday the Pope leads a torchlit "Way of the Cross" procession that starts in the area around the Colosseum.[6]
The Colosseum is also depicted on the Italian version of the five-cent euro coin.
The Colosseum's original Latin name was Amphitheatrum Flavium, often anglicized as Flavian Amphitheater. The building was constructed by emperors of the Flavian dynasty, hence its original name, after the reign of Emperor Nero.[7] This name is still used in modern English, but generally the structure is better known as the Colosseum. In antiquity, Romans may have referred to the Colosseum by the unofficial name Amphitheatrum Caesareum; this name could have been strictly poetic.[8][9] This name was not exclusive to the Colosseum; Vespasian and Titus, builders of the Colosseum, also constructed an amphitheater of the same name in Puteoli (modern Pozzuoli).[10]
The name Colosseum has long been believed to be derived from a colossal statue of Nero nearby.[3] (the statue of Nero itself being named after one of the original ancient wonders, the Colossus of Rhodes[citation needed]. This statue was later remodeled by Nero's successors into the likeness of Helios (Sol) or Apollo, the sun god, by adding the appropriate solar crown. Nero's head was also replaced several times with the heads of succeeding emperors. Despite its pagan links, the statue remained standing well into the medieval era and was credited with magical powers. It came to be seen as an iconic symbol of the permanence of Rome.
In the 8th century, a famous epigram attributed to the Venerable Bede celebrated the symbolic significance of the statue in a prophecy that is variously quoted: Quamdiu stat Colisæus, stat et Roma; quando cadet colisæus, cadet et Roma; quando cadet Roma, cadet et mundus ("as long as the Colossus stands, so shall Rome; when the Colossus falls, Rome shall fall; when Rome falls, so falls the world").[11] This is often mistranslated to refer to the Colosseum rather than the Colossus (as in, for instance, Byron's poem Childe Harold's Pilgrimage). However, at the time that the Pseudo-Bede wrote, the masculine noun coliseus was applied to the statue rather than to what was still known as the Flavian amphitheatre.
The Colossus did eventually fall, possibly being pulled down to reuse its bronze. By the year 1000 the name "Colosseum" had been coined to refer to the amphitheatre. The statue itself was largely forgotten and only its base survives, situated between the Colosseum and the nearby Temple of Venus and Roma.[12]
The name further evolved to Coliseum during the Middle Ages. In Italy, the amphitheatre is still known as il Colosseo, and other Romance languages have come to use similar forms such as le Colisée (French), el Coliseo (Spanish) and o Coliseu (Portuguese).
Construction of the Colosseum began under the rule of the Emperor Vespasian[3] in around 70–72AD. The site chosen was a flat area on the floor of a low valley between the Caelian, Esquiline and Palatine Hills, through which a canalised stream ran. By the 2nd century BC the area was densely inhabited. It was devastated by the Great Fire of Rome in AD 64, following which Nero seized much of the area to add to his personal domain. He built the grandiose Domus Aurea on the site, in front of which he created an artificial lake surrounded by pavilions, gardens and porticoes. The existing Aqua Claudia aqueduct was extended to supply water to the area and the gigantic bronze Colossus of Nero was set up nearby at the entrance to the Domus Aurea.[12]
Although the Colossus was preserved, much of the Domus Aurea was torn down. The lake was filled in and the land reused as the location for the new Flavian Amphitheatre. Gladiatorial schools and other support buildings were constructed nearby within the former grounds of the Domus Aurea. According to a reconstructed inscription found on the site, "the emperor Vespasian ordered this new amphitheatre to be erected from his general's share of the booty." This is thought to refer to the vast quantity of treasure seized by the Romans following their victory in the Great Jewish Revolt in 70AD. The Colosseum can be thus interpreted as a great triumphal monument built in the Roman tradition of celebrating great victories[12], placating the Roman people instead of returning soldiers. Vespasian's decision to build the Colosseum on the site of Nero's lake can also be seen as a populist gesture of returning to the people an area of the city which Nero had appropriated for his own use. In contrast to many other amphitheatres, which were located on the outskirts of a city, the Colosseum was constructed in the city centre; in effect, placing it both literally and symbolically at the heart of Rome.
The Colosseum had been completed up to the third story by the time of Vespasian's death in 79. The top level was finished and the building inaugurated by his son, Titus, in 80.[3] Dio Cassius recounts that over 9,000 wild animals were killed during the inaugural games of the amphitheatre. The building was remodelled further under Vespasian's younger son, the newly designated Emperor Domitian, who constructed the hypogeum, a series of underground tunnels used to house animals and slaves. He also added a gallery to the top of the Colosseum to increase its seating capacity.
In 217, the Colosseum was badly damaged by a major fire (caused by lightning, according to Dio Cassius[13]) which destroyed the wooden upper levels of the amphitheatre's interior. It was not fully repaired until about 240 and underwent further repairs in 250 or 252 and again in 320. An inscription records the restoration of various parts of the Colosseum under Theodosius II and Valentinian III (reigned 425–455), possibly to repair damage caused by a major earthquake in 443; more work followed in 484[14] and 508. The arena continued to be used for contests well into the 6th century, with gladiatorial fights last mentioned around 435. Animal hunts continued until at least 523, when Anicius Maximus celebrated his consulship with some venationes, criticised by King Theodoric the Great for their high cost.
The Colosseum underwent several radical changes of use during the medieval period. By the late 6th century a small church had been built into the structure of the amphitheatre, though this apparently did not confer any particular religious significance on the building as a whole. The arena was converted into a cemetery. The numerous vaulted spaces in the arcades under the seating were converted into housing and workshops, and are recorded as still being rented out as late as the 12th century. Around 1200 the Frangipani family took over the Colosseum and fortified it, apparently using it as a castle.
Severe damage was inflicted on the Colosseum by the great earthquake in 1349, causing the outer south side, lying on a less stable alluvional terrain, to collapse. Much of the tumbled stone was reused to build palaces, churches, hospitals and other buildings elsewhere in Rome. A religious order moved into the northern third of the Colosseum in the mid-14th century and continued to inhabit it until as late as the early 19th century. The interior of the amphitheatre was extensively stripped of stone, which was reused elsewhere, or (in the case of the marble façade) was burned to make quicklime.[12] The bronze clamps which held the stonework together were pried or hacked out of the walls, leaving numerous pockmarks which still scar the building today.
During the 16th and 17th century, Church officials sought a productive role for the vast derelict hulk of the Colosseum. Pope Sixtus V (1585–1590) planned to turn the building into a wool factory to provide employment for Rome's prostitutes, though this proposal fell through with his premature death.[15] In 1671 Cardinal Altieri authorized its use for bullfights; a public outcry caused the idea to be hastily abandoned.
In 1749, Pope Benedict XIV endorsed as official Church policy the view that the Colosseum was a sacred site where early Christians had been martyred. He forbade the use of the Colosseum as a quarry and consecrated the building to the Passion of Christ and installed Stations of the Cross, declaring it sanctified by the blood of the Christian martyrs who perished there (see Christians and the Colosseum). However there is no historical evidence to support Benedict's claim, nor is there even any evidence that anyone prior to the 16th century suggested this might be the case; the Catholic Encyclopedia concludes that there are no historical grounds for the supposition. Later popes initiated various stabilization and restoration projects, removing the extensive vegetation which had overgrown the structure and threatened to damage it further. The façade was reinforced with triangular brick wedges in 1807 and 1827, and the interior was repaired in 1831, 1846 and in the 1930s. The arena substructure was partly excavated in 1810–1814 and 1874 and was fully exposed under Benito Mussolini in the 1930s.
The Colosseum is today one of Rome's most popular tourist attractions, receiving millions of visitors annually. The effects of pollution and general deterioration over time prompted a major restoration programme carried out between 1993 and 2000, at a cost of 40 billion Italian lire ($19.3m / €20.6m at 2000 prices). In recent years it has become a symbol of the international campaign against capital punishment, which was abolished in Italy in 1948. Several anti–death penalty demonstrations took place in front of the Colosseum in 2000. Since that time, as a gesture against the death penalty, the local authorities of Rome change the color of the Colosseum's night time illumination from white to gold whenever a person condemned to the death penalty anywhere in the world gets their sentence commuted or is released,[16] or if a jurisdiction abolishes the death penalty. Most recently, the Colosseum was illuminated in gold when capital punishment was abolished in the American state of New Mexico in April 2009.
Because of the ruined state of the interior, it is impractical to use the Colosseum to host large events; only a few hundred spectators can be accommodated in temporary seating. However, much larger concerts have been held just outside, using the Colosseum as a backdrop. Performers who have played at the Colosseum in recent years have included Ray Charles (May 2002),[18] Paul McCartney (May 2003),[19] Elton John (September 2005),[20] and Billy Joel (July 2006).
Exterior
Unlike earlier Greek theatres that were built into hillsides, the Colosseum is an entirely free-standing structure. It derives its basic exterior and interior architecture from that of two Roman theatres back to back. It is elliptical in plan and is 189 meters (615 ft / 640 Roman feet) long, and 156 meters (510 ft / 528 Roman feet) wide, with a base area of 6 acres (24,000 m2). The height of the outer wall is 48 meters (157 ft / 165 Roman feet). The perimeter originally measured 545 meters (1,788 ft / 1,835 Roman feet). The central arena is an oval 87 m (287 ft) long and 55 m (180 ft) wide, surrounded by a wall 5 m (15 ft) high, above which rose tiers of seating.
The outer wall is estimated to have required over 100,000 cubic meters (131,000 cu yd) of travertine stone which were set without mortar held together by 300 tons of iron clamps.[12] However, it has suffered extensive damage over the centuries, with large segments having collapsed following earthquakes. The north side of the perimeter wall is still standing; the distinctive triangular brick wedges at each end are modern additions, having been constructed in the early 19th century to shore up the wall. The remainder of the present-day exterior of the Colosseum is in fact the original interior wall.
The surviving part of the outer wall's monumental façade comprises three stories of superimposed arcades surmounted by a podium on which stands a tall attic, both of which are pierced by windows interspersed at regular intervals. The arcades are framed by half-columns of the Tuscan, Ionic, and Corinthian orders, while the attic is decorated with Corinthian pilasters.[21] Each of the arches in the second- and third-floor arcades framed statues, probably honoring divinities and other figures from Classical mythology.
Two hundred and forty mast corbels were positioned around the top of the attic. They originally supported a retractable awning, known as the velarium, that kept the sun and rain off spectators. This consisted of a canvas-covered, net-like structure made of ropes, with a hole in the center.[3] It covered two-thirds of the arena, and sloped down towards the center to catch the wind and provide a breeze for the audience. Sailors, specially enlisted from the Roman naval headquarters at Misenum and housed in the nearby Castra Misenatium, were used to work the velarium.[22]
The Colosseum's huge crowd capacity made it essential that the venue could be filled or evacuated quickly. Its architects adopted solutions very similar to those used in modern stadiums to deal with the same problem. The amphitheatre was ringed by eighty entrances at ground level, 76 of which were used by ordinary spectators.[3] Each entrance and exit was numbered, as was each staircase. The northern main entrance was reserved for the Roman Emperor and his aides, whilst the other three axial entrances were most likely used by the elite. All four axial entrances were richly decorated with painted stucco reliefs, of which fragments survive. Many of the original outer entrances have disappeared with the collapse of the perimeter wall, but entrances XXIII (23) to LIV (54) still survive.[12]
Spectators were given tickets in the form of numbered pottery shards, which directed them to the appropriate section and row. They accessed their seats via vomitoria (singular vomitorium), passageways that opened into a tier of seats from below or behind. These quickly dispersed people into their seats and, upon conclusion of the event or in an emergency evacuation, could permit their exit within only a few minutes. The name vomitoria derived from the Latin word for a rapid discharge, from which English derives the word vomit.
Interior
According to the Codex-Calendar of 354, the Colosseum could accommodate 87,000 people, although modern estimates put the figure at around 50,000. They were seated in a tiered arrangement that reflected the rigidly stratified nature of Roman society. Special boxes were provided at the north and south ends respectively for the Emperor and the Vestal Virgins, providing the best views of the arena. Flanking them at the same level was a broad platform or podium for the senatorial class, who were allowed to bring their own chairs. The names of some 5th century senators can still be seen carved into the stonework, presumably reserving areas for their use.
The tier above the senators, known as the maenianum primum, was occupied by the non-senatorial noble class or knights (equites). The next level up, the maenianum secundum, was originally reserved for ordinary Roman citizens (plebians) and was divided into two sections. The lower part (the immum) was for wealthy citizens, while the upper part (the summum) was for poor citizens. Specific sectors were provided for other social groups: for instance, boys with their tutors, soldiers on leave, foreign dignitaries, scribes, heralds, priests and so on. Stone (and later marble) seating was provided for the citizens and nobles, who presumably would have brought their own cushions with them. Inscriptions identified the areas reserved for specific groups.
Another level, the maenianum secundum in legneis, was added at the very top of the building during the reign of Domitian. This comprised a gallery for the common poor, slaves and women. It would have been either standing room only, or would have had very steep wooden benches. Some groups were banned altogether from the Colosseum, notably gravediggers, actors and former gladiators.
Each tier was divided into sections (maeniana) by curved passages and low walls (praecinctiones or baltei), and were subdivided into cunei, or wedges, by the steps and aisles from the vomitoria. Each row (gradus) of seats was numbered, permitting each individual seat to be exactly designated by its gradus, cuneus, and number.
The arena itself was 83 meters by 48 meters (272 ft by 157 ft / 280 by 163 Roman feet).[12] It comprised a wooden floor covered by sand (the Latin word for sand is harena or arena), covering an elaborate underground structure called the hypogeum (literally meaning "underground"). Little now remains of the original arena floor, but the hypogeum is still clearly visible. It consisted of a two-level subterranean network of tunnels and cages beneath the arena where gladiators and animals were held before contests began. Eighty vertical shafts provided instant access to the arena for caged animals and scenery pieces concealed underneath; larger hinged platforms, called hegmata, provided access for elephants and the like. It was restructured on numerous occasions; at least twelve different phases of construction can be seen.[12]
The hypogeum was connected by underground tunnels to a number of points outside the Colosseum. Animals and performers were brought through the tunnel from nearby stables, with the gladiators' barracks at the Ludus Magnus to the east also being connected by tunnels. Separate tunnels were provided for the Emperor and the Vestal Virgins to permit them to enter and exit the Colosseum without needing to pass through the crowds.[12]
Substantial quantities of machinery also existed in the hypogeum. Elevators and pulleys raised and lowered scenery and props, as well as lifting caged animals to the surface for release. There is evidence for the existence of major hydraulic mechanisms[12] and according to ancient accounts, it was possible to flood the arena rapidly, presumably via a connection to a nearby aqueduct.
The Colosseum and its activities supported a substantial industry in the area. In addition to the amphitheatre itself, many other buildings nearby were linked to the games. Immediately to the east is the remains of the Ludus Magnus, a training school for gladiators. This was connected to the Colosseum by an underground passage, to allow easy access for the gladiators. The Ludus Magnus had its own miniature training arena, which was itself a popular attraction for Roman spectators. Other training schools were in the same area, including the Ludus Matutinus (Morning School), where fighters of animals were trained, plus the Dacian and Gallic Schools.
Also nearby were the Armamentarium, comprising an armory to store weapons; the Summum Choragium, where machinery was stored; the Sanitarium, which had facilities to treat wounded gladiators; and the Spoliarium, where bodies of dead gladiators were stripped of their armor and disposed of.
Around the perimeter of the Colosseum, at a distance of 18 m (59 ft) from the perimeter, was a series of tall stone posts, with five remaining on the eastern side. Various explanations have been advanced for their presence; they may have been a religious boundary, or an outer boundary for ticket checks, or an anchor for the velarium or awning.
Right next to the Colosseum is also the Arch of Constantine.
he Colosseum was used to host gladiatorial shows as well as a variety of other events. The shows, called munera, were always given by private individuals rather than the state. They had a strong religious element but were also demonstrations of power and family prestige, and were immensely popular with the population. Another popular type of show was the animal hunt, or venatio. This utilized a great variety of wild beasts, mainly imported from Africa and the Middle East, and included creatures such as rhinoceros, hippopotamuses, elephants, giraffes, aurochs, wisents, barbary lions, panthers, leopards, bears, caspian tigers, crocodiles and ostriches. Battles and hunts were often staged amid elaborate sets with movable trees and buildings. Such events were occasionally on a huge scale; Trajan is said to have celebrated his victories in Dacia in 107 with contests involving 11,000 animals and 10,000 gladiators over the course of 123 days.
During the early days of the Colosseum, ancient writers recorded that the building was used for naumachiae (more properly known as navalia proelia) or simulated sea battles. Accounts of the inaugural games held by Titus in AD 80 describe it being filled with water for a display of specially trained swimming horses and bulls. There is also an account of a re-enactment of a famous sea battle between the Corcyrean (Corfiot) Greeks and the Corinthians. This has been the subject of some debate among historians; although providing the water would not have been a problem, it is unclear how the arena could have been waterproofed, nor would there have been enough space in the arena for the warships to move around. It has been suggested that the reports either have the location wrong, or that the Colosseum originally featured a wide floodable channel down its central axis (which would later have been replaced by the hypogeum).[12]
Sylvae or recreations of natural scenes were also held in the arena. Painters, technicians and architects would construct a simulation of a forest with real trees and bushes planted in the arena's floor. Animals would be introduced to populate the scene for the delight of the crowd. Such scenes might be used simply to display a natural environment for the urban population, or could otherwise be used as the backdrop for hunts or dramas depicting episodes from mythology. They were also occasionally used for executions in which the hero of the story — played by a condemned person — was killed in one of various gruesome but mythologically authentic ways, such as being mauled by beasts or burned to death.
The Colosseum today is now a major tourist attraction in Rome with thousands of tourists each year paying to view the interior arena, though entrance for EU citizens is partially subsidised, and under-18 and over-65 EU citizens' entrances are free.[24] There is now a museum dedicated to Eros located in the upper floor of the outer wall of the building. Part of the arena floor has been re-floored. Beneath the Colosseum, a network of subterranean passageways once used to transport wild animals and gladiators to the arena opened to the public in summer 2010.[25]
The Colosseum is also the site of Roman Catholic ceremonies in the 20th and 21st centuries. For instance, Pope Benedict XVI leads the Stations of the Cross called the Scriptural Way of the Cross (which calls for more meditation) at the Colosseum[26][27] on Good Fridays.
In the Middle Ages, the Colosseum was clearly not regarded as a sacred site. Its use as a fortress and then a quarry demonstrates how little spiritual importance was attached to it, at a time when sites associated with martyrs were highly venerated. It was not included in the itineraries compiled for the use of pilgrims nor in works such as the 12th century Mirabilia Urbis Romae ("Marvels of the City of Rome"), which claims the Circus Flaminius — but not the Colosseum — as the site of martyrdoms. Part of the structure was inhabited by a Christian order, but apparently not for any particular religious reason.
It appears to have been only in the 16th and 17th centuries that the Colosseum came to be regarded as a Christian site. Pope Pius V (1566–1572) is said to have recommended that pilgrims gather sand from the arena of the Colosseum to serve as a relic, on the grounds that it was impregnated with the blood of martyrs. This seems to have been a minority view until it was popularised nearly a century later by Fioravante Martinelli, who listed the Colosseum at the head of a list of places sacred to the martyrs in his 1653 book Roma ex ethnica sacra.
Martinelli's book evidently had an effect on public opinion; in response to Cardinal Altieri's proposal some years later to turn the Colosseum into a bullring, Carlo Tomassi published a pamphlet in protest against what he regarded as an act of desecration. The ensuing controversy persuaded Pope Clement X to close the Colosseum's external arcades and declare it a sanctuary, though quarrying continued for some time.
At the instance of St. Leonard of Port Maurice, Pope Benedict XIV (1740–1758) forbade the quarrying of the Colosseum and erected Stations of the Cross around the arena, which remained until February 1874. St. Benedict Joseph Labre spent the later years of his life within the walls of the Colosseum, living on alms, prior to his death in 1783. Several 19th century popes funded repair and restoration work on the Colosseum, and it still retains a Christian connection today. Crosses stand in several points around the arena and every Good Friday the Pope leads a Via Crucis procession to the amphitheatre.
Coliseu (Colosseo)
A seguir, um texto, em português, da Wikipédia, a enciclopédia livre:
O Coliseu, também conhecido como Anfiteatro Flaviano, deve seu nome à expressão latina Colosseum (ou Coliseus, no latim tardio), devido à estátua colossal de Nero, que ficava perto a edificação. Localizado no centro de Roma, é uma excepção de entre os anfiteatros pelo seu volume e relevo arquitectónico. Originalmente capaz de albergar perto de 50 000 pessoas, e com 48 metros de altura, era usado para variados espetáculos. Foi construído a leste do fórum romano e demorou entre 8 a 10 anos a ser construído.
O Coliseu foi utilizado durante aproximadamente 500 anos, tendo sido o último registro efetuado no século VI da nossa era, bastante depois da queda de Roma em 476. O edifício deixou de ser usado para entretenimento no começo da era medieval, mas foi mais tarde usado como habitação, oficina, forte, pedreira, sede de ordens religiosas e templo cristão.
Embora esteja agora em ruínas devido a terremotos e pilhagens, o Coliseu sempre foi visto como símbolo do Império Romano, sendo um dos melhores exemplos da sua arquitectura. Actualmente é uma das maiores atrações turísticas em Roma e em 7 de julho de 2007 foi eleita umas das "Sete maravilhas do mundo moderno". Além disso, o Coliseu ainda tem ligações à igreja, com o Papa a liderar a procissão da Via Sacra até ao Coliseu todas as Sextas-feiras Santas.
O coliseu era um local onde seriam exibidos toda uma série de espectáculos, inseridos nos vários tipos de jogos realizados na urbe. Os combates entre gladiadores, chamados muneras, eram sempre pagos por pessoas individuais em busca de prestígio e poder em vez do estado. A arena (87,5 m por 55 m) possuía um piso de madeira, normalmente coberto de areia para absorver o sangue dos combates (certa vez foi colocada água na representação de uma batalha naval), sob o qual existia um nível subterrâneo com celas e jaulas que tinham acessos diretos para a arena; Alguns detalhes dessa construção, como a cobertura removível que poupava os espectadores do sol, são bastante interessantes, e mostram o refinamento atingido pelos construtores romanos. Formado por cinco anéis concêntricos de arcos e abóbadas, o Coliseu representa bem o avanço introduzido pelos romanos à engenharia de estruturas. Esses arcos são de concreto (de cimento natural) revestidos por alvenaria. Na verdade, a alvenaria era construída simultaneamente e já servia de forma para a concretagem. Outro tipo de espetáculos era a caça de animais, ou venatio, onde eram utilizados animais selvagens importados de África. Os animais mais utilizados eram os grandes felinos como leões, leopardos e panteras, mas animais como rinocerontes, hipopótamos, elefantes, girafas, crocodilos e avestruzes eram também utilizados. As caçadas, tal como as representações de batalhas famosas, eram efetuadas em elaborados cenários onde constavam árvores e edifícios amovíveis.
Estas últimas eram por vezes representadas numa escala gigante; Trajano celebrou a sua vitória em Dácia no ano 107 com concursos envolvendo 11 000 animais e 10 000 gladiadores no decorrer de 123 dias.
Segundo o documentário produzido pelo canal televisivo fechado, History Channel, o Coliseu também era utilizado para a realização de naumaquias, ou batalhas navais. O coliseu era inundado por dutos subterrâneos alimentados pelos aquedutos que traziam água de longe. Passada esta fase, foi construída uma estrutura, que é a que podemos ver hoje nas ruínas do Coliseu, com altura de um prédio de dois andares, onde no passado se concentravam os gladiadores, feras e todo o pessoal que organizava os duelos que ocorreriam na arena. A arena era como um grande palco, feito de madeira, e se chama arena, que em italiano significa areia, porque era jogada areia sob a estrutura de madeira para esconder as imperfeições. Os animais podiam ser inseridos nos duelos a qualquer momento por um esquema de elevadores que surgiam em alguns pontos da arena; o filme "Gladiador" retrata muito bem esta questão dos elevadores. Os estudiosos, há pouco tempo, descobriram uma rede de dutos inundados por baixo da arena do Coliseu. Acredita-se que o Coliseu foi construído onde, outrora, foi o lago do Palácio Dourado de Nero; O imperador Vespasiano escolheu o local da construção para que o mal causado por Nero fosse esquecido por uma construção gloriosa.
Sylvae, ou recreações de cenas naturais eram também realizadas no Coliseu. Pintores, técnicos e arquitectos construiriam simulações de florestas com árvores e arbustos reais plantados no chão da arena. Animais seriam então introduzidos para dar vida à simulação. Esses cenários podiam servir só para agrado do público ou como pano de fundo para caçadas ou dramas representando episódios da mitologia romana, tão autênticos quanto possível, ao ponto de pessoas condenadas fazerem o papel de heróis onde eram mortos de maneiras horríveis mas mitologicamente autênticas, como mutilados por animais ou queimados vivos.
Embora o Coliseu tenha funcionado até ao século VI da nossa Era, foram proibidos os jogos com mortes humanas desde 404, sendo apenas massacrados animais como elefantes, panteras ou leões.
O Coliseu era sobretudo um enorme instrumento de propaganda e difusão da filosofia de toda uma civilização, e tal como era já profetizado pelo monge e historiador inglês Beda na sua obra do século VII "De temporibus liber": "Enquanto o Coliseu se mantiver de pé, Roma permanecerá; quando o Coliseu ruir, Roma ruirá e quando Roma cair, o mundo cairá".
A construção do Coliseu foi iniciada por Vespasiano, nos anos 70 da nossa era. O edifício foi inaugurado por Tito, em 80, embora apenas tivesse sido finalizado poucos anos depois. Empresa colossal, este edifício, inicialmente, poderia sustentar no seu interior cerca de 50 000 espectadores, constando de três andares. Aquando do reinado de Alexandre Severo e Gordiano III, é ampliado com um quarto andar, podendo suster agora cerca de 90 000 espectadores. A grandiosidade deste monumento testemunha verdadeiramente o poder e esplendor de Roma na época dos Flávios.
Os jogos inaugurais do Coliseu tiveram lugar ano 80, sob o mandato de Tito, para celebrar a finalização da construção. Depois do curto reinado de Tito começar com vários meses de desastres, incluindo a erupção do Monte Vesúvio, um incêndio em Roma, e um surto de peste, o mesmo imperador inaugurou o edifício com uns jogos pródigos que duraram mais de cem dias, talvez para tentar apaziguar o público romano e os deuses. Nesses jogos de cem dias terão ocorrido combates de gladiadores, venationes (lutas de animais), execuções, batalhas navais, caçadas e outros divertimentos numa escala sem precedentes.
O Coliseu, como não se encontrava inserido numa zona de encosta, enterrado, tal como normalmente sucede com a generalidade dos teatros e anfiteatros romanos, possuía um “anel” artificial de rocha à sua volta, para garantir sustentação e, ao mesmo tempo, esta substrutura serve como ornamento ao edifício e como condicionador da entrada dos espectadores. Tal como foi referido anteriormente, possuía três pisos, sendo mais tarde adicionado um outro. É construído em mármore, pedra travertina, ladrilho e tufo (pedra calcária com grandes poros). A sua planta elíptica mede dois eixos que se estendem aproximadamente de 190 m por 155 m. A fachada compõe-se de arcadas decoradas com colunas dóricas, jónicas e coríntias, de acordo com o pavimento em que se encontravam. Esta subdivisão deve-se ao facto de ser uma construção essencialmente vertical, criando assim uma diversificação do espaço.
Os assentos eram em mármore e a cavea, escadaria ou arquibancada, dividia-se em três partes, correspondentes às diferentes classes sociais: o podium, para as classes altas; as maeniana, sector destinado à classe média; e os portici, ou pórticos, construídos em madeira, para a plebe e as mulheres. O pulvinar, a tribuna imperial, encontrava-se situada no podium e era balizada pelos assentos reservados aos senadores e magistrados. Rampas no interior do edifício facilitavam o acesso às várias zonas de onde podiam visualizar o espectáculo, sendo protegidos por uma barreira e por uma série de arqueiros posicionados numa passagem de madeira, para o caso de algum acidente. Por cima dos muros ainda são visíveis as mísulas, que sustentavam o velarium, enorme cobertura de lona destinada a proteger do sol os espectadores e, nos subterrâneos, ficavam as jaulas dos animais, bem como todas as celas e galerias necessárias aos serviços do anfiteatro.
O monumento permaneceu como sede principal dos espetáculos da urbe romana até ao período do imperador Honorius, no século V. Danificado por um terremoto no começo do mesmo século, foi alvo de uma extensiva restauração na época de Valentinianus III. Em meados do século XIII, a família Frangipani transformou-o em fortaleza e, ao longo dos séculos XV e XVI, foi por diversas vezes saqueado, perdendo grande parte dos materiais nobres com os quais tinha sido construído.
Os relatos romanos referem-se a cristãos sendo martirizados em locais de Roma descritos pouco pormenorizadamente (no anfiteatro, na arena...), quando Roma tinha numerosos anfiteatros e arenas. Apesar de muito provavelmente o Coliseu não ter sido utilizado para martírios, o Papa Bento XIV consagrou-o no século XVII à Paixão de Cristo e declarou-o lugar sagrado. Os trabalhos de consolidação e restauração parcial do monumento, já há muito em ruínas, foram feitos sobretudo pelos pontífices Gregório XVI e Pio IX, no século XIX.
Vision conceived as "transparency" is the Buddhist ideal: "as one sees through clear water, the sand, the gravel, and the color of the pebbles, simply by reason of its transparency, so one who
seeks the path of liberation must have just such a clear mind."
The image that illustrates the manner in which an ascetic apprehends the four truths of the Ariya is this: "If at the edge of an alpine lake of clear, transparent and pure water there were to stand a man with keen sight looking at the shells and shellfish, the gravel and the sand and the fish, watching how they swim and how they rest; this thought would come to him: 'This alpine lake is clear, transparent, and pure; I see the shells and shellfish, the gravel, the sand and the fish, how they swim and rest'”.
In this same manner an ascetic apprehends "in conformity with truth" the supreme object of the doctrine. The formula "in conformity with truth" or "with reality" is a recurrent theme in the texts, like the attributes, "eye of the world", or "become eye", or "become knowledge", of the Awakened Ones.
This is naturally an achievement only through a gradual process. "As an ocean deepens gradually, declines gradually, shelves gradually without sudden precipices, so in this law and discipline there is a gradual training, a gradual action, a gradual unfolding, and no sudden apprehension of supreme knowledge."
Again: "One cannot, I say, attain supreme knowledge all at once; only by a gradual training, a gradual action, a gradual unfolding, does one attain perfect knowledge. In what manner? A man comes, moved by confidence; having come, he joins (the order of the Ariya); having joined, he listens; listening, he receives the doctrine; having received the doctrine, he remembers it; he examines the sense of the things remembered; from examining the sense, the things are approved of; having approved, desire is born; he ponders; pondering, he eagerly trains himself; and eagerly training himself, he mentally realizes the highest truth itself and, penetrating it by means of wisdom, he sees." These are the milestones of the development.
It is hardly worth saying that the placing of "confidence" at the beginning of the series does not signify a falling back into "belief": in the first place, the texts always consider that confidence is prompted by the inspiring stature and the example of a master; in the second place, as we can see clearly from the development of the series, it is a matter of a provisional admission only; the real adherence comes when, with examination and practice, the faculty of direct apprehension, of intellectual intuition, absolutely independent of its antecedents, has become possible.
Therefore it is said: "He who cannot strenuously train himself, cannot achieve truth; through strenuous training (an ascetic) achieves truth: therefore strenuous training is the most important thing for the achieving of truth."
Naturally, there is here an implicit assumption, which we shall discuss before long in detail, an assumption, that is to say, that the men to whom the doctrine was directed were not entirely in the state of brute beasts: that they recognised, not as an intellectual opinion, but through a natural and innate sense, the existence of a reality superior to that of the senses. For the "common man," one who thinks in his heart: "There is no giving, no offering, no alms, there is no result of good and bad actions, there is no this world, there, is no other world, there is no spiritual rebirth, there are not in the world ascetics or Brāhmans who are perfect and fulfilled and who, having with their own understanding comprehended, and realised this world and the other world, make known their
knowledge" - for such the doctrine was not considered to have been expounded, since they lack the elementary quality of "confidence" that defines the "noble son" and that is the first member of the series we have mentioned.
Such men, according to an apt textual illustration, are as "arrows shot by night”.
As for the preeminence accorded (in a pragmatic and anti-intellectualistic spirit) to action in the Doctrine of Awakening, we quote another Buddhist simile. A man struck by a poisoned arrow, for whom his friends and companions wish to fetch a surgeon, refuses to have the arrow extracted before learning who struck him, what his name might he, who his people are, what his appearance, if his bow was great or small, of what wood it was made, with what it was strung, and so on. This man would not succeed in learning enough to satisfy him before he died. Just so (says the text) would a man behave who followed the Sublime One only on the condition that the latter gave him answers to various speculative problems, telling him if the world was eternal or not, if body and the life-principle are distinct or not, what happens to the Accomplished One after death, and so on. None of this—says the Buddha—has been explained by me. "And why has it not been explained by me? Because this is not salutary, it is not truly ascetic, it does not lead to disgust, it does not lead to detachment, it does not lead to dispassion, it does not lead to calmness, it does not lead to contemplation, it does not lead to awakening, it does not lead to extinction: therefore has this not been explained by me”.
In the opposing theories regarding the world and regarding man, characteristically reminiscent of the Kantian antinomies, either one opposite or the other might he true. One thing is certain, however: the state in which man actually finds himself, and the possibility of his training himself, during his lifetime, to achieve the destruction of this state.
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Julius Evola: The Doctrine of Awakening - Part I., Chapter 4. - Destruction of the Demon of Dialectics (excerpt)
Admiral George Hope died on 2 May 1818 and was succeeded by his son James, who was only ten at that time. James Hope was to be away for most of his life, pursuing his own military career, however he found time to continue the improvements at home - the most notable of which was the construction of a school for girls on the estate, which they maintained at their own expense.
The final touches were also made to the house. In 1849 the rather awkward access connection between the c.1570 block and the 1682 wing was overcome by placing a small rectangular, 3 storey insert into the courtyard. You can just see it here, with its flat lead roof, surrounded by a simple battlemented parapet. At the same the two-storey porch extension was put into the front re-entrant angle.
The armorial panel on the porch, containing a coat of arms over the date 1863, are those of James Hope, who in the 45 years since succeeding his father, had become Admiral Sir James Hope - not only was his father an admiral, his mother was the daughter of an admiral!. He led a fairly dashing career, his most famous exploit, when still a young lieutenant, occurring while stationed at the River Plate in South America. The enemy had thrown a cable across the river and under a tremendous fire he personally cut the boom with a chisel enabling the fleet to pass up the river.
In his retirement James Hope did much to improve the lot of those around Carriden. He bought up many of the poor-quality houses in the adjacent village of Muirhouses which belonged to the Cadell family and were occupied by miners. These were demolished and replaced by substantial stone cottages.
Admiral Sir James Hope died in 1881 without children, following which his wife lived here until her death in 1890. Carriden then passed to Colonel George Lloyd Verney, Sir James' great-nephew. The Colonel died in 1896 and was succeeded by his son James, who died in 1909 and was succeeded by his brother Harry Verney. Having estates elsewhere, the Verneys had spent little time at Carriden and it was put up for sale in 1912.
It was bought by Joseph Constant, a London businessman and entrepreneur (yes, they even had them back then!), who became an absentee landlord (surprise surprise!). His real interest lay in the shore line, on which he wanted to build ships. The estate farms were let and the contents of the house put up for auction.
Auctioning off the contents of a house in this day and age is an unremarkable event, but in those days, the contents of a grand house or castle were expected to remain with the house. The Motherwell Times of 3 October 1913 considered that this was a case of asset stripping and reported that Carriden House “is this week to be robbed of its internal splendor through the operations of the auctioneer.” All the contents, including the library of over a thousand books, were duly sold off!
Joseph Constant did not live to enjoy the fruits of the sale! With the outbreak of the Great War, his widow furnished the house as an auxiliary hospital for wounded soldiers. Following the war, the estate farms were sold off - the death knell for many a grand house, as without the farms, there is usually insufficient income to maintain the house. By 1925, the house was standing empty.
After the Second World War the demand for electricity soared. Coal-powered generating stations were built at Longannet and Kincardine on the north shore of the Forth and in anticipation of further demand, the South of Scotland Electricity Board bought what remained of the Carriden estate in the late 1960s. Carriden power station was never required and the house survived, although it was allowed to deteriorate further.
Since being sold by the Electricity Board in the late 1970s, Carriden has had three sets of owners, all of whom have played their parts in restoring it to its former glory.
At the end of 1901 the Sisters of St Joseph retired from Gawler, and were succeeded in January 1902, by the Good Samaritan Sisters from Sydney. On their arrival they established a high school for music and arts in conjunction with the existing primary school.
The convent of 1910 was built beside the convent previously used by the Sisters of St Joseph. After the Good Samaritan Sisters left the convent the property became private: at the moment it appears to be empty.
*Roman Catholic Convent
February 7 - The corner-stone of a new Roman Catholic Convent was blessed by the Archbishop of Adelaide (Most Rev Dr O'Reily) yesterday. The erection of a substantial structure to facilitate the educational work of the Sisters of the Good Samaritan has long been contemplated.
The site chosen is contiguous to the church and the school hall, and joins the present convent. The new building when completed will be large and attractive, and involve an expenditure of between £3.000 and £4,000. It will have a width of 52 ft, and a length of 73 ft.
The front and northern portion is being built of moulded brick and Smithfield freestone, and the back of limestone. The height from the ground to the top of the Celtic cross above the main entrance will be 42 ft.
The Archbishop, in a short address, referred to the Sisters of the Good Samaritan as an Australian order. They were founded in 1857 in Sydney, and had done excellent educational work. He first introduced them into South Australia at Port Pirie, and then at Gawler.
The ceremony of blessing the stone was then proceeded with. The Archbishop was assisted by the Revs Father O'Neill and Father Kelly. The collection realized £258, and the amount now in hand is about £1,000. [Ref: Register (Adelaide SA) 8-2-1910]
*The opening ceremony of the new Convent of the sisters of the Good Samaritan at Gawler was performed on Sunday afternoon by the Archbishop of Adelaide (Most Rev Dr O'Reily). The weather did not permit of the whole of the rites being observed in the open air, and, after the Archbishop had placed the seal of his approval on the new home for the nuns, an adjournment was made to S Peter's and S Paul’s Church.
The structure is imposing, well built, and beautifully fitted up.
The old building will be turned into a high school for the more advanced education of the young. Within a stone's throw of each other, there now stands the Roman Catholic manse, church, new convent, high school, and day school— a formidable block, and among the most handsome from an architectural point of view, in Gawler. [Ref: Register (Adelaide SA) 4-10-1910]
*The foundation stone was laid last February by His Grace the Archbishop, the inscription being commemorative of the inception of the building.
Externally the design of the convent can hardly be classed under any particular style of architecture, although its simplicity is largely inspired by the study of Italian and English Georgian domestic structures. The dominant feature, as seen from within and without is the chapel, which occupies the centre of the building.
The architects (says 'Southern Cross') treated the chapel, both in material and design, differently from the other parts of the building, with the roof rising clear above its surroundings, adopting this rendering to emphasize its importance, and to some extent its distinction from the rest of the buildings around. The south wing is for the present to be devoted to the accommodation of the boarding school, and nothing is overlooked to add to the comfort and pleasant surrounding of the children. This division contains refectory, music-room, dormitories, lavatory, bathrooms, etc. In the centre of the building is the chapel, sacristy, community-room, and staircase hall.
The north wing contains the reception-room and refectory, scullery, kitchen, laundry, cellar, and other out-offices.
The upper floor is sub-divided by fireproof interlocking steel and cement walls into handsome rooms for the accommodation of the members of the community. From the upper floor landing you pass out of the balcony leading to the roof terrace, affording ample space for the recreation of the Sisters.
The design adopted provides for duplication of the present structure when the requirements of the institution demand more ample accommodation. The hygienic aspects of the building have been carefully studied, and every provision made for light and perfect ventilation. Provision is also made for the drainage of the building by connection with a septic tank approved by the Board of Health.
The architects of the building were Messrs Woods and Bagot. Messrs Ligertwood and Parkes, of Maylands, were the contractors. Mr William Essery, of Norwood was responsible for the woodwork. Mr Alf Martin for the iron and plumbing, and Messrs W Robinson and W H Cox for the plastering and painting. [Ref: Bunyip (Gawler SA)11-11-1910]
The Biddulph Gate in Famagusta, Turkish Republic of North Cyprus, is a ruined structure named after General Sir Robert Biddulph. It is situated within the walled city of Famagusta but is not part of the defensive wall. The gate's current state is that of a ruin.
The history of the Biddulph Gate is closely tied to General Sir Robert Biddulph, a British military officer who served in Cyprus during the late 19th century. It is believed that the gate was named in his honor, possibly due to his contributions or association with the region.
The exact origins and architectural details of the Biddulph Gate are unclear due to its ruined state. It is possible that the gate had historical significance and functioned as an entry point or passage within the walled city of Famagusta. However, the lack of available information makes it challenging to provide an in-depth account of its original purpose or design.
Over time, the Biddulph Gate fell into disrepair and is now in a ruined state. The specific reasons for its deterioration or the events that led to its current condition remain unclear. The gate's ruinous state adds to its historical intrigue and provides a sense of mystery surrounding its past.
Despite its ruined state, the Biddulph Gate holds cultural and historical importance as a tangible reminder of Famagusta's past. It serves as a poignant symbol of the city's history and the passage of time.
Preservation and restoration efforts may be necessary to protect the Biddulph Gate and prevent further deterioration. These initiatives could focus on stabilizing the structure, conducting archaeological research, and potentially opening it up to visitors as a cultural and historical attraction.
In conclusion, the Biddulph Gate in Famagusta, Turkish Republic of North Cyprus, is a ruined structure named after General Sir Robert Biddulph. While its exact origins and original purpose are unclear due to its current state, the gate's association with General Biddulph and its location within the walled city of Famagusta contribute to its historical significance. Efforts to preserve and understand this cultural heritage site may be necessary to ensure its continued appreciation and exploration.
General Sir Robert Biddulph, (26 August 1835 – 18 November 1918) was a senior British Army officer. He served as Quartermaster-General to the Forces in 1893, and was then Governor of Gibraltar until 1900.
Military career
Educated at Twyford School and the Royal Military Academy, Woolwich, Biddulph was commissioned into the Royal Artillery in 1853. He served in the Crimean War and was present at the Siege of Sevastopol in 1854. He then served in the Indian Mutiny, and was Brigade Major during the Siege of Lucknow in 1857.
In 1871 he was selected to be Assistant Adjutant-General at the War Office and then in 1879 he succeeded Sir Garnet Wolseley as High Commissioner and Commander-in-Chief of Cyprus. In 1886, he returned to London to be Inspector-General of Recruiting and two years later became Director-General of Military Education. In 1893 he was briefly Quartermaster-General to the Forces. Later that year he became Governor of Gibraltar, serving as such until 1900. He was Colonel Commandant of Royal Artillery, and was placed on retired pay on 26 August 1902.
His final appointment, in 1904, was as Army Purchase Commissioner: in that capacity he abolished the purchase of commissions.
He was appointed Knight Grand Cross of the Order of the Bath in the 1899 Birthday Honours. Biddulph's Gate in Famagusta in Cyprus is named after him.
Famagusta is a city on the east coast of the de facto state Northern Cyprus. It is located east of Nicosia and possesses the deepest harbour of the island. During the Middle Ages (especially under the maritime republics of Genoa and Venice), Famagusta was the island's most important port city and a gateway to trade with the ports of the Levant, from where the Silk Road merchants carried their goods to Western Europe. The old walled city and parts of the modern city are de facto part of Northern Cyprus as the capital of the Gazimağusa District.
The city was known as Arsinoe or Arsinoë (Greek: Ἀρσινόη, Arsinóē) in antiquity, after Ptolemy II of Egypt's sister and wife Arsinoe II.
By the 3rd century, the city appears as Ammochostos (Greek: Ἀμμόχωστος or Αμμόχωστος, Ammókhōstos, "Hidden in Sand") in the Stadiasmus Maris Magni.[5] This name is still used in modern Greek with the pronunciation [aˈmːoxostos], while it developed into Latin Fama Augusta, French Famagouste, Italian Famagosta, and English Famagusta during the medieval period. Its informal modern Turkish name Mağusa (Turkish pronunciation: [maˈusa]) came from the same source. Since 1974, it has formally been known to Turkey and Northern Cyprus as Gazimağusa ([ɡaːzimaˈusa]), from the addition of the title gazi, meaning "veteran" or "one who has faught in a holy war".
In the early medieval period, the city was also known as New Justiniana (Greek: Νέα Ἰουστινιανία, Néa Ioustinianía) in appreciation for the patronage of the Byzantine emperor Justinian, whose wife Theodora was born there.
The old town of Famagusta has also been nicknamed "the City of 365 Churches" from the legend that, at its peak, it boasted a church for every day of the year.
The city was founded around 274 BC, after the serious damage to Salamis by an earthquake, by Ptolemy II Philadelphus and named "Arsinoe" after his sister.[6] Arsinoe was described as a "fishing town" by Strabo in his Geographica in the first century BC. In essence, Famagusta was the successor of the most famous and most important ancient city of Cyprus, Salamis. According to Greek mythology, Salamis was founded after the end of the Trojan War by Teucros, the son of Telamon and brother of Aedes, from the Greek island of Salamis.
The city experienced great prosperity much later, during the time of the Byzantine emperor Justinian. To honor the city, from which his wife Theodora came, Justinian enriched it with many buildings, while the inhabitants named it New Justiniania to express their gratitude. In AD 647, when the neighboring cities were destroyed by Arab raiding, the inhabitants of these cities moved to Famagusta, as a result of which the city's population increased significantly and the city experienced another boom.
Later, when Jerusalem was occupied by the Arabs, the Christian population fled to Famagusta, as a result of which the city became an important Christian center, but also one of the most important commercial centers in the eastern Mediterranean.
The turning point for Famagusta was 1192 with the onset of Lusignan rule. It was during this period that Famagusta developed as a fully-fledged town. It increased in importance to the Eastern Mediterranean due to its natural harbour and the walls that protected its inner town. Its population began to increase. This development accelerated in the 13th century as the town became a centre of commerce for both the East and West. An influx of Christian refugees fleeing the downfall of Acre (1291) in Palestine transformed it from a tiny village into one of the richest cities in Christendom.
In 1372 the port was seized by Genoa and in 1489 by Venice. This commercial activity turned Famagusta into a place where merchants and ship owners led lives of luxury. By the mid-14th century, Famagusta was said to have the richest citizens in the world. The belief that people's wealth could be measured by the churches they built inspired these merchants to have churches built in varying styles. These churches, which still exist, were the reason Famagusta came to be known as "the district of churches". The development of the town focused on the social lives of the wealthy people and was centred upon the Lusignan palace, the cathedral, the Square and the harbour.
In 1570–1571, Famagusta was the last stronghold in Venetian Cyprus to hold out against the Turks under Mustafa Pasha. It resisted a siege of thirteen months and a terrible bombardment, until at last the garrison surrendered. The Ottoman forces had lost 50,000 men, including Mustafa Pasha's son. Although the surrender terms had stipulated that the Venetian forces be allowed to return home, the Venetian commander, Marco Antonio Bragadin, was flayed alive, his lieutenant Tiepolo was hanged, and many other Christians were killed.
With the advent of the Ottoman rule, Latins lost their privileged status in Famagusta and were expelled from the city. Greek Cypriots natives were at first allowed to own and buy property in the city, but were banished from the walled city in 1573–74 and had to settle outside in the area that later developed into Varosha. Turkish families from Anatolia were resettled in the walled city but could not fill the buildings that previously hosted a population of 10,000. This caused a drastic decrease in the population of Famagusta. Merchants from Famagusta, who mostly consisted of Latins that had been expelled, resettled in Larnaca and as Larnaca flourished, Famagusta lost its importance as a trade centre. Over time, Varosha developed into a prosperous agricultural town thanks to its location away from the marshes, whilst the walled city remained dilapidated.
In the walled city, some buildings were repurposed to serve the interests of the Muslim population: the Cathedral of St. Nicholas was converted to a mosque (now known as Lala Mustafa Pasha Mosque), a bazaar was developed, public baths, fountains and a theological school were built to accommodate the inhabitants' needs. Dead end streets, an Ottoman urban characteristic, was imported to the city and a communal spirit developed in which a small number of two-storey houses inhabited by the small upper class co-existed with the widespread one-storey houses.
With the British takeover, Famagusta regained its significance as a port and an economic centre and its development was specifically targeted in British plans. As soon as the British took over the island, a Famagusta Development Act was passed that aimed at the reconstruction and redevelopment of the city's streets and dilapidated buildings as well as better hygiene. The port was developed and expanded between 1903 and 1906 and Cyprus Government Railway, with its terminus in Famagusta, started construction in 1904. Whilst Larnaca continued to be used as the main port of the island for some time, after Famagusta's use as a military base in World War I trade significantly shifted to Famagusta. The city outside the walls grew at an accelerated rate, with development being centred around Varosha. Varosha became the administrative centre as the British moved their headquarters and residences there and tourism grew significantly in the last years of the British rule. Pottery and production of citrus and potatoes also significantly grew in the city outside the walls, whilst agriculture within the walled city declined to non-existence.
New residential areas were built to accommodate the increasing population towards the end of the British rule,[11] and by 1960, Famagusta was a modern port city extending far beyond Varosha and the walled city.
The British period saw a significant demographic shift in the city. In 1881, Christians constituted 60% of the city's population while Muslims were at 40%. By 1960, the Turkish Cypriot population had dropped to 17.5% of the overall population, while the Greek Cypriot population had risen to 70%. The city was also the site for one of the British internment camps for nearly 50,000 Jewish survivors of the Holocaust trying to emigrate to Palestine.
From independence in 1960 to the Turkish invasion of Cyprus of 1974, Famagusta developed toward the south west of Varosha as a well-known entertainment and tourist centre. The contribution of Famagusta to the country's economic activity by 1974 far exceeded its proportional dimensions within the country. Whilst its population was only about 7% of the total of the country, Famagusta by 1974 accounted for over 10% of the total industrial employment and production of Cyprus, concentrating mainly on light industry compatible with its activity as a tourist resort and turning out high-quality products ranging from food, beverages and tobacco to clothing, footwear, plastics, light machinery and transport equipment. It contributed 19.3% of the business units and employed 21.3% of the total number of persons engaged in commerce on the island. It acted as the main tourist destination of Cyprus, hosting 31.5% of the hotels and 45% of Cyprus' total bed capacity. Varosha acted as the main touristic and business quarters.
In this period, the urbanisation of Famagusta slowed down and the development of the rural areas accelerated. Therefore, economic growth was shared between the city of Famagusta and the district, which had a balanced agricultural economy, with citrus, potatoes, tobacco and wheat as main products. Famagusta maintained good communications with this hinterland. The city's port remained the island's main seaport and in 1961, it was expanded to double its capacity in order to accommodate the growing volume of exports and imports. The port handled 42.7% of Cypriot exports, 48.6% of imports and 49% of passenger traffic.
There has not been an official census since 1960 but the population of the town in 1974 was estimated to be around 39,000 not counting about 12,000–15,000 persons commuting daily from the surrounding villages and suburbs to work in Famagusta. The number of people staying in the city would swell to about 90,000–100,000 during the peak summer tourist period, with the influx of tourists from numerous European countries, mainly Britain, France, Germany and the Scandinavian countries. The majority of the city population were Greek Cypriots (26,500), with 8,500 Turkish Cypriots and 4,000 people from other ethnic groups.
During the second phase of the Turkish invasion of Cyprus on 14 August 1974 the Mesaoria plain was overrun by Turkish tanks and Famagusta was bombed by Turkish aircraft. It took two days for the Turkish Army to occupy the city, prior to which Famagusta's entire Greek Cypriot population had fled into surrounding fields. As a result of Turkish airstrikes dozens of civilians died, including tourists.
Unlike other parts of the Turkish-controlled areas of Cyprus, the Varosha suburb of Famagusta was fenced off by the Turkish army immediately after being captured and remained fenced off until October 2020, when the TRNC reopened some streets to visitors. Some Greek Cypriots who had fled Varosha have been allowed to view the town and journalists have been allowed in.
UN Security Council resolution 550 (1984) considers any attempts to settle any part of Famagusta by people other than its inhabitants as inadmissible and calls for the transfer of this area to the administration of the UN. The UN's Security Council resolution 789 (1992) also urges that with a view to the implementation of resolution 550 (1984), the area at present under the control of the United Nations Peace-keeping Force in Cyprus be extended to include Varosha.
Famagusta's historic city centre is surrounded by the fortifications of Famagusta, which have a roughly rectangular shape, built mainly by the Venetians in the 15th and 16th centuries, though some sections of the walls have been dated earlier times, as far as 1211.
Some important landmarks and visitor attractions in the old city are:
The Lala Mustafa Pasha Mosque
The Othello Castle
Palazzo del Provveditore - the Venetian palace of the governor, built on the site of the former Lusignan royal palace
St. Francis' Church
Sinan Pasha Mosque
Church of St. George of the Greeks
Church of St. George of the Latins
Twin Churches
Nestorian Church (of St George the Exiler)
Namık Kemal Dungeon
Agios Ioannis Church
Venetian House
Akkule Masjid
Mustafa Pasha Mosque
Ganchvor monastery
In an October 2010 report titled Saving Our Vanishing Heritage, Global Heritage Fund listed Famagusta, a "maritime ancient city of crusader kings", among the 12 sites most "On the Verge" of irreparable loss and destruction, citing insufficient management and development pressures.
Famagusta is an important commercial hub of Northern Cyprus. The main economic activities in the city are tourism, education, construction and industrial production. It has a 115-acre free port, which is the most important seaport of Northern Cyprus for travel and commerce. The port is an important source of income and employment for the city, though its volume of trade is restricted by the embargo against Northern Cyprus. Its historical sites, including the walled city, Salamis, the Othello Castle and the St Barnabas Church, as well as the sandy beaches surrounding it make it a tourist attraction; efforts are also underway to make the city more attractive for international congresses. The Eastern Mediterranean University is also an important employer and supplies significant income and activity, as well as opportunities for the construction sector. The university also raises a qualified workforce that stimulates the city's industry and makes communications industry viable. The city has two industrial zones: the Large Industrial Zone and the Little Industrial Zone. The city is also home to a fishing port, but inadequate infrastructure of the port restricts the growth of this sector. The industry in the city has traditionally been concentrated on processing agricultural products.
Historically, the port was the primary source of income and employment for the city, especially right after 1974. However, it gradually lost some of its importance to the economy as the share of its employees in the population of Famagusta diminished due to various reasons. However, it still is the primary port for commerce in Northern Cyprus, with more than half of ships that came to Northern Cyprus in 2013 coming to Famagusta. It is the second most popular seaport for passengers, after Kyrenia, with around 20,000 passengers using the port in 2013.
The mayor-in-exile of Famagusta is Simos Ioannou. Süleyman Uluçay heads the Turkish Cypriot municipal administration of Famagusta, which remains legal as a communal-based body under the constitutional system of the Republic of Cyprus.
Since 1974, Greek Cypriots submitted a number of proposals within the context of bicommunal discussions for the return of Varosha to UN administration, allowing the return of its previous inhabitants, requesting also the opening of Famagusta harbour for use by both communities. Varosha would have been returned to Greek Cypriot control as part of the 2004 Annan Plan but the plan had been rejected by a majority(3/4) of Greek Cypriot voters.
The walled city of Famagusta contains many unique buildings. Famagusta has a walled city popular with tourists.
Every year, the International Famagusta Art and Culture Festival is organized in Famagusta. Concerts, dance shows and theater plays take place during the festival.
A growth in tourism and the city's university have fueled the development of Famagusta's vibrant nightlife. Nightlife in the city is especially active on Wednesday, Friday and Saturday nights and in the hotter months of the year, starting from April. Larger hotels in the city have casinos that cater to their customers. Salamis Road is an area of Famagusta with a heavy concentration of bars frequented by students and locals.
Famagusta's Othello Castle is the setting for Shakespeare's play Othello. The city was also the setting for Victoria Hislop's 2015 novel The Sunrise, and Michael Paraskos's 2016 novel In Search of Sixpence. The city is the birthplace of the eponymous hero of the Renaissance proto-novel Fortunatus.
Famagusta was home to many Greek Cypriot sport teams that left the city because of the Turkish invasion and still bear their original names. Most notable football clubs originally from the city are Anorthosis Famagusta FC and Nea Salamis Famagusta FC, both of the Cypriot First Division, which are now based in Larnaca. Usually Anorthosis Famagusta fans are politically right wing where Nea Salamis fans are left wing.
Famagusta is represented by Mağusa Türk Gücü in the Turkish Cypriot First Division. Dr. Fazıl Küçük Stadium is the largest football stadium in Famagusta. Many Turkish Cypriot sport teams that left Southern Cyprus because of the Cypriot intercommunal violence are based in Famagusta.
Famagusta is represented by DAÜ Sports Club and Magem Sports Club in North Cyprus First Volleyball Division. Gazimağusa Türk Maarif Koleji represents Famagusta in the North Cyprus High School Volleyball League.
Famagusta has a modern volleyball stadium called the Mağusa Arena.
The Eastern Mediterranean University was founded in the city in 1979. The Istanbul Technical University founded a campus in the city in 2010.
The Cyprus College of Art was founded in Famagusta by the Cypriot artist Stass Paraskos in 1969, before moving to Paphos in 1972 after protests from local hoteliers that the presence of art students in the city was putting off holidaymakers.
Famagusta has three general hospitals. Gazimağusa Devlet Hastahanesi, a state hospital, is the biggest hospital in city. Gazimağusa Tıp Merkezi and Gazimağusa Yaşam Hastahanesi are private hospitals.
Personalities
Saint Barnabas, born and died in Salamis, Famagusta
Chris Achilleos, illustrator of the book versions on the BBC children's series Doctor Who
Beran Bertuğ, former Governor of Famagusta, first Cypriot woman to hold this position
Marios Constantinou, former international Cypriot football midfielder and current manager.
Eleftheria Eleftheriou, Cypriot singer.
Derviş Eroğlu, former President of Northern Cyprus
Alexis Galanos, 7th President of the House of Representatives and Famagusta mayor-in-exile (2006-2019) (Republic of Cyprus)
Xanthos Hadjisoteriou, Cypriot painter
Oz Karahan, political activist, President of the Union of Cypriots
Oktay Kayalp, former Turkish Cypriot Famagusta mayor (Northern Cyprus)
Harry Luke British diplomat
Angelos Misos, former international footballer
Costas Montis was an influential and prolific Greek Cypriot poet, novelist, and playwright born in Famagusta.
Hal Ozsan, actor (Dawson's Creek, Kyle XY)
Dimitris Papadakis, a Greek Cypriot politician, who served as a Member of the European Parliament.
Ṣubḥ-i-Azal, Persian religious leader, lived and died in exile in Famagusta
Touker Suleyman (born Türker Süleyman), British Turkish Cypriot fashion retail entrepreneur, investor and reality television personality.
Alexia Vassiliou, singer, left here as a refugee when the town was invaded.
George Vasiliou, former President of Cyprus
Vamik Volkan, Emeritus Professor of Psychiatry
Derviş Zaim, film director
Famagusta is twinned with:
İzmir, Turkey (since 1974)
Corfu, Greece (since 1994)
Patras, Greece (since 1994)
Antalya, Turkey (since 1997)
Salamina (city), Greece (since 1998)
Struga, North Macedonia
Athens, Greece (since 2005)
Mersin, Turkey
Northern Cyprus, officially the Turkish Republic of Northern Cyprus (TRNC), is a de facto state that comprises the northeastern portion of the island of Cyprus. It is recognised only by Turkey, and its territory is considered by all other states to be part of the Republic of Cyprus.
Northern Cyprus extends from the tip of the Karpass Peninsula in the northeast to Morphou Bay, Cape Kormakitis and its westernmost point, the Kokkina exclave in the west. Its southernmost point is the village of Louroujina. A buffer zone under the control of the United Nations stretches between Northern Cyprus and the rest of the island and divides Nicosia, the island's largest city and capital of both sides.
A coup d'état in 1974, performed as part of an attempt to annex the island to Greece, prompted the Turkish invasion of Cyprus. This resulted in the eviction of much of the north's Greek Cypriot population, the flight of Turkish Cypriots from the south, and the partitioning of the island, leading to a unilateral declaration of independence by the north in 1983. Due to its lack of recognition, Northern Cyprus is heavily dependent on Turkey for economic, political and military support.
Attempts to reach a solution to the Cyprus dispute have been unsuccessful. The Turkish Army maintains a large force in Northern Cyprus with the support and approval of the TRNC government, while the Republic of Cyprus, the European Union as a whole, and the international community regard it as an occupation force. This military presence has been denounced in several United Nations Security Council resolutions.
Northern Cyprus is a semi-presidential, democratic republic with a cultural heritage incorporating various influences and an economy that is dominated by the services sector. The economy has seen growth through the 2000s and 2010s, with the GNP per capita more than tripling in the 2000s, but is held back by an international embargo due to the official closure of the ports in Northern Cyprus by the Republic of Cyprus. The official language is Turkish, with a distinct local dialect being spoken. The vast majority of the population consists of Sunni Muslims, while religious attitudes are mostly moderate and secular. Northern Cyprus is an observer state of ECO and OIC under the name "Turkish Cypriot State", PACE under the name "Turkish Cypriot Community", and Organization of Turkic States with its own name.
Several distinct periods of Cypriot intercommunal violence involving the two main ethnic communities, Greek Cypriots and Turkish Cypriots, marked mid-20th century Cyprus. These included the Cyprus Emergency of 1955–59 during British rule, the post-independence Cyprus crisis of 1963–64, and the Cyprus crisis of 1967. Hostilities culminated in the 1974 de facto division of the island along the Green Line following the Turkish invasion of Cyprus. The region has been relatively peaceful since then, but the Cyprus dispute has continued, with various attempts to solve it diplomatically having been generally unsuccessful.
Cyprus, an island lying in the eastern Mediterranean, hosted a population of Greeks and Turks (four-fifths and one-fifth, respectively), who lived under British rule in the late nineteenth-century and the first half of the twentieth-century. Christian Orthodox Church of Cyprus played a prominent political role among the Greek Cypriot community, a privilege that it acquired during the Ottoman Empire with the employment of the millet system, which gave the archbishop an unofficial ethnarch status.
The repeated rejections by the British of Greek Cypriot demands for enosis, union with Greece, led to armed resistance, organised by the National Organization of Cypriot Struggle, or EOKA. EOKA, led by the Greek-Cypriot commander George Grivas, systematically targeted British colonial authorities. One of the effects of EOKA's campaign was to alter the Turkish position from demanding full reincorporation into Turkey to a demand for taksim (partition). EOKA's mission and activities caused a "Cretan syndrome" (see Turkish Resistance Organisation) within the Turkish Cypriot community, as its members feared that they would be forced to leave the island in such a case as had been the case with Cretan Turks. As such, they preferred the continuation of British colonial rule and then taksim, the division of the island. Due to the Turkish Cypriots' support for the British, EOKA's leader, Georgios Grivas, declared them to be enemies. The fact that the Turks were a minority was, according to Nihat Erim, to be addressed by the transfer of thousands of Turks from mainland Turkey so that Greek Cypriots would cease to be the majority. When Erim visited Cyprus as the Turkish representative, he was advised by Field Marshal Sir John Harding, the then Governor of Cyprus, that Turkey should send educated Turks to settle in Cyprus.
Turkey actively promoted the idea that on the island of Cyprus two distinctive communities existed, and sidestepped its former claim that "the people of Cyprus were all Turkish subjects". In doing so, Turkey's aim to have self-determination of two to-be equal communities in effect led to de jure partition of the island.[citation needed] This could be justified to the international community against the will of the majority Greek population of the island. Dr. Fazil Küçük in 1954 had already proposed Cyprus be divided in two at the 35° parallel.
Lindley Dan, from Notre Dame University, spotted the roots of intercommunal violence to different visions among the two communities of Cyprus (enosis for Greek Cypriots, taksim for Turkish Cypriots). Also, Lindlay wrote that "the merging of church, schools/education, and politics in divisive and nationalistic ways" had played a crucial role in creation of havoc in Cyprus' history. Attalides Michael also pointed to the opposing nationalisms as the cause of the Cyprus problem.
By the mid-1950's, the "Cyprus is Turkish" party, movement, and slogan gained force in both Cyprus and Turkey. In a 1954 editorial, Turkish Cypriot leader Dr. Fazil Kuchuk expressed the sentiment that the Turkish youth had grown up with the idea that "as soon as Great Britain leaves the island, it will be taken over by the Turks", and that "Turkey cannot tolerate otherwise". This perspective contributed to the willingness of Turkish Cypriots to align themselves with the British, who started recruiting Turkish Cypriots into the police force that patrolled Cyprus to fight EOKA, a Greek Cypriot nationalist organisation that sought to rid the island of British rule.
EOKA targeted colonial authorities, including police, but Georgios Grivas, the leader of EOKA, did not initially wish to open up a new front by fighting Turkish Cypriots and reassured them that EOKA would not harm their people. In 1956, some Turkish Cypriot policemen were killed by EOKA members and this provoked some intercommunal violence in the spring and summer, but these attacks on policemen were not motivated by the fact that they were Turkish Cypriots.
However, in January 1957, Grivas changed his policy as his forces in the mountains became increasingly pressured by the British Crown forces. In order to divert the attention of the Crown forces, EOKA members started to target Turkish Cypriot policemen intentionally in the towns, so that Turkish Cypriots would riot against the Greek Cypriots and the security forces would have to be diverted to the towns to restore order. The killing of a Turkish Cypriot policeman on 19 January, when a power station was bombed, and the injury of three others, provoked three days of intercommunal violence in Nicosia. The two communities targeted each other in reprisals, at least one Greek Cypriot was killed and the British Army was deployed in the streets. Greek Cypriot stores were burned and their neighbourhoods attacked. Following the events, the Greek Cypriot leadership spread the propaganda that the riots had merely been an act of Turkish Cypriot aggression. Such events created chaos and drove the communities apart both in Cyprus and in Turkey.
On 22 October 1957 Sir Hugh Mackintosh Foot replaced Sir John Harding as the British Governor of Cyprus. Foot suggested five to seven years of self-government before any final decision. His plan rejected both enosis and taksim. The Turkish Cypriot response to this plan was a series of anti-British demonstrations in Nicosia on 27 and 28 January 1958 rejecting the proposed plan because the plan did not include partition. The British then withdrew the plan.
In 1957, Black Gang, a Turkish Cypriot pro-taksim paramilitary organisation, was formed to patrol a Turkish Cypriot enclave, the Tahtakale district of Nicosia, against activities of EOKA. The organisation later attempted to grow into a national scale, but failed to gain public support.
By 1958, signs of dissatisfaction with the British increased on both sides, with a group of Turkish Cypriots forming Volkan (later renamed to the Turkish Resistance Organisation) paramilitary group to promote partition and the annexation of Cyprus to Turkey as dictated by the Menderes plan. Volkan initially consisted of roughly 100 members, with the stated aim of raising awareness in Turkey of the Cyprus issue and courting military training and support for Turkish Cypriot fighters from the Turkish government.
In June 1958, the British Prime Minister, Harold Macmillan, was expected to propose a plan to resolve the Cyprus issue. In light of the new development, the Turks rioted in Nicosia to promote the idea that Greek and Turkish Cypriots could not live together and therefore any plan that did not include partition would not be viable. This violence was soon followed by bombing, Greek Cypriot deaths and looting of Greek Cypriot-owned shops and houses. Greek and Turkish Cypriots started to flee mixed population villages where they were a minority in search of safety. This was effectively the beginning of the segregation of the two communities. On 7 June 1958, a bomb exploded at the entrance of the Turkish Embassy in Cyprus. Following the bombing, Turkish Cypriots looted Greek Cypriot properties. On 26 June 1984, the Turkish Cypriot leader, Rauf Denktaş, admitted on British channel ITV that the bomb was placed by the Turks themselves in order to create tension. On 9 January 1995, Rauf Denktaş repeated his claim to the famous Turkish newspaper Milliyet in Turkey.
The crisis reached a climax on 12 June 1958, when eight Greeks, out of an armed group of thirty five arrested by soldiers of the Royal Horse Guards on suspicion of preparing an attack on the Turkish quarter of Skylloura, were killed in a suspected attack by Turkish Cypriot locals, near the village of Geunyeli, having been ordered to walk back to their village of Kondemenos.
After the EOKA campaign had begun, the British government successfully began to turn the Cyprus issue from a British colonial problem into a Greek-Turkish issue. British diplomacy exerted backstage influence on the Adnan Menderes government, with the aim of making Turkey active in Cyprus. For the British, the attempt had a twofold objective. The EOKA campaign would be silenced as quickly as possible, and Turkish Cypriots would not side with Greek Cypriots against the British colonial claims over the island, which would thus remain under the British. The Turkish Cypriot leadership visited Menderes to discuss the Cyprus issue. When asked how the Turkish Cypriots should respond to the Greek Cypriot claim of enosis, Menderes replied: "You should go to the British foreign minister and request the status quo be prolonged, Cyprus to remain as a British colony". When the Turkish Cypriots visited the British Foreign Secretary and requested for Cyprus to remain a colony, he replied: "You should not be asking for colonialism at this day and age, you should be asking for Cyprus be returned to Turkey, its former owner".
As Turkish Cypriots began to look to Turkey for protection, Greek Cypriots soon understood that enosis was extremely unlikely. The Greek Cypriot leader, Archbishop Makarios III, now set independence for the island as his objective.
Britain resolved to solve the dispute by creating an independent Cyprus. In 1959, all involved parties signed the Zurich Agreements: Britain, Turkey, Greece, and the Greek and Turkish Cypriot leaders, Makarios and Dr. Fazil Kucuk, respectively. The new constitution drew heavily on the ethnic composition of the island. The President would be a Greek Cypriot, and the Vice-President a Turkish Cypriot with an equal veto. The contribution to the public service would be set at a ratio of 70:30, and the Supreme Court would consist of an equal number of judges from both communities as well as an independent judge who was not Greek, Turkish or British. The Zurich Agreements were supplemented by a number of treaties. The Treaty of Guarantee stated that secession or union with any state was forbidden, and that Greece, Turkey and Britain would be given guarantor status to intervene if that was violated. The Treaty of Alliance allowed for two small Greek and Turkish military contingents to be stationed on the island, and the Treaty of Establishment gave Britain sovereignty over two bases in Akrotiri and Dhekelia.
On 15 August 1960, the Colony of Cyprus became fully independent as the Republic of Cyprus. The new republic remained within the Commonwealth of Nations.
The new constitution brought dissatisfaction to Greek Cypriots, who felt it to be highly unjust for them for historical, demographic and contributional reasons. Although 80% of the island's population were Greek Cypriots and these indigenous people had lived on the island for thousands of years and paid 94% of taxes, the new constitution was giving the 17% of the population that was Turkish Cypriots, who paid 6% of taxes, around 30% of government jobs and 40% of national security jobs.
Within three years tensions between the two communities in administrative affairs began to show. In particular disputes over separate municipalities and taxation created a deadlock in government. A constitutional court ruled in 1963 Makarios had failed to uphold article 173 of the constitution which called for the establishment of separate municipalities for Turkish Cypriots. Makarios subsequently declared his intention to ignore the judgement, resulting in the West German judge resigning from his position. Makarios proposed thirteen amendments to the constitution, which would have had the effect of resolving most of the issues in the Greek Cypriot favour. Under the proposals, the President and Vice-President would lose their veto, the separate municipalities as sought after by the Turkish Cypriots would be abandoned, the need for separate majorities by both communities in passing legislation would be discarded and the civil service contribution would be set at actual population ratios (82:18) instead of the slightly higher figure for Turkish Cypriots.
The intention behind the amendments has long been called into question. The Akritas plan, written in the height of the constitutional dispute by the Greek Cypriot interior minister Polycarpos Georkadjis, called for the removal of undesirable elements of the constitution so as to allow power-sharing to work. The plan envisaged a swift retaliatory attack on Turkish Cypriot strongholds should Turkish Cypriots resort to violence to resist the measures, stating "In the event of a planned or staged Turkish attack, it is imperative to overcome it by force in the shortest possible time, because if we succeed in gaining command of the situation (in one or two days), no outside, intervention would be either justified or possible." Whether Makarios's proposals were part of the Akritas plan is unclear, however it remains that sentiment towards enosis had not completely disappeared with independence. Makarios described independence as "a step on the road to enosis".[31] Preparations for conflict were not entirely absent from Turkish Cypriots either, with right wing elements still believing taksim (partition) the best safeguard against enosis.
Greek Cypriots however believe the amendments were a necessity stemming from a perceived attempt by Turkish Cypriots to frustrate the working of government. Turkish Cypriots saw it as a means to reduce their status within the state from one of co-founder to that of minority, seeing it as a first step towards enosis. The security situation deteriorated rapidly.
Main articles: Bloody Christmas (1963) and Battle of Tillyria
An armed conflict was triggered after December 21, 1963, a period remembered by Turkish Cypriots as Bloody Christmas, when a Greek Cypriot policemen that had been called to help deal with a taxi driver refusing officers already on the scene access to check the identification documents of his customers, took out his gun upon arrival and shot and killed the taxi driver and his partner. Eric Solsten summarised the events as follows: "a Greek Cypriot police patrol, ostensibly checking identification documents, stopped a Turkish Cypriot couple on the edge of the Turkish quarter. A hostile crowd gathered, shots were fired, and two Turkish Cypriots were killed."
In the morning after the shooting, crowds gathered in protest in Northern Nicosia, likely encouraged by the TMT, without incident. On the evening of the 22nd, gunfire broke out, communication lines to the Turkish neighbourhoods were cut, and the Greek Cypriot police occupied the nearby airport. On the 23rd, a ceasefire was negotiated, but did not hold. Fighting, including automatic weapons fire, between Greek and Turkish Cypriots and militias increased in Nicosia and Larnaca. A force of Greek Cypriot irregulars led by Nikos Sampson entered the Nicosia suburb of Omorphita and engaged in heavy firing on armed, as well as by some accounts unarmed, Turkish Cypriots. The Omorphita clash has been described by Turkish Cypriots as a massacre, while this view has generally not been acknowledged by Greek Cypriots.
Further ceasefires were arranged between the two sides, but also failed. By Christmas Eve, the 24th, Britain, Greece, and Turkey had joined talks, with all sides calling for a truce. On Christmas day, Turkish fighter jets overflew Nicosia in a show of support. Finally it was agreed to allow a force of 2,700 British soldiers to help enforce a ceasefire. In the next days, a "buffer zone" was created in Nicosia, and a British officer marked a line on a map with green ink, separating the two sides of the city, which was the beginning of the "Green Line". Fighting continued across the island for the next several weeks.
In total 364 Turkish Cypriots and 174 Greek Cypriots were killed during the violence. 25,000 Turkish Cypriots from 103-109 villages fled and were displaced into enclaves and thousands of Turkish Cypriot houses were ransacked or completely destroyed.
Contemporary newspapers also reported on the forceful exodus of the Turkish Cypriots from their homes. According to The Times in 1964, threats, shootings and attempts of arson were committed against the Turkish Cypriots to force them out of their homes. The Daily Express wrote that "25,000 Turks have already been forced to leave their homes". The Guardian reported a massacre of Turks at Limassol on 16 February 1964.
Turkey had by now readied its fleet and its fighter jets appeared over Nicosia. Turkey was dissuaded from direct involvement by the creation of a United Nations Peacekeeping Force in Cyprus (UNFICYP) in 1964. Despite the negotiated ceasefire in Nicosia, attacks on the Turkish Cypriot persisted, particularly in Limassol. Concerned about the possibility of a Turkish invasion, Makarios undertook the creation of a Greek Cypriot conscript-based army called the "National Guard". A general from Greece took charge of the army, whilst a further 20,000 well-equipped officers and men were smuggled from Greece into Cyprus. Turkey threatened to intervene once more, but was prevented by a strongly worded letter from the American President Lyndon B. Johnson, anxious to avoid a conflict between NATO allies Greece and Turkey at the height of the Cold War.
Turkish Cypriots had by now established an important bridgehead at Kokkina, provided with arms, volunteers and materials from Turkey and abroad. Seeing this incursion of foreign weapons and troops as a major threat, the Cypriot government invited George Grivas to return from Greece as commander of the Greek troops on the island and launch a major attack on the bridgehead. Turkey retaliated by dispatching its fighter jets to bomb Greek positions, causing Makarios to threaten an attack on every Turkish Cypriot village on the island if the bombings did not cease. The conflict had now drawn in Greece and Turkey, with both countries amassing troops on their Thracian borders. Efforts at mediation by Dean Acheson, a former U.S. Secretary of State, and UN-appointed mediator Galo Plaza had failed, all the while the division of the two communities becoming more apparent. Greek Cypriot forces were estimated at some 30,000, including the National Guard and the large contingent from Greece. Defending the Turkish Cypriot enclaves was a force of approximately 5,000 irregulars, led by a Turkish colonel, but lacking the equipment and organisation of the Greek forces.
The Secretary-General of the United Nations in 1964, U Thant, reported the damage during the conflicts:
UNFICYP carried out a detailed survey of all damage to properties throughout the island during the disturbances; it shows that in 109 villages, most of them Turkish-Cypriot or mixed villages, 527 houses have been destroyed while 2,000 others have suffered damage from looting.
The situation worsened in 1967, when a military junta overthrew the democratically elected government of Greece, and began applying pressure on Makarios to achieve enosis. Makarios, not wishing to become part of a military dictatorship or trigger a Turkish invasion, began to distance himself from the goal of enosis. This caused tensions with the junta in Greece as well as George Grivas in Cyprus. Grivas's control over the National Guard and Greek contingent was seen as a threat to Makarios's position, who now feared a possible coup.[citation needed] The National Guard and Cyprus Police began patrolling the Turkish Cypriot enclaves of Ayios Theodoros and Kophinou, and on November 15 engaged in heavy fighting with the Turkish Cypriots.
By the time of his withdrawal 26 Turkish Cypriots had been killed. Turkey replied with an ultimatum demanding that Grivas be removed from the island, that the troops smuggled from Greece in excess of the limits of the Treaty of Alliance be removed, and that the economic blockades on the Turkish Cypriot enclaves be lifted. Grivas was recalled by the Athens Junta and the 12,000 Greek troops were withdrawn. Makarios now attempted to consolidate his position by reducing the number of National Guard troops, and by creating a paramilitary force loyal to Cypriot independence. In 1968, acknowledging that enosis was now all but impossible, Makarios stated, "A solution by necessity must be sought within the limits of what is feasible which does not always coincide with the limits of what is desirable."
After 1967 tensions between the Greek and Turkish Cypriots subsided. Instead, the main source of tension on the island came from factions within the Greek Cypriot community. Although Makarios had effectively abandoned enosis in favour of an 'attainable solution', many others continued to believe that the only legitimate political aspiration for Greek Cypriots was union with Greece.
On his arrival, Grivas began by establishing a nationalist paramilitary group known as the National Organization of Cypriot Fighters (Ethniki Organosis Kyprion Agoniston B or EOKA-B), drawing comparisons with the EOKA struggle for enosis under the British colonial administration of the 1950s.
The military junta in Athens saw Makarios as an obstacle. Makarios's failure to disband the National Guard, whose officer class was dominated by mainland Greeks, had meant the junta had practical control over the Cypriot military establishment, leaving Makarios isolated and a vulnerable target.
During the first Turkish invasion, Turkish troops invaded Cyprus territory on 20 July 1974, invoking its rights under the Treaty of Guarantee. This expansion of Turkish-occupied zone violated International Law as well as the Charter of the United Nations. Turkish troops managed to capture 3% of the island which was accompanied by the burning of the Turkish Cypriot quarter, as well as the raping and killing of women and children. A temporary cease-fire followed which was mitigated by the UN Security Council. Subsequently, the Greek military Junta collapsed on July 23, 1974, and peace talks commenced in which a democratic government was installed. The Resolution 353 was broken after Turkey attacked a second time and managed to get a hold of 37% of Cyprus territory. The Island of Cyprus was appointed a Buffer Zone by the United Nations, which divided the island into two zones through the 'Green Line' and put an end to the Turkish invasion. Although Turkey announced that the occupied areas of Cyprus to be called the Federated Turkish State in 1975, it is not legitimised on a worldwide political scale. The United Nations called for the international recognition of independence for the Republic of Cyprus in the Security Council Resolution 367.
In the years after the Turkish invasion of northern Cyprus one can observe a history of failed talks between the two parties. The 1983 declaration of the independent Turkish Republic of Cyprus resulted in a rise of inter-communal tensions and made it increasingly hard to find mutual understanding. With Cyprus' interest of a possible EU membership and a new UN Secretary-General Kofi Annan in 1997 new hopes arose for a fresh start. International involvement from sides of the US and UK, wanting a solution to the Cyprus dispute prior to the EU accession led to political pressures for new talks. The believe that an accession without a solution would threaten Greek-Turkish relations and acknowledge the partition of the island would direct the coming negotiations.
Over the course of two years a concrete plan, the Annan plan was formulated. In 2004 the fifth version agreed upon from both sides and with the endorsement of Turkey, US, UK and EU then was presented to the public and was given a referendum in both Cypriot communities to assure the legitimisation of the resolution. The Turkish Cypriots voted with 65% for the plan, however the Greek Cypriots voted with a 76% majority against. The Annan plan contained multiple important topics. Firstly it established a confederation of two separate states called the United Cyprus Republic. Both communities would have autonomous states combined under one unified government. The members of parliament would be chosen according to the percentage in population numbers to ensure a just involvement from both communities. The paper proposed a demilitarisation of the island over the next years. Furthermore it agreed upon a number of 45000 Turkish settlers that could remain on the island. These settlers became a very important issue concerning peace talks. Originally the Turkish government encouraged Turks to settle in Cyprus providing transfer and property, to establish a counterpart to the Greek Cypriot population due to their 1 to 5 minority. With the economic situation many Turkish-Cypriot decided to leave the island, however their departure is made up by incoming Turkish settlers leaving the population ratio between Turkish Cypriots and Greek Cypriots stable. However all these points where criticised and as seen in the vote rejected mainly by the Greek Cypriots. These name the dissolution of the „Republic of Cyprus", economic consequences of a reunion and the remaining Turkish settlers as reason. Many claim that the plan was indeed drawing more from Turkish-Cypriot demands then Greek-Cypriot interests. Taking in consideration that the US wanted to keep Turkey as a strategic partner in future Middle Eastern conflicts.
A week after the failed referendum the Republic of Cyprus joined the EU. In multiple instances the EU tried to promote trade with Northern Cyprus but without internationally recognised ports this spiked a grand debate. Both side endure their intention of negotiations, however without the prospect of any new compromises or agreements the UN is unwilling to start the process again. Since 2004 negotiations took place in numbers but without any results, both sides are strongly holding on to their position without an agreeable solution in sight that would suit both parties.
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I succeeded to get this picture of a pupa of a ladybug. I did not know what it was, so I googled to find out.
The life of a ladybug goes through various stages from egg, larvae, pupa to adult. The average life expectancy of a ladybug is actually 1-2 years.
This picture is when the larvae starts to stick itself to a leaf. At this point, the larvae will attach itself belly-first and slowly cease all motions. It will stop eating, moving and after a while, it will even stop any wiggling motion. After the Ladybug has matured to adult form within the pupa, it will begin to break out from the front of the pupa with the help of its mandibles.
Once it breaks out, the Ladybug is still quite vulnerable. It will need around 2 to 3 hours for it’s shell to harden and for it’s colors to take shape.
Hier is de larve van een lieveheersbeestje in een pop veranderd. Voor het verpoppen hechten de larven zich met behulp van een schijnvoet vast. Daarom lijkt de pop vastgeplakt aan het blad, ze blijft daar onbeweeglijk liggen gedurende de hele verpoppingstijd. Dit duurt tussen 7 en 10 dagen. De pop is ongeveer 3,5 mm groot en ze variëren eveneens van kleur: geel, oranje, grijs, bruin of zwart met al dan niet stippen op de achtergrondkleur.
Uiteindelijk komt het volwassen dier tevoorschijn door de pophuid te scheuren. Op het moment dat het lieveheersbeestje uit de pop komt, heeft het gele dekschilden zonder patronen.
For licensing on my images see: Getty images.
www.gettyimages.co.uk/search/2/image?artist=sandra%20stan...
Juvenile Gannet. Learning the ropes of flying and catching fish.
Happy Christmas and new year to everyone.
“To succeed, jump as quickly at opportunities as you do at conclusions.” Benjamin Franklin
My first D300S upload after the crash of my D70S objectif Tamron 90mm
www.youtube.com/watch?v=g0XotjqSAjA
Born in 1865, Miksa Róth was 19 years old when he took over his father Zsigmond’s workshop.
The craft of glass painting was still in its infancy. In 1855 English glass workers succeeded in creating an "antique glass" effect.
This coloured glass was suitable for the repair and restoration of the windows of medieval churches, as well as for decorating the new romantic, and the historically eclectic designs. By 1880, workshops were sprouting up in the capital, the most significant of which belonged to Miksa Róth, who at the turn of the century was providing work for 10 trainees, working on both public and private building commissions.
Miksa Róth’s first significant work was in 1886 in Máriafalva (Mariasdorf, Austria) where Imre Steindl was leading the reconstruction of the Roman Catholic church.
Earlier Róth had studied the stained glass windows of Gothic cathedrals on a tour of Europe.
During the reconstruction of many other national monuments, Róth designed Gothic stained glass windows at Keszthely for the reconstruction of the Roman Catholic church led by Samu Pecz (architect of the main market hall in Budapest) in 1896.
In Budapest, you can see examples of his beautiful work in the Gresham Palace (now the newly opened Four Seasons hotel), the Agricultural Museum, the Music Academy and the Andrássy Dining Room amongst many others. The plans for the stained glass windows of the Parliament building were prepared in 1890. Róth took into account both the staircase’s light source and the building’s interior decoration, and decided to use the Grotesque style originating from the Renaissance period.
Reflecting the multi-coloured nature of Hungarian architecture at the turn of the century, Róth created windows in many styles: Historic, Hungarian Secession, Art Nouveau, Jugendstil and Viennese Secession.
Róth’s craft was given a new inspiration when he saw the "opalescent" and "favril" glass made by Louis Comfort Tiffany, whose display at the 1893 Chicago World Trade Fair, entitled Four Seasons featured shimmering, iridescent colours and an immediately popular natural marbling effect of the glass.
Róth was also influenced by the work of the English pre-Raphaelite artists, in particular Edward Burne-Jones and William Morris. In 1897, Miksa Róth bought a collection of opalescent glass from the Hamburg glass painter Karl Engelbrecht, and began to regularly order glass from his factory.
At the 1898 Budapest Museum of Applied Arts’ Christmas Exhibition Róth displayed glass windows prepared using a type of Tiffany glass, seen for the first time in the Austro-Hungarian monarchy.
Róth won the silver medal at the Paris World Exhibition in 1900 with the Pax and Rising Sun mosaics made with opalescent glass.
The Róth workshop then made a large number of stained glass windows with floral designs, whose success could be attributed to the nostalgia felt by people living then in large cities for the lost world of nature.
In Budapest the stairwells and lifts were brightened up with luxuriant gardens in place of the drab partition walls and dark corridors.
Middle class citizens even decorated their parlours with the symbolic motives of flowers: Irises, lilies, sunflowers, poppies and roses, birds such as peacocks and swans, and fauns, nymphs, fairies and female figures frolicking in gardens, arbours and riverbanks to recall the lost period of the Golden Age.
One of Róth’s most significant creations using opalescent glass was for cupola of the Teatro Nacional in Mexico City, which he carried out according to designs by Géza Maróti.With this work he showed details of geometric design of the Jugenstil and Viennese Secession which he also used in windows for Bank Building (1905 Ignác Alpár), the Gresham Palace (1907 Zsigmond Quittner and József Vágó) and the Music Academy (1907 Flóris Korb and Kálmán Giergl) . Róth worked with many of the best architects, builders and designers of the time.
For Ödön Lechner's magnificent Post Office Savings Bank building, Róth created an unusual mosaic, embedded into cement. In 1910, Róth created the gorgeous windows of the Culture Palace in Marosvásárhely (Targu Mures in Romania). In the Hall of Mirrors, scenes from traditional Székely fairy tales, ballads and legends are featured in the 12 stained glass windows which fill the entire length of the long hall. It is worth a visit to Marosvásárhely alone to stand among these magical and colourful designs.
Róth worked for a long time in conjunction with two artists from the Gödöllô artists’ settlement, Sándor Nagy and Aladár Kriesch Körösfôi. Together they created the Hungarian Secession style windows for the National Salon and the windows and mosaics for the Hungarian House in Venice. For the Marosvásárhely Culture House triptych, also based on Nagy’s designs, Róth used a special medieval technique, employing thick leading and strong lines. From the 1920s Róth mainly received commissions from the Church and State.
He died in 1944 after a lifetime of bringing joy and colour to the world with his beautiful creations.
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Róth Miksa (1865. december 26. Pest - 1944. június 14. Budapest) a magyar üvegfestészet és mozaik művészet egyik legjelentősebb alkotója volt. A pesti Eötvös Reálgimnáziumban tanult s az apja műhelyében sajátította el a mesterség alapjait. Később Német-, Francia- és Olaszországban tanulmányozta a kora-középkori üvegfestészet technikáját és képszerkesztési módszerét. A XIII. századi üvegfestészet egész életét meghatározó befolyással volt művészeti tevékenységére. Emlékirataiban a német Sigismund Frankot valamint az angol preraffaelitákat, Burne Jones-t, William Morrist nevezi meg művészeti példaképeinek.
Első sikereit historizáló stílusú képeivel érte el: az 1896-os Ezredévi Kiállítás és az Országház üvegfestményei hozták meg számára az országos elismertséget. 1897-től az Osztrák-Magyar Monarchiában elsőként használta fel a Tiffany-üveget szecessziós stílusú alkotásaihoz. Számos hazai és nemzetközi elismerést szerzett: elsőként ő kapta meg az Iparművészeti Állami Aranyérmet, az 1900-as párizsi világkiállításon ezüstéremmel, az 1902-es torinói és az 1904-es St. Louisin pedig arannyal díjazták munkáit.
Alkotásai megtalálhatóak az oslói Fegeborg templomtól a mexikói Theatro Nationalig - ahová Maróti Gézával készítettek 1500 négyzetláb nagyságú üvegkupolát és mozaik képeket. 1939-ben, a második zsidó törvény meghozatala után szüntette meg a Nefelejcs utcai házában működő "üvegfestészeti műintézet" tevékenységét.
Róth Miksa 1944-ben halt meg, természetes halállal, hiszen kikeresztelkedettként akkor még védett helyzetben volt, de ekkor már állandó rettegésben élt. Családja sok tagja a holokauszt áldozata lett.
www.rakovszky.net/D1_DisplRemImg/Rako_DRI_ShowARemoteImag...
disappearingbudapest.blogspot.hu/2011/03/miksa-roth-geniu...
csomalin.csoma.elte.hu/~toti/uvegek/roth.htm
Letter A ; These people are full of the courage it takes to succeed and have the daring to try what ever they believe to be best for them. Not only are they clever but also they can put their thoughts into action.
Letter B ; Peace and quiet is something they have to have in order to recharge their batteries. Also she allows others to make choices so that she can make them feel better about themselves.
Letter C ; These are good-humored people who are willing to help you if they can and they may have you thinking twice with their dry sense of humor.
Letter D ; They have a determination for life with a sense of purpose, which few others have. Needing a firm foundation, they work hard to build this in their life.
They are intelligent and understanding with very good judgment.
Letter E ; Delightful people, they tend to build you up, not bring you down.
Letter F ; Represents love. Cheerful and hospitable. They are good friends to have. Showing sympathy towards others, they are good listeners and want to be helpful.
Letter G ; Being tidy people, they expect others in their lives to do the same also They are wise people without their truly knowing it.
Letter H ; Being as independent as they are, they generally choose to work alone and are quite capable of doing so. Self motivated and in control of their actions, these people feel complete in their efforts.
Letter I ; Elegant and stylish, they always look expensive even when they are working in the yard. Others tend to copy their style consciousness because of their tastefulness in clothing and life.
Letter J ; The “J” person has a hard time being still.They are fair and honest to a fault. If you want the truth, ask a person with a “J” in their name. Valuing honesty above all else, they do not lie.
Letter K ; Represents extremes.Very forceful, these people get their point across with their energetic interpretations. Their strong wills lead them on to greater goals. They expect others to see things their way because they know their way is right.
Letter L ; Represents action. The person with this letter in their name is a self-starter. Motivated and energetic, they are able to work in groups or alone.
Letter M ; Represents spiritual leadership.If you want a courageous friend, a person with an “M” in their name is the one to have. Spirituality has to be brave and sometimes a little bold. People with this letter in their name usually are.
Letter N ; Represents clever imagination. They have the ability to get to the heart of the matter.Their ideal profession could be as a reporter, writer or record keeper. They love the written word. One of their prime sources of entertainment is a good book.
Letter O ; The person wearing the name has a great respect for law and order. They need everything in its place. Their approach to life is matter of fact.
Letter P ; Bright and clever, these people find a way to get what they want in this world. Not only are they shrewd but they have the intelligence to back up whatever they want. They do not quit until they have achieved their goals.
Letter Q ; Represents innovation.New ideas is this letter’s forte. Always looking for a new, more efficient way to apply themselves is their goal in life.
Letter R ; Represents potential.All things are possible with these warm-hearted individuals. They are completely unselfish and want to help anyone who will let them. Their being of assistance to others is a reward unto itself.
Letter S ; Represents inspiration.These attractive people win others over with their charm. Influence is an aphrodisiac to them. Others doting on them is the most sensual feeling they can achieve.
Letter T ; Represents development.Bustle and activity motivate this letter. Persons having this letter in their name tend to be restless. They need to keep busy. Idle hands, to them, are truly the devils workers.
Letter U ; People wearing this letter in their name are talented enough to do anything they can imagine. Their imagination plays a strong role in their lives. Not only are they intelligent but they have the luck of the Irish.
Letter V ; Represents fabrication.These, with this letter in their names, are honest and fair people. They make wonderful allies. They are loyal to a fault. What you see is what you get with them. Genuine behavior is a better quality of theirs.
Letter W ; Represents self-expression and resourcefulness.With persistence, a person with a “W” in their name goes after what they want. These are some of the most determined people around. Like the crab, they do not give up but instead circle until they find other ways to accomplish their goal.
Letter X ; Represents sensuality.These pleasure lovers crave luxury. They can be self-indulgent only because comfort is a need, not an entertainment.
Letter Y ; Representing independence.As enterprising people, they are daring. With ambition they have what it takes to obtain their goals. Knowing what they want and going after it is one of their stronger traits.
Letter Z ; Represents hope.People with “Z” letters in their names are trusting and trustworthy. This quality makes them sought after by many as a friend. They seem to do better in life when they have people who care around them.
Edited By ; Me XD
Kii Battleship
Class overview
Operators: Imperial Japanese Navy
Preceded by: Ise class
Succeeded by: Iburi Class
Planned: 8
Completed: 8
General characteristics
Type: Fast battleship
Displacement: 51,500 tons (normal)
Length: 250.4 m
Beam: 34.8 m
Draft: 9.8 m
Installed power: 170,000 shp
Propulsion: 4 shafts
4 × geared steam turbines
Speed: 30 knots (56 km/h; 35 mph)
Armament:
4 × twin 460 mm (18.1 in) guns;
12 155mm guns in four triple turrets;
6 double 127 mm AA guns;
102 47mm guns in 34 triple turrets;
Armor:
Waterline belt: 400 mm
Deck: 180 mm (5 in)
This is the second battleship class used by Japan during the “Alternate World” Second Russo-Japanese war, the Kii Battleship, in 1947.
More images here: www.brickshelf.com/cgi-bin/gallery.cgi?f=535949
And now a “little” of What if Story:
In 1919, shortly after the end of the First World War, the Americans invited the World Powers of the time to a conference in Boston to stop the “Battleships Race” in existence at the time between the US and the empires of Japan and the United Kingdom (in the real world, this appended in Washington in 1921). The US had an ambitious plan of building 50 battleships on the next 10 years; so costly that would make the United States almost bankrupt. Therefore, the Americans decided to reduce their battleship fleet to only 15 battleships and stop all new ships under construction. Therefore, the Colorado Battleships were sunk as targets, together with many other older battleships. However, things were even worst for Japan; after the conference, Japan was only allowed to have 8 ships-of-line and one of them needed to be converted into a training vessel. The two almost complete battleships of the Nagato class were cancelled and their hulls used for target practice and numerous testings. The Amagi battlecruisers, the Tosa and Kii battleships, which were just starting to be built, were immediately cancelled. With only 7 operational battleships, Japan virtually lost any chance of ever winning a war against the US.
Therefore, attempts were made to transform the US into a new ally, especially after Britain refused to continue the defensive treaty with Japan after 1921. To achieve this, Japan supported all interests of the United States on the Pacific region, while Japan could advance and expand to China. This was only possible because the dangerous and charismatic Mao Tze Tung achieved power in China in 1926, transforming China into a huge and dangerous enemy for both Japan and the US. American and British relations also became worst, after the Americans demanded the payment of every guns, ammo and food sent to England during the war, with very high Taxes…
With this, Japan could effectively expand into China… but things got a little different in 1928. In 1928, the Kzarin of Russia decided to revenge the Romanov family and above all else, the loss of the First Russo-Japanese war. To achieve this, she started a huge naval program (52 battleships and battlecruisers, 10 huge aircraft carriers, almost 80 cruisers and 400 other ships!). Amongst other things, the Kzarin wanted to conquer both China and Japan (and maybe prepare a massive invasion of the United States in 1950)…
With such a large fleet, Japan was simply doomed. Since Russia wasn’t at the Boston Conference (and since the Kzarin did everything she wanted), Russia was free to start its huge naval program. First, the Russians decided to build their new ships with the help of the British, which supported Russia, starting with 16 battleships of the Sevastopol class, armed with nine 406mm (16,0”) guns, 28knots of speed and 320mm of armour, faster and better protected than any battleship in the world at the time (only Hood, Renown and Repulse were faster).
If Japan wanted to survive, new ships needed to be built as a response immediately; but how? At the time, the Japanese industry represented just 3% of the world Industrial Power while Russia (after the so called Russian Miracle) represented 31% (4% more than the US). It was just a matter of time before the 50 Russian battleships were completed and ready to destroy Japan. So if quantity wasn’t the solution, quality was.
Japan therefore decided to build their new battleships with more armour, speed and guns than any other nation in the world. Since the United States were at the time crossing the crash of the Wall Street in 1929, Japan was free to start the construction of the new ships.
Still, during that period, the Japanese never stopped developing and testing new things, for example the construction of a series of aircraft carriers for training and extensive tests on the hulls of the two Nagatos to develop new techniques to improve the defence of their battleships. Much was also learn with the help of many American designers who started working for Japan during the Wall Street chaos.
The Japanese therefore started the construction of a powerful class of 8 new battleships, based on the cancelled No. 13 design, which was extremely secret at the time. They called to this new ship class, the “Kii”s. The 8 old battleships and battlecruisers of the Japanese navy were slowly removed from service since they were considered by now obsolete; every time a Kii was completed, one old ship was removed. New tests were performed on those old ships and the new lessons learn were applied to the next battleship class, the “Iburi”s and some improvements were also performed on the “Kii”s.
Heavily armoured to survive 406mm shells and heavy weight torpedoes, the “Kii”s were designed to fight various enemy ships at the same time. The main belt of armor along the side of the vessel was 400mm (16 in) thick, with additional bulkheads 305mm (12.0 in) thick beyond the main-belt. Furthermore, the top hull shape was very advanced, the peculiar sideways curving effectively maximizing armor protection and structural rigidity while optimizing weight, a techninc recently developed in Japan. Armor plates in both the main belt and main turrets were made of Vickers Hardened, which was a face-hardened steel armor. Deck armour—180 millimetres thick—was composed of a nickel-chromium-molybdenum alloy.
The ship was also heavily protected against Torpedoes; special bulges and a great number of counter flooding devices were installed. In total, the vessels of the kii class contained 970 watertight compartments to help control flooding. The most recent battleship completed by the United States at the time, the USS West Virginia (BB-48) had only maximum armour of 457mm (turret face) and 343mm on belt armor while the typical Russian battleship of time had a maximum belt armor of 320mm.
The primary armament of the Kii class was eight 45-caliber 460mm (18,1”) guns in four twin-gun turrets, two each fore and aft of the superstructure, firing a 1,550-kilogram (3,420 lb) shell at a muzzle velocity of 800 meters per second (2,600 ft/s). These huge guns, the largest in the world at the time, were kept in secret and special covers were put on the front of the barrels to deceive every body about their true size. The Russians only discovered the size of those guns during the Second battle of Tsushima, when 18,1” started to pierce the Russian battleships. The secondary battery consisted of 12 155mm guns mounted in triple turrets on the sides of the ship. The ships' anti-aircraft defenses consisted of twelve 127mm guns mounted in 6 double turrets.
In addition, the “Kii”s carried 24 47mm automatic anti-aircraft guns, primarily mounted amidships. When refitted in 1944 for the naval engagements against Russia, the number of 47 mm anti-aircraft guns was increased to 102.
To direct and control the main and secondary artillery against the enemy ships initially the ships had a very old and ineffective system with very high shell dispersion. The Americans therefore provided an advanced targeting radar to Japan in 1942 together with the latest (for the time at least) analogic targeting computers, providing unparallel precision for the Japanese warships at the time.
With the recent appearance of the Aircraft Carrier and the British Battlecruiser Hood (armed with eight 380mm guns and 30knots of maximum speed), the new Japanese battleship needed to be faster than the preceding class. To achieve this, 170 000 horsepower was provided through four huge steam turbines. Although all Japanese aircraft carriers were still faster, the Kiis were at the time the fastest battleships in the world, achieving 30,5knots during trials fully armed. That feature was also kept in secret until 1937, everybody thinking that they were only capable of achieving 25 knots.
Operational Story:
Once the new ships became operational during the 30´s, they were heavily used on naval games, trainings and occasionally strikes against the Communist China. A number of times these ships travelled to Pearl Harbor and even to the San Diego Naval Base, to perform courtesy visits. The American admirals became great friends of their Japanese equivalents, because Japan was in every way the shield of the United States on the Pacific against Russia and China.
When war was declared by Russia, all 8 “Kii”s were operational and ready to defend the nation. They formed two separate naval squadrons; each one with four “Kii” battleships (eight 460mm guns each), four “Nishi” Heavy Cruisers (fifteen 254mm guns each ship), 1 “Iwate” Aviation heavy cruiser (nine 254mm guns each ship), 4 “Osasa” Light cruisers (fifteen 155mm guns each ship), 2 Aso Anti-aircraft cruiser and 10/14 destroyers, therefore a very powerful battery of 32 460mm guns, 60 254mm guns, 108 155mm guns and around 300 torpedo tubes, plus reloads.
Hope you like it! Don´t forget to see my other MOCs at: www.flickr.com/photos/einon/
Eínon
Editorial for the cover of The Marker Week special annual supplement. The whole issue deals with the technological and social changes in the world: industrial and technological progress, the family and working structure and individual process.
We found detailed plans on the abandoned Milk Factory which helped us find new and special areas to explore
You were trying to peek up my minidress, weren't you?
Well, I guess not so much trying as succeeding! Lucky you! Naughty Me!
My ensemble is centered on this wonderfully shiny & tight black mystique wet look lycra spandex tube style shirred minidress that was custom made for me by the fantastic Ellie at coquetryclothing.com! I've matched it up with Leg Avenue black fishnet hose worn over shiny black Platino Cleancut pantyhose from shapings.com and Hanes Alive Barely There support hose from onehanesplace.com, my black lurex opera gloves, and my fantastic black patent thigh high stiletto platform boots from electriqueboutique.com
To see more pix of me in other tight, sexy and revealing outfits click this link:www.flickr.com/photos/kaceycdpix/sets/72157623668202157/
To see more pix of me in sexy boots click here: www.flickr.com/photos/kaceycdpix/sets/72157622816479823/
To see more pix of me in clothes from Coquetry Clothing click this link: www.flickr.com/photos/kaceycdpix/sets/72157626739774869/
To see more pix of me in tube dresses & one shoulder dresses, click this link: www.flickr.com/photos/kaceycdpix/sets/72157624466432948/
DSC_2531-16
Storms don't always succeed. This guy was sitting in the middle of a SPC analyzed 44 supercell composite and 11 significant tornado composite. Cap.
Santa studying the front cover of the Entrepreneur with How To Succeed in 2017 title with Chip and Joanna Gaines from the Fixer Upper TV show. Getting ready for X-Mas later this year.
Since National Welsh's demise in 1992, a number of operators have succeeded each other in providing the local bus services along the Glamorgan Heritage Coast. These have included Golden Coaches, Cardiff Bus (as Vale Bus Line), Brewers, First Cymru, EST, associated Cartel Travel, Watts and now New Adventure Travel.
Llandow-based EST operated quite a varied fleet of buses, including this early Wright Pathfinder-bodied low-floor Dennis Lance. She was new to Drawlane-owned London & Country and under Arriva ownership, operated both in Surrey and on Merseyside.
The contours of the Arriva livery are just visible at roof level in this September 2011 shot of her, quite fittingly, passing the former National Welsh depot in Broad Street, Barry, when operating Service X45 (Cardiff-Dinas Powys-Barry-Rhoose-Llantwit Major).
I believe she lasted until the company's demise in 2013, but was then sold for scrap.
Ta-dah! – Gemma is standing on her toes.
I’ve succeeded in making a good balance, and the doll can stand on her toes without a backing. Gemma demonstrates it perfectly in the photo, balancing playfully on my working table. And no tricks with strings!
Quantum effects, the smoke and mirrors trick ….
Atheists would dearly love to debunk the Law of Cause and Effect, and all the other natural laws that are fatal to their ideology of naturalism.
(The atheist 'religion' of naturalism requires a NATURAL, first cause of the universe, which the Law of Cause and Effect and other natural laws definitively rule out as impossible).
Of course, they know they can never succeed, because by undermining the Law of Cause and Effect, they effectively undermine science itself. The Law of Cause and Effect is a fundamental principle of scientific research. The scientific method relies on seeking and discovering causes for EVERY natural event. The concept of an uncaused, natural event or entity is an anathema to genuine science.
Ralph Waldo Emerson said the Law of Cause and Effect is the "law of laws".
Although intelligent atheists are well aware that they can never debunk laws, which definitively rule out a natural origin of the universe as impossible - nevertheless, they attempt to give the impression, to the public, that a natural, first cause of everything is scientifically feasible, and that laws of nature are not a serious obstacle.
One way atheists try to convince the public to accept their naturalist ideology, is by proposing that the quantum world is very different from the world we see around us. And in that mysterious, quantum world virtually anything can occur, regardless of natural laws which generally describe what is possible in the universe.
This apparent air of mystery gives atheists carte blanche to propose various, bizarre, origin scenarios, which would normally be ruled out as impossible or as just crackpot fantasies.
If challenged, to scientifically justify such imaginative scenarios, they usually reply; ‘with quantum effects, no one knows what is possible’. In this way, opposition to any extraordinary hypothesis can be effectlively silenced. And to dispute, whatever origin scenario they choose to invent, may seem pointless.
However, it would be entirely wrong to accept this.
Science does not progress in a straightjacket, especially one imposed for ideological reasons. We are perfectly justified in rigorously challenging the idea that quantum mechanics or effects are a possible, natural answer to the origin of the universe. And that quantum effects can give credence to the belief that everything naturally arose from nothing, without an adequate cause, or purpose.
So, what is the truth?
We can state quite categorically that quantum effects cannot have anything to do with an origin of the universe from nothing.
Why?
It is common sense that something CANNOT come from nothing, and that EVERY natural occurrence needs an adequate cause. Micro or sub-atomic particles are not an exception. There are NO exceptions.
Atheist, Richard Dawkins tries to define 'nothing' as 'something'.
The atheist mentality seems to be that, if something is deemed impossible, just propose it could happen; little-by-little, and it becomes plausible, especially to a credulous public.
Presumably, if you make it as small, make it sound as simple, and as less complex as you can, people will believe anything is possible.
This is a similar, little-by-little approach that atheists have applied to the origin of life, and it is precisely how they have managed to get most people to accept microbes-to-human evolution, through beneficial mutations.
However, we need to ask ...
What makes atheists think that it is easier for something to come from nothing if it is smaller or simpler?
Would it be easier, or more credible, for a grain of sand to come from nothing than for a boulder?
Of course, it wouldn’t - it makes no difference whatsoever.
Something cannot come from nothing - that is an irrefutable fact.
Size, or lack of complexity, doesn’t alter that.
It seems that atheist thinking is something like the following:
Although people may realise that you couldn’t get a grain of sand from nothing, any more than you could a boulder, what if we propose the something which came from nothing is the smallest thing imaginable?
What about the quantum world – how about a sub-atomic particle?
That could seem much more plausible.
What if we could even find such a particle - a sort of ‘god’ particle?
We could claim a supernatural, first cause (God) has been made redundant.
The first cause problem would be solved - apparently!
At least, people would believe that; even if the problem of everything coming from nothing, without a cause, hasn’t been solved completely, 'science' is well on the way to solving it.
If anyone suggests this is nonsense; that the first cause must an infinite Creator. We can accuse them of trying to fill gaps in 'scientific' knowledge with a god. The good old, the god-of-the-gaps argument.
Finally, if anyone is stubborn enough to insist that even a simple, sub-atomic particle can’t come from absolutely nothing, we can retort that the ‘nothing, we are referring to, is not the same ‘nothing’ that the scientifically illiterate think of as nothing, but ‘something’ which only appears to be nothing, i.e. space/time.
Physicist Michio Kaku wrote:
"In quantum physics, it was a Higgs-like particle that sparked the cosmic explosion [the Big Bang]. In other words, everything we see around us, including galaxies, stars, planets and us, owes its existence to the Higgs boson."
Kaku, M. The Spark That Caused the Big Bang. The Wall Street Journal. Posted on online.wsj.com July 5, 2012.
However, a so-called ‘God’ particle was always an OBVIOUS misnomer to anyone with any common sense, but militant atheists loved the idea, and predictably, the popular, secularist, media hacks also loved it.
What they either failed to realise (or deliberately failed to admit) is that, not only is it just as impossible for a particle (however small) to arise of its own volition from nothing as anything else, but also the smaller, simpler and less complex a proposed, first cause becomes, the more IMPOSSIBLE it is for it to be a first cause of the universe.
Why?
A simple, sub-atomic particle simply CANNOT be the first cause, it CANNOT replace God because, not only is it impossible for it to be uncaused, it is also clearly not adequate for the effect/result.
So, atheists, while trying to fool people into thinking that it is easier for something to come from nothing if it is simple and microscopic, have shot themselves in the foot....
The little-by-little approach, which they apply to the origin of life and progressive evolution, also doesn’t work for the origin of the universe.
FACT!
An effect CANNOT be greater than its cause (the Law of Cause and Effect).
The very first cause of the universe, as well as not being a contingent entity, cannot be something simpler or less complex than everything that follows it, which is the sum total of the universe.
The first cause of the universe MUST be adequate to produce the universe in its entirely and complexity - and that means EVERY property and quality it contains, including: information, life, intelligence, consciousness, design, love, justice, etc. etc.
Always remember this very important, and common sense, fact:
Something cannot give what it doesn't possess.
Sub-atomic particles or quantum effects are OBVIOUSLY not up to the job, they are definitely NOT an adequate cause of the universe. And, neither are any of the other natural, origin scenarios proposed by atheists. They all fail in this regard.
What about the atheist claim that, because quantum effects appear to behave randomly, they could also be uncaused?
Quantum effects, may appear random and uncaused, but they are definitely not uncaused. Even if their direct cause is difficult to determine, they are part of a CAUSED physical universe.
The idea that anything within a CAUSED universe can be causeless is ridiculous.
As for a direct cause of quantum effects, it can be compared to the randomness of a number coming up from throwing a dice. It may appear random and without a direct cause, but it isn’t. Because if we knew all the complicated and variable factors involved – such as the exact orientation of the dice as it leaves the hand, the velocity of the throw and the amount of spin etc., we could predict the number in advance. So just because, in some instances, causes are too incredibly complex to accurately predict the result, doesn’t mean there are ever no causes.
So, atheists are flogging a dead horse by thinking they can replace God with quantum mechanics, which may be interesting phenomenon, but the one thing it is certain they are not, is a first cause of the universe.
To give the impression to the public that they could be, is just a smoke and mirrors trick deliberately intended to deceive.
The 'God particle', Wikipedia …
“And since the Higgs Boson deals with how matter was formed at the time of the big bang, and since newspapers loved the term, the term “God particle" was used.
While media use of this term may have contributed to wider awareness and interest many scientists feel the name is inappropriate since it is sensational hyperbole and misleads readers, the particle also has nothing to do with God, leaves open numerous questions in fundamental physics, and does not explain the ultimate origin of the universe."
Why are laws of nature so important in this debate?
Laws of nature are both descriptive and prescriptive.
Laws of nature describe the behaviour, operation, potential and LIMITATIONS of natural things based on their inherent properties. They enable us to make predictions based on those properties. The only way that laws of nature could ever be invalid is, if the inherent properties of natural things they apply to, are changed.
The insurmountable problem for atheists is that, although they might try to invent fantasy scenarios where the properties of nature are different, and therefore not subject to most established laws. There is no possible, fantasy scenario which can negate the law of cause and effect. The law which is most fatal to atheist naturalism is the very law that cannot possibly be negated, under any circumstances.
Why?
Because the law of cause and effect is in a unique category, different from all other laws of nature. It is not just a fundamental principle of science, it can also be regarded as the premier law of the universe and creation, because it applies to ALL temporal things, not just nature or natural entities. It doesn’t matter what different properties natural things may have, they can never evade the law of cause and effect. It isn't based on the properties of things, it doesn't depend on any particular properties, only on a temporal character, nothing more.
And that is a FACT, which cannot be denied.
The ONLY exception to the first part of this law – every effect must have a cause – is that which is not temporal (that which has no beginning), i.e. INFINITE, not subject to time (time is a chronology of temporal/temporary events).
The second part of this law – an effect cannot be greater than its cause/s – applies to everything that exists, even to an infinite entity. An infinite entity cannot cause an effect greater than itself.
Thus, the law of cause and effect definitively rules out ALL natural or temporal entities as a possible, first cause.
The first cause of everything natural/temporal, MUST BE a single, infinite (uncaused, eternally self-existent and omnipresent), entirely autonomous, supernatural cause which is greater, in every respect, than everything else that exists (which it has caused).
That is the first cause we call the Creator or God.
What about a singularity?
Is a 'Singularity' the first cause of everything, as some atheists maintain?
A singularity (meaning single event) is described by atheists as a one-off event where the laws of nature didn't apply.
A natural event, not subject to laws of nature, used to be called – magic! Until, atheists started calling it ‘science’.
Quote:
"This is that the classical theory, does not enable one to calculate what would come out of a singularity, because all the Laws of Physics would break down there." Stephen Hawking, The Beginning of Time.
However, even if you want to believe in the fantasy of a 'singularity', it makes no difference to the fact that a natural cause of the universe is impossible.
A singularity doesn't negate the law of cause and effect, because, as I have already explained, that law pertains to ALL temporal entities. And it always applies, even if the laws of physics don't apply.
Conclusion:
It doesn't matter what natural, origin scenarios are proposed, none of them can ever qualify as the first cause of the universe. An origin of the universe by purely, natural processes is ruled out as IMPOSSIBLE.
The Bible rightly tells us to worship and honour the Creator, and not to worship the created.
Pagans honour and worship the created by crediting nature/material entities with godlike powers.
Atheists honour the created, rather than the Creator, because they elevate the effects (nature, matter/energy) to a godlike status and deny their cause.
The new, atheist naturalism nonsense is simply the old, pagan naturalism nonsense re-invented.
____________________________________________
Dr James Tour - 'The Origin of Life' - Abiogenesis decisively refuted.
FOUNDATIONS OF SCIENCE
The Law of Cause and Effect. Dominant Principle of Classical Physics. David L. Bergman and Glen C. Collins
www.thewarfareismental.net/b/wp-content/uploads/2011/02/b...
"The Big Bang's Failed Predictions and Failures to Predict: (Updated Aug 3, 2017.) As documented below, trust in the big bang's predictive ability has been misplaced when compared to the actual astronomical observations that were made, in large part, in hopes of affirming the theory."
} These events immediately succeed “Setting the Stage, Part 3” {
Int. “My Alibi” - Afternoon
“They didn’t have a price they wanted. They just said that you’ll go, and you’ll die for him.”
“I would.”
Len mumbles and turns back to his sweeping, and I swivel around to observe our strange assembly again. Cassie stands resolute in the dead center of the room, daring the the other occupants to try anything. Gar pretends to be engrossed in his lighter, while Zodiac tucks himself into “the gunfighter’s seat,” sucking in uneasy breaths. And Ivy, furled up like an autumn leaf, still wordless, with Morgan lumbering back and forth beside.
Cassie (throws her chin at Gar’s trinket): You going to have a smoke eventually, or is that your date?
Gar: Juice-boxes are a few doors down, kid.
Zodiac titters.
Cassie: I was actually in the mood for fruitcakes. Conveniently.
Zodiac frowns again.
Gar (labored exhale): Bat teaches ‘em everything he knows, except how to keep their traps shut…
I glare at the ensuing folderol as I walk towards Morgan.
Myself (watching Ivy same as him): How did they take him?
Morgan’s pupils tighten, and a rumble builds in his chest.
Myself: It’s not an insult to your abilities.
Morgan (barely relaxing): Was just the one time we left him on his own. He was gettin’… almost normal.
There’s a pause.
Morgan: He’s grown already. Sometimes he talks; tries to talk like you… like you used to.
Myself (scowling): Why. Why did she tell our son… so he would wind up in all the same madness…
Morgan: She didn’t tell him nothin’ Basil. He just knew. Your name, how you dressed… Ivy tried to get him to think for himself. An’ he was; just starting to, when they got him. Ivy thought YOU had taken him.
Len: … You still think he’s your kid, Bas? Or another fragmen-
Myself: HE’S MY SON!
Zodiac, Cassie, even Morgan flinches. Len’s eyes don’t waver for a moment, though.
Myself: He’s… our son. He has to be.
The quiet only goads my frustration. I kneel next to her.
Myself: … Won’t you say anything?!
This time we all flinch when she meets my gaze, sprouts from between the floorboards beginning to wreath her and help her stand.
Ivy: My plants’ seeds are all their parents’. Their zygotes are their parents’. When they die, they live on all the same. But my son… is my only son.
I didn’t think my throat could still feel dry.
Ivy (already receding back to the ground): Why, Basil… did we make something that could die?
Cassie grabs her under the arm as the clinging plants rapidly become brittle and drop her. I’m fuming now.
Len (drying a stein): She rips up my floor, she’s out. No exceptions.
Cassie: Dr. Isley, you need to focus. You’re stronger than this.
Zodiac (his voice comically shrill): “Dr. Isley you’re stronger than thi-”… twerp really thinks she’s the next Dark Knight, or somethin’s.
Cassie: She’s a human being.
Gar: Take another look.
Myself (to Morgan): I want to settle this tonight. Can’t you contact them?!
Morgan: They said the shipyards, tomorrow. It wasn’t a negotiation.
I indignantly snarl, returning to a seat.
Morgan: I’m going with you. He’s…
Myself: Not your son.
Morgan: … I know.
Myself: Then, I would be indebted to you if you joined me.
Cassie (rising): Basil for godsakes, there’s only one person that needs to stop this.
Myself: No.
Cassie: If you go there with an intent to kill, I’ll bring you in. Or Batman will. That’s how this story ends.
Myself: You tell our dear old friend it’s a personal matter…
Cassie: Oh what, like the first time with you? How did that turn out?
Myself (harsher): … and that he’s a few years late to pretend he’s in the business of saving souls! If he comes between me and my son, I’ll have his head!
Cassie stamps towards the door. Zodiac peels a pair of bolas off his suit to hurl at her, but Gar’s faint, derisive chuckle makes him reconsider.
Cassie: If you’re as smart as I give you credit for, you’ll leave it to us, and GCPD.
At that, she vanishes with the breeze.
Gar: You’re a real marshmallow, Bas. You let Robin lecture you on skin hygiene?
Myself (refraining from trashing the counter): Are you considering being useful?
Gar (finally setting aside the lighter): Are backstabbing crooks still flammable?..
Len (under his breath): Most of them.
Gar: Yeah, I’m going.
Myself: You have a friend I know… Killmoth-er… something… He has connections to every villain in Gotham, new and old, with that “for hire” stint of his. He has to know some of the names.
Gar: About that… he does. And he’s no rat. Didn’t even tell me when I asked.
Myself: Then he’s out.
Gar: “Conflicting interests” are his words. He wants to get in good with whoever it is.
Zodiac (spits): Loyal-less. Who needs ‘im anyways?
Morgan (gnashing at the air): YOU wouldn’t lift a finger to help us. … unless I bite some off.
Zodiac (merrily): Nah, but I recruited someones for ya! … Uh, he was here…
??? (from the back room): I HAVE FOUND YOUR CAPSULES OF INEBRIATING FLUIDS! Unimaginative Terrans, keeping their desirables in but one of your Euclidean dimensions!
Len (wielding his broom): That’s it. Out, you cretinous scrounge! Out!
He chases a man, garbed (and pigmented) in primary colors, out of the “employees only” area.
The man (hugging his wine): You would deny your pitiful mutiny’s savior his well-earned accoutrements?!
Myself: … I don’t want him.
Zodiac (through his teeth, away from the man): Give Electro a chance! He’s here to conquer Earth with all these crazy gadgets, but I convinced him we’re a rebellion doin’ the same thing. He… ain’t the brightest.
Gar: That’s funny.
Myself: Zodiac, this is your second master-plan hatched from a stranger you met in a bar. “Electro” stays. You go.
Zodiac: Aw, what wouldja need me fors?
Myself: Nanotech weaponry.
Gar: Your complete disregard for fair play.
Morgan: You’re someone else for them to shoot at.
Zodiac (grumpily leaning on the counter): Was just about ta’ offer.
Electro: A toast! To a swift deposition of the MEAGER-
Len (snatching the bottle): Not on your life.
Electro: … But you offer the very same to the bawling child!
Then I remember.
Sims. How did I forget, even amongst all this..?
He’s still there, in a nook where Len hasn’t had time to install light fixtures. He’s back in his rumpled costume, sans the helmet. The same stare he’s had since Belle Reve. The bottle is dry. His brow isn’t.
Sims: Did you ever meet Kyodai?
It’s the seventh time he’s asked. He claws at the back of his neck.
Myself: You’re not going. I can’t and I won’t ask you.
Sims: I could go.
Myself: Look at yourself Harry. What you’ve already sacrificed for me and my stupid…
And then, in a moment of unfounded clarity, he speaks. It’s more haunting than if he had never spoken with a sound mind ever again.
Sims: You used to say things like, “anything to get ahead.”
Myself: I…
Sims: “Damn your own; everyone in this business knows what they’re in for.” Well, I tried it. It felt great, Karlo. It…
And then that bleary mask descends again. My broken toy that won’t blame me for its misuse, even now.
Len (having walked up): He can be here overnight. Get everyone else out.
Myself: I will.
Len: If you had a use for a forensics cleaner, I’d have offered…
Myself: It’s a nice bar, Len.
Len: … Break a leg.
***
Ext. Perimeter of Wayne Estate - Light fog
Cassandra Cain knew how to sense being followed even before she was a vigilante. Without looking back she could tell her tail was taking unnaturally long strides, favored their right leg, and was wearing a great deal of silk.
Cassie (halting): Basil?
Myself: … It’s not everyone who can make Basil Karlo come to his senses.
Cassie: And you called off the rest of them?
Myself: I’m done using them. I have to be.
She smiles. I hoped she would.
Cassie (leading the way again): Bruce has wanted to help you more than he’s wanted to lock you up, even when you left. Even since your first ki… crime.
Myself: I didn’t want to tell myself that… but I knew. I’m not too proud anymore.
We push further into the trees. When the branches become so numerous they’re virtually walls, it again clears. A shallow drop-off greets us, and an isolated waterfall on the opposite hillside. The only place the water could be emptying into was behind the waterfall itself. Cassie glides through the false barrier with her cape, and I rush under the cascade to stay intact. As simple as that, we behold the monumental chasm of the fabled Batcave. Thousands if not millions of chittering residents dangle from the ceiling. A great white screen atop the furthest rock face. Assortments of infamous and peculiar trophies. An alarming lack of handrails.
Myself: Is he here?
Cassie: Not likely, unless his patrol has changed in these past weeks. For all I know, he’s still looking for me. But Alfred or any of the others could be…
I tune her out and make a mental note of every exit. Every alarm, every piece of surveillance. Everything that needs to go first. There’s no way I’ll catch them all. But I need only to create a slight delay.
Cassie (hopping onto a crate): What do you say I explain Belle Reve, and you explain the rest? Looks like we’ll have plenty of time to come up with the best words.
Myself: I’ll just… allow my actions to speak for me.
One swing of my fist splinters the vaulted platform we stand on, and another shoves an off-balance Cassie into a dark pool several stories below, far too unconscious to save herself. I wonder if it’s deep enough that she won’t…
Myself (softly): I wanted to say I’m sorry. A sincere sorry, not the phony kind supervillains like to dole out. It’s not my choice. They want The Batman to show, and even the best performers get butterflies sometimes…
I stretch my way up to the central hub. His computer or his car is definitely next.
Matt Hagen: … All they need is adequate motivation.
} Part 5 of 7 {
Fountains Abbey is one of the largest and best preserved ruined Cistercian monasteries in England. It is located approximately 3 miles (5 kilometres) south-west of Ripon in North Yorkshire, near to the village of Aldfield. Founded in 1132, the abbey operated for 407 years becoming one of the wealthiest monasteries in England until its dissolution in 1539 under the order of Henry VIII.
The abbey is a Grade I listed building owned by the National Trust and part of the designated Studley Royal Park including the Ruins of Fountains Abbey UNESCO World Heritage Site.
Foundation
After a dispute and riot in 1132 at the Benedictine house of St Mary's Abbey, in York, 13 monks were expelled (among them Saint Robert of Newminster) and, after unsuccessful attempts to form a new monastery were taken under the protection of Thurstan, Archbishop of York. He provided them with land in the valley of the River Skell, a tributary of the Ure. The enclosed valley had all the natural features needed for the creation of a monastery, providing shelter from the weather, stone and timber for building, and a supply of running water. After enduring a harsh winter in 1133, the monks applied to join the Cistercian order which since the end of the previous century was a fast-growing reform movement that by the beginning of the 13th century was to have over 500 houses. So it was that in 1135, Fountains became the second Cistercian house in northern England, after Rievaulx. The Fountains monks became subject to Clairvaux Abbey, in Burgundy which was under the rule of St Bernard. Under the guidance of Geoffrey of Ainai, a monk sent from Clairvaux, the group learned how to celebrate the seven Canonical Hours according to Cistercian usage and were shown how to construct wooden buildings in accordance with Cistercian practice.
Consolidation
After Henry Murdac was elected abbot in 1143, the small stone church and timber claustral buildings were replaced. Within three years, an aisled nave had been added to the stone church, and the first permanent claustral buildings built in stone and roofed in tile had been completed.
In 1146 an angry mob, annoyed at Murdac for his role in opposing the election of William FitzHerbert as archbishop of York, attacked the abbey and burnt down all but the church and some surrounding buildings.The community recovered swiftly from the attack and founded four daughter houses. Henry Murdac resigned as abbot in 1147 upon becoming the Archbishop of York and was replaced first by Maurice, Abbot of Rievaulx then, on the resignation of Maurice, by Thorald. Thorald was forced by Henry Murdac to resign after two years in office. The next abbot, Richard, held the post until his death in 1170 and restored the abbey's stability and prosperity. In 20 years as abbot, he supervised a huge building programme which involved completing repairs to the damaged church and building more accommodation for the increasing number of recruits. Only the chapter house was completed before he died and the work was ably continued by his successor, Robert of Pipewell, under whose rule the abbey gained a reputation for caring for the needy.
The next abbot was William, who presided over the abbey from 1180 to 1190 and he was succeeded by Ralph Haget, who had entered Fountains at the age of 30 as a novice, after pursuing a military career. During the European famine of 1194 Haget ordered the construction of shelters in the vicinity of the abbey and provided daily food rations to the poor enhancing the abbey's reputation for caring for the poor and attracting more grants from wealthy benefactors.
In the first half of the 13th century Fountains increased in reputation and prosperity under the next three abbots, John of York (1203–1211), John of Hessle (1211–1220) and John of Kent (1220–1247). They were burdened with an inordinate amount of administrative duties and increasing demands for money in taxation and levies but managed to complete another massive expansion of the abbey's buildings. This included enlarging the church and building an infirmary.
Difficulties
In the second half of the 13th century the abbey was in more straitened circumstances. It was presided over by eleven abbots, and became financially unstable largely due to forward selling its wool crop, and the abbey was criticised for its dire material and physical state when it was visited by Archbishop John le Romeyn in 1294. The run of disasters that befell the community continued into the early 14th century when northern England was invaded by the Scots and there were further demands for taxes. The culmination of these misfortunes was the Black Death of 1348–1349. The loss of manpower and income due to the ravages of the plague was almost ruinous.
A further complication arose as a result of the Papal Schism of 1378–1409. Fountains Abbey along with other English Cistercian houses was told to break off any contact with the mother house of Citeaux, which supported a rival pope. This resulted in the abbots forming their own chapter to rule the order in England and consequently they became increasingly involved in internecine politics. In 1410, following the death of Abbot Burley of Fountains, the community was riven by several years of turmoil over the election of his successor. Contending candidates John Ripon, Abbot of Meaux, and Roger Frank, a monk of Fountains were locked in conflict until 1415 when Ripon was finally appointed, ruling until his death in 1434. Under abbots John Greenwell (1442–1471), Thomas Swinton (1471–8), John Darnton (1478–95), who undertook some much needed restoration of the fabric of the abbey, including notable work on the church, and Marmaduke Huby (1495–1526) Fountains regained stability and prosperity.
At Abbot Huby's death he was succeeded by William Thirsk who was accused by the royal commissioners of immorality and inadequacy and was dismissed as abbot. He was replaced by Marmaduke Bradley, a monk of the abbey who had reported Thirsk's supposed offences, testified against him and offered the authorities six hundred marks for the post of abbot. In 1539 it was Bradley who surrendered the abbey when its seizure was ordered under Henry VIII at the Dissolution of the Monasteries.
The abbey precinct covered 70 acres (28 ha) surrounded by an 11-foot (3.4 m) wall built in the 13th century, some parts of which are visible to the south and west of the abbey. The area consists of three concentric zones cut by the River Skell flowing from west to east across the site. The church and claustral buildings stand at the centre of the precinct north of the Skell, the inner court containing the domestic buildings stretches down to the river and the outer court housing the industrial and agricultural buildings lies on the river's south bank. The early abbey buildings were added to and altered over time, causing deviations from the strict Cistercian type. Outside the walls were the abbey's granges.[citation needed]
The original abbey church was built of wood and "was probably" two stories high; it was, however, quickly replaced in stone. The church was damaged in the attack on the abbey in 1146 and was rebuilt, in a larger scale, on the same site. Building work was completed c.1170.[11] This structure, completed around 1170, was 300 ft (91 m) long and had 11 bays in the side aisles. A lantern tower was added at the crossing of the church in the late 12th century. The presbytery at the eastern end of the church was much altered in the 13th century. The church's greatly lengthened choir, commenced by Abbot John of York, 1203–11, and carried on by his successor terminates, like that of Durham Cathedral, in an eastern transept, the work of Abbot John of Kent, 1220–47. The 160-foot-tall (49 m) tower, which was added not long before the dissolution, by Abbot Huby, 1494–1526, is in an unusual position at the northern end of the north transept and bears Huby's motto 'Soli Deo Honor et Gloria'. The sacristry adjoined the south transept.
The cloister, which had arcading of black marble from Nidderdale and white sandstone, is in the centre of the precinct and to the south of the church. The three-aisled chapter-house and parlour open from the eastern walk of the cloister and the refectory, with the kitchen and buttery attached, are at right angles to its southern walk. Parallel with the western walk is an immense vaulted substructure serving as cellars and store-rooms, which supported the dormitory of the conversi (lay brothers) above. This building extended across the river and at its south-west corner were the latrines, built above the swiftly flowing stream. The monks' dormitory was in its usual position above the chapter-house, to the south of the transept. Peculiarities of this arrangement include the position of the kitchen, between the refectory and calefactory, and of the infirmary above the river to the west, adjoining the guest-houses.
The abbot's house, one of the largest in all of England,is located to the east of the latrine block, where portions of it are suspended on arches over the River Skell.It was built in the mid-twelfth century as a modest single-storey structure, then, from the fourteenth century, underwent extensive expansion and remodelling to end up in the 16th century as a grand dwelling with fine bay windows and grand fireplaces. The great hall was an expansive room 52 by 21 metres (171 by 69 ft).
Among other apartments, for the designation of which see the ground-plan, was a domestic oratory or chapel,
1⁄2-by-23-foot (14 by 7 m), and a kitchen, 50-by-38-foot (15 by 12 m)
Medieval monasteries were sustained by landed estates that were given to them as endowments and from which they derived an income from rents. They were the gifts of the founder and subsequent patrons, but some were purchased from cash revenues. At the outset, the Cistercian order rejected gifts of mills and rents, churches with tithes and feudal manors as they did not accord with their belief in monastic purity, because they involved contact with laymen. When Archbishop Thurstan founded the abbey he gave the community 260 acres (110 ha) of land at Sutton north of the abbey and 200 acres (81 ha) at Herleshowe to provide support while the abbey became established. In the early years the abbey struggled to maintain itself because further gifts were not forthcoming and Thurstan could not help further because the lands he administered were not his own, but part of the diocesan estate. After a few years of impoverished struggle to establish the abbey, the monks were joined by Hugh, a former dean of York Minster, a rich man who brought a considerable fortune as well as furniture and books to start the library.
By 1135 the monks had acquired only another 260 acres (110 ha) at Cayton, given by Eustace fitzJohn of Knaresborough "for the building of the abbey". Shortly after the fire of 1146, the monks had established granges at Sutton, Cayton, Cowton Moor, Warsill, Dacre and Aldburgh all within 6 mi (10 km) of Fountains. In the 1140s the water mill was built on the abbey site making it possible for the grain from the granges to be brought to the abbey for milling.Tannery waste from this time has been excavated on the site.
Further estates were assembled in two phases, between 1140 and 1160 then 1174 and 1175, from piecemeal acquisitions of land. Some of the lands were grants from benefactors but others were purchased from gifts of money to the abbey. Roger de Mowbray granted vast areas of Nidderdale and William de Percy and his tenants granted substantial estates in Craven which included Malham Moor and the fishery in Malham Tarn. After 1203 the abbots consolidated the abbey's lands by renting out more distant areas that the monks could not easily farm themselves, and exchanging and purchasing lands that complemented their existing estates. Fountains' holdings both in Yorkshire and beyond had reached their maximum extent by 1265, when they were an efficient and very profitable estate. Their estates were linked in a network of individual granges which provided staging posts to the most distant ones. They had urban properties in York, Yarm, Grimsby, Scarborough and Boston from which to conduct export and market trading and their other commercial interests included mining, quarrying, iron-smelting, fishing and milling.
The Battle of Bannockburn in 1314 was a factor that led to a downturn in the prosperity of the abbey in the early fourteenth century. Areas of the north of England as far south as York were looted by the Scots. Then the number of lay-brothers being recruited to the order reduced considerably. The abbey chose to take advantage of the relaxation of the edict on leasing property that had been enacted by the General Chapter of the order in 1208 and leased some of their properties. Others were staffed by hired labour and remained in hand under the supervision of bailiffs. In 1535 Fountains had an interest in 138 vills and the total taxable income of the Fountains estate was £1,115, making it the richest Cistercian monastery in England.
After the Dissolution
The Gresham family crest
The Abbey buildings and over 500 acres (200 ha) of land were sold by the Crown, on 1 October 1540, to Sir Richard Gresham, at the time a Member of Parliament and former Lord Mayor of London, the father of Sir Thomas Gresham. It was Richard Gresham who had supplied Cardinal Wolsey with the tapestries for his new house of Hampton Court and who paid for the Cardinal's funeral.
Gresham sold some of the fabric of the site, stone, timber, lead, as building materials to help to defray the cost of purchase. The site was acquired in 1597 by Sir Stephen Proctor, who used stone from the monastic complex to build Fountains Hall. Between 1627 and 1767 the estate was owned by the Messenger family who sold it to William Aislaby who was responsible for combining it with the Studley Royal Estate.
Burials
Roger de Mowbray, 1st Baron Mowbray
John de Mowbray, 2nd Baron Mowbray
Abbot Marmaduke Huby (d. 1526)
Rose (daughter of Richard de Clare, 6th Earl of Gloucester), wife of Roger de Mowbray, 1st Baron Mowbray
Henry de Percy, 1st Baron Percy
William II de Percy, 3rd feudal baron of Topcliffe
Becoming a World Heritage Site
The archaeological excavation of the site was begun under the supervision of John Richard Walbran, a Ripon antiquary who, in 1846, had published a paper On the Necessity of clearing out the Conventual Church of Fountains.In 1966 the Abbey was placed in the guardianship of the Department of the Environment and the estate was purchased by the West Riding County Council who transferred ownership to the North Yorkshire County Council in 1974. The National Trust bought the 674-acre (273 ha) Fountains Abbey and Studley Royal estate from North Yorkshire County Council in 1983. In 1986 the parkland in which the abbey is situated and the abbey was designated a World Heritage Site by UNESCO. It was recognised for fulfilling the criteria of being a masterpiece of human creative genius, and an outstanding example of a type of building or architectural or technological ensemble or landscape which illustrates significant stages in human history. Fountains Abbey is owned by the National Trust and maintained by English Heritage. The trust owns Studley Royal Park, Fountains Hall, to which there is partial public access, and St Mary's Church, designed by William Burges and built around 1873, all of which are significant features of the World Heritage Site.
The Porter's Lodge, which was once the gatehouse to the abbey, houses a modern exhibition area with displays about the history of Fountains Abbey and how the monks lived.
In January 2010, Fountains Abbey and Studley Royal became two of the first National Trust properties to be included in Google Street View, using the Google Trike.
Film location
Fountains Abbey was used as a film location by Orchestral Manoeuvres in the Dark for their single "Maid of Orleans (The Waltz Joan of Arc)" during the cold winter of December 1981. In 1980, Hollywood also came to the site to film the final scenes to the film Omen III: The Final Conflict.Other productions filmed on location at the abbey are the films Life at the Top, The Secret Garden, The History Boys, TV series Flambards, A History of Britain, Terry Jones' Medieval Lives, Cathedral, Antiques Roadshow and the game show Treasure Hunt. The BBC Television series 'Gunpowder' (2017) used Fountains Abbey as a location.
succeeding photos were from a hands on lighting tutorial by ken go.
we set up our lights. you figure out what lighting ratio for the desired effect
the first pose was a little straight forward. this time i requested if she could be more carefree
the whitening part is well the background never really gets clean white so its whitened via PP haha
model : Ann Legasto
St. Mark's Basilica in Venice, Italy "is the most famous of the city's churches and one of the best known examples of Byzantine architecture. It lies at the eastern end of the Piazza San Marco, adjacent and connected to the Doge's Palace. Originally it was the chapel of the Doge, and has only been the city's cathedral since 1807, when it became the seat of the Patriarch of Venice, archbishop of the Roman Catholic Archdiocese of Venice, formerly at San Pietro di Castello. For its opulent design, gilded Byzantine mosaics, and its status as a symbol of Venetian wealth and power, from the 11th century on the building has been known by the nickname Chiesa d'Oro (Church of gold)"
"The first St Mark's was a temporary building in the Doge's Palace, constructed in 828, when Venetian merchants stole the supposed relics of Mark the Evangelist from Alexandria. This was replaced by a new church on its present site in 832; from the same century dates the first St Mark's Campanile (bell tower). The new church was burned in a rebellion in 976, rebuilt in 978 and again to form the basis of the present basilica since 1063. The basilica was consecrated in 1094, the same year in which the body of Saint Mark was supposedly rediscovered in a pillar by Vitale Faliero, doge at the time. The building also incorporates a low tower (now housing St Mark’s Treasure), believed by some to have been part of the original Doge's Palace. Within the first half of the 13th century the narthex and the new façade were constructed, most of the mosaics were completed and the domes were covered with higher wooden, lead-covered domes in order to blend in with the Gothic architecture of the redesigned Doge's Palace."
"While the basic structure of the building has been much altered, its decoration changed greatly over time. The succeeding centuries, especially the fourteenth, all contributed to its adornment, and seldom did a Venetian vessel return from the Orient without bringing a column, capitals, or friezes, taken from some ancient building, to add to the fabric of the basilica. Gradually, the exterior brickwork became covered with various marbles and carvings, some much older than the building itself (see Four Tetrarchs, below). The last interventions concerned Baptistery and St Isidor’s Chapel (1300s), the carvings on the upper profile of the facade and the Sacristy (1400s), the Zen Chapel (1500s). This cathedral is a prime example of Gothic architecture due to the fact of its appearance from a distance."
en.wikipedia.org/wiki/St_Mark%27s_Basilica
AIMG_4743
This is my H's attempt at fingerspelling, which hopefully he has succeeded in spelling deaf
This week is Deaf Awareness week. In the UK there are almost 9 million deaf and hard of hearing adults of which nearly 7 million are severely or profoundly deaf.
1 in 1000 children are deaf at the age of 3 and currently there are around 20,000 children who are moderately to profoundly deaf covering the ages of 0-15 years old. Only 12,000 of these children were born deaf.
It is important to raise awareness, never underestimate how being Deaf can affect somebody's life. Just learning the alphabet in sign language, or learning how to speak clearly, facing the person you are speaking to, can make a huge difference. Being patient, innovative and calm also helps.
The NDCS have announced that the theme for this year's Deaf Awareness week is "Look at Me".
"This theme aims to improve understanding of deafness by highlighting the range methods of communication methods used by deaf children, such as sign language and lip reading."
The RNID provide a completely confidential "Check your hearing" test. Give it a go, it may be the best thing you did. See www.rnid.org.uk/howwehelp/hearing_check/take_online_heari...
For more information about what you can do to help Deaf people, or where to go if you're worried about your hearing, see the following links:
Created to succeed where its sister unit, Avalon, failed, Unit-8, Project: Echelon is a ruthless fighting machine. Echelon carries the Projection engine, a device that can interface with alternate realities. Echelon is programmed to serve Diaa in his hunt for the Mask of Life. Diaa hopes to use Echelon to break down the barrier between the dimension where the mask is located and reality.
Personality: While Avalon could be thought of as a naïve and innocent girl, Echelon is a cold, calculating fighter. He finds no interest in anything but combat.
Abilities: Echelon's Projection Engine grants Echelon to summon alternate dimensional possibilities of himself or of inanimate objects. This allows him to attack from multiple directions simultaneously, create dimensional "clones", and temporarily repair himself. While he does not have the vertical mobility that Avalon has, Echelon is incredibly fast and strong, and his combat programming far surpasses that of Avalon. Echelon wields the Null Blade, a sword that cancels dimensional and elemental anomalies on contact. For ranged combat, Echelon uses Eigen, a longbow that fires explosive, piercing, or stun arrows. Echelon can uses his engine to create an endless supply of arrows, so he rarely carries more than three. When push comes to shove, Echelon can combine his weapons to form Gauss, the Projection Blade.
I hope you guys like this guy! I spent a while on him, and although the end result is not quite what I was hoping for, I am mostly pleased with how he turned out.
Model: Antonio Dognini
Photo by Marco Cortesi - marcortesi@tiscali.it
Photo concept: Antonio Dognini & Marco Cortesi
Artwork: Andrea Assanelli - www.webalice.it/groove
Taken from the "Beyond Appearances" project.
Discover more on www.youtube.com/watch?v=je6r913kxyc and www.myspace.com/antoniodognini
CTA Compagnie de Transport Aerien was a Swiss charter airline formed in September 1978 to succeed the privately owned charter airline SATA. Operations began in November 1978. In 1993 CTA merged with BALAIR ( formed in 1953) to form BALAIR – CTA. CTA operated a fleet of Caravelle's during the '80s.
HB-ICQ (SE210 Caravelle 10R c/n 222 l/n 218) was delivered as new to UTA Union De Transport Aerien in March 1967 as F-BNRB. In November 1972 the plane was acquired by SATA S.A. de Transport Aerien Geneve as HB-ICQ. From October 1978 the plane continued its service with the newly formed CTA until being sold in January 1987 Istanbul Airlines as TC-ASA. It was retired in November 1991 and the airframe should be still stored in Eskisheir in Turkey.
Slide taken in ZRH during August 1987.
A small gift to my in-laws who have loved golf since before I meet them 18 years ago. My mother-in-law have succeeded in making a hole-in-one to my father-in-law’s chagrin. ;)
Kells Priory.
Kells Priory is one of the largest and most magnificent medieval monuments in Ireland. Situated on the bank of the King's River, it comprises a collection of mediaeval tower houses spaced at intervals along and within walls which enclose a site of some three acres.
Kells Priory was founded by Geoffrey FitzRobert in 1193. FitzRobert was brother-in-law to Strongbow and the priory succeeded an earlier church which was dedicated to St. Mary, the Blessed Virgin and served as parish church to nearby Kells village.
During it's first century and a half the priory was attacked and burned on three occasions, firstly by Lord William de Bermingham in 1252, by the Scots army of Edward Bruce on Palm Sunday 1326, and by a second William de Bermingham in 1327. It seems likely then that the walls and fortifications date back to this period of unrest.
In 1324 the Bishop of Ossory Richard de Ledrede paid a lenten visit to the priory. Following an inquisition into a Kilkenny sect of heretics, Alice Kytler and William Outlaw were ordered to appear before the Bishop to answer charges of witchcraft. Outlaw was supported by Arnold de Paor, Lord of Kells who arrested the Bishop and had him imprisoned in Kilkenny Castle for 17 days. This caused great scandal and on his release the Bishop successfully prosecuted the heretics. Alice Kytler fled to England and remained there, Alice Smith also fled, but her mother Petronella de Meath became Ireland's first heretic to be burned at the stake.
Dissolution of Kells Priory finally took place in March 1540 and the chuch and property were surrendered to James Butler, Ninth Earl of Ormonde.
Do not use this image on websites, blogs or other media without my permission.
© All rights reserved.
A LINK TO MY GALLERY ON PBASE
Bellapais Abbey is the ruin of a monastery built by Canons Regular in the 13th century on the northern side of the small village of Bellapais, now in Turkish-controlled Northern Cyprus, about five kilometres from the town of Kyrenia. The ruin is at an altitude of 220 m above sea level, and commands a long view down to Kyrenia and the Mediterranean sea.
The site is also a museum, which hosts a restaurant and a cafe. The Abbey's refectory now serves as a venue for concerts and lectures. In early summer it is also a venue for a local music festival.
The site was formerly named Episcopia or Piscopia,[1] suggesting that it may have served the Bishop of Kyrenia as a residence, and as a place of refuge from Arab raids in the 7th and 8th centuries. The first occupants known to have settled on or near the site were the Canons Regular of the Holy Sepulchre, who had fled Jerusalem after its fall in 1187 to Saladin. The canons had been the custodians of the Church of the Holy Sepulchre.
Aimery de Lusignan founded the monastery, with the first buildings dating to between 1198–1205. The abbey was consecrated as the Abbey of St. Mary of the Mountain. The White Canons (Norbertines or Premonstratensians) succeeded the founding canons in 1206. Consequently, documents from the 15th and 16th century refer to Bellapais as the "White Abbey". The common explanation of the modern name Bellapais is that the French name Abbaye de la Paix ("Abbey of Peace") was corrupted after the Italian takeover into "Bellapais", reinterpreted as Bella Paese "Beautiful Land". George Francis Hill was unconvinced of both the French and Italian portions of this derivation. Blessed Anne Catherine Emmerich says that this was the ancient Jewish village of "Mallep," visited by Jesus Christ.
The main building as it can be seen today was built during the rule of King Hugh III 1267–1284. The cloisters and the refectory were constructed during the rule of King Hugh IV between 1324–1359. Hugh IV lived in the abbey and had apartments constructed for his use.
In 1373, the Genoese raided Kyrenia, almost destroying Kyrenia Castle. The Genoese stripped Bellapais of anything that was portable and of any value.
By 1489 the Venetians had taken control of Cyprus. By the time of the Venetians, the inhabitants of the Abbey had abandoned the Premonstratensian Rule. Reportedly, canons took wives, and then to keep the business within the family, accepted only their children as novices.
Following the Ottoman conquest of Kyrenia and Kyrenia Castle in 1571, the Ottomans expelled the Premonstratensians and gave the abbey to the Greek Orthodox Church of Cyprus, which they appointed as the only legal Christian church on Cyprus. The Church of Cyprus neglected the Abbey, which fell into disrepair. However, the abbey church itself came to serve as the parish church for the village that grew up around it, and whose inhabitants may have used the abbey as a quarry for stone.
During the period of British control of Cyprus (1878-1960), the British Army initially took control of Bellapais. In 1878 they cemented the floor of the refectory, which they then used as a hospital. Unfortunately, the soldiers also fired off small arms in the refectory; one may still see bullet holes in the east wall. Then in 1912 George Jeffery, Curator of the Ancient Monuments of Cyprus, undertook repairs of the abbey.
The abbey consists of a church and a cloister, with most of the monastic buildings surrounding the cloister. In Britain these would normally be built on the south side of the church to shelter the living quarters from the cold air from the north. At Bellapais, the monastic buildings are on the north, probably to be cooler, although occasionally the lay of the land dictated position.
The Abbey's main entrance is through a fortified gate on the south side, with a tower that is a later addition, and a forecourt. The gateway replaced an earlier drawbridge.
The church, which dates to the 13th century, itself borders the courtyard and is the best preserved part of the complex. The Italian murals on the facade may date to the 15th century. The church has a flat roof and a belfry, with only one surviving bell, above the entrance. The church consists of a nave with two side aisles, a choir and a sacristy. The surviving decorations include an intricately carved pulpit, the bishop's throne, and five chandeliers. It is possible that the graves of several Lusignan kings rest beneath the floor of the church.
The forecourt leads to the cloister, which has 18 arches. Under one of the arches on the north side there are two Roman sarcophagi that the canons once used as lavabos. The sarcophagi are one above the other, with the upper one being decorated, and the lower one plain. Water flowed from the upper to the lower, and then out a channel to the cloister garden.
Behind the sarcophagi there is a door that leads to the canons' refectory. The door's lintel contains coats of arms of Cyprus, Jerusalem, and the Lusignans. The refectory is Gothic in design and is the finest room in the Abbey. It includes a pulpit that projects from the north wall, six windows on the north wall that illuminate the space, and a rose window on the eastern wall. The room is 30m long and 10m wide, with seven columns that extend from the side walls to support the roof. While the canons ate their meals, a lector in the pulpit would read to them from the scriptures or the lives of the saints. The six windows provide a lovely view across the countryside to the sea. A door on the western wall leads to the kitchen and to a cellar built under the refectory. The rooms between the refectory and the kitchen may once have been the abbey's lavatories.
The chapter house is on the eastern side of the cloister, as is the undercroft. The chapter house functioned as the abbey's administrative office, and the undercroft contained workrooms. The chapter house has an interesting Gothic stone carving. The carving depicts a man with a double ladder on his back, a second man between two sirens, a woman reading, two beasts attacking a man, a woman with a rosary, a monkey and a cat in the foliage of a pear tree under which there is a man holding a shield, and a canon wearing a cloak. The column in the center of the chapter house may have come from a Byzantine church. The canons' cells were on a second floor, above the chapter house and the undercroft.
There are several stairs from the cloisters. Three give access to the roof. On the south side of the cloister there is a pair of stairs that lead to the abbey's treasury room, which is in the northwest corner of the monastery.
Northern Cyprus, officially the Turkish Republic of Northern Cyprus (TRNC), is a de facto state that comprises the northeastern portion of the island of Cyprus. It is recognised only by Turkey, and its territory is considered by all other states to be part of the Republic of Cyprus.
Northern Cyprus extends from the tip of the Karpass Peninsula in the northeast to Morphou Bay, Cape Kormakitis and its westernmost point, the Kokkina exclave in the west. Its southernmost point is the village of Louroujina. A buffer zone under the control of the United Nations stretches between Northern Cyprus and the rest of the island and divides Nicosia, the island's largest city and capital of both sides.
A coup d'état in 1974, performed as part of an attempt to annex the island to Greece, prompted the Turkish invasion of Cyprus. This resulted in the eviction of much of the north's Greek Cypriot population, the flight of Turkish Cypriots from the south, and the partitioning of the island, leading to a unilateral declaration of independence by the north in 1983. Due to its lack of recognition, Northern Cyprus is heavily dependent on Turkey for economic, political and military support.
Attempts to reach a solution to the Cyprus dispute have been unsuccessful. The Turkish Army maintains a large force in Northern Cyprus with the support and approval of the TRNC government, while the Republic of Cyprus, the European Union as a whole, and the international community regard it as an occupation force. This military presence has been denounced in several United Nations Security Council resolutions.
Northern Cyprus is a semi-presidential, democratic republic with a cultural heritage incorporating various influences and an economy that is dominated by the services sector. The economy has seen growth through the 2000s and 2010s, with the GNP per capita more than tripling in the 2000s, but is held back by an international embargo due to the official closure of the ports in Northern Cyprus by the Republic of Cyprus. The official language is Turkish, with a distinct local dialect being spoken. The vast majority of the population consists of Sunni Muslims, while religious attitudes are mostly moderate and secular. Northern Cyprus is an observer state of ECO and OIC under the name "Turkish Cypriot State", PACE under the name "Turkish Cypriot Community", and Organization of Turkic States with its own name.
Several distinct periods of Cypriot intercommunal violence involving the two main ethnic communities, Greek Cypriots and Turkish Cypriots, marked mid-20th century Cyprus. These included the Cyprus Emergency of 1955–59 during British rule, the post-independence Cyprus crisis of 1963–64, and the Cyprus crisis of 1967. Hostilities culminated in the 1974 de facto division of the island along the Green Line following the Turkish invasion of Cyprus. The region has been relatively peaceful since then, but the Cyprus dispute has continued, with various attempts to solve it diplomatically having been generally unsuccessful.
Cyprus, an island lying in the eastern Mediterranean, hosted a population of Greeks and Turks (four-fifths and one-fifth, respectively), who lived under British rule in the late nineteenth-century and the first half of the twentieth-century. Christian Orthodox Church of Cyprus played a prominent political role among the Greek Cypriot community, a privilege that it acquired during the Ottoman Empire with the employment of the millet system, which gave the archbishop an unofficial ethnarch status.
The repeated rejections by the British of Greek Cypriot demands for enosis, union with Greece, led to armed resistance, organised by the National Organization of Cypriot Struggle, or EOKA. EOKA, led by the Greek-Cypriot commander George Grivas, systematically targeted British colonial authorities. One of the effects of EOKA's campaign was to alter the Turkish position from demanding full reincorporation into Turkey to a demand for taksim (partition). EOKA's mission and activities caused a "Cretan syndrome" (see Turkish Resistance Organisation) within the Turkish Cypriot community, as its members feared that they would be forced to leave the island in such a case as had been the case with Cretan Turks. As such, they preferred the continuation of British colonial rule and then taksim, the division of the island. Due to the Turkish Cypriots' support for the British, EOKA's leader, Georgios Grivas, declared them to be enemies. The fact that the Turks were a minority was, according to Nihat Erim, to be addressed by the transfer of thousands of Turks from mainland Turkey so that Greek Cypriots would cease to be the majority. When Erim visited Cyprus as the Turkish representative, he was advised by Field Marshal Sir John Harding, the then Governor of Cyprus, that Turkey should send educated Turks to settle in Cyprus.
Turkey actively promoted the idea that on the island of Cyprus two distinctive communities existed, and sidestepped its former claim that "the people of Cyprus were all Turkish subjects". In doing so, Turkey's aim to have self-determination of two to-be equal communities in effect led to de jure partition of the island.[citation needed] This could be justified to the international community against the will of the majority Greek population of the island. Dr. Fazil Küçük in 1954 had already proposed Cyprus be divided in two at the 35° parallel.
Lindley Dan, from Notre Dame University, spotted the roots of intercommunal violence to different visions among the two communities of Cyprus (enosis for Greek Cypriots, taksim for Turkish Cypriots). Also, Lindlay wrote that "the merging of church, schools/education, and politics in divisive and nationalistic ways" had played a crucial role in creation of havoc in Cyprus' history. Attalides Michael also pointed to the opposing nationalisms as the cause of the Cyprus problem.
By the mid-1950's, the "Cyprus is Turkish" party, movement, and slogan gained force in both Cyprus and Turkey. In a 1954 editorial, Turkish Cypriot leader Dr. Fazil Kuchuk expressed the sentiment that the Turkish youth had grown up with the idea that "as soon as Great Britain leaves the island, it will be taken over by the Turks", and that "Turkey cannot tolerate otherwise". This perspective contributed to the willingness of Turkish Cypriots to align themselves with the British, who started recruiting Turkish Cypriots into the police force that patrolled Cyprus to fight EOKA, a Greek Cypriot nationalist organisation that sought to rid the island of British rule.
EOKA targeted colonial authorities, including police, but Georgios Grivas, the leader of EOKA, did not initially wish to open up a new front by fighting Turkish Cypriots and reassured them that EOKA would not harm their people. In 1956, some Turkish Cypriot policemen were killed by EOKA members and this provoked some intercommunal violence in the spring and summer, but these attacks on policemen were not motivated by the fact that they were Turkish Cypriots.
However, in January 1957, Grivas changed his policy as his forces in the mountains became increasingly pressured by the British Crown forces. In order to divert the attention of the Crown forces, EOKA members started to target Turkish Cypriot policemen intentionally in the towns, so that Turkish Cypriots would riot against the Greek Cypriots and the security forces would have to be diverted to the towns to restore order. The killing of a Turkish Cypriot policeman on 19 January, when a power station was bombed, and the injury of three others, provoked three days of intercommunal violence in Nicosia. The two communities targeted each other in reprisals, at least one Greek Cypriot was killed and the British Army was deployed in the streets. Greek Cypriot stores were burned and their neighbourhoods attacked. Following the events, the Greek Cypriot leadership spread the propaganda that the riots had merely been an act of Turkish Cypriot aggression. Such events created chaos and drove the communities apart both in Cyprus and in Turkey.
On 22 October 1957 Sir Hugh Mackintosh Foot replaced Sir John Harding as the British Governor of Cyprus. Foot suggested five to seven years of self-government before any final decision. His plan rejected both enosis and taksim. The Turkish Cypriot response to this plan was a series of anti-British demonstrations in Nicosia on 27 and 28 January 1958 rejecting the proposed plan because the plan did not include partition. The British then withdrew the plan.
In 1957, Black Gang, a Turkish Cypriot pro-taksim paramilitary organisation, was formed to patrol a Turkish Cypriot enclave, the Tahtakale district of Nicosia, against activities of EOKA. The organisation later attempted to grow into a national scale, but failed to gain public support.
By 1958, signs of dissatisfaction with the British increased on both sides, with a group of Turkish Cypriots forming Volkan (later renamed to the Turkish Resistance Organisation) paramilitary group to promote partition and the annexation of Cyprus to Turkey as dictated by the Menderes plan. Volkan initially consisted of roughly 100 members, with the stated aim of raising awareness in Turkey of the Cyprus issue and courting military training and support for Turkish Cypriot fighters from the Turkish government.
In June 1958, the British Prime Minister, Harold Macmillan, was expected to propose a plan to resolve the Cyprus issue. In light of the new development, the Turks rioted in Nicosia to promote the idea that Greek and Turkish Cypriots could not live together and therefore any plan that did not include partition would not be viable. This violence was soon followed by bombing, Greek Cypriot deaths and looting of Greek Cypriot-owned shops and houses. Greek and Turkish Cypriots started to flee mixed population villages where they were a minority in search of safety. This was effectively the beginning of the segregation of the two communities. On 7 June 1958, a bomb exploded at the entrance of the Turkish Embassy in Cyprus. Following the bombing, Turkish Cypriots looted Greek Cypriot properties. On 26 June 1984, the Turkish Cypriot leader, Rauf Denktaş, admitted on British channel ITV that the bomb was placed by the Turks themselves in order to create tension. On 9 January 1995, Rauf Denktaş repeated his claim to the famous Turkish newspaper Milliyet in Turkey.
The crisis reached a climax on 12 June 1958, when eight Greeks, out of an armed group of thirty five arrested by soldiers of the Royal Horse Guards on suspicion of preparing an attack on the Turkish quarter of Skylloura, were killed in a suspected attack by Turkish Cypriot locals, near the village of Geunyeli, having been ordered to walk back to their village of Kondemenos.
After the EOKA campaign had begun, the British government successfully began to turn the Cyprus issue from a British colonial problem into a Greek-Turkish issue. British diplomacy exerted backstage influence on the Adnan Menderes government, with the aim of making Turkey active in Cyprus. For the British, the attempt had a twofold objective. The EOKA campaign would be silenced as quickly as possible, and Turkish Cypriots would not side with Greek Cypriots against the British colonial claims over the island, which would thus remain under the British. The Turkish Cypriot leadership visited Menderes to discuss the Cyprus issue. When asked how the Turkish Cypriots should respond to the Greek Cypriot claim of enosis, Menderes replied: "You should go to the British foreign minister and request the status quo be prolonged, Cyprus to remain as a British colony". When the Turkish Cypriots visited the British Foreign Secretary and requested for Cyprus to remain a colony, he replied: "You should not be asking for colonialism at this day and age, you should be asking for Cyprus be returned to Turkey, its former owner".
As Turkish Cypriots began to look to Turkey for protection, Greek Cypriots soon understood that enosis was extremely unlikely. The Greek Cypriot leader, Archbishop Makarios III, now set independence for the island as his objective.
Britain resolved to solve the dispute by creating an independent Cyprus. In 1959, all involved parties signed the Zurich Agreements: Britain, Turkey, Greece, and the Greek and Turkish Cypriot leaders, Makarios and Dr. Fazil Kucuk, respectively. The new constitution drew heavily on the ethnic composition of the island. The President would be a Greek Cypriot, and the Vice-President a Turkish Cypriot with an equal veto. The contribution to the public service would be set at a ratio of 70:30, and the Supreme Court would consist of an equal number of judges from both communities as well as an independent judge who was not Greek, Turkish or British. The Zurich Agreements were supplemented by a number of treaties. The Treaty of Guarantee stated that secession or union with any state was forbidden, and that Greece, Turkey and Britain would be given guarantor status to intervene if that was violated. The Treaty of Alliance allowed for two small Greek and Turkish military contingents to be stationed on the island, and the Treaty of Establishment gave Britain sovereignty over two bases in Akrotiri and Dhekelia.
On 15 August 1960, the Colony of Cyprus became fully independent as the Republic of Cyprus. The new republic remained within the Commonwealth of Nations.
The new constitution brought dissatisfaction to Greek Cypriots, who felt it to be highly unjust for them for historical, demographic and contributional reasons. Although 80% of the island's population were Greek Cypriots and these indigenous people had lived on the island for thousands of years and paid 94% of taxes, the new constitution was giving the 17% of the population that was Turkish Cypriots, who paid 6% of taxes, around 30% of government jobs and 40% of national security jobs.
Within three years tensions between the two communities in administrative affairs began to show. In particular disputes over separate municipalities and taxation created a deadlock in government. A constitutional court ruled in 1963 Makarios had failed to uphold article 173 of the constitution which called for the establishment of separate municipalities for Turkish Cypriots. Makarios subsequently declared his intention to ignore the judgement, resulting in the West German judge resigning from his position. Makarios proposed thirteen amendments to the constitution, which would have had the effect of resolving most of the issues in the Greek Cypriot favour. Under the proposals, the President and Vice-President would lose their veto, the separate municipalities as sought after by the Turkish Cypriots would be abandoned, the need for separate majorities by both communities in passing legislation would be discarded and the civil service contribution would be set at actual population ratios (82:18) instead of the slightly higher figure for Turkish Cypriots.
The intention behind the amendments has long been called into question. The Akritas plan, written in the height of the constitutional dispute by the Greek Cypriot interior minister Polycarpos Georkadjis, called for the removal of undesirable elements of the constitution so as to allow power-sharing to work. The plan envisaged a swift retaliatory attack on Turkish Cypriot strongholds should Turkish Cypriots resort to violence to resist the measures, stating "In the event of a planned or staged Turkish attack, it is imperative to overcome it by force in the shortest possible time, because if we succeed in gaining command of the situation (in one or two days), no outside, intervention would be either justified or possible." Whether Makarios's proposals were part of the Akritas plan is unclear, however it remains that sentiment towards enosis had not completely disappeared with independence. Makarios described independence as "a step on the road to enosis".[31] Preparations for conflict were not entirely absent from Turkish Cypriots either, with right wing elements still believing taksim (partition) the best safeguard against enosis.
Greek Cypriots however believe the amendments were a necessity stemming from a perceived attempt by Turkish Cypriots to frustrate the working of government. Turkish Cypriots saw it as a means to reduce their status within the state from one of co-founder to that of minority, seeing it as a first step towards enosis. The security situation deteriorated rapidly.
Main articles: Bloody Christmas (1963) and Battle of Tillyria
An armed conflict was triggered after December 21, 1963, a period remembered by Turkish Cypriots as Bloody Christmas, when a Greek Cypriot policemen that had been called to help deal with a taxi driver refusing officers already on the scene access to check the identification documents of his customers, took out his gun upon arrival and shot and killed the taxi driver and his partner. Eric Solsten summarised the events as follows: "a Greek Cypriot police patrol, ostensibly checking identification documents, stopped a Turkish Cypriot couple on the edge of the Turkish quarter. A hostile crowd gathered, shots were fired, and two Turkish Cypriots were killed."
In the morning after the shooting, crowds gathered in protest in Northern Nicosia, likely encouraged by the TMT, without incident. On the evening of the 22nd, gunfire broke out, communication lines to the Turkish neighbourhoods were cut, and the Greek Cypriot police occupied the nearby airport. On the 23rd, a ceasefire was negotiated, but did not hold. Fighting, including automatic weapons fire, between Greek and Turkish Cypriots and militias increased in Nicosia and Larnaca. A force of Greek Cypriot irregulars led by Nikos Sampson entered the Nicosia suburb of Omorphita and engaged in heavy firing on armed, as well as by some accounts unarmed, Turkish Cypriots. The Omorphita clash has been described by Turkish Cypriots as a massacre, while this view has generally not been acknowledged by Greek Cypriots.
Further ceasefires were arranged between the two sides, but also failed. By Christmas Eve, the 24th, Britain, Greece, and Turkey had joined talks, with all sides calling for a truce. On Christmas day, Turkish fighter jets overflew Nicosia in a show of support. Finally it was agreed to allow a force of 2,700 British soldiers to help enforce a ceasefire. In the next days, a "buffer zone" was created in Nicosia, and a British officer marked a line on a map with green ink, separating the two sides of the city, which was the beginning of the "Green Line". Fighting continued across the island for the next several weeks.
In total 364 Turkish Cypriots and 174 Greek Cypriots were killed during the violence. 25,000 Turkish Cypriots from 103-109 villages fled and were displaced into enclaves and thousands of Turkish Cypriot houses were ransacked or completely destroyed.
Contemporary newspapers also reported on the forceful exodus of the Turkish Cypriots from their homes. According to The Times in 1964, threats, shootings and attempts of arson were committed against the Turkish Cypriots to force them out of their homes. The Daily Express wrote that "25,000 Turks have already been forced to leave their homes". The Guardian reported a massacre of Turks at Limassol on 16 February 1964.
Turkey had by now readied its fleet and its fighter jets appeared over Nicosia. Turkey was dissuaded from direct involvement by the creation of a United Nations Peacekeeping Force in Cyprus (UNFICYP) in 1964. Despite the negotiated ceasefire in Nicosia, attacks on the Turkish Cypriot persisted, particularly in Limassol. Concerned about the possibility of a Turkish invasion, Makarios undertook the creation of a Greek Cypriot conscript-based army called the "National Guard". A general from Greece took charge of the army, whilst a further 20,000 well-equipped officers and men were smuggled from Greece into Cyprus. Turkey threatened to intervene once more, but was prevented by a strongly worded letter from the American President Lyndon B. Johnson, anxious to avoid a conflict between NATO allies Greece and Turkey at the height of the Cold War.
Turkish Cypriots had by now established an important bridgehead at Kokkina, provided with arms, volunteers and materials from Turkey and abroad. Seeing this incursion of foreign weapons and troops as a major threat, the Cypriot government invited George Grivas to return from Greece as commander of the Greek troops on the island and launch a major attack on the bridgehead. Turkey retaliated by dispatching its fighter jets to bomb Greek positions, causing Makarios to threaten an attack on every Turkish Cypriot village on the island if the bombings did not cease. The conflict had now drawn in Greece and Turkey, with both countries amassing troops on their Thracian borders. Efforts at mediation by Dean Acheson, a former U.S. Secretary of State, and UN-appointed mediator Galo Plaza had failed, all the while the division of the two communities becoming more apparent. Greek Cypriot forces were estimated at some 30,000, including the National Guard and the large contingent from Greece. Defending the Turkish Cypriot enclaves was a force of approximately 5,000 irregulars, led by a Turkish colonel, but lacking the equipment and organisation of the Greek forces.
The Secretary-General of the United Nations in 1964, U Thant, reported the damage during the conflicts:
UNFICYP carried out a detailed survey of all damage to properties throughout the island during the disturbances; it shows that in 109 villages, most of them Turkish-Cypriot or mixed villages, 527 houses have been destroyed while 2,000 others have suffered damage from looting.
The situation worsened in 1967, when a military junta overthrew the democratically elected government of Greece, and began applying pressure on Makarios to achieve enosis. Makarios, not wishing to become part of a military dictatorship or trigger a Turkish invasion, began to distance himself from the goal of enosis. This caused tensions with the junta in Greece as well as George Grivas in Cyprus. Grivas's control over the National Guard and Greek contingent was seen as a threat to Makarios's position, who now feared a possible coup.[citation needed] The National Guard and Cyprus Police began patrolling the Turkish Cypriot enclaves of Ayios Theodoros and Kophinou, and on November 15 engaged in heavy fighting with the Turkish Cypriots.
By the time of his withdrawal 26 Turkish Cypriots had been killed. Turkey replied with an ultimatum demanding that Grivas be removed from the island, that the troops smuggled from Greece in excess of the limits of the Treaty of Alliance be removed, and that the economic blockades on the Turkish Cypriot enclaves be lifted. Grivas was recalled by the Athens Junta and the 12,000 Greek troops were withdrawn. Makarios now attempted to consolidate his position by reducing the number of National Guard troops, and by creating a paramilitary force loyal to Cypriot independence. In 1968, acknowledging that enosis was now all but impossible, Makarios stated, "A solution by necessity must be sought within the limits of what is feasible which does not always coincide with the limits of what is desirable."
After 1967 tensions between the Greek and Turkish Cypriots subsided. Instead, the main source of tension on the island came from factions within the Greek Cypriot community. Although Makarios had effectively abandoned enosis in favour of an 'attainable solution', many others continued to believe that the only legitimate political aspiration for Greek Cypriots was union with Greece.
On his arrival, Grivas began by establishing a nationalist paramilitary group known as the National Organization of Cypriot Fighters (Ethniki Organosis Kyprion Agoniston B or EOKA-B), drawing comparisons with the EOKA struggle for enosis under the British colonial administration of the 1950s.
The military junta in Athens saw Makarios as an obstacle. Makarios's failure to disband the National Guard, whose officer class was dominated by mainland Greeks, had meant the junta had practical control over the Cypriot military establishment, leaving Makarios isolated and a vulnerable target.
During the first Turkish invasion, Turkish troops invaded Cyprus territory on 20 July 1974, invoking its rights under the Treaty of Guarantee. This expansion of Turkish-occupied zone violated International Law as well as the Charter of the United Nations. Turkish troops managed to capture 3% of the island which was accompanied by the burning of the Turkish Cypriot quarter, as well as the raping and killing of women and children. A temporary cease-fire followed which was mitigated by the UN Security Council. Subsequently, the Greek military Junta collapsed on July 23, 1974, and peace talks commenced in which a democratic government was installed. The Resolution 353 was broken after Turkey attacked a second time and managed to get a hold of 37% of Cyprus territory. The Island of Cyprus was appointed a Buffer Zone by the United Nations, which divided the island into two zones through the 'Green Line' and put an end to the Turkish invasion. Although Turkey announced that the occupied areas of Cyprus to be called the Federated Turkish State in 1975, it is not legitimised on a worldwide political scale. The United Nations called for the international recognition of independence for the Republic of Cyprus in the Security Council Resolution 367.
In the years after the Turkish invasion of northern Cyprus one can observe a history of failed talks between the two parties. The 1983 declaration of the independent Turkish Republic of Cyprus resulted in a rise of inter-communal tensions and made it increasingly hard to find mutual understanding. With Cyprus' interest of a possible EU membership and a new UN Secretary-General Kofi Annan in 1997 new hopes arose for a fresh start. International involvement from sides of the US and UK, wanting a solution to the Cyprus dispute prior to the EU accession led to political pressures for new talks. The believe that an accession without a solution would threaten Greek-Turkish relations and acknowledge the partition of the island would direct the coming negotiations.
Over the course of two years a concrete plan, the Annan plan was formulated. In 2004 the fifth version agreed upon from both sides and with the endorsement of Turkey, US, UK and EU then was presented to the public and was given a referendum in both Cypriot communities to assure the legitimisation of the resolution. The Turkish Cypriots voted with 65% for the plan, however the Greek Cypriots voted with a 76% majority against. The Annan plan contained multiple important topics. Firstly it established a confederation of two separate states called the United Cyprus Republic. Both communities would have autonomous states combined under one unified government. The members of parliament would be chosen according to the percentage in population numbers to ensure a just involvement from both communities. The paper proposed a demilitarisation of the island over the next years. Furthermore it agreed upon a number of 45000 Turkish settlers that could remain on the island. These settlers became a very important issue concerning peace talks. Originally the Turkish government encouraged Turks to settle in Cyprus providing transfer and property, to establish a counterpart to the Greek Cypriot population due to their 1 to 5 minority. With the economic situation many Turkish-Cypriot decided to leave the island, however their departure is made up by incoming Turkish settlers leaving the population ratio between Turkish Cypriots and Greek Cypriots stable. However all these points where criticised and as seen in the vote rejected mainly by the Greek Cypriots. These name the dissolution of the „Republic of Cyprus", economic consequences of a reunion and the remaining Turkish settlers as reason. Many claim that the plan was indeed drawing more from Turkish-Cypriot demands then Greek-Cypriot interests. Taking in consideration that the US wanted to keep Turkey as a strategic partner in future Middle Eastern conflicts.
A week after the failed referendum the Republic of Cyprus joined the EU. In multiple instances the EU tried to promote trade with Northern Cyprus but without internationally recognised ports this spiked a grand debate. Both side endure their intention of negotiations, however without the prospect of any new compromises or agreements the UN is unwilling to start the process again. Since 2004 negotiations took place in numbers but without any results, both sides are strongly holding on to their position without an agreeable solution in sight that would suit both parties.
"Not ALL plan will succeed." a very strong statement Drew said on her interview upon arriving in modollville. The aspiring model admitted that she heard the fashion industry in Modollville is rising. "yes that is true that I came here for all of you to see how good Iam. so be proud. I modeled in different places, but this is where I my roots came from, so I better give this place my H2T now!" A boastful statement from her. Her mother is an actress in modollville and her father is the producer of her movies. Rumors says that her mother is a B*** that would do everything to be famous -- even seducing her father and asked to divorce his wife to marry her -- (what a shameful root ei? ) Drew NEVER gets any job in modelling, it was her friends that took pictures of her and posted it as a modelling hoax! well isnt it obvious with how I write this news about her ?? She is a MAJOR BYOTCH!! Everyone hates her, I remember when I was an intern and we are tryn to have an interview with her mother who that time is settling abroad, and she threw her hamburger on me! im sorry if this is getting personal, but, yea, anyway, Reporting from ModollVilleNews
Bergen, historically Bjørgvin, is a city and municipality in Vestland county on the west coast of Norway. As of 2022, its population was roughly 289,330. Bergen is the second-largest city in Norway after national capital Oslo. The municipality covers 465 square kilometres (180 sq mi) and is located on the peninsula of Bergenshalvøyen. The city centre and northern neighbourhoods are on Byfjorden, 'the city fjord'. The city is surrounded by mountains, causing Bergen to be called the "city of seven mountains". Many of the extra-municipal suburbs are on islands. Bergen is the administrative centre of Vestland county. The city consists of eight boroughs: Arna, Bergenhus, Fana, Fyllingsdalen, Laksevåg, Ytrebygda, Årstad, and Åsane.
Trading in Bergen may have started as early as the 1020s. According to tradition, the city was founded in 1070 by King Olav Kyrre and was named Bjørgvin, 'the green meadow among the mountains'. It served as Norway's capital in the 13th century, and from the end of the 13th century became a bureau city of the Hanseatic League. Until 1789, Bergen enjoyed exclusive rights to mediate trade between Northern Norway and abroad, and it was the largest city in Norway until the 1830s when it was overtaken by the capital, Christiania (now known as Oslo). What remains of the quays, Bryggen, is a World Heritage Site. The city was hit by numerous fires over the years. The Bergen School of Meteorology was developed at the Geophysical Institute starting in 1917, the Norwegian School of Economics was founded in 1936, and the University of Bergen in 1946. From 1831 to 1972, Bergen was its own county. In 1972 the municipality absorbed four surrounding municipalities and became a part of Hordaland county.
The city is an international centre for aquaculture, shipping, the offshore petroleum industry and subsea technology, and a national centre for higher education, media, tourism and finance. Bergen Port is Norway's busiest in terms of both freight and passengers, with over 300 cruise ship calls a year bringing nearly a half a million passengers to Bergen, a number that has doubled in 10 years. Almost half of the passengers are German or British. The city's main football team is SK Brann and a unique tradition of the city is the buekorps, which are traditional marching neighbourhood youth organisations. Natives speak a distinct dialect, known as Bergensk. The city features Bergen Airport, Flesland and Bergen Light Rail, and is the terminus of the Bergen Line. Four large bridges connect Bergen to its suburban municipalities.
Bergen has a mild winter climate, though with significant precipitation. From December to March, Bergen can, in rare cases, be up to 20 °C warmer than Oslo, even though both cities are at about 60° North. In summer however, Bergen is several degrees cooler than Oslo due to the same maritime effects. The Gulf Stream keeps the sea relatively warm, considering the latitude, and the mountains protect the city from cold winds from the north, north-east and east.
History
Hieronymus Scholeus's impression of Bergen. The drawing was made in about 1580 and was published in an atlas with drawings of many different cities (Civitaes orbis terrarum).
The city of Bergen was traditionally thought to have been founded by king Olav Kyrre, son of Harald Hardråde in 1070 AD, four years after the Viking Age in England ended with the Battle of Stamford Bridge. Modern research has, however, discovered that a trading settlement had already been established in the 1020s or 1030s.
Bergen gradually assumed the function of capital of Norway in the early 13th century, as the first city where a rudimentary central administration was established. The city's cathedral was the site of the first royal coronation in Norway in the 1150s, and continued to host royal coronations throughout the 13th century. Bergenhus fortress dates from the 1240s and guards the entrance to the harbour in Bergen. The functions of the capital city were lost to Oslo during the reign of King Haakon V (1299–1319).
In the middle of the 14th century, North German merchants, who had already been present in substantial numbers since the 13th century, founded one of the four Kontore of the Hanseatic League at Bryggen in Bergen. The principal export traded from Bergen was dried cod from the northern Norwegian coast, which started around 1100. The city was granted a monopoly for trade from the north of Norway by King Håkon Håkonsson (1217–1263). Stockfish was the main reason that the city became one of North Europe's largest centres for trade.[11] By the late 14th century, Bergen had established itself as the centre of the trade in Norway. The Hanseatic merchants lived in their own separate quarter of the town, where Middle Low German was used, enjoying exclusive rights to trade with the northern fishermen who each summer sailed to Bergen. The Hansa community resented Scottish merchants who settled in Bergen, and on 9 November 1523 several Scottish households were targeted by German residents. Today, Bergen's old quayside, Bryggen, is on UNESCO's list of World Heritage Sites.
In 1349, the Black Death was brought to Norway by an English ship arriving in Bergen. Later outbreaks occurred in 1618, 1629 and 1637, on each occasion taking about 3,000 lives. In the 15th century, the city was attacked several times by the Victual Brothers, and in 1429 they succeeded in burning the royal castle and much of the city. In 1665, the city's harbour was the site of the Battle of Vågen, when an English naval flotilla attacked a Dutch merchant and treasure fleet supported by the city's garrison. Accidental fires sometimes got out of control, and one in 1702 reduced most of the town to ashes.
Throughout the 15th and 16th centuries, Bergen remained one of the largest cities in Scandinavia, and it was Norway's biggest city until the 1830s, being overtaken by the capital city of Oslo. From around 1600, the Hanseatic dominance of the city's trade gradually declined in favour of Norwegian merchants (often of Hanseatic ancestry), and in the 1750s, the Kontor, or major trading post of the Hanseatic League, finally closed. During the 17th and 18th centuries, Bergen was involved in the Atlantic slave trade. Bergen-based slave trader Jørgen Thormøhlen, the largest shipowner in Norway, was the main owner of the slave ship Cornelia, which made two slave-trading voyages in 1673 and 1674 respectively; he also developed the city's industrial sector, particularly in the neighbourhood of Møhlenpris, which is named after him. Bergen retained its monopoly of trade with northern Norway until 1789. The Bergen stock exchange, the Bergen børs, was established in 1813.
Modern history
Bergen was separated from Hordaland as a county of its own in 1831. It was established as a municipality on 1 January 1838 (see formannskapsdistrikt). The rural municipality of Bergen landdistrikt was merged with Bergen on 1 January 1877. The rural municipality of Årstad was merged with Bergen on 1 July 1915.
During World War II, Bergen was occupied on the first day of the German invasion on 9 April 1940, after a brief fight between German ships and the Norwegian coastal artillery. The Norwegian resistance movement groups in Bergen were Saborg, Milorg, "Theta-gruppen", Sivorg, Stein-organisasjonen and the Communist Party. On 20 April 1944, during the German occupation, the Dutch cargo ship Voorbode anchored off the Bergenhus Fortress, loaded with over 120 tons of explosives, and blew up, killing at least 150 people and damaging historic buildings. The city was subject to some Allied bombing raids, aimed at German naval installations in the harbour. Some of these caused Norwegian civilian casualties numbering about 100.
Bergen is also well known in Norway for the Isdal Woman (Norwegian: Isdalskvinnen), an unidentified person who was found dead at Isdalen ("Ice Valley") on 29 November 1970. The unsolved case encouraged international speculation over the years and it remains one of the most profound mysteries in recent Norwegian history.
The rural municipalities of Arna, Fana, Laksevåg, and Åsane were merged with Bergen on 1 January 1972. The city lost its status as a separate county on the same date, and Bergen is now a municipality, in the county of Vestland.
Fires
The city's history is marked by numerous great fires. In 1198, the Bagler faction set fire to the city in connection with a battle against the Birkebeiner faction during the civil war. In 1248, Holmen and Sverresborg burned, and 11 churches were destroyed. In 1413 another fire struck the city, and 14 churches were destroyed. In 1428 the city was plundered by the Victual Brothers, and in 1455, Hanseatic merchants were responsible for burning down Munkeliv Abbey. In 1476, Bryggen burned down in a fire started by a drunk trader. In 1582, another fire hit the city centre and Strandsiden. In 1675, 105 buildings burned down in Øvregaten. In 1686 another great fire hit Strandsiden, destroying 231 city blocks and 218 boathouses. The greatest fire in history was in 1702, when 90% of the city was burned to ashes. In 1751, there was a great fire at Vågsbunnen. In 1756, yet another fire at Strandsiden burned down 1,500 buildings, and further great fires hit Strandsiden in 1771 and 1901. In 1916, 300 buildings burned down in the city centre including the Swan pharmacy, the oldest pharmacy in Norway, and in 1955 parts of Bryggen burned down.
Toponymy
Bergen is pronounced in English /ˈbɜːrɡən/ or /ˈbɛərɡən/ and in Norwegian [ˈbæ̀rɡn̩] (in the local dialect [ˈbæ̂ʁɡɛn]). The Old Norse forms of the name were Bergvin [ˈberɡˌwin] and Bjǫrgvin [ˈbjɔrɡˌwin] (and in Icelandic and Faroese the city is still called Björgvin). The first element is berg (n.) or bjǫrg (n.), which translates as 'mountain(s)'. The last element is vin (f.), which means a new settlement where there used to be a pasture or meadow. The full meaning is then "the meadow among the mountains". This is a suitable name: Bergen is often called "the city among the seven mountains". It was the playwright Ludvig Holberg who felt so inspired by the seven hills of Rome, that he decided that his home town must be blessed with a corresponding seven mountains – and locals still argue which seven they are.
In 1918, there was a campaign to reintroduce the Norse form Bjørgvin as the name of the city. This was turned down – but as a compromise, the name of the diocese was changed to Bjørgvin bispedømme.
Bergen occupies most of the peninsula of Bergenshalvøyen in the district of Midthordland in mid-western Hordaland. The municipality covers an area of 465 square kilometres (180 square miles). Most of the urban area is on or close to a fjord or bay, although the urban area has several mountains. The city centre is surrounded by the Seven Mountains, although there is disagreement as to which of the nine mountains constitute these. Ulriken, Fløyen, Løvstakken and Damsgårdsfjellet are always included as well as three of Lyderhorn, Sandviksfjellet, Blåmanen, Rundemanen and Kolbeinsvarden. Gullfjellet is Bergen's highest mountain, at 987 metres (3,238 ft) above mean sea level. Bergen is far enough north that during clear nights at the solstice, there is borderline civil daylight in spite of the sun having set.
Bergen is sheltered from the North Sea by the islands Askøy, Holsnøy (the municipality of Meland) and Sotra (the municipalities of Fjell and Sund). Bergen borders the municipalities Alver and Osterøy to the north, Vaksdal and Samnanger to the east, Os (Bjørnafjorden) and Austevoll to the south, and Øygarden and Askøy to the west.
The city centre of Bergen lies in the west of the municipality, facing the fjord of Byfjorden. It is among a group of mountains known as the Seven Mountains, although the number is a matter of definition. From here, the urban area of Bergen extends to the north, west and south, and to its east is a large mountain massif. Outside the city centre and the surrounding neighbourhoods (i.e. Årstad, inner Laksevåg and Sandviken), the majority of the population lives in relatively sparsely populated residential areas built after 1950. While some are dominated by apartment buildings and modern terraced houses (e.g. Fyllingsdalen), others are dominated by single-family homes.
The oldest part of Bergen is the area around the bay of Vågen in the city centre. Originally centred on the bay's eastern side, Bergen eventually expanded west and southwards. Few buildings from the oldest period remain, the most significant being St Mary's Church from the 12th century. For several hundred years, the extent of the city remained almost constant. The population was stagnant, and the city limits were narrow. In 1702, seven-eighths of the city burned. Most of the old buildings of Bergen, including Bryggen (which was rebuilt in a mediaeval style), were built after the fire. The fire marked a transition from tar covered houses, as well as the remaining log houses, to painted and some brick-covered wooden buildings.
The last half of the 19th century saw a period of rapid expansion and modernisation. The fire of 1855 west of Torgallmenningen led to the development of regularly sized city blocks in this area of the city centre. The city limits were expanded in 1876, and Nygård, Møhlenpris and Sandviken were urbanized with large-scale construction of city blocks housing both the poor and the wealthy. Their architecture is influenced by a variety of styles; historicism, classicism and Art Nouveau. The wealthy built villas between Møhlenpris and Nygård, and on the side of Mount Fløyen; these areas were also added to Bergen in 1876. Simultaneously, an urbanization process was taking place in Solheimsviken in Årstad, at that time outside the Bergen municipality, centred on the large industrial activity in the area. The workers' homes in this area were poorly built, and little remains after large-scale redevelopment in the 1960s–1980s.
After Årstad became a part of Bergen in 1916, a development plan was applied to the new area. Few city blocks akin to those in Nygård and Møhlenpris were planned. Many of the worker class built their own homes, and many small, detached apartment buildings were built. After World War II, Bergen had again run short of land to build on, and, contrary to the original plans, many large apartment buildings were built in Landås in the 1950s and 1960s. Bergen acquired Fyllingsdalen from Fana municipality in 1955. Like similar areas in Oslo (e.g. Lambertseter), Fyllingsdalen was developed into a modern suburb with large apartment buildings, mid-rises, and some single-family homes, in the 1960s and 1970s. Similar developments took place beyond Bergen's city limits, for example in Loddefjord.
At the same time as planned city expansion took place inside Bergen, its extra-municipal suburbs also grew rapidly. Wealthy citizens of Bergen had been living in Fana since the 19th century, but as the city expanded it became more convenient to settle in the municipality. Similar processes took place in Åsane and Laksevåg. Most of the homes in these areas are detached row houses,[clarification needed] single family homes or small apartment buildings. After the surrounding municipalities were merged with Bergen in 1972, expansion has continued in largely the same manner, although the municipality encourages condensing near commercial centres, future Bergen Light Rail stations, and elsewhere.
As part of the modernisation wave of the 1950s and 1960s, and due to damage caused by World War II, the city government ambitiously planned redevelopment of many areas in central Bergen. The plans involved demolition of several neighbourhoods of wooden houses, namely Nordnes, Marken, and Stølen. None of the plans was carried out in its original form; the Marken and Stølen redevelopment plans were discarded and that of Nordnes only carried out in the area that had been most damaged by war. The city council of Bergen had in 1964 voted to demolish the entirety of Marken, however, the decision proved to be highly controversial and the decision was reversed in 1974. Bryggen was under threat of being wholly or partly demolished after the fire of 1955, when a large number of the buildings burned to the ground. Instead of being demolished, the remaining buildings were restored and accompanied by reconstructions of some of the burned buildings.
Demolition of old buildings and occasionally whole city blocks is still taking place, the most recent major example being the 2007 razing of Jonsvollskvartalet at Nøstet.
Billboards are banned in the city.
Culture and sports
Bergens Tidende (BT) and Bergensavisen (BA) are the largest newspapers, with circulations of 87,076 and 30,719 in 2006, BT is a regional newspaper covering all of Vestland, while BA focuses on metropolitan Bergen. Other newspapers published in Bergen include the Christian national Dagen, with a circulation of 8.936, and TradeWinds, an international shipping newspaper. Local newspapers are Fanaposten for Fana, Sydvesten for Laksevåg and Fyllingsdalen and Bygdanytt for Arna and the neighbouring municipality Osterøy. TV 2, Norway's largest private television company, is based in Bergen.
The 1,500-seat Grieg Hall is the city's main cultural venue, and home of the Bergen Philharmonic Orchestra, founded in 1765, and the Bergen Woodwind Quintet. The city also features Carte Blanche, the Norwegian national company of contemporary dance. The annual Bergen International Festival is the main cultural festival, which is supplemented by the Bergen International Film Festival. Two internationally renowned composers from Bergen are Edvard Grieg and Ole Bull. Grieg's home, Troldhaugen, has been converted to a museum. During the 1990s and early 2000s, Bergen produced a series of successful pop, rock and black metal artists, collectively known as the Bergen Wave.
Den Nationale Scene is Bergen's main theatre. Founded in 1850, it had Henrik Ibsen as one of its first in-house playwrights and art directors. Bergen's contemporary art scene is centred on BIT Teatergarasjen, Bergen Kunsthall, United Sardines Factory (USF) and Bergen Center for Electronic Arts (BEK). Bergen was a European Capital of Culture in 2000. Buekorps is a unique feature of Bergen culture, consisting of boys aged from 7 to 21 parading with imitation weapons and snare drums. The city's Hanseatic heritage is documented in the Hanseatic Museum located at Bryggen.
SK Brann is Bergen's premier football team; founded in 1908, they have played in the (men's) Norwegian Premier League for all but seven years since 1963 and consecutively, except one season after relegation in 2014, since 1987. The team were the football champions in 1961–1962, 1963, and 2007,[155] and reached the quarter-finals of the Cup Winners' Cup in 1996–1997. Brann play their home games at the 17,824-seat Brann Stadion. FK Fyllingsdalen is the city's second-best team, playing in the Second Division at Varden Amfi. Its predecessor, Fyllingen, played in the Norwegian Premier League in 1990, 1991 and 1993. Arna-Bjørnar and Sandviken play in the Women's Premier League.
Bergen IK is the premier men's ice hockey team, playing at Bergenshallen in the First Division. Tertnes play in the Women's Premier Handball League, and Fyllingen in the Men's Premier Handball League. In athletics, the city is dominated by IL Norna-Salhus, IL Gular and FIK BFG Fana, formerly also Norrøna IL and TIF Viking. The Bergen Storm are an American football team that plays matches at Varden Kunstgress and plays in the second division of the Norwegian league.
Bergensk is the native dialect of Bergen. It was strongly influenced by Low German-speaking merchants from the mid-14th to mid-18th centuries. During the Dano-Norwegian period from 1536 to 1814, Bergen was more influenced by Danish than other areas of Norway. The Danish influence removed the female grammatical gender in the 16th century, making Bergensk one of very few Norwegian dialects with only two instead of three grammatical genders. The Rs are uvular trills, as in French, which probably spread to Bergen some time in the 18th century, overtaking the alveolar trill in the time span of two to three generations. Owing to an improved literacy rate, Bergensk was influenced by riksmål and bokmål in the 19th and 20th centuries. This led to large parts of the German-inspired vocabulary disappearing and pronunciations shifting slightly towards East Norwegian.
The 1986 edition of the Eurovision Song Contest took place in Bergen. Bergen was the host city for the 2017 UCI Road World Championships. The city is also a member of the UNESCO Creative Cities Network in the category of gastronomy since 2015.
Street art
Bergen is considered to be the street art capital of Norway. Famed artist Banksy visited the city in 2000 and inspired many to start creating street art. Soon after, the city brought up the most famous street artist in Norway: Dolk. His art can still be seen in several places in the city, and in 2009 the city council choose to preserve Dolk's work "Spray" with protective glass. In 2011, Bergen council launched a plan of action for street art in Bergen from 2011 to 2015 to ensure that "Bergen will lead the fashion for street art as an expression both in Norway and Scandinavia".
The Madam Felle (1831–1908) monument in Sandviken, is in honour of a Norwegian woman of German origin, who in the mid-19th century managed, against the will of the council, to maintain a counter of beer. A well-known restaurant of the same name is now situated at another location in Bergen. The monument was erected in 1990 by sculptor Kari Rolfsen, supported by an anonymous donor. Madam Felle, civil name Oline Fell, was remembered after her death in a popular song, possibly originally a folksong, "Kjenner Dokker Madam Felle?" by Lothar Lindtner and Rolf Berntzen on an album in 1977.
Norway , officially the Kingdom of Norway , is a Nordic , European country and an independent state in the west of the Scandinavian Peninsula . Geographically speaking, the country is long and narrow, and on the elongated coast towards the North Atlantic are Norway's well-known fjords . The Kingdom of Norway includes the main country (the mainland with adjacent islands within the baseline ), Jan Mayen and Svalbard . With these two Arctic areas, Norway covers a land area of 385,000 km² and has a population of approximately 5.5 million (2023). Mainland Norway borders Sweden in the east , Finland and Russia in the northeast .
Norway is a parliamentary democracy and constitutional monarchy , where Harald V has been king and head of state since 1991 , and Jonas Gahr Støre ( Ap ) has been prime minister since 2021 . Norway is a unitary state , with two administrative levels below the state: counties and municipalities . The Sami part of the population has, through the Sami Parliament and the Finnmark Act , to a certain extent self-government and influence over traditionally Sami areas. Although Norway has rejected membership of the European Union through two referendums , through the EEA Agreement Norway has close ties with the Union, and through NATO with the United States . Norway is a significant contributor to the United Nations (UN), and has participated with soldiers in several foreign operations mandated by the UN. Norway is among the states that have participated from the founding of the UN , NATO , the Council of Europe , the OSCE and the Nordic Council , and in addition to these is a member of the EEA , the World Trade Organization , the Organization for Economic Co-operation and Development and is part of the Schengen area .
Norway is rich in many natural resources such as oil , gas , minerals , timber , seafood , fresh water and hydropower . Since the beginning of the 20th century, these natural conditions have given the country the opportunity for an increase in wealth that few other countries can now enjoy, and Norwegians have the second highest average income in the world, measured in GDP per capita, as of 2022. The petroleum industry accounts for around 14% of Norway's gross domestic product as of 2018. Norway is the world's largest producer of oil and gas per capita outside the Middle East. However, the number of employees linked to this industry fell from approx. 232,000 in 2013 to 207,000 in 2015.
In Norway, these natural resources have been managed for socially beneficial purposes. The country maintains a welfare model in line with the other Nordic countries. Important service areas such as health and higher education are state-funded, and the country has an extensive welfare system for its citizens. Public expenditure in 2018 is approx. 50% of GDP, and the majority of these expenses are related to education, healthcare, social security and welfare. Since 2001 and until 2021, when the country took second place, the UN has ranked Norway as the world's best country to live in . From 2010, Norway is also ranked at the top of the EIU's democracy index . Norway ranks third on the UN's World Happiness Report for the years 2016–2018, behind Finland and Denmark , a report published in March 2019.
The majority of the population is Nordic. In the last couple of years, immigration has accounted for more than half of population growth. The five largest minority groups are Norwegian-Poles , Lithuanians , Norwegian-Swedes , Norwegian-Syrians including Syrian Kurds and Norwegian-Pakistani .
Norway's national day is 17 May, on this day in 1814 the Norwegian Constitution was dated and signed by the presidency of the National Assembly at Eidsvoll . It is stipulated in the law of 26 April 1947 that 17 May are national public holidays. The Sami national day is 6 February. "Yes, we love this country" is Norway's national anthem, the song was written in 1859 by Bjørnstjerne Bjørnson (1832–1910).
Norway's history of human settlement goes back at least 10,000 years, to the Late Paleolithic , the first period of the Stone Age . Archaeological finds of settlements along the entire Norwegian coast have so far been dated back to 10,400 before present (BP), the oldest find is today considered to be a settlement at Pauler in Brunlanes , Vestfold .
For a period these settlements were considered to be the remains of settlers from Doggerland , an area which today lies beneath the North Sea , but which was once a land bridge connecting today's British Isles with Danish Jutland . But the archaeologists who study the initial phase of the settlement in what is today Norway reckon that the first people who came here followed the coast along what is today Bohuslân. That they arrived in some form of boat is absolutely certain, and there is much evidence that they could easily move over large distances.
Since the last Ice Age, there has been continuous settlement in Norway. It cannot be ruled out that people lived in Norway during the interglacial period , but no trace of such a population or settlement has been found.
The Stone Age lasted a long time; half of the time that our country has been populated. There are no written accounts of what life was like back then. The knowledge we have has been painstakingly collected through investigations of places where people have stayed and left behind objects that we can understand have been processed by human hands. This field of knowledge is called archaeology . The archaeologists interpret their findings and the history of the surrounding landscape. In our country, the uplift after the Ice Age is fundamental. The history of the settlements at Pauler is no more than fifteen years old.
The Fosna culture settled parts of Norway sometime between 10,000–8,000 BC. (see Stone Age in Norway ). The dating of rock carvings is set to Neolithic times (in Norway between 4000 BC to 1700 BC) and show activities typical of hunters and gatherers .
Agriculture with livestock and arable farming was introduced in the Neolithic. Swad farming where the farmers move when the field does not produce the expected yield.
More permanent and persistent farm settlements developed in the Bronze Age (1700 BC to 500 BC) and the Iron Age . The earliest runes have been found on an arrowhead dated to around 200 BC. Many more inscriptions are dated to around 800, and a number of petty kingdoms developed during these centuries. In prehistoric times, there were no fixed national borders in the Nordic countries and Norway did not exist as a state. The population in Norway probably fell to year 0.
Events in this time period, the centuries before the year 1000, are glimpsed in written sources. Although the sagas were written down in the 13th century, many hundreds of years later, they provide a glimpse into what was already a distant past. The story of the fimbul winter gives us a historical picture of something that happened and which in our time, with the help of dendrochronology , can be interpreted as a natural disaster in the year 536, created by a volcanic eruption in El Salvador .
In the period between 800 and 1066 there was a significant expansion and it is referred to as the Viking Age . During this period, Norwegians, as Swedes and Danes also did, traveled abroad in longships with sails as explorers, traders, settlers and as Vikings (raiders and pirates ). By the middle of the 11th century, the Norwegian kingship had been firmly established, building its right as descendants of Harald Hårfagre and then as heirs of Olav the Holy . The Norwegian kings, and their subjects, now professed Christianity . In the time around Håkon Håkonsson , in the time after the civil war , there was a small renaissance in Norway with extensive literary activity and diplomatic activity with Europe. The black dew came to Norway in 1349 and killed around half of the population. The entire state apparatus and Norway then entered a period of decline.
Between 1396 and 1536, Norway was part of the Kalmar Union , and from 1536 until 1814 Norway had been reduced to a tributary part of Denmark , named as the Personal Union of Denmark-Norway . This staff union entered into an alliance with Napoléon Bonaparte with a war that brought bad times and famine in 1812 . In 1814, Denmark-Norway lost the Anglophone Wars , part of the Napoleonic Wars , and the Danish king was forced to cede Norway to the king of Sweden in the Treaty of Kiel on 14 January of that year. After a Norwegian attempt at independence, Norway was forced into a loose union with Sweden, but where Norway was allowed to create its own constitution, the Constitution of 1814 . In this period, Norwegian, romantic national feeling flourished, and the Norwegians tried to develop and establish their own national self-worth. The union with Sweden was broken in 1905 after it had been threatened with war, and Norway became an independent kingdom with its own monarch, Haakon VII .
Norway remained neutral during the First World War , and at the outbreak of the Second World War, Norway again declared itself neutral, but was invaded by National Socialist Germany on 9 April 1940 .
Norway became a member of the Western defense alliance NATO in 1949 . Two attempts to join the EU were voted down in referendums by small margins in 1972 and 1994 . Norway has been a close ally of the United States in the post-war period. Large discoveries of oil and natural gas in the North Sea at the end of the 1960s led to tremendous economic growth in the country, which is still ongoing. Traditional industries such as fishing are also part of Norway's economy.
Stone Age (before 1700 BC)
When most of the ice disappeared, vegetation spread over the landscape and due to a warm climate around 2000-3000 BC. the forest grew much taller than in modern times. Land uplift after the ice age led to a number of fjords becoming lakes and dry land. The first people probably came from the south along the coast of the Kattegat and overland into Finnmark from the east. The first people probably lived by gathering, hunting and trapping. A good number of Stone Age settlements have been found which show that such hunting and trapping people stayed for a long time in the same place or returned to the same place regularly. Large amounts of gnawed bones show that they lived on, among other things, reindeer, elk, small game and fish.
Flintstone was imported from Denmark and apart from small natural deposits along the southern coast, all flintstone in Norway is transported by people. At Espevær, greenstone was quarried for tools in the Stone Age, and greenstone tools from Espevær have been found over large parts of Western Norway. Around 2000-3000 BC the usual farm animals such as cows and sheep were introduced to Norway. Livestock probably meant a fundamental change in society in that part of the people had to be permanent residents or live a semi-nomadic life. Livestock farming may also have led to conflict with hunters.
The oldest traces of people in what is today Norway have been found at Pauler , a farm in Brunlanes in Larvik municipality in Vestfold . In 2007 and 2008, the farm has given its name to a number of Stone Age settlements that have been excavated and examined by archaeologists from the Cultural History Museum at UiO. The investigations have been carried out in connection with the new route for the E18 motorway west of Farris. The oldest settlement, located more than 127 m above sea level, is dated to be about 10,400 years old (uncalibrated, more than 11,000 years in real calendar years). From here, the ice sheet was perhaps visible when people settled here. This locality has been named Pauler I, and is today considered to be the oldest confirmed human traces in Norway to date. The place is in the mountains above the Pauler tunnel on the E18 between Larvik and Porsgrunn . The pioneer settlement is a term archaeologists have adopted for the oldest settlement. The archaeologists have speculated about where they came from, the first people in what is today Norway. It has been suggested that they could come by boat or perhaps across the ice from Doggerland or the North Sea, but there is now a large consensus that they came north along what is today the Bohuslän coast. The Fosna culture , the Komsa culture and the Nøstvet culture are the traditional terms for hunting cultures from the Stone Age. One thing is certain - getting to the water was something they mastered, the first people in our country. Therefore, within a short time they were able to use our entire long coast.
In the New Stone Age (4000 BC–1700 BC) there is a theory that a new people immigrated to the country, the so-called Stone Ax People . Rock carvings from this period show motifs from hunting and fishing , which were still important industries. From this period, a megalithic tomb has been found in Østfold .
It is uncertain whether there were organized societies or state-like associations in the Stone Age in Norway. Findings from settlements indicate that many lived together and that this was probably more than one family so that it was a slightly larger, organized herd.
Finnmark
In prehistoric times, animal husbandry and agriculture were of little economic importance in Finnmark. Livelihoods in Finnmark were mainly based on fish, gathering, hunting and trapping, and eventually domestic reindeer herding became widespread in the Middle Ages. Archaeological finds from the Stone Age have been referred to as the Komsa culture and comprise around 5,000 years of settlement. Finnmark probably got its first settlement around 8000 BC. It is believed that the coastal areas became ice-free 11,000 years BC and the fjord areas around 9,000 years BC. after which willows, grass, heather, birch and pine came into being. Finnmarksvidda was covered by pine forest around 6000 BC. After the Ice Age, the land rose around 80 meters in the inner fjord areas (Alta, Tana, Varanger). Due to ice melting in the polar region, the sea rose in the period 6400–3800 BC. and in areas with little land elevation, some settlements from the first part of the Stone Age were flooded. On Sørøya, the net sea level rise was 12 to 14 meters and many residential areas were flooded.
According to Bjørnar Olsen , there are many indications of a connection between the oldest settlement in Western Norway (the " Fosnakulturen ") and that in Finnmark, but it is uncertain in which direction the settlement took place. In the earliest part of the Stone Age, settlement in Finnmark was probably concentrated in the coastal areas, and these only reflected a lifestyle with great mobility and no permanent dwellings. The inner regions, such as Pasvik, were probably used seasonally. The archaeologically proven settlements from the Stone Age in inner Finnmark and Troms are linked to lakes and large watercourses. The oldest petroglyphs in Alta are usually dated to 4200 BC, that is, the Neolithic . Bjørnar Olsen believes that the oldest can be up to 2,000 years older than this.
From around 4000 BC a slow deforestation of Finnmark began and around 1800 BC the vegetation distribution was roughly the same as in modern times. The change in vegetation may have increased the distance between the reindeer's summer and winter grazing. The uplift continued slowly from around 4000 BC. at the same time as sea level rise stopped.
According to Gutorm Gjessing, the settlement in Finnmark and large parts of northern Norway in the Neolithic was semi-nomadic with movement between four seasonal settlements (following the pattern of life in Sami siida in historical times): On the outer coast in summer (fishing and seal catching) and inland in winter (hunting for reindeer, elk and bear). Povl Simonsen believed instead that the winter residence was in the inner fjord area in a village-like sod house settlement. Bjørnar Olsen believes that at the end of the Stone Age there was a relatively settled population along the coast, while inland there was less settlement and a more mobile lifestyle.
Bronze Age (1700 BC–500 BC)
Bronze was used for tools in Norway from around 1500 BC. Bronze is a mixture of tin and copper , and these metals were introduced because they were not mined in the country at the time. Bronze is believed to have been a relatively expensive material. The Bronze Age in Norway can be divided into two phases:
Early Bronze Age (1700–1100 BC)
Younger Bronze Age (1100–500 BC)
For the prehistoric (unwritten) era, there is limited knowledge about social conditions and possible state formations. From the Bronze Age, there are large burial mounds of stone piles along the coast of Vestfold and Agder, among others. It is likely that only chieftains or other great men could erect such grave monuments and there was probably some form of organized society linked to these. In the Bronze Age, society was more organized and stratified than in the Stone Age. Then a rich class of chieftains emerged who had close connections with southern Scandinavia. The settlements became more permanent and people adopted horses and ard . They acquired bronze status symbols, lived in longhouses and people were buried in large burial mounds . Petroglyphs from the Bronze Age indicate that humans practiced solar cultivation.
Finnmark
In the last millennium BC the climate became cooler and the pine forest disappears from the coast; pine forests, for example, were only found in the innermost part of the Altafjord, while the outer coast was almost treeless. Around the year 0, the limit for birch forest was south of Kirkenes. Animals with forest habitats (elk, bear and beaver) disappeared and the reindeer probably established their annual migration routes sometime at that time. In the period 1800–900 BC there were significantly more settlements in and utilization of the hinterland was particularly noticeable on Finnmarksvidda. From around 1800 BC until year 0 there was a significant increase in contact between Finnmark and areas in the east including Karelia (where metals were produced including copper) and central and eastern Russia. The youngest petroglyphs in Alta show far more boats than the earlier phases and the boats are reminiscent of types depicted in petroglyphs in southern Scandinavia. It is unclear what influence southern Scandinavian societies had as far north as Alta before the year 0. Many of the cultural features that are considered typical Sami in modern times were created or consolidated in the last millennium BC, this applies, among other things, to the custom of burying in brick chambers in stone urns. The Mortensnes burial ground may have been used for 2000 years until around 1600 AD.
Iron Age (c. 500 BC–c. 1050 AD)
The Einangsteinen is one of the oldest Norwegian runestones; it is from the 4th century
Simultaneous production of Vikings
Around 500 years BC the researchers reckon that the Bronze Age will be replaced by the Iron Age as iron takes over as the most important material for weapons and tools. Bronze, wood and stone were still used. Iron was cheaper than bronze, easier to work than flint , and could be used for many purposes; iron probably became common property. Iron could, among other things, be used to make solid and sharp axes which made it much easier to fell trees. In the Iron Age, gold and silver were also used partly for decoration and partly as means of payment. It is unknown which language was used in Norway before our era. From around the year 0 until around the year 800, everyone in Scandinavia (except the Sami) spoke Old Norse , a North Germanic language. Subsequently, several different languages developed in this area that were only partially mutually intelligible. The Iron Age is divided into several periods:
Early Iron Age
Pre-Roman Iron Age (c. 500 BC–c. 0)
Roman Iron Age (c. 0–c. AD 400)
Migration period (approx. 400–600). In the migration period (approx. 400–600), new peoples came to Norway, and ruins of fortress buildings etc. are interpreted as signs that there has been talk of a violent invasion.
Younger Iron Age
Merovingian period (500–800)
The Viking Age (793–1066)
Norwegian Vikings go on plundering expeditions and trade voyages around the coastal countries of Western Europe . Large groups of Norwegians emigrate to the British Isles , Iceland and Greenland . Harald Hårfagre starts a unification process of Norway late in the 8th century , which was completed by Harald Hardråde in the 1060s . The country was Christianized under the kings Olav Tryggvason , fell in the battle of Svolder ( 1000 ) and Olav Haraldsson (the saint), fell in the battle of Stiklestad in 1030 .
Sources of prehistoric times
Shrinking glaciers in the high mountains, including in Jotunheimen and Breheimen , have from around the year 2000 uncovered objects from the Viking Age and earlier. These are objects of organic material that have been preserved by the ice and that elsewhere in nature are broken down in a few months. The finds are getting older as the melting makes the archaeologists go deeper into the ice. About half of all archaeological discoveries on glaciers in the world are made in Oppland . In 2013, a 3,400-year-old shoe and a robe from the year 300 were found. Finds at Lomseggen in Lom published in 2020 revealed, among other things, well-preserved horseshoes used on a mountain pass. Many hundreds of items include preserved clothing, knives, whisks, mittens, leather shoes, wooden chests and horse equipment. A piece of cloth dated to the year 1000 has preserved its original colour. In 2014, a wooden ski from around the year 700 was found in Reinheimen . The ski is 172 cm long and 14 cm wide, with preserved binding of leather and wicker.
Pytheas from Massalia is the oldest known account of what was probably the coast of Norway, perhaps somewhere on the coast of Møre. Pytheas visited Britannia around 325 BC. and traveled further north to a country by the "Ice Sea". Pytheas described the short summer night and the midnight sun farther north. He wrote, among other things, that people there made a drink from grain and honey. Caesar wrote in his work about the Gallic campaign about the Germanic tribe Haruders. Other Roman sources around the year 0 mention the land of the Cimbri (Jutland) and the Cimbri headlands ( Skagen ) and that the sources stated that Cimbri and Charyds lived in this area. Some of these peoples may have immigrated to Norway and there become known as hordes (as in Hordaland). Sources from the Mediterranean area referred to the islands of Scandia, Scandinavia and Thule ("the outermost of all islands"). The Roman historian Tacitus wrote around the year 100 a work about Germania and mentioned the people of Scandia, the Sviones. Ptolemy wrote around the year 150 that the Kharudes (Hordes) lived further north than all the Cimbri, in the north lived the Finnoi (Finns or Sami) and in the south the Gutai (Goths). The Nordic countries and Norway were outside the Roman Empire , which dominated Europe at the time. The Gothic-born historian Jordanes wrote in the 5th century about 13 tribes or people groups in Norway, including raumaricii (probably Romerike ), ragnaricii ( Ranrike ) and finni or skretefinni (skrid finner or ski finner, i.e. Sami) as well as a number of unclear groups. Prokopios wrote at the same time about Thule north of the land of the Danes and Slavs, Thule was ten times as big as Britannia and the largest of all the islands. In Thule, the sun was up 40 days straight in the summer. After the migration period , southern Europeans' accounts of northern Europe became fuller and more reliable.
Settlement in prehistoric times
Norway has around 50,000 farms with their own names. Farm names have persisted for a long time, over 1000 years, perhaps as much as 2000 years. The name researchers have arranged different types of farm names chronologically, which provides a basis for determining when the place was used by people or received a permanent settlement. Uncompounded landscape names such as Haug, Eid, Vik and Berg are believed to be the oldest. Archaeological traces indicate that some areas have been inhabited earlier than assumed from the farm name. Burial mounds also indicate permanent settlement. For example, the burial ground at Svartelva in Løten was used from around the year 0 to the year 1000 when Christianity took over. The first farmers probably used large areas for inland and outland, and new farms were probably established based on some "mother farms". Names such as By (or Bø) show that it is an old place of residence. From the older Iron Age, names with -heim (a common Germanic word meaning place of residence) and -stad tell of settlement, while -vin and -land tell of the use of the place. Farm names in -heim are often found as -um , -eim or -em as in Lerum and Seim, there are often large farms in the center of the village. New farm names with -city and -country were also established in the Viking Age . The first farmers probably used the best areas. The largest burial grounds, the oldest archaeological finds and the oldest farm names are found where the arable land is richest and most spacious.
It is unclear whether the settlement expansion in Roman times, migrations and the Iron Age is due to immigration or internal development and population growth. Among other things, it is difficult to demonstrate where in Europe the immigrants have come from. The permanent residents had both fields (where grain was grown) and livestock that grazed in the open fields, but it is uncertain which of these was more important. Population growth from around the year 200 led to more utilization of open land, for example in the form of settlements in the mountains. During the migration period, it also seems that in parts of the country it became common to have cluster gardens or a form of village settlement.
Norwegian expansion northwards
From around the year 200, there was a certain migration by sea from Rogaland and Hordaland to Nordland and Sør-Troms. Those who moved settled down as a settled Iron Age population and became dominant over the original population which may have been Sami . The immigrant Norwegians, Bumen , farmed with livestock that were fed inside in the winter as well as some grain cultivation and fishing. The northern border of the Norwegians' settlement was originally at the Toppsundet near Harstad and around the year 500 there was a Norwegian settlement to Malangsgapet. That was as far north as it was possible to grow grain at the time. Malangen was considered the border between Hålogaland and Finnmork until around 1400 . Further into the Viking Age and the Middle Ages, there was immigration and settlement of Norwegian speakers along the coast north of Malangen. Around the year 800, Norwegians lived along the entire outer coast to Vannøy . The Norwegians partly copied Sami livelihoods such as whaling, fur hunting and reindeer husbandry. It was probably this area between Malangen and Vannøy that was Ottar from the Hålogaland area. In the Viking Age, there were also some Norwegian settlements further north and east. East of the North Cape are the scattered archaeological finds of Norwegian settlement in the Viking Age. There are Norwegian names for fjords and islands from the Viking Age, including fjord names with "-anger". Around the year 1050, there were Norwegian settlements on the outer coast of Western Finnmark. Traders and tax collectors traveled even further.
North of Malangen there were Norse farming settlements in the Iron Age. Malangen was considered Finnmark's western border until 1300. There are some archaeological traces of Norse activity around the coast from Tromsø to Kirkenes in the Viking Age. Around Tromsø, the research indicates a Norse/Sami mixed culture on the coast.
From the year 1100 and the next 200–300 years, there are no traces of Norwegian settlement north and east of Tromsø. It is uncertain whether this is due to depopulation, whether it is because the Norwegians further north were not Christianized or because there were no churches north of Lenvik or Tromsø . Norwegian settlement in the far north appears from sources from the 14th century. In the Hanseatic period , the settlement was developed into large areas specialized in commercial fishing, while earlier (in the Viking Age) there had been farms with a combination of fishing and agriculture. In 1307 , a fortress and the first church east of Tromsø were built in Vardø . Vardø became a small Norwegian town, while Vadsø remained Sami. Norwegian settlements and churches appeared along the outermost coast in the Middle Ages. After the Reformation, perhaps as a result of a decline in fish stocks or fish prices, there were Norwegian settlements in the inner fjord areas such as Lebesby in Laksefjord. Some fishing villages at the far end of the coast were abandoned for good. In the interior of Finnmark, there was no national border for a long time and Kautokeino and Karasjok were joint Norwegian-Swedish areas with strong Swedish influence. The border with Finland was established in 1751 and with Russia in 1826.
On a Swedish map from 1626, Norway's border is indicated at Malangen, while Sweden with this map showed a desire to control the Sami area which had been a common area.
The term Northern Norway only came into use at the end of the 19th century and administratively the area was referred to as Tromsø Diocese when Tromsø became a bishopric in 1840. There had been different designations previously: Hålogaland originally included only Helgeland and when Norse settlement spread north in the Viking Age and the Middle Ages, Hålogaland was used for the area north approximately to Malangen , while Finnmark or "Finnmarken", "the land of the Sami", lay outside. The term Northern Norway was coined at a cafe table in Kristiania in 1884 by members of the Nordlændingernes Forening and was first commonly used in the interwar period as it eventually supplanted "Hålogaland".
State formation
The battle in Hafrsfjord in the year 872 has long been regarded as the day when Norway became a kingdom. The year of the battle is uncertain (may have been 10-20 years later). The whole of Norway was not united in that battle: the process had begun earlier and continued a couple of hundred years later. This means that the geographical area became subject to a political authority and became a political unit. The geographical area was perceived as an area as it is known, among other things, from Ottar from Hålogaland's account for King Alfred of Wessex around the year 880. Ottar described "the land of the Norwegians" as very long and narrow, and it was narrowest in the far north. East of the wasteland in the south lay Sveoland and in the north lay Kvenaland in the east. When Ottar sailed south along the land from his home ( Malangen ) to Skiringssal, he always had Norway ("Nordveg") on his port side and the British Isles on his starboard side. The journey took a good month. Ottar perceived "Nordveg" as a geographical unit, but did not imply that it was a political unit. Ottar separated Norwegians from Swedes and Danes. It is unclear why Ottar perceived the population spread over such a large area as a whole. It is unclear whether Norway as a geographical term or Norwegians as the name of a ethnic group is the oldest. The Norwegians had a common language which in the centuries before Ottar did not differ much from the language of Denmark and Sweden.
According to Sverre Steen, it is unlikely that Harald Hårfagre was able to control this entire area as one kingdom. The saga of Harald was written 300 years later and at his death Norway was several smaller kingdoms. Harald probably controlled a larger area than anyone before him and at most Harald's kingdom probably included the coast from Trøndelag to Agder and Vestfold as well as parts of Viken . There were probably several smaller kingdoms of varying extent before Harald and some of these are reflected in traditional landscape names such as Ranrike and Ringerike . Landscape names of "-land" (Rogaland) and "-mark" (Hedmark) as well as names such as Agder and Sogn may have been political units before Harald.
According to Sverre Steen, the national assembly was completed at the earliest at the battle of Stiklestad in 1030 and the introduction of Christianity was probably a significant factor in the establishment of Norway as a state. Håkon I the good Adalsteinsfostre introduced the leasehold system where the "coastal land" (as far as the salmon went up the rivers) was divided into ship raiders who were to provide a longship with soldiers and supplies. The leidange was probably introduced as a defense against the Danes. The border with the Danes was traditionally at the Göta älv and several times before and after Harald Hårfagre the Danes had control over central parts of Norway.
Christianity was known and existed in Norway before Olav Haraldson's time. The spread occurred both from the south (today's Denmark and northern Germany) and from the west (England and Ireland). Ansgar of Bremen , called the "Apostle of the North", worked in Sweden, but he was never in Norway and probably had little influence in the country. Viking expeditions brought the Norwegians of that time into contact with Christian countries and some were baptized in England, Ireland and northern France. Olav Tryggvason and Olav Haraldson were Vikings who returned home. The first Christians in Norway were also linked to pre-Christian local religion, among other things, by mixing Christian symbols with symbols of Odin and other figures from Norse religion.
According to Sverre Steen, the introduction of Christianity in Norway should not be perceived as a nationwide revival. At Mostratinget, Christian law was introduced as law in the country and later incorporated into the laws of the individual jurisdictions. Christianity primarily involved new forms in social life, among other things exposure and images of gods were prohibited, it was forbidden to "put out" unwanted infants (to let them die), and it was forbidden to have multiple wives. The church became a nationwide institution with a special group of officials tasked with protecting the church and consolidating the new religion. According to Sverre Steen, Christianity and the church in the Middle Ages should therefore be considered together, and these became a new unifying factor in the country. The church and Christianity linked Norway to Roman Catholic Europe with Church Latin as the common language, the same time reckoning as the rest of Europe and the church in Norway was arranged much like the churches in Denmark, Sweden and England. Norway received papal approval in 1070 and became its own church province in 1152 with Archbishop Nidaros .
With Christianity, the country got three social powers: the peasants (organized through the things), the king with his officials and the church with the clergy. The things are the oldest institution: At allthings all armed men had the right to attend (in part an obligation to attend) and at lagthings met emissaries from an area (that is, the lagthings were representative assemblies). The Thing both ruled in conflicts and established laws. The laws were memorized by the participants and written down around the year 1000 or later in the Gulationsloven , Frostatingsloven , Eidsivatingsloven and Borgartingsloven . The person who had been successful at the hearing had to see to the implementation of the judgment themselves.
Early Middle Ages (1050s–1184)
The early Middle Ages is considered in Norwegian history to be the period between the end of the Viking Age around 1050 and the coronation of King Sverre in 1184 . The beginning of the period can be dated differently, from around the year 1000 when the Christianization of the country took place and up to 1100 when the Viking Age was over from an archaeological point of view. From 1035 to 1130 it was a time of (relative) internal peace in Norway, even several of the kings attempted campaigns abroad, including in 1066 and 1103 .
During this period, the church's organization was built up. This led to a gradual change in religious customs. Religion went from being a domestic matter to being regulated by common European Christian law and the royal power gained increased power and influence. Slavery (" servitude ") was gradually abolished. The population grew rapidly during this period, as the thousands of farm names ending in -rud show.
The urbanization of Norway is a historical process that has slowly but surely changed Norway from the early Viking Age to today, from a country based on agriculture and sea salvage, to increasingly trade and industry. As early as the ninth century, the country got its first urban community, and in the eleventh century we got the first permanent cities.
In the 1130s, civil war broke out . This was due to a power struggle and that anyone who claimed to be the king's son could claim the right to the throne. The disputes escalated into extensive year-round warfare when Sverre Sigurdsson started a rebellion against the church's and the landmen's candidate for the throne , Magnus Erlingsson .
Emergence of cities
The oldest Norwegian cities probably emerged from the end of the 9th century. Oslo, Bergen and Nidaros became episcopal seats, which stimulated urban development there, and the king built churches in Borg , Konghelle and Tønsberg. Hamar and Stavanger became new episcopal seats and are referred to in the late 12th century as towns together with the trading places Veøy in Romsdal and Kaupanger in Sogn. In the late Middle Ages, Borgund (on Sunnmøre), Veøy (in Romsdalsfjorden) and Vågan (in Lofoten) were referred to as small trading places. Urbanization in Norway occurred in few places compared to the neighboring countries, only 14 places appear as cities before 1350. Stavanger became a bishopric around 1120–1130, but it is unclear whether the place was already a city then. The fertile Jæren and outer Ryfylke were probably relatively densely populated at that time. A particularly large concentration of Irish artefacts from the Viking Age has been found in Stavanger and Nord-Jæren.
It has been difficult to estimate the population in the Norwegian medieval cities, but it is considered certain that the cities grew rapidly in the Middle Ages. Oscar Albert Johnsen estimated the city's population before the Black Death at 20,000, of which 7,000 in Bergen, 3,000 in Nidaros, 2,000 in Oslo and 1,500 in Tunsberg. Based on archaeological research, Lunden estimates that Oslo had around 1,500 inhabitants in 250 households in the year 1300. Bergen was built up more densely and, with the concentration of exports there, became Norway's largest city in a special position for several hundred years. Knut Helle suggests a city population of 20,000 at most in the High Middle Ages, of which almost half in Bergen.
The Bjarkøyretten regulated the conditions in cities (especially Bergen and Nidaros) and in trading places, and for Nidaros had many of the same provisions as the Frostating Act . Magnus Lagabøte's city law replaced the bjarkøretten and from 1276 regulated the settlement in Bergen and with corresponding laws also drawn up for Oslo, Nidaros and Tunsberg. The city law applied within the city's roof area . The City Act determined that the city's public streets consisted of wide commons (perpendicular to the shoreline) and ran parallel to the shoreline, similarly in Nidaros and Oslo. The roads were small streets of up to 3 cubits (1.4 metres) and linked to the individual property. From the Middle Ages, the Norwegian cities were usually surrounded by wooden fences. The urban development largely consisted of low wooden houses which stood in contrast to the relatively numerous and dominant churches and monasteries built in stone.
The City Act and supplementary provisions often determined where in the city different goods could be traded, in Bergen, for example, cattle and sheep could only be traded on the Square, and fish only on the Square or directly from the boats at the quayside. In Nidaros, the blacksmiths were required to stay away from the densely populated areas due to the risk of fire, while the tanners had to stay away from the settlements due to the strong smell. The City Act also attempted to regulate the influx of people into the city (among other things to prevent begging in the streets) and had provisions on fire protection. In Oslo, from the 13th century or earlier, it was common to have apartment buildings consisting of single buildings on a couple of floors around a courtyard with access from the street through a gate room. Oslo's medieval apartment buildings were home to one to four households. In the urban farms, livestock could be kept, including pigs and cows, while pastures and fields were found in the city's rooftops . In the apartment buildings there could be several outbuildings such as warehouses, barns and stables. Archaeological excavations show that much of the buildings in medieval Oslo, Trondheim and Tønsberg resembled the oblong farms that have been preserved at Bryggen in Bergen . The land boundaries in Oslo appear to have persisted for many hundreds of years, in Bergen right from the Middle Ages to modern times.
High Middle Ages (1184–1319)
After civil wars in the 12th century, the country had a relative heyday in the 13th century. Iceland and Greenland came under the royal authority in 1262 , and the Norwegian Empire reached its greatest extent under Håkon IV Håkonsson . The last king of Haraldsätten, Håkon V Magnusson , died sonless in 1319 . Until the 17th century, Norway stretched all the way down to the mouth of Göta älv , which was then Norway's border with Sweden and Denmark.
Just before the Black Death around 1350, there were between 65,000 and 85,000 farms in the country, and there had been a strong growth in the number of farms from 1050, especially in Eastern Norway. In the High Middle Ages, the church or ecclesiastical institutions controlled 40% of the land in Norway, while the aristocracy owned around 20% and the king owned 7%. The church and monasteries received land through gifts from the king and nobles, or through inheritance and gifts from ordinary farmers.
Settlement and demography in the Middle Ages
Before the Black Death, there were more and more farms in Norway due to farm division and clearing. The settlement spread to more marginal agricultural areas higher inland and further north. Eastern Norway had the largest areas to take off and had the most population growth towards the High Middle Ages. Along the coast north of Stad, settlement probably increased in line with the extent of fishing. The Icelandic Rimbegla tells around the year 1200 that the border between Finnmark (the land of the Sami) and resident Norwegians in the interior was at Malangen , while the border all the way out on the
The Kappa was built by Lancia from 1994 until 2000. It shared its platform with the Alfa Romeo 166. The Kappa was succeeded by the ill-fated Thesis. After the cooperation with Chrysler failed Lancia is reduced to one single model available in some most European markets.
- Og Mandino
Well, as you know, I have passed the CBEST Exam and now tomorrow, at 7 in the morning (yeah, that's right 7 IN THE MORNING), I will be taking my Praxis II Tests:
Art: Content, Traditions, Criticism and Aesthetics (3 essay questions)
AND
Art: Content Knowledge (70 multiple choice questions)
The multiple choice covers a wide range of topics. Questions about artists, architecture, painting techniques, artistic movements, sculpting techniques. Basically, everything and anything about art. An example of a multiple choice question is as follows:
1)The pointillist paintings of Georges Seurat are most notable for containing which of
the following characteristics?
(A)An expressionistic use of broad brushstrokes and tactile surface texture
(B) Lively figures created through the use of forceful lines
(C) Static figures and a sense of optical surface movement
(D)An emotional use of strident colors with a high degree of simplification
An example of an essay question is as follows:
Audrey Flack’s Queen is an example of Photorealism, an art movement of the 1970’s that grew out of a revival of interest in realism. Write a critique of this work in which you discuss the following:
(PART A) What are the primary concerns and techniques of Photorealism as represented by Queen?
(PART B) How does Flack’s treatment of realism compare with the treatment of realism in earlier periods, for example Dutch Realism or nineteenth-century Realism?
(PART C) How does the work challenge the viewer’s perception of reality and art? Why is it challenging? What questions does the work cause the viewer to ask?
Yeah, that is ONE essay question and I only have 20 minutes to answer it.
It is not going to be easy. Please send me those brainy vibes of yours!! They worked so well for the CBEST :)
So now I will be spending the rest of the day studying and worrying and over-thinking :/
I will be catching up on all of your streams this weekend.
Happy Friday everyone...
If at first you don't succeed, redefine your objectives then celebrate your success. I spent three solid days trying to coax Redpolls to my feeders. There aren't many around, so I wan't really hopeful. Still, I hear them going over my yard about once a day. I put out lots of treats for them. Thistle, sunflower seed, cracked whatever that stuff is in the shed, suet. No luck. Tons of other birds are happy. Loads of Goldfinch. Twenty differnt species of things I wasn't interested in.
There is a group of about 20 Bluebirds hanging around as well. Lots of holly and cedar berries and I occasionally throw out some dried meal worms. I have a few bird houses up that they are using at night and spend half the day fighting over. Going to put up a few more tomorrow. Gotta be crowded in there on cold nights.
Anyway, I took this shot towards the end of the day as a consolation prize. It's actually the first time I had the camera out, despite my Redpoll quest. Most of the time, I was sitting in my Jeep in the middle of the lawn. Warmer and drier. I'll have to look for a nicer perch. Most of the time, they just sit on the old bird house (or the handle of the wheel barrel or the mirror on my car).
The Carolina Wrens seemed to get really pissed when I spend much time in my blind. They seem to think that it belongs to them. They certainly left enough crap in there to lay claim to the place. I suppose I could hang a couple of roosting thingies in there for them. I have a bunch in the shed.
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