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Classic Rock Lovers
Classic Rock Lovers  
3 w

“She’s pressed the star after she’s pressed unlock”: The Arctic Monkeys lyric frozen in time
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“She’s pressed the star after she’s pressed unlock”: The Arctic Monkeys lyric frozen in time

A relic or double meaning? The post “She’s pressed the star after she’s pressed unlock”: The Arctic Monkeys lyric frozen in time first appeared on Far Out Magazine.
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Classic Rock Lovers
Classic Rock Lovers  
3 w

The Week In Rock: August 16th – 23rd
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The Week In Rock: August 16th – 23rd

Ozzy Tattoo 8/16 Ozzy Osbourne Remembered Aston Villa Football Club remembers the late Black Sabbath singer ahead of the Premier League opener against Newcastle United at Villa Park in Birmingham, United Kingdom. Ozzy grew up in Aston. A video tribute is shown while the teams enter to Ozzy’s live performance of “Crazy Train.”  Ozzy Osbourne 8/18 “Ozzy Osbourne: Coming Home” Pulled The one-hour film about the “last chapter” of Ozzy’s life is pulled from the BBC without explanation. on BBC. “The film has moved in the schedule and we’ll confirm new details,” states a BBC spokesperson. Later, the BBC adds, “we are respecting the family’s wishes to wait a bit longer before airing this very special film in due course.” Lars Ulrich Made In Japan 8/19 “Live In Japan” Is The Best “I just wanna take a brief second and say 53 years ago, this very weekend (August 15th -17th), Deep Purple were in Japan for the very first time,” says Metallica’s Lars Ulrich in an interview. “The concerts became the ‘Made In Japan’ album — in my humble opinion, hands down the best Hard Rock live album ever. I have heard it just about 18,000 times, and every time I hear it, it just gets better and better and better, and it’s so crazy cool.” The double album was originally released in December ’72 in Japan, with a U.S. release the following March. It became a critical and commercial success. The band was unenthusiastic about recording a live album until their Japanese record company decided it would be good for publicity. Thanks in part to a killer version of “Smoke On The Water,” “Made In Japan” was an immediate commercial success, particularly in the U.S. Oval Office w/ Zelensky Steven Cheung 8/19 Jack White Slams Oval Office Decor – White House Responds “Look at how disgusting Trump has transformed the historic White House,” posts Jack White (White Stripes) on Instagram after seeing images of the Trump/Ukrainian president Volodymyr Zelensky meeting in the oval office. “It’s now a vulgar, gold leafed and gaudy professional wrestler’s dressing room. Can’t wait for the UFC match on the front lawn too.” White House Communications Director Steven Cheung responds saying,” Jack White is a washed up, has-been loser posting drivel on social media because he clearly has ample time on his hands due to his stalled career.” There’s bad blood between Trump and White ranges from White’s defense of Zelensky following the Trump/Zelensky public oval office clash earlier in the year to the Trump campaign’s unauthorized use of “Seven Nation Army” in a promo clip. Def Leppard 8/20 Def Leppard on “AGT” Def Leppard perform “Pour Some Sugar On Me” on NBC’s talent competition “America’s Got Talent.” Asked to share some advice for the competition’s hopefuls, Def Leppard’s singer Joe Elliott says, “Live your dream.” Brent Hinds 8/20 Former Mastodon Guitarist Dies Brent Hinds is killed in a car/motorcycle accident in southeast Atlanta. A female operating a BMW SUV failed to yield while turning left and collided with Hinds who was operating a Harley Davidson. Hinds, who left Mastodon earlier this year, was 51 years old. The Who 8/21 The Who Cancel Philly Concert The Who’s concert in Philadelphia at Xfinity Mobile Arena, is postponed due to illness. Tickets are valid for a rescheduled show, The Who are on “The Song Is Over” U.S. farewell tour. The band’s first ‘farewell’ trek was four decades ago. The Warning: Live From Auditorio Nacional, CDMX 8/22 The Warning Live From Auditorio Nacional, CDMX Concert Album Is Out It’s a companion album to the concert film of the same name. “We’re so excited to share a night that we’ll never forget, a moment that is etched in our band’s history,” said the band. “Having a live album has always been a dream of ours and, for it to be out in a concert film, vinyl and everything in between, is a huge accomplishment for us. We hope that our fans who see or hear this piece of work get to feel the same exhilaration and excitement we felt while playing this show. The live debut of our album Keep Me Fed was possible thanks to the work of a huge team, and we are so happy that their work and ours get to live in a piece of media forever.” All Is Beautiful… Because We’re Doomed 8/22 We Came As Romans: All Is Beautiful… Because We’re Doomed The set contains the track “Culture Wound.” “‘(The song) is about taking a look inside and deciding which side of yourself is going to control your life,” stated the band. “This song was written to question our human nature — is it inherently good or inherently selfish? Are we here to try and make something better for everyone or just survive for ourselves? All of the different ‘sides of ourselves’ that we’ve discovered, struggled with, or left behind.” Private Music 8/22 Deftones: Private Music “Private Music,” with the lead single “My Mind Is A Mountain,” is the first Deftones album in fifteen years without bassist Sergio Vega. It’s also their first studio album since “Ohms” (2020), making it the Alt. Metal band’s longest gap between two albums. Deftones will embark on a North American tour that will coincide with the album’s release. Arron Lewis Bruce Springsteen 8/22 Staind Frontman Trashes Bruce Springsteen Staind frontman Aaron Lewis expresses his disillusionment with Bruce Springsteen on Tucker Carlson’s podcast. “I used to call ‘Born In The USA’ one of the most anti-American songs, ironically celebrating the values of being born in America.” Lewis continued saying, “I think it’s disgraceful how he fails to recognize his own privilege. It’s easy to have an anti-American stance when you’re wealthy and privileged, He’s just out of touch with the struggles.” For the record, Springsteen has played benefits for causes against nuclear energy, for Vietnam veterans, and for Amnesty International. He founded two charity organizations, The Trill Foundation and The Foundation Inc., which focus on helping low-income families gain resources and funding.  Sleep Theory 8/23 Sleep Theory Take “Static” To #1 Sleep Theory score its second consecutive #1 on Billboard’s Mainstream Rock Airplay chart with “Static.” It follows “Stuck in My Head” to the top. Both songs are from the band’s debut album “Afterglow.” ### The post The Week In Rock: August 16th – 23rd appeared first on RockinTown.
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Intel Uncensored
Intel Uncensored
3 w

From Ghost Kitchens And Robot Restaurants To Self-Driving Delivery Vehicles, Artificial Intelligence Is Rapidly Working To Make Humans Like You Obsolete
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From Ghost Kitchens And Robot Restaurants To Self-Driving Delivery Vehicles, Artificial Intelligence Is Rapidly Working To Make Humans Like You Obsolete

by Geoffrey Grinder, Now The End Begins: People are rapidly being phased out from the work force as bots and AI begin the process of fully-automating our global society ahead of Agenda 2030 mandate Want to hear something funny? This is really good. Do you remember back in 2019 when Joe Biden told all those people […]
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History Traveler
History Traveler
3 w

The Ancient Egyptian Mastabas Were the Forebearers of the Pyramids
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The Ancient Egyptian Mastabas Were the Forebearers of the Pyramids

  Before the ancient Egyptians built pyramids to house their god-kings for eternity, they built less enduring and less aesthetically pleasing tomb structures known as mastabas. Taken from the modern Arabic word for “bench,” mastabas were flat, raised mud-brick structures that housed the kings’ tombs underneath. Despite their rather unassuming look, mastabas played an important role in the development of ancient Egyptian religion and culture. Mastabas would become the literal and figurative building blocks for pyramids, giving Egyptian engineers inspiration for their later, more imposing structures. Mastabas would also influence Egyptian religion.   Before the Mastaba: The First Mound Temple The obverse and reverse sides of the Narmer Palette, Early Dynastic Egyptian, c. 3100 BCE. Source: Wikimedia Commons   While mastabas were precursors to the pyramids, precursors to mastaba construction began in one of ancient Egypt’s first cities, Nekhen, more commonly known by its Greek name, Hierakonpolis. Located in the far southern part of Egypt, known as Upper Egypt, along the Nile River, Hierakonpolis formed as several villages coalesced in about 2900 BCE. Hierakonpolis was an important city in the Predynastic and Early Dynastic periods, serving as a political and religious center. One of the most significant archaeological finds from Hierakonpolis was the Narmer Palette, which is believed to represent the political unification of Upper and Lower Egypt.   The religious significance of Hierakonpolis was centered around its being a cult center of Horus, the falcon-headed Egyptian god of the sky and kingship. Egyptian kings were believed to be the living incarnation of Horus, with the god playing an integral part in Egyptian religion throughout pharaonic history.   Horus may have been the theological focal point of Hierakonpolis, but the archaeological center was a large temple mound. Little is left of the temple mound because it was built from mudbrick, which does not preserve well over the millennia. Nevertheless, the mound was quite large, as determined by a 162 feet long retaining wall that enclosed it. Although the Hierakonpolis temple apparently did not function as a tomb, it likely became a template for later mastabas.   Statue of Horus protecting King Nectanebo II, Late Period Egyptian, c. 360-343 BCE. Source: Metropolitan Museum of Art   The idea of a mound played an important role in Egyptian theology. Mastabas were likely meant to resemble mounds, as were later pyramids. But what those mounds represented is open to scholarly interpretation. Perhaps the most credible theory suggested by Egyptologists is that mastabas, and later pyramids, represented the primordial mound of creation. According to the Heliopolitan version of creation, the creator god, Atum, came forth from the primeval mound in an act of self-creation. Atum then created the first pair of deities, Shu and Tefnut, through masturbation, as related in the ancient Egyptian Pyramid Texts. The text also impeaches Shu and Tefnut to place the king between them and “set the King among the gods in front of the Field of offerings.”   Therefore, it is likely that mastabas represented where the Egyptians believed life began. The Egyptians also believed that when the king died, he returned to that place so that he could live again for eternity.   Abydos: The City of Mastabas Statue of Osiris, Late Period Egyptian, c. 760-30 BCE. Source: Museum of Fine Arts, Boston   Located north of Hierakonpolis but still in Upper Egypt, Abydos was an important cult center. The significance of Abydos was linked to its association as the home of Osiris, god of the dead, so temples were built for the god throughout Pharaonic history. Sitting on the west bank of the Nile River, Abydos set the precedent for the proper side of the Nile for tomb construction. All the kings of the First Dynasty and the last two kings of the Second Dynasty were interred in Abydos, including Narmer/Menes. These were the first true mastabas, as they were bench-like structures built on top of brick chambers that were in large pits. There is no doubt that the Abydos mastabas functioned as royal tombs, and as time progressed, they became more elaborate.   In addition to Narmer/Mens, Iri-Hor, and Ka, all the kings of the so-called “Dynasty 0” were buried under mastabas in Abydos. The kings of the 1st Dynasty were also buried at Abydos, near one another west of the Dynasty 0 tombs. Persibsen, the penultimate king of the 2nd Dynasty, had his mastaba located between the 1st Dynasty and Dynasty 0 tombs. The mastabas of the Dynasty 0 kings were small and modest, which changed with the mastaba of the first king of the 1st Dynasty, Aha.   Statue of King Khasekhemway, Early Dynastic Egypt, c. 2686 BCE. Source: Ashmolean Museum, Oxford   Aha’s mastaba was more complex than those of Dynasty 0. It originally began as a double chamber tomb but was added to over time and eventually consisted of three large mudbrick-lined pits. Aha was probably buried in the middle pit, although his mummy was never recovered. Another innovation in mastaba building during the 1st Dynasty was the addition of a staircase. King Den’s tomb was the first to have a staircase, which made it possible to build an even deeper tomb. Seven kings and one queen built their mastabas in the northeast section of the Abydos necropolis. There is no doubt that Aha’s mastaba provided the blueprint for all later mastabas in terms of function and style. Yet when the 1st Dynasty ended, the royal mastaba building line mysteriously ended, at least temporarily.   Part of the enclosure of Khasekhemway’s mastaba at Abydos, Early Dynastic Egyptian, c. 2686 BCE. Source: Wikimedia Commons   Although the kings of the early 2nd Dynasty (c. 2890-2686 BCE) were buried in mastabas like their predecessors, most of their tombs are unidentified. Egyptologists have identified the mastabas of the last two kings of the dynasty, Persibsen and Khasekhemway, which has helped complete the link between mastabas and pyramids. Khasekhemway’s mastaba, known today as “Shunet el-Zebid,” was by far the most impressive of the two and the most important of all the Abydos mastabas.   Bronze bowl from the mastaba of Khasekhemway, Early Dynastic Egypt, c. 2686 BCE. Source: British Museum   Located just west of the settlement of Abydos, Khasekhemway’s mastaba functioned as a tomb and mortuary temple where the deceased king was worshipped. This was also the same function that the Old Kingdom pyramids served. The mastaba was surrounded by an enclosure that measured 177 feet by 370 feet internally and 400 feet by 213 feet externally. It was surrounded by a double wall of mudbrick that was 36 feet high and 18 feet thick in some places. The entire complex was 53,820 square feet in total, making it the greatest temple complex of the Early Dynasty Period. As a sign of how spiritually important Khasekhemway’s mastaba complex was to the Egyptians, it was known as the “Fortress of the Gods.” During its prime, with its large walls enclosing the mastaba, it must have truly looked like a fortress that was protecting the mummy of the deceased god-king.   Mastabas of Saqqara: Are They Tombs? Reconstructed mastaba tomb in Saqqara of the official, Perneb, Old Kingdom Egyptian, c. 2381-2323 BCE. Source: Metropolitan Museum of Art   Abydos retained its importance as the home of the Osiris cult and, therefore, one of the most important religious centers in ancient Egypt. Yet, not long after Upper and Lower Egypt were unified as one state, the Lower Egyptian city of Memphis became the political capital. Known in the Egyptian language as Ineb Hedj Niut (“City of the White Wall”) or Menenfer (“Beautiful Min”), building activity shifted there at an early point. A necropolis developed on the west bank of the Nile River near the modern town of Saqqara. A row of mastabas dated to the 1st Dynasty, just north of Djoser’s Step Pyramid, has been of particular archaeological interest.   The Saqqara mastabas show a clear technical step forward in the evolution from mastaba in the direction of the pyramid. These were deeply recessed, niched mastabas that were much more complex than the pit-graves of Abydos. Based on this knowledge, many early Egyptologists, including Walter Emery, who excavated there from 1936 to 1956, believed these mastabas were royal tombs. Emery believed that because the Saqqara mastabas were much larger and more ornate than those in Abydos, they had to be royal tombs. To support this argument, Emery noted that many of the mastabas contained seal impressions of the 1st Dynasty kings. Still, not all Egyptologists are convinced.   Djoser’s Step Pyramid, Old Kingdom Egyptian, c. 2667-2648 BCE. Source: Copyright Jared Krebsbach   Mark Lehner has argued that because the 1st Dynasty king’s tombs have been identified in Abydos, the mastabas of Saqqara served other purposes. It could be that the Saqqara mastabas served as cenotaphs of the 1st Dynasty kings, where their ka or spirit dwelled and could be worshiped. The Abydos mastabas, though, were where the king’s mummies were interred. Another possibility is that the Saqqara mastabas were tombs of nobles or nomarchs. Nomarchs were regional governors whose power declined when the central government was strong and increased in times of central weakness. It is important to note that although the Saqqara tombs were more ornate and the tombs were bigger than those in Abydos, the complexes were not. When the enclosures are included, the Abydos mastaba complexes were much larger.   The final mastaba of importance from the Early Dynastic period is known as “Mastaba 3038.” This mastaba was dated to the reign of the 1st Dynasty king Anedjib, but like the other mastabas of Saqqara, its owner remains unknown. Mastaba 3038 had a 13-foot rectangular pit with mudbrick walls that were 19 feet high. Most important, three sides of the mastaba were built to form eight shallow steps that rose to an angle of forty-nine degrees. This mastaba clearly represented the halfway point in the evolution from mastaba to pyramid.   The Final Step From Mastaba to Pyramid View of the Step Pyramid Complex, Old Kingdom Egyptian, c. 2667-2648 BCE. Source: Copyright Jared Krebsbach   The 3rd Dynasty (c. 2686-2613 BCE) is viewed by Egyptologists as the beginning of a new era in pharaonic history, the Old Kingdom (c. 2686-2125 BCE). Pyramids replaced mastabas as the focal point of ancient Egyptian architecture in the Old Kingdom, but the mastaba made one last important appearance.   According to the 3rd century BCE Hellenistic Egyptian high-priest of Serapis and historian Manetho, the first stone monuments were built during King Djoser’s (c. 2667-2648 BCE) rule. Transmissions of Manetho’s fragments reveal that the passage containing this information is somewhat confusing.   “Tosorthos, for 29 years. (In his reign lived Imuthês,) who because of his medical skill has the reputation of Asclepios among the Egyptians, and who was the inventor of the art of building with hewn stone. He also devoted attention to writing.”   Statue of a high-priest of Serapis, Roman-Egyptian, c. 230-240 CE. Source: Altes Museum, Berlin   Tosorthos is likely a garbled version of Djoser’s name, with the rest of the passage’s importance stating that Imhotep introduced stone architecture. Mastabas were primarily built of mudbrick, which is why so few of them remain to this day. Imhotep improved mastaba construction by building the first stone tomb, the Step Pyramid, and using multiple mastabas. The Step Pyramid is simply six successively smaller stone mastabas placed on top of each other to reach 34 feet in height. The Step Pyramid also expanded on the idea of a tomb complex from the royal Abydos mastabas. A 5,397-foot-long wall enclosed the Step Pyramid and its temple complex, which was dedicated to the king.   After the Step Pyramid, Egyptian architects refined the structure and created the first true pyramid in the 4th Dynasty (c. 2613-2494 BCE). However, the Pyramids of Giza and all later Egyptian pyramids would not have been possible without the development of mastaba tombs.
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History Traveler
History Traveler
3 w

9 Revelations From Viking Runes
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9 Revelations From Viking Runes

  The Vikings were not prolific writers. They have left behind no written historical treatises, religious texts, or even administrative documents. The Norse sagas and mythologies were written down in the post-Viking age, when the spread of Christianity saw Latin script adapted to produce Old Norse prose. But the Vikings do seem to have been widely literate, using a runic text known as Futhark to create highly visible monumental inscriptions and to inscribe personal objects. What do these surviving inscriptions tell us about life in the Viking Age? Read on to discover nine revelations from the Viking runes.   1. The Runes Were an Ancient Scandinavian Tradition Svingerund Runestone, c. 1-250 CE, the oldest known runestone in Norway. Source: Viking Ship Museum, Roskilde   In 2021, archaeologists working with the University of Oslo trekked to a field in eastern Norway, where they found graves and a runestone. Known as the Svingerund Runestone, the reddish-brown sandstone carried the inscription: “Idibera.” The meaning is unclear; it may be the name of one of the people buried nearby, but scholars are uncertain if it is a first or last name.   Radiocarbon dating of associated grave materials suggests the stone was inscribed around 1-250 CE, making it the oldest dated runestone. The inscription is written in Elder Futhark, the Germanic runic text that predated the Young Futhark runes used in the Viking Age.   2. The Runes Had Magical Applications Stentoften Runestone, Sweden, c. 500-700 CE. Source: Wikimedia Commons   According to Norse myth, the god Odin learned the power of the runes by hanging himself from the world tree Yggdrasil for nine days and nights, pierced by his spear, until their secrets were revealed.  He shared those secrets with mankind, giving them the runes both as an alphabet, but also as a magical toolkit. Many of the sagas describe heroes performing rune magic. Getting it right was important, and one Viking poet admonished: “Let no man carve runes to cast a spell, save first he learns to read them well.”   The Stentoften Runestone was found at Blekinge, Sweden. Dating to 500-700 CE, it also used Elder Futhark and appears to contain a curse. It says that the master of the runes concealed here nine bucks, nine stallions, and runes of power to result in insidious death to whoever breaks, presumably, the entrance to a nearby burial mound. It was also found on the ground with the inscription facing downwards and surrounded by five sharp, larger stones forming a pentagram.   3. Runemasters Created Monumental Inscriptions The Rimsø Stone. Source: National Museum of Denmark, Copenhagen   Runestones have been found in many shapes and sizes. Inscriptions vary in length and content. A variety of geometric and animal designs adorn these stones. Time has taken its toll on many. The most dramatic impact of the centuries has been the loss of color. Remnants of paint sometimes survive, indicating that they were once brightly colored.   Runestone from Gotland. Source: Swedish History Museum, Stockholm   Vikings gave credit where it was due. Most runestones start by telling the reader who commissioned the runestone, and also credit the rune carver. For example, a stone from Skälby reads: “Björn and Igulfast and Jon had this bridge built in memory of Torsten, their brother. Öpir cut the runes.” A study of runestones from the Mälar Valley reveals that a person (likely persons) by the name of Øpir received credit for some fifty surviving runic inscriptions. Rune carving could have been a family profession and was probably carried out in workshops with multiple craftsmen.   The Glavendrup Stone, Denmark, c. 10th century. Source: National Museum of Denmark, Copenhagen   Advances in technology provide archaeologists with high-tech means of assessing similarities and differences in carving techniques on different runestones. Using 3D-scanning and multivariate statistical methods, scholars assessed runestones from Denmark. They found that specific rune carvers were associated with specific families.   4. Harald Bluetooth Was a Rune Trendsetter Monument raised in honor of Queen Thyra, Jelling, Denmark, c. 950 CE. Source: Wikimedia Commons   Around 950 CE, Gorm the Old raised a small stone memorial to his wife, Queen Thyra. The stone was carved with several lines of runes and two snake heads. The runes read: “King Gorm made these runes in honor of his wife Thyra, the pride of Denmark.”   Colorized version of a runestone raised by Harald Bluetooth at Jelling, c. 970 CE. Source: UNESCO   Around 970 CE, Gorm’s son Harald Bluetooth decided to continue the memorial tradition. At Jelling, he had an elaborate runestone erected in memory of his father and mother. The inscription on the larger stone also contains a bit of bragging from the king: “King Harald ordered these monuments made in memory of Gorm, his father, and in memory of Thyra, his mother; that Harald who won for himself all of Denmark and Norway and made the Danes Christian.” Most Danish runestones date to between 975-1025 CE, so Gorm and Harald are often credited with getting runestones trending in Viking Age Denmark.   5. Cultural Transitions Are Reflected in the Rines  Runestone raised by a woman named Unna, Sweden, c. 11th century. Source: Swedish History Museum, Stockholm   While most Viking runestones were erected during the pagan period, they continued to be erected as the Vikings started to convert to Christianity. A runestone from Sweden known as Unna’s stone reads: “Unna had this stone erected for her son Östen, who died in christening clothes. God help his soul.” Another runestone from Denmark reads: “Svæinn…raised this stone in memory of Bø̄si, his son…who was killed in battle at Ūtlengia. May Lord God and Saint Michael help his spirit.” Saint Michael was an archangel frequently depicted as a warrior, which may have explained his appeal in the Viking world   6. Inscription Celebrated the Raiding Lifestyle The Haerulf Stone, Jutland, Denmark, c. 10th century. Source: Wikimedia Commons   While we refer to Vikings today, Medieval Scandinavians would have called themselves Danes, Swedes, or Norsemen. Viking means “pirate” and refers to the Viking practice of raiding other communities for wealth and slaves.  A runestone erected in Upland, Sweden, provides an example of the treasure and bragging rights associated with the Viking lifestyle: “Ulv took three gelds in England. The first was that which Tostig paid. Then Thorkell paid. Then Cnut paid.”   But sailing and traveling abroad were dangerous endeavors in the medieval world. Runestones show that many died abroad. In Gripsholm, a mother named Tola had a stone made for her son, Harald. The stone read: “They went gallantly far for gold and in the east fed the eagle. They died in the south in Saracenland.”   Two sisters in Fagerlöt lost their father in a similar manner. They commissioned a stone for their father, Eskil, that read: “He offered battle on the eastern route before the war-fierce one had to fall.” A runestone raised by Sassurr for his father, Hallvarđr, reports that the man “drowned abroad with all the seamen…May this stone stand in memory.” Those left behind in Scandinavia ensured that the Vikings who fell in battle abroad would be remembered as fierce, brave warriors for generations to come.   7. Runes Could Also Record Official Business Jelling Stone, Denmark, c. 970. Source: Wikimedia Commons   Vikings often traveled to raid, trade, and conquer. Inscriptions on runestones provide anecdotes of other official voyages. In Sweden, brothers Skúli and Folki had a runestone erected for their brother Húsbjǫrn. The runestone reveals that Húsbjǫrn traveled to Gotland to collect taxes from the island. He fell ill while away, but was not forgotten by his family.   Runestones also recorded property transfers. A particularly long runestone from Hillersjö, Sweden, records the traumatic relationships and losses of a woman named Geirlaug and how they impacted her inheritance. The runestone notes that her first husband drowned, then her first son died. She lost several other children during her second marriage, except for a daughter, named Inga. Inga’s husband and child died, so when Inga died, Geirlaug inherited her property.   8. Personal Objects Were Also Inscribed with Runes Viking age comb case inscribed with runes that read: “Thorfast made a good comb.” Source: British Museum   Vikings erected hundreds of stone memorials, but also left runic inscriptions on other objects and in other places. In 1964, a dramatic discovery was made in the Hagia Sophia. Across the marble floor of the famous mosque in Turkey, a runic inscription was found reading: “Halfdan carved these runes.” Millions of feet had passed through that mosque for centuries before the inscription was recognized as Norse and translated as a “Halfdan was here” type message.   Similar inscriptions have been found at places throughout the Viking world documenting the travels of Scandinavians far from home. Names were commonly carved into objects such as necklaces and other accessories. Runes also documented gift exchanges. On a bronze mount, one Viking had the following message inscribed: “Gautvid gave this scales-box to Gudfrid.”   9. Runic Inscriptions Sometimes Contained Riddles The Rök Runestone, Sweden, c. 9th century. Source: Wikimedia Commons   “Let the one solve who can” is a common dare to readers inscribed on runestones, and many scholars are still striving to solve the recorded riddles.   In Sweden, the Rök runestone was erected toward the end of the 9th century CE. Carving runes was hard work. Many inscriptions run on the shorter side, with just a couple of sentences or even fragments of information about the deceased, their family, and the rune carver. The Rök runestone, however, is not a quick read. With 760 runes, it is the longest runic inscription.   A leader named Varinn raised the Rök in memory of his son Vamoth. The long inscription also contains several riddles that scholars continue to ponder. One of the riddles reads: “Let us say this as a memory for Odin, which spoils of war there were two, which twelve times were taken as spoils of war, both from one to another?” Another reads: “Let us say this as a memory for Odin, who because of a wolf has suffered through a woman’s sacrifice?”   Over the years, scholars have put forward different solutions to the riddles, suggesting that they relate to a Viking leader or perhaps to the sun. Viking Age runestones continue to intrigue and shed new light on the people, politics, religion, language, and the arts in the Norse world.
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History Traveler
History Traveler
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Magic and Sorcery in Colonial Latin America
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Magic and Sorcery in Colonial Latin America

  Witchcraft has existed in almost every culture throughout time. Due to the great mixing of customs in Latin America during the colonial period, a new form of witchcraft, or brujería, was born, blending the traditions of European, Native American, and African cultures. Accusations were often used to oppress women, but the practice of witchcraft could also empower them. Though witchcraft has largely fallen out of practice, there are still some cultures that participate in magical rituals today.   The Mixing Pot of South American Magic Witchcraft: The Devil Bringing Medicine to a Man or Woman in Bed (?), woodcut, 1720. Source: Wellcome Collection, JSTOR Brujería, or “witchcraft” in Spanish, has come to describe a multitude of practices descended from European, Native, and African belief systems. These practices were most often seen during the years of the colonial period when tensions between Spanish and Portuguese colonizers, Native Americans, and enslaved Africans were high. Those who practiced witchcraft were targeted by the Inquisition and made to atone for their sins of heresy, either through repentance or torture. Though accusations of witchcraft were often used to suppress women who were underrepresented, in some cases, the practice served to protect non-European women within these colonized areas.   Though accusations of witchcraft are no longer the death sentence they were in the colonial period, there are still some isolated groups that take part in this dying practice. However, because of increased research on traditional healing and spiritual beliefs, some younger people are beginning to show a revived interest in learning about the magic of the past.   Hechicería vs Brujería: Healing and Witchcraft A Distressed Young Woman Protests Her Innocence and Prays before the Judge and the Counsel of the Spanish Inquisition, aquatint by Jazet after S.J.E. Jones. Source: Wellcome Collection, JSTOR   The Spanish colony of Mexico was one of the places where brujería began to develop from a mix of Catholic faith and Indigenous herbalism. This practice was divided into two related but distinct categories—hechicería (“sorcery”), which encompassed natural and herbal magic, and brujería, which involved consorting with demons. Though the Inquisition paid little attention to so-called witchcraft in Mexico and often only asked for repentance as punishment, accusations of witchcraft ran wild. Anything from an incurable illness to dead livestock could be evidence of a witch, or bruja. The targets of these accusations were usually lone women, especially widows and spinsters, as well as midwives. Women were seen as lustful, fickle, and imperfect, which made them the perfect target for the temptations of the devil.   One notable Inquisition case in Mexico was the trial of Isabel de Montoya between 1652 and 1661. She was the daughter of a mulatta woman and made a living as a cook, healer, and midwife. After being accused of witchcraft, she was jailed for three years. Isabel claimed she had learned her trade from another mixed-race woman who showed her how to cast spells to tame a violent husband or to bring luck to clients. Most of the implements she used in her trade were simple—beans, pieces of coal and silver, various herbs, and chocolate. Interestingly, during her trial, Isabel admitted that she would occasionally give her clients a spell that would cause the opposite effect to the one desired. After her trial, not much more was heard of Isabel de Montoya, and she disappeared from the record just like other accused witches.   Brazil’s Witch Affliction The Mulatto Woman, Albert Eckhout, 1641. Source: JSTOR   Colonial Mexico wasn’t the only place where witchcraft thrived and was condemned by the Catholic Church. Since the very early explorations of Brazil, Portuguese colonists had asserted that the type of spirituality practiced by native Brazilian shamans was nothing more than magic. It was in Brazil in 1591 that Paula de Siqueira confessed that she had been learning spells in order to win the love of her husband. This confession was followed by a handful of other witchcraft accusations, all leveled at Brazilian women.   Brazil’s colonial period saw a rapid increase in the types and prevalence of witchcraft being practiced among its female population. This increase in witchery was accompanied by a rise in religious dogma that persecuted anyone who practiced it. Brazilian witchcraft was different from the Mexican variety in that it often integrated African religious elements into its core. However, like Mexico, the Brazilian Portuguese distinguished the feiticeira, or sorceress, from the bruxa, a woman who had a pact with the devil. From the 1500s to the 1600s, Brazil hosted multiple visits from the Portuguese Inquisition, hoping to weed out anyone who was participating in acts that went against the beliefs of the Catholic Church.   Directorium Inquisitorum by Nicolaus Eymericus, 1376. Source: Munich Digitization Center   In the manual for Inquisitors, magic, and witchcraft were listed as some of the most grievous sins, and those who had witnessed them were obligated to report it to the Inquisition. Records state that at least 700 Brazilians came forward during these proceedings, either to confess to witchcraft or to notify inquisitors about suspected magical activities. Many of these women had simple explanations for their involvement in witchcraft—they wanted a man to love them, to catch a thief, or to rid themselves of a pesky son-in-law. Those who wished to report heretical acts stated that witches had cursed their children, causing them to develop strange marks and illnesses that eventually left them dead. Those who were accused could expect to be imprisoned, whipped, or executed. Meanwhile, those who had confessed and shown remorse were given mercy and expected to repent.   Guatemalan Magic: Reclaiming Female Power Witchcraft: A Bewitched Woman Vomiting, woodcut, 1720. Source: Wellcome Collection, JSTOR   The magic that Guatemalan women practiced during and after the colonial period was distinguished by its violence. In a time when many native Guatemalan and African women were subjugated by Spanish colonial men, witchcraft gave them a way to create fear in the hearts of their abusers. One example of such violence is a story told by Padre José de Quevedo in which he claimed two women used witchcraft to attack him due to an ongoing dispute. In his story, he was awoken by the spirits of two women, Lorenza de Molina and Mariá de Santa Inéz, who bound and blindfolded him before viciously beating him. He asserted that he awoke the next morning in his bed covered in wounds. Through their supposed witchcraft, Lorenza and Mariá had taken control of a man’s body in a reversal of the typical control a colonial man had over a Native or African woman.   In another case, one woman claimed that her servant had been targeted by a witch and had taken to throwing up objects as strange as pieces of cloth, teeth, cigars, hair, and charcoal. Bodily fluids were another common theme in Guatemalan magic, often used to evoke love from a man or to sway someone in the magic user’s favor. However, this magic could also incorporate healing aspects, usually practiced by those who called themselves curanderas. Due to a lack of licensed doctors in New Spain, it was often these women who acted as healers for the community. However, due to the preconceived notions surrounding their gender and non-European status, these women were mislabeled as witches rather than healers or doctors.   Demonic Possession: An Excuse to Misbehave? A woodcut of a priest healing a possessed woman, Pierre Boaistuau, 1566. Source: The National Library of Medicine.   Along with the purported cases of witchcraft during the Inquisition came claims of possession. In a strange twist of events, it was often nuns who fell victim to these demonic afflictions. One such example is that of the Mexican nun Margarita de San José, who wrote a letter that proclaimed herself a Jew and a servant of the devil. Another interesting example is that of seventeen-year-old Juana de los Reyes, also from Mexico, though not a nun. She claimed she was possessed by a demon named Mozambique who, through the orders of witches, impregnated her. Later investigation after the birth of her child revealed that her pregnancy was actually a result of incestual violence. However, recent research has suggested that claims of possession gave women a chance to act out in ways that were not socially acceptable at the time. Women who were possessed could scream, vomit, use obscenities, and wail without facing any social consequences. In these cases, the devil or demons were blamed for her actions, and she was rewarded with a kind of freedom that women did not have at that time.   Illness and Witchcraft Uru-Chipayas, Uros Floating Islands, Lake Titicaca, Peru, MRB, 2016. Source: Flickr   There were often times in both Europe and the colonial Americas when the spread of certain diseases was blamed on the work of witches. However, such fears were not solely of European origin. Anthropological studies on the Tzeltal Maya, Kamayura, and Uru-Chipaya people found that individuals suffering from epilepsy are perceived as being either under the attack of a spell or witches themselves. Amongst the Kayamura, epilepsy is referred to as “teawarup” and is the result of an animal spirit taking revenge on a hunter. The Chipaya people call epilepsy “tukuri” and believe it is caused by a witch entering the body in a burst of wind through the nose. The only cure for this among the Chipaya is an animal sacrifice, followed by the consumption of dried insects. Meanwhile, the Tzeltal call epilepsy “tub tub ikal,” and believe it to be caused by an internal battle between the person’s spirit animal and other bad spirits that seek to do them harm.   Sorcerers of Today, the Yanomami Yanomami Indian Shaman Adjusts His Feathers for Dancing, Brazil, Chris Steele-Perkins, 1990. Source: JSTOR   Following the colonial period, instances and accusations of witchcraft in Latin America began to slowly fizzle out. Catholicism gradually came to replace these practices in most regions. However, in many areas of the nearly impenetrable Amazon rainforest, the practice of magic and sorcery has continued. This is the case for the Yanomami people of South America, who live deep in the Amazon of Venezuela, near the Orinoco River. The shamans of the Yanomami practice assault shamanism, sorcery, and other forms of dark magic that are meant to inflict pain and suffering on their enemies. The shamans, who are called “shapori” by the Yanomami, use their spirit helpers, known as “hekura,” to create spells that can either heal or harm a target. These shapori can both heal and cause death and are often engaged in constant retaliatory magic with Yanomami shapori from other tribes. The core beliefs of the Yanomami center on their conception of the world as composed of five celestial and terrestrial discs within the stomach of a boa constrictor. On the lowest level, or disc, exist the ancestors of the Yanomami, amongst whom are powerful and malicious sorcerers. Only the work of the shapori can protect the living Yanomami from the dangerous hekura that come from below.
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How Long Did the Black Plague Last?
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How Long Did the Black Plague Last?

Pierart dou Tielt, manuscript illumination in the Tractatus quartus by Gilles li Muisi, Tournai, 1353. (MS 13076-13077, fol. 24v). Source: National Public Radio   The Black Plague is one of the most devastating pandemics the world has ever experienced. A common question about the scourge is how long it lasted. The answer, however, is not simple as the plague did not have a clean start and end date. This was because it was not one single occurrence but a continuous event that kept re-emerging for several hundred years. It began with a sudden, violent outbreak that spread to various continents. The disease was finally countered using modern medicine.   When the First Wave Began The Dance of Death, from the Nuremberg Chronicle, by Michael Wolgemot, 1493. Source: Wikimedia   The most documented timeline of the Black Plague is often referred to as the Black Death and was the most lethal period. During the first outbreak which occurred from 1347, the disease spread across Europe and North Africa with shocking speed and devastation. In Europe, the worst of the destruction took place over about four years.   The sickness is believed to have spread in Europe following the arrival of twelve trading ships from Genoa in October 1347. They docked at the harbor at Messina, Sicily. However, they did not just carry cargo, they were infested with the disease and had sailors on board who were already dead or dying from the malady. The bodies of the infected sailors were covered in dark swellings. The marks called buboes, gave the disease its name – the bubonic plague. From the port, the infection spread across the land.   How Did the Disease Spread? Lithograph of a woman in rags drawing a cart of plague victims, by J. Moynet, 1852, after L. Duveau. Source: Wellcome Collection   The disease spread in numerous ways. However, fleas living on black rats reportedly carried the bacteria Yersinia pestis and are believed to have been responsible for the initial spreading of the disease. The fleas jumped from rats to people, passing on the illness. At the time, rats were everywhere in the cities and ships. This aspect made them the perfect carriers. By early 1348, the plague had ravaged major ports in Italy before moving to France. It crossed into England that same year and then spread across Europe, reaching Germany, Scotland, and Ireland by 1349. By 1350, it had moved as far as Scandinavia and Russia.   Peasants engaged in threshing, from Luttrell Psalter. Source: British Library, London   The cost in human life was hard to grasp. Historians believe Europe’s population dropped by about 30 to 60 percent. It is reported that between 25 and 50 million people died due to sickness in the first wave. The desolation left farms without workers and farm produce to rot due to a severe shortage of labor. The situation led to an almost complete breakdown of the known world at the time and led to the collapse of the feudal system in Britain at the time.    When the Second Pandemic Began Two men discovering a dead woman in the street during the Great Plague of London by Herbert Railton, 1665. Source: Wellcome Collection   The first deadly wave subsided around 1351, but the plague itself was not gone. The bacteria simply kept spreading among Europe’s rodent populations. What came next was a long era of emerging outbreaks that lasted for nearly four hundred years. That said, the outbreaks were less severe when compared to the initial wave.   Several major plagues marked the long period of reoccurrences. The Italian Plague that lasted between 1629 and 1631 killed about a million people. The Great Plague of Seville in 1649 wiped out half the city, and the Great Plague of London that occurred between 1665 and 1666 killed around 100,000 people. More outbreaks came later, like the Great Plague of Vienna in 1679, and the European epidemic in Marseille that occurred between the years 1720 and 1722.   Why Did the Plague Slowly Fade in Western Europe? Plague in Bronze Age Eurasia. Source: Science Direct   There was no single reason for the drop in new infections. Some people’s immune systems, for example, simply adapted to overcome the infection. People and societies also put measures to prevent new infections. Cities in Italy, for example, created the first public health systems that placed travelers in quarantine. A change in the parasite dynamics was likely even more important. The brown rat, for example, began to replace the black rat which was notorious for spreading the disease across the continent. Brown rats are known to be shy and tend to stay away from people’s homes. The simple change disrupted the deadly chain of rat to flea to human disease transmission.   Who Discovered the Main Cause of the Disease? The bacterium Yersinia pestis, the cause of the Bubonic Plague. Source: CDC / Courtesy of Larry Stauffer, Oregon State Public Health Laboratory / Wikimedia Commons   In 1894, during an outbreak in Hong Kong, a scientist named Alexandre Yersin found the bacterium that caused the sickness. It is now named Yersinia pestis in his honor. A few years later, scientists were able to prove that fleas were responsible for spreading the disease. The discovery was a great turning point that led to the development of antibiotics such as streptomycin which changed the course of the plague by providing an effective treatment for the disease. Since then, the disease ceased to be a significant threat to humanity.
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What Are the Mayan Codices?
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What Are the Mayan Codices?

  The Mayan Codices are four prehispanic books written before the arrival of Spanish conquistadors. The volumes were created by professional scribes using paper made of the inner bark of a fig tree. With no formal titles, three of the four codices have been named after the cities where they were stored: Dresden, Madrid, and Paris. Together with inscriptions found in temples and monuments, the Mayan codices are a tangible record of their culture, science, society, and politics.   The Written Records of Prehispanic Civilization Map: Maya Empire provided by TheCollector.com   Since the 19th century, different rediscovered Maya monuments, temples, and drawings have been important in developing knowledge about this civilization. The Mayas settled in the Yucatán Peninsula, now Mexico and Guatemala, but expanded to areas of Belize, Honduras, and El Salvador. The earliest evidence of this culture dates back to 2000 BCE; it lasted until the conquest of Hernán Cortés in the early 16th century.   Similar to the Egyptian civilization, knowledge about the Maya comes mostly from drawings and inscriptions left on rocks and ancient papers. The Maya writing method was the most developed in pre-Hispanic America, often compared to those found in Egypt or Mesopotamia. The Maya used inner bark surfaces to inscribe glyphs and different color inks made of carbon soot (black), hematite, lead and insects (red), and plants. Among all these pigments, Maya blue has been studied extensively by researchers because of its long-lasting brightness and unaltered properties. It was known to have been created using an indigo plant and palygorskite, a type of clay.   Diego de Landa’s Destruction of Mayan History Image of Madrid Codex showing the Maya blue by the Kislak Collection. Source: Library of Congress   The Maya Codices are the only manuscripts that survived the intense destruction undertaken by Spanish colonizers, as they believed that demons influenced the local knowledge and that it was a threat to the recently introduced Christian faith. For instance, in 1562, Friar Diego de Landa, a Franciscan bishop of the Archdiocese of Yucatan, sent by the Spanish crown to evangelize Indigenous people and one of the first Franciscans to arrive in the Yucatan Peninsula, ordered hundreds of Mayan objects and books be burned because he considered them to be evidence of demonic adoration.   The region was part of Nueva España, under the governance of the Catholic Monarchs of Spain, Ferdinand of Aragon and Isabella I of Castile. During this time, Spanish conquistadors were granted the right to the land by the Treaty of Tordesillas, which permitted them to settle in the conquered Indigenous lands of Mesoamerica in exchange for converting Indigenous people to Catholicism and making them subjects of the Spanish Empire.   In 1562, after discovering an Indigenous site of adoration in Mani, the capital of the Tutul-Xiu Maya dynasty, De Landa ordered its destruction and the burning of many codices. This event led to numerous deaths, with some people burnt in their houses, hung on trees, or lost to suicide. De Landa himself recounted in his Relación de las Cosas de Yucatán (Yucatan at the Time of the Spanish Encounter) that the burning of the codices “caused them [the people] much affliction.”   Photo of Maya engravings on rock by Eirka Porras, 2009. Source: Wikimedia Commons   Although the primary mission of the Franciscan order was to protect Indigenous people from the encomenderos (colonists), De Landa pursued the forced imposition of Christian beliefs, often involving physical abuse and torture. De Landa took on inquisitor functions to eradicate any traces of paganism and adoration of idols, often forcefully baptizing people before their conversion. He had not, however, received official authorization from Spain to exercise such actions, which led him to be put on trial in Spain.   Moreover, when the Spanish arrived in the region, the production of the local paper used to produce the codices was banned, and it was replaced by European paper. This was used, for instance, to create the Aztec Codex Mendoza (circa 1541).   The Dresden Codex Image of one page of the Dresden Codex, 1200-1250. Source: Library of Congress   The Dresden Codex is the oldest of the Maya codices (11th-12th centuries) and the oldest surviving book written before the arrival of the Spanish. It arrived in Spain after being sent to King Charles V by Hernán Cortés. Later, the Royal Library of Dresden obtained it in 1793 from a private owner in Vienna. During World War II, the Codex suffered in the flooding resulting from the bombings of Dresden in 1945.   It is believed that the Dresden Codex was written and drawn by the peoples of the Yucatán Peninsula because different symbols in the codex are also present in monuments of the region. The codex contains information related to local history and calendrical and astronomical knowledge related to the movements of the moon and Venus. It has also been important in deciphering Maya hieroglyphs.   The codex has been reproduced several times by figures such as German naturalist and geographer Alexander von Humboldt in 1810, Italian painter Agostino Aglio for Irish antiquarian Lord Kingsborough in 1826, German historian Ernst Förstemann in 1880, Mesoamerican archaeologist J. Eric Thompson in 1972, British Mayanist Ian Graham in 1959, and the Akademische Druck- u. Verlagsanstalt in Graz, Austria, in 1975. The codex is available for download from the Foundation for the Advancement of Mesoamerican Studies FAMSI website and is currently exhibited in the Saxon State Library in Dresden, Germany.   The Madrid Codex Image of the Madrid Codex aka Tro-Cortesianus exhibited at the Museo de América in Madrid, Spain, 1250-1450. Source: Wikimedia Commons   Also known as the Codex Tro-Cortesianus, it was split in two when transported to Europe. The first part was rediscovered in 1866 by French Catholic priest and ethnologist Brasseur de Bourbourg in the archive of Spanish lawyer Juan de Tro y Ortolano. De Bourbourg also discovered Diego de Landa’s book Relación de las Cosas de Yucatán. The first part of the codex is also known as the Codex Tro because of its former owner.   The second part of the codex was owned by a Spanish collectionist named Juan Ignacio Miró, who, after being unable to convince the British Museum and the Imperial Library of Paris to buy the piece, sold it to the Archaeological Museum of Madrid in 1875. The second part of the codex is known as the Codex Cortesianus because it is believed that it was also Cortés who brought it to Europe.   In 1888, the French ethnologist Léon de Rosny discovered they were part of the same piece, which was ultimately dubbed the Codex Tro-Cortesianus. The piece is exhibited at the Museo de América in Madrid, Spain. The codex was created between 1250 and 1450, and its origins are debated between the regions of Campeche and Tulum. Similar to the Dresden Codex, this piece holds information about calendric events, horoscopes, and astronomical tables. Representations of agriculture, hunting, apiculture, and disease are also present.   The Paris Codex Final pages of the Paris Codex, 13th century. Source: Bibliothèque Nationale de France   Also known as Codex Peresianus, this manuscript originated in the Yucatan Peninsula around 1250-1450. The National Library of Paris acquired it in 1832. However, French ethnologist and orientalist Léon de Rosny, who found it in the aforementioned library in a pile of abandoned documents next to a chimney, formally exhibited it to the world in 1859. The document is made of 22 accordion-folded pages, which when unfolded reach 1.45 meters (4 ft. 9 in.) in length. The manuscript is believed to be a copy of an original 3rd-9th century codex made during the 13th century.   The codex contains information about the Maya’s religious rituals, prophecies, and cosmogony. It also contains a calendar of 364 days, similar to the one used today. An online version of the codex can be found in the online library of the Bibliothèque Nationale de France. The physical copy is stored in a fragile state in the institution’s installation in Paris.   The Grolier Codices Picture of some fragments of the Grolier Codex by Enrico Ferorelli, 13th century. Source: TheConversation   Also known as the Codex Maya of Mexico, this collection illustrates the figures of different deities and is believed to have been used as a calendar to calculate Venus’s movements, a theme also present in the Codex Dresden. It dates from the 13th century and was discovered in the late 1960s when a collector named Josué Sáenz traveled to the region of Palenque. There, he found eleven manuscript fragments. In 1971, he took them to the Grolier Club of New York, a private society of bibliophiles, where they were exhibited.   Some researchers, however, have not been wholly convinced of its authenticity because of its pictographic style, which differs from the other three codices, and because of the absence of Maya blue ink. Despite some hesitation, it is widely considered authentic today.   The Maya Today Image of the Dresden Codex by NGS LABS. Source: National Geographic   The Maya codices remain historical pieces that reveal the ancient history of a civilization that, although diminished during colonial times, still survives in Mexico. Despite the process of mixing different ethnicities after the arrival of Europeans and African slaves during the 16th century, there are still 10 million Maya people living in the areas of Guatemala, Mexico, Belize, and Honduras today. Many live in conditions of poverty and are subjected to difficult social conditions in their countries.   In contemporary Mexico, Mayans live in Yucatán, Campeche, Quintana Roo, Chiapas, and Tabasco. These communities often dedicate their lives to agriculture, fishing, and handicrafts. Their religious practices present syncretisms with the Catholic religion, expressed, for instance, in their Easter celebrations.   Scientists are still deciphering the Maya codices, reconciling the inscriptions with archaeological research about Mayan architecture and found objects. While these artifacts provide valuable insight into Mayan history, it’s important to remember that the Mayan culture is still alive in the traditions, language, and beliefs of the surviving communities in the region.
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The Genius and Controversy That Was Richard Wagner
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The Genius and Controversy That Was Richard Wagner

  Few composers in history have had as widespread and controversial an influence as Richard Wagner. Eventually celebrated as the genius behind the music and libretti of works whose impact spread beyond the opera world to inspire poets and painters, Wagner struggled for many years to find an audience. He spent many formative years in exile following his revolutionary action, developing theories about art and society that were as seismic in their impact as his music.   Richard Wagner’s Early Years Leipzig Gewandhaus in 1870. Source: Wikimedia Commons / Stadtgeschichtliches Museum Leipzig   Richard Wagner hailed from Leipzig, Germany. In the 18th century, it had been the home of J.S. Bach, who wrote many of his most celebrated works while employed at St. Thomas Church. Leipzig would also be the source of the Bach revival in the 19th century, when another native of the city (and a composer Wagner came to see as a great rival), Felix Mendelssohn, conducted Bach’s St. Matthew Passion oratorio.   Born in 1813, Wagner’s early life was dominated by passions for the theater and the music of Ludwig van Beethoven. His immersion in theatrical life came through his stepfather, Ludwig Geyer, an actor and playwright, who married Johanna Wagner when her son, Richard, was just a few months old. Wagner grew up believing, erroneously, that Geyer was his real father and that he was Jewish.   Despite an early education in music and theater, Wagner’s first attempts at composing operas were fairly fruitless. Die Feen (1833) and Das Liebesverbot (1836) were in the Romantic vein popular at the time, but Wagner quickly discovered the unpredictability of the opera world, where employment posts were fleeting and debts racked up all too easily.   Das Liebesverbot is notable because Wagner wrote it while working in Magdeburg, where he fell for and married the actress Minna Planer. This marriage, however, was also to be an education in unpredictability and tempestuousness.   Beethoven with the Manuscript of Missa Solemnis, by Joseph Karl Stieler, 1820. Source: Beethoven-Haus Museum, Bonn   Now living a peripatetic life, traveling between appointments in various centers of music, Wagner built up experiences that shaped his later ideas. In Paris, struggling to make a name for himself amidst the glitzy productions of successful French composers, Wagner formed strong opinions about the irreconcilability of commerce and art, and about French people.   He wrote articles and short fiction to get by. The story A Pilgrimage to Beethoven distills his ideas about the French capital as a place of greed and philistinism, where even Beethoven’s greatness is ignored.   At this time, Wagner also began to conceive anti-Semitic notions about the supposed dominance of Jewish people in Paris’s operatic circles. For Wagner, this was part of the reason that contemporary opera was all commerce and no art—and, of course, this must be why he struggled to get his operas staged.   Actually, Wagner was being disingenuous. The Jewish composer Giacomo Meyerbeer, one of the most successful opera composers of the 19th century, lent strong support to Wagner, enabling him to stage his third opera, Rienzi, in Dresden in 1842.   1848-49: A Turning Point Saxon and Prussian troops at Dresden’s Neumarkt, artist unknown, 1848. Source: Wikimedia Commons / Saxon State Library, Dresden   Wagner was still in Dresden in 1848, a pivotal year across Europe. After moving there in 1842, he had composed The Flying Dutchman and Tannhäuser, works which showed the beginnings of a departure from his early style. His art was evolving. However, for Wagner, art and revolution went hand in hand, and in 1848/1849, he got the chance to put his principles into action.   Throughout Europe, a wave of revolutions broke out whose causes could be traced to the French Revolution of 1789, with its demonstration of the ability of ordinary people (what Marx would, in 1848, call the proletariat) to rise up against institutions such as the monarchy and aristocracy and claim democratic freedoms.   Following the French Revolution, aspirations to create freer and more just societies were brewing all over the continent. In Germany, these aspirations were focused on the unification of the states then known as the German Confederation into one nation.   Portrait of Mikhail Bakunin by Gaspard-Felix Tournachon, 1860, via Sotheby’s.   Wagner, a fervent German nationalist, also passionately believed in the revolutionary call for democracy, feeling that he had been treated unjustly in the hierarchic world of opera, where aristocratic patronage seemed to be essential to success.   He wrote articles in Dresden’s left-wing newspaper and mixed with figures such as the Russian anarchist Mikhail Bakunin. When violence broke out in May 1849, Wagner was a prominent instigator, and a warrant for his arrest was issued. He consequently spent the next 12 years in exile, heading to Zurich in Switzerland.   This was a turning point for Wagner because, in exile, he gained two things. Firstly, the notoriety that made him a popular cause for fellow composers such as Franz Liszt to take up (Liszt defiantly staged Wagner’s next opera, Lohengrin, in Weimar in 1850), and, secondly, the space to undertake profuse writings about his theories on art.   The Art-Work of the Future Apollo and the Muses, by John Singer Sargent, 1921, via the Museum of Fine Arts Boston   In 1849 and 1850, Wagner wrote essays such as Art and Revolution, The Art-Work of the Future, and Opera and Drama. Contemporary opera was, as he had complained before, too commercialized, and this prioritization of money, above all, damaged opera as an art.   Looking back to Ancient Greek theater, Wagner dreamed of a Gesamtkunstwerk in which all the arts—music, poetry, dance, painting—would come together. Operas would no longer be structured around one or two show-stopping arias, when the audience would leave off their private chatter to listen in awe to the diva of the hour. They would be sung through; every element of the music meticulously considered to complement the libretto, and vice versa.   The music, too, would be like nothing anyone had heard before. Zukunftsmusik, or “music of the future,” was a term Wagner’s detractors were already using against him by the 1850s. The meaning of the term varied depending on who was using it. Zukunftsmusik could refer to Wagner’s innovation of techniques such as the leitmotif (a musical phrase which corresponds with a character or idea, woven throughout the drama) and endless melody, in which musical phrases do not reach a cadence, or resolution, but continuously overlap, unsettling the harmonic progressions on which music was traditionally constructed.   Camilla Nylund and Klaus Florian Voigt in Tristan und Isolde at the Semperoper Dresden, 2024. Source: The Kennedy Center   Endless melody was one of the reasons Wagner’s detractors found his music unpalatable, even offensive. To his supporters, it was a necessary step beyond the popular insistence on catchy melodies, which had led to operas in which second-rate libretti were paired with scores containing a handful of tunes which audiences could hum to themselves afterwards.   In the 1850s, Wagner sketched out works—initially called music dramas, to emphasize the union of art forms he hoped to achieve—which put these theories into practice, and would become his best-loved works: Tristan and Isolde and the Ring cycle.   He also wrote the essay Jewishness in Music, a diatribe giving full rein to his anti-Semitic beliefs. In the essay, he not only suggested that Jewish composers pandered to commercialism, but that German-Jewish composers, such as Mendelssohn and Wagner’s former supporter Meyerbeer, could never write truly “German” music.   Published under a pseudonym, the essay was supposed to be considered objectively, not associated with Wagner personally, but its motivations could hardly have been more personal. Wagner’s views were a combination of the casual, unchallenged prejudice of his time and a bitter hatred amounting to persecution mania, stemming from artistic frustration and rejection, which found an all too easy target.   Richard Wagner and King Ludwig II of Bavaria Ludwig II’s coronation portrait, by Ferdinand von Piloty, 1865. Source: Wikimedia Commons / King Ludwig II Museum, Chiemsee   Given Wagner’s antipathy for the practice of aristocratic patronage and commitment to meritocracy (an artistic hierarchy based solely on artistic genius), it is ironic that his return to Germany and triumphant staging of his mature works came about thanks to a monarch.   King Ludwig II ascended to the throne of Bavaria aged 18, and was already what was coming to be known as a Wagnerite: a devotee of Wagner’s music dramas and writings. His offer to patronize Wagner, in 1864, came at an ideal time.   The 1850s had seen the composer’s music and theories surge in popularity. He went to England in 1855 and conducted concerts in front of Queen Victoria. This period was also intellectually stimulating, as he elaborated his libretto for Tristan and Isolde by combining the original Arthurian legend with the pessimist philosophy of Arthur Schopenhauer.   Photo of Richard Wagner by Franz Hanfstaengl, 1871. Source: Wikimedia Commons / Bavarian State Library, Munich   At the same time, the decade had also been full of personal drama. Wagner’s marriage to Minna was buckling under the pressure of their exile and dire finances, as well as his infidelity. His infatuation with Mathilde Wesendonck, whose husband helped to financially support Wagner, inspired much of Tristan and Isolde, which has a love triangle at its center. Minna left Wagner in the early 1860s, though not before the affair with Mathilde had come to a tortuous end.   These personal circumstances, along with the newly completed Tristan under his belt, Wagner welcomed King Ludwig’s overtures. Ludwig’s interest in Wagner was intensely romantic, not merely philanthropic, and it seems that Wagner recognized the ulterior motive and let it pass.   After all, here was a young king, blessed with more money than he could ever reasonably spend, offering to bankroll all of Wagner’s music dramas and encouraging him to write the story of his life. Titled Mein Leben, the work would take 20 years to write, spanning four volumes and more than a thousand pages. Ludwig would also soon start building Neuschwanstein Castle, which had rooms decorated with murals depicting scenes from Wagner’s works.   Although in his letters to Ludwig, Wagner reciprocated the king’s words of ardent longing, his heart was elsewhere. He had fallen for a woman named Cosima, daughter of Franz Liszt and wife of Hans von Bülow, a prominent conductor who promoted Wagner’s work. In April 1865, just two months before von Bülow conducted the premiere of Tristan and Isolde, Cosima gave birth to Wagner’s child: a daughter called Isolde.   The Ring Cycle and Bayreuth For the Third Tableau of Das Rheingold, by Aubrey Beardsley, 1896. Source: The Yellow Nineties 2.0   By 1876, Wagner had completed a cycle of four operas which, since the beginning over 20 years previously, he had envisioned as his masterwork. The tetralogy was called Der Ring des Nibelungen (The Ring of the Nibelung) and was based on old Germanic and Norse epics. In line with Wagner’s fervent nationalism and wish for the German states to be unified as one country (and, he hoped, one race), the cycle was meant as a foundational work for the German people.   The first drama, The Rhinegold, sets up the events of the tetralogy: the theft of the mythical gold from the River Rhine, the enslavement of the Nibelung people, and the all-powerful god Wotan, who fashions a ring from the gold.   In the sequel, The Valkyrie, we are introduced to the incestuous siblings Sieglinde and Siegmund, whose child, Siegfried, is destined to be a hero, and Brünnhilde, a warrior goddess who will help save him. The third and fourth dramas, Siegfried and The Twilight of the Gods, show Siegfried’s quest for the ring, Wotan’s vengeance, and Brünnhilde’s self-sacrifice.   Along with these dramas, conceived as total works of art in which music, words, and visual art were perfectly blended, Wagner had the idea of building a theater solely for performances of the Ring. Financed by Ludwig II, the Bayreuth Festspielhaus, or festival theater, was purposely built in an out-of-the-way village, rather than in one of the major centers of German music.   Bayreuth Festspielhaus before 1882. Source: Bayreuther Festpiele / RWA National Archives Bayreuth   Every aspect was designed to enhance the performances of Wagner’s work, from the way the sound reverberated in the auditorium to the hidden orchestra pit and wedge-shaped seating arrangement, which gave every audience member an equal view of the stage.   Work on the theater at Bayreuth began in 1872, with the intention of opening in time for the premiere of all four works in the Ring cycle. Wagner did not quite get his way—the first two parts of the cycle were premiered individually a few years earlier—but when Bayreuth opened in 1876, its first performance was the premiere of the Ring in full.   In 1882, an annual festival having been established at Bayreuth, it hosted the premiere of Wagner’s final music drama, Parsifal. At last, he had found a way to avoid the jostling and negotiations with the music industry that had so infuriated him. With Bayreuth, he could stage his works exactly as he liked, keeping all the revenue for the continuation of the theater, and bringing audiences to him rather than condescending to try and attract them.   The Case of Nietzsche Photograph of Friedrich Nietzsche by Gustav Schultze, 1882. Source: Wikimedia Commons   The Ring and Wagner’s other works were steeped in philosophy, from Schopenhauer to mysticism and Christian theology. In 1868, he met a young, up-and-coming philosopher, who would influence Wagner and be influenced by him in turn: Friedrich Nietzsche.   1872’s The Birth of Tragedy chimed with Wagner’s interest in Ancient Greece as the ideal civilization, with Nietzsche meditating particularly on music in envisioning his influential dichotomy between the Apollonian (order and form) and Dionysiac (chaos and disorder). Nietzsche wrote the book at the instigation of Wagner (and Cosima, now married to the composer), and it specifically name-checked the composer’s works as modern embodiments of the Greek ideal.   Nietzsche’s relationship with the Wagners was close and personal. It is a matter of speculation whether Nietzsche was more enamored with Richard or Cosima. He certainly wrote about having fallen in love with the latter, but was this an effect of her closeness to the composer? Commentators from Sigmund Freud onwards have read a certain amount of repression into the philosopher’s relationships with men. Nietzsche appears to have idolized Wagner, who, as with Ludwig, encouraged and probably quite enjoyed the admiration.   Cartoon of Richard Wagner from Les Moeurs et la Caricature en Allemand by J. Grand-Carteret, undated. Source: Meister Drucke   By 1888, though, Nietzsche had repudiated Wagner—not privately, since the composer had died back in 1883 and their relationship had cooled before then—but publicly. In the essays The Case of Wagner and Nietzsche Contra Wagner, the philosopher took a radical new stance against his former idol, albeit one which many readers shared.   By the fin de siècle, many saw Wagner and his music as dangerous, its endless melody and lack of rhythm exerting a hypnotic effect on listeners, leaving them open to pernicious suggestions by this dictator-like figure pulling all the strings.   Nietzsche continued to admire some things about Wagner, but no longer saw him as the redeemer of German music. Instead, he was a sign of decadence and moral decline. For Wagner’s supporters, Nietzsche’s diatribes would be invalidated by the fact that the philosopher succumbed to a mental breakdown just a year later, but the posthumous battle over the significance of Wagner in German culture had begun.   Wagnerism: From Decadent France to Nazi Germany Portrait of Richard Wagner by Pierre Auguste Renoir, 1882. Source: Meisterdrucke   The cult of Wagner, after his death in 1883, went far beyond what he could have imagined—or, maybe, it was exactly the scope he had always dreamed of. Wagnerism spread across Europe, like a virus, some said, infecting just about every art form, from poetry to painting to architecture. His terminology around “music of the future” infiltrated beyond the arts, as people at the end of the 19th century envisioned a politics of the future, inventions of the future, men and women of the future, and so on.   In late-19th-century France, his name was nearly inescapable in artistic circles. Painters such as Van Gogh and Cézanne, poets such as Mallarmé, and novelists such as Proust all aimed for Wagnerian effects in their work. Championing the German Romantic in the wake of the Franco-Prussian War was an act of counter-cultural protest for many of these artists. But three decades into the 20th century, Wagner ceased to be an anti-establishment figure.   What had been latent and not widely recognized in Wagner and his works soon rose to the surface and became indelibly associated with him. Writings such as Jewishness in Music and his private anti-Semitic comments had been known only in a few circles during his lifetime, and the idea that his dramas contained anti-Semitic caricatures was not yet a common interpretation.   Photograph of Richard Wagner, by Pierre-Louis Pierson, 1867. Source: Wikimedia Commons   When the Nazis came to power, however, they celebrated Wagner as the pinnacle of German culture, thanks to his portrayal in the Ring of what they saw as the pure essence of the ancient German spirit. Music by Jewish composers was suppressed, and the Bayreuth Festival flourished. Winifred Wagner, who was married to Richard’s son Siegfried, was a personal friend of Adolf Hitler and often welcomed him to the Wagner residence at Bayreuth.   This is why Wagner has remained a controversial figure. The question of performing his music in Israel is still highly contested. Meanwhile, the Bayreuth Festival continues to be a mecca for devotees, with an intimidatingly long waiting list for tickets.   His ambition to transform music and drama completely was fulfilled, with his work still striking audiences as avant-garde and challenging. His Ring cycle was a clear influence on later epics such as Lord of the Rings, and the interest in mythology, which he helped revive, is thriving today.   Some argue, therefore, that Wagner’s influence has been so broad and varied (he has even been reclaimed by Jewish artists, for instance) that he need not be solely associated with the darker side of his legacy. For others, he remains an eternally contentious figure.
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AWFUL Woman Holds up Insanely Racist Sign Targeting Emerging GOP Hero Winsome Earle-Sears
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AWFUL Woman Holds up Insanely Racist Sign Targeting Emerging GOP Hero Winsome Earle-Sears

Republican Lt. Gov. Winsome Earle-Sears might be the next governor of Virginia, a state the Democratic Party thought they'd locked up for the foreseeable future a few election cycles ago. And, even if she doesn't win, she's a rising star in the party, considering she's the first black woman to...
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