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1

Korp, Maureen. "The sacred meaning of East another look at ancient Ameridian burial sites in the Mississippi Valley". Thesis, University of Ottawa (Canada), 1987. http://hdl.handle.net/10393/5092.

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2

Muehlberger, Ellen. "Angels in the religious imagination of late antiquity". [Bloomington, Ind.] : Indiana University, 2008. http://gateway.proquest.com/openurl?url_ver=Z39.88-2004&rft_val_fmt=info:ofi/fmt:kev:mtx:dissertation&res_dat=xri:pqdiss&rft_dat=xri:pqdiss:3315920.

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Thesis (Ph.D.)--Indiana University, Dept. of Religious Studies, 2008.
Title from PDF t.p. (viewed on May 7, 2009). Source: Dissertation Abstracts International, Volume: 69-07, Section: A, page: 2744. Adviser: David Brakke.
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3

Barley, N. D. "The battlefield role of the Classical Greek general". Thesis, Swansea University, 2012. https://cronfa.swan.ac.uk/Record/cronfa43080.

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Modern studies of Classical Greek battle devote little attention to the role and importance of the general in achieving battlefield success. As a result of this the general is reduced to a simple leader of men whose only influential decision was where and when to fight, and whose major role was to provide inspiration by fighting in the front ranks. A modern conception of Hellenic fair play in warfare has further limited the importance of the general to Greek armies: apparently advanced manoeuvring and tactics were deliberately rejected in favour of a simple and direct test of strength and morale. I do not believe this to be the case, and in this study I demonstrate the importance of the general to Greek armies by offering a new analysis of his role in hoplite battle.
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4

Ranger, Holly Anne. "The feminine Ovidian tradition". Thesis, University of Birmingham, 2016. http://etheses.bham.ac.uk//id/eprint/7116/.

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While the growing body of literature on the relationship between feminist theory, classical myth, and classical scholarship has contributed to an understanding of general scholarly trends, there has not been a sustained examination of the relationship between feminist scholarship and classical receptions. Furthermore, the field of classical reception studies focuses almost exclusively on male authors and widely ignores female voices. This thesis addresses these lacunae through detailed discussions of the Ovidian receptions of four women writers active between 1950 and the present: Sylvia Plath, Timberlake Wertenbaker, Josephine Balmer, and Saviana Stănescu. The thesis tracks the ‘difference made’ by feminist scholarship on their varied receptions, and the ways in which recurrent concerns in their engagements prefigure, echo, or explicitly draw upon feminist theory and feminist Ovidian scholarship. This thesis poses the argument that women’s classical receptions offer a critical tool to advance feminist classical scholars’ attempts to ‘reappropriate the text’, by reclaiming female narrative authority from the male poet and interpellating the ‘resisting reader’. This diverse, yet characteristically feminine, Ovidian tradition challenges existing reception traditions based upon male practitioners alone, and reawakens the political and aesthetic critique at the heart of Ovid’s poetry.
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5

Matchett, Ashley A. "Genetic and biochemical analysis of materials from a medieval population from Ynys Mon North Wales". Thesis, University of Central Lancashire, 2011. http://clok.uclan.ac.uk/3880/.

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The archaeological excavation of the early medieval site at Towyn-Y-Capel on the island of Anglesey (Ynys Môn) in North Wales, UK, provided the opportunity to study a large population (122 skeletons) at a site that was in use over a period of up to 550 years (650 -1200 AD). Samples of skeletal materials for this study were taken directly from the site itself .The osteological condition of skeletal material was variable across the site. In general, the upper burials in particular were in the poorest condition, and were mainly fragmented and dispersed due to the ongoing site erosion and diagenetic processes. Conversely, lower “cist” burials were in far better condition. The assessment of skeletal sample condition was used to select materials chosen for genetic analysis, and 44% (54) of the skeletal population were selected for analysis of appropriate samples of tooth and bone. The gross morphology of samples was assessed and 87% of bones and teeth were considered to be in good or fair condition, according to the gross preservation index (GPI) used, while only 2% of bones and no teeth were considered to be in excellent condition. In addition to GPI, a novel technique called Qualitative Light Fluoresence (QLF), based on autofluoresence, was used to ascertain the surface condition of the teeth. Compared to the fluorescence of modern enamel, there was a net loss of 21.8% fluorescence, although the degree of fluorescence from one sample to another varied (with a standard deviation from the mean of 24.973). Histological sections taken from non-human bone finds from the site generally varied less than that indicated by the gross morphology, showing good to excellent histological preservation. Further to gross and histological morphology, ten skeletal samples were selected for detailed investigations, and were analysed for amino acid racemisation and amino acid composition. All samples tested had D/L enatomer Aspartic acid ratio less than 0.1, although 50% of the samples had D/L enatiomer Aspartic acid ratio over 0.08, which indicated that the recovery of aDNA from these skeletal samples was feasible, although the biological condition of the teeth was fairly degraded. The inorganic element profile of the same ten samples showed no discernable anomalies, either due to diet or diagenesis. To consolidate genographic research, strontium isotope analysis was performed and, from the small population subset, three anomalous ratios were found. Two of these were high (Skeletons 33 and 60), indicating that these individuals had spent their childhoods in areas with high strontium ratios, representative of precambrian rock types, possibly older than those of the Holyhead Rock group, such as in Northern Scotland or Norway. The skeletal samples yielding the lowest strontium ratio (Skeleton 52) are of compelling interest, since the ratio is indicative of upbringing in only one place in the North Atlantic, namely Iceland. In this study, DNA recovery was performed on teeth and bones from the site, after extensive decalcification of samples, and also extraction and optimisation trials. Amplification of DNA extracted from teeth samples was generally more successful than for bone samples. A random amplification based polymorphic (RAPD) DNA technique was utilised to “fingerprint” human and animal samples with limited success. Contamination and template variation are likely causes for the lack of success. Amplification using several primers specific for human HV1 & 2 mtDNA targets was also met with limited success. The results show that 14.8% of the skeletal teeth samples were amplified, and these were not commonly reproducible. DNA spiking trials demonstrated that some of the samples were affected by inhibition. Independent confirmation of 9 of 10 successful samples was attained by sequencing, and although sequences were highly degraded, an attempt was made at determining the haplogroups from the sequenced HV1 haplotypes based on likelihood. Generally, the site showed a high predominance of Haplotype K (5) followed by H (2) and U (2) haplogroup profiles.
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6

Messer, Rick Jay. "The influence of Hannibal of Carthage on the art of war and how his legacy has been interpreted". Thesis, Manhattan, Kan. : Kansas State University, 2009. http://hdl.handle.net/2097/1503.

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7

Braun, Mary. "Sovereignty, democracy, and the political economy of logos: A defense of antagonistic rhetoric". Diss., The University of Arizona, 2002. http://hdl.handle.net/10150/280036.

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I am interested in locating assumptions about democracy and logos in the Greek democratic city-state which have been carried over into the modern, democratic national-state. The assumptions, I argue, offer insights into the hegemonic view among rhetoricians that antagonistic rhetoric is inappropriate in our contemporary democracies. In Chapters One and Two, I analyze the development of democracy in Ancient Greece in order to uncover the assumptions upon which that system was based. I argue that these assumptions are dominated by what I call "the ideology of sovereign right." In Chapter Three, I illustrate how this ideology has been carried over into contemporary treatments of democratic argumentation that have had influence in the field of rhetoric and composition. I argue that the Western tradition has privileged and continues to privilege the Aristotelian logic of non-contradiction, and thus, has left no legitimate place for antagonistic rhetoric. In Chapter Four, I return to ancient Greece to investigate the struggle over the construction of the rational that took shape in pre-Socratic philosophy. I argue that prior to the Socratics, another treatment of rationality developed, one based on the logic of contradiction, which provides a place in rhetoric for antagonism. In Chapter Five, I argue that dialectical materialism, as opposed to Aristotelian dialectics and post-structuralist notions of rationality, challenges the ideology of sovereign right embedded in democratic systems. In the Epilogue, I comment on the significance of this argument for the field of Rhetoric and Composition.
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8

Pethen, Hannah. "Cairns in context : GIS analysis of visibility at Stelae Ridge, Egypt". Thesis, University of Liverpool, 2015. http://livrepository.liverpool.ac.uk/2013379/.

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This thesis describes a new approach tor investigating cairns, stone enclosures, stone alignments and other small archaeological features found in the deserts around the Egyptian Nile valley. Investigation of these features has previously been restricted by their ephemeral nature, damage from modern development and the limited artefactual, epigraphic or archaeological evidence associated with them. This research focuses on a case study of eight cairns and adjacent courts at the Middle Kingdom carnelian mine of Stelae Ridge in the Gebel el-Asr quarries in southern Egypt. While accepting previous interpretations of the cairn-courts as ritual structures created for the worship of local divinities, this research sought a fuller interpretation of the site in its landscape context and a more nuanced understanding of the structures, their chronological development and the decisions which governed their location and layout. This was achieved through systematic visibility analysis of the eight cairn-courts with geographic information system (GIS) software, which provided new data concerning the patterns of visibility associated with the structures. Interpretation of these patterns in the context of the archaeological and textual evidence from the cairn-courts, practical experience of visibility at the site and evidence from the wider cultural context provided a new and more detailed understanding of the site. Stelae Ridge was chosen because cairns upon it made highly visible landmarks, particularly for people travelling south towards the other sites in the Gebel el-Asr gneiss quarrying region. Initially practical, the Stelae Ridge cairns also developed a ritual function, creating tension between the highly visible cairns and the secluded ritual courts, and suggesting that the cairn-building process became ritualised. By the end of the cairn-building period, in the reign of Amenemhat III, new cairns were constructed in less visible positions, suggesting that the ritual aspects of the cairn-courts had largely subsumed their earlier practical function as landmarks. This type of GIS research has never been undertaken on Egyptian archaeological sites and previous interpretations of visibility in Egyptian contexts have been limited. The detailed interpretation of the Stelae Ridge cairn-courts achieved here, shows that the technology and approach applied to this research can make a meaningful contribution to the investigation of other similar non-formal structures, and at Egyptian sites in general. It also reveals that GIS visibility analysis can answer relevant archaeological questions, when employed as a tool for data generation and properly contextualised with other evidence from the site.
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9

Finnigan, Muriel. "Olympic singularity : the rise of a new breed of actor in international peace and security?" Thesis, University of Glasgow, 2017. http://theses.gla.ac.uk/8389/.

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The Olympic Movement has a constantly expanding mandate which has seen it venture into many fields other than simple staging of the Olympic Games. For example, it has extended its mandate into the equal representation of women in sport, but more importantly, this thesis examines its new mandate of building peace through sport, which is contained in the Olympic Charter’s 2nd Fundamental Principle of Olympism. It has also indirectly influenced the production of the UNGA Olympic Truce Resolutions, by calling on the UN to revive the ‘concept of ekecheiria’. However, the Olympic Truce Resolutions are frequently flouted, and more often than not, by the Host Nation itself, including the UK and the USA in recent years. This thesis examines a possible solution to this failing, which is the Olympic Truce Resolutions codification into a binding Treaty where states and the entire Movement are party to it. This thesis recognises that there is the inherent problem in this, in that the Olympic Movement is not comprised of states. Its core actors are the International Olympic Committee, National Olympic Committees, and International Sporting Federations (and to a lesser extent OCOGs). Hence this thesis submits the novel concept of Olympic Singularity, eight unusual features that amplify the EU doctrine of the specificity of sport on the Olympic playing field. These eight cumulative features unite to allow the Movement to be co-signatories to the Truce Treaty, alongside states. It also enables the Movement to govern the Truce Treaty and any sanctions thereof. Again, this is because of the features of Olympic Singularity, the most notable of which is that the Movement is unusual because of its universal singular webbed framework which necessitates its consideration as a single powerful organ capable of action on the international stage equivalent to states. Olympic Singularity justifies the Movement’s special treatment before law, in the form of an atypical international law subject, in that it unites independent actors into one organ, enabling them to have capacity on a par with those reserved to states and international governmental organisations. This would only take the form of governing and sanctioning a Truce Treaty. This thesis examines precedent for this in that the ancient Olympic Games were governed by a single state who dispensed real sanctions for the breach of ekecheiria. It also examines in a case study, South Africa which shows that the end of apartheid was assisted by the UN and the Movement uniting and using sport by way of a binding international Treaty, ICAAS 1985. Hence the capacity of the state system was required alongside the recognition of all involved that it was a Treaty.
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10

Stavrou, Athanasia. "Socio-economic conditions in 14th and 15th century Thessalonike : a new approach". Thesis, University of Birmingham, 2011. http://etheses.bham.ac.uk//id/eprint/1630/.

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The thesis deals with the socio-economic conditions prevailing in the city of Thessalonikê in the 14th and 15th centuries. One of the main aims is to address certain methodological issues linked to the period of transition from the Byzantine to the Ottoman Empire. In this effort, we have employed as an analytical tool the economic theory of New Institutional Economics, which lays significant importance in the study of the institutional framework of societies. The main strands of the thesis are two: firstly, the exploration of the ideological concerns, internal conflicts and response of the Thessalonian society to the changing political environment until the final subjection of the city to the Ottoman Turks in 1430. Secondly, the behaviour of the Thessalonian elite in terms of social and economic practice through an examination of its relationship with the Athonite monasteries and the Late Byzantine state. Our ultimate goal is to shed light on the way provincial elite of Thessalonikê adapted to the political and economic conditions that prevailed in the Late Byzantine period.
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11

Rhys, Guto. "Approaching the Pictish language : historiography, early evidence and the question of Pritenic". Thesis, University of Glasgow, 2015. http://theses.gla.ac.uk/6285/.

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The question of ‘the Pictish language’ has been discussed for over four hundred years, and for well over two centuries it has been the subject of ceaseless and often heated debate. The main disagreement focusing on its linguistic categorisation – whether it was Celtic, Germanic (using modern terminology) or whether it belonged to some more exotic language group such as Basque. If it was Celtic then was it Brittonic or Goidelic? The answer to such questions was of some importance in ascertaining to whom the Scottish past belonged. Was it to immigrant Irish, conquering Germanic peoples or native Britons? The twentieth century saw the normalising of the view that it was closely related to Brittonic with some erudite scholars maintaining that another, non-Celtic language, was also spoken in Pictland. The debate subsequently shifted to focusing on just how close was the relationship between Pictish and Neo-Brittonic. Was Pictish simply a northerly dialect variant of the latter or was it indeed a more distinct and perhaps conservative form, evolving independently in an area outwith Roman power and linguistic influence? Recently, as the field of Pictish studies was subjected to both linguistic and historical scrutiny, discussions have become significantly more sophisticated, but the core question remains, as to whether Pictish distinctiveness merits the label ‘dialect’ or ‘language’, as the Venerable Bede himself stated. This thesis will investigate this core issue by providing an overview of previous thinking and scrutinising the evidence for early divergence. It is intended as groundwork for much needed further studies into this field.
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12

Kilbride, William George. "An archaeology of literacy and the church in southern England to AD 750". Thesis, University of Glasgow, 2000. http://theses.gla.ac.uk/1645/.

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This thesis investigates the impact of the Christian clergy on daily life in Anglo-Saxon England in the seventh and eight centuries AD. Noting from the outset an interpretative impasse in historical sources, the archaeological record is explored for what it may reveal concerning those areas and peoples most hidden from historical scholarship. Noting problems with techniques that assume clear distinctions between Christian and pagan ritual - in particular funerary ritual - the anthropology of religious phenomena and religious conversion is introduced to support and expand that critique, but also to focus attention on the sophistication of the problem to be addressed. It is argued that the social sciences are ill-equipped to investigate religious phenomena and that a more subtle, if more complicated, approach is required. Considering the coming of Christianity to Anglo-Saxon England as an encounter between missionaries and their audience, we are encouraged to investigate the subtle tensions implicit in that relationship. The relationship is thus recast in terms of access to literacy, since this is a distinguishing factor of the clergy in England in the seventh and eighth centuries. Literacy, modelled as a set of discursive practices embedded in and re-produced through social relationships, is investigated from the perspective of the archaeology of surveillance. Two cases from Hampshire - Micheldever and Saxon Southampton (or Hamwic) - support the view that literacy can be used as a means of investigating the missionary encounter. It is proposed that, by the first half of the eighth century, the populations of these two areas were drawn into an intricate engagement with the clergy, facilitated by the bureaucratic and discursive deployment of literacy practices. Though necessarily more complicated than approaches that depend on the archaeology of the cemeteries to investigate the relationship between the clergy and the laity, this insight does at least do justice to the complexity of the issue being discussed.
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13

Georgiou, Andriani. "The cult of Flavia Iulia Helena in Byzantium : an analysis of authority and perception through the study of textual and visual sources from the fourth to the fifteenth century". Thesis, University of Birmingham, 2013. http://etheses.bham.ac.uk//id/eprint/4175/.

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The symbolic role of Helena throughout the Byzantine period has never been considered in any detail. Many of the literary sources, particularly historiographical and hagiological texts, are not easily accessible and have not been translated. The visual sources referring to Helena, such as works of late Roman and Byzantine art, coinage, illustrated manuscripts, reliquaries, and wall paintings, have never been collected. My thesis collects and re-evaluates the textual and visual evidence from the fourth to the fifteenth century in order to explore the origins and development of Helena's cult; the emergence of a Helena-legend with symbolic and metaphorical functions; and the ways that the Byzantines reconstructed, judged, and appreciated her role. Special attention is given to the relationship between word and image, as well as the influence exerted on them by contemporary political and social developments. This thesis demonstrates that memories of Helena as an empress and as a saint were manufactured in several distinct stages over several centuries; and that her role differed in the eastern and western halves of the former Roman empire. The evidence is analysed thematically and in chronological order.
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14

Wheeler, Leah. "Wǝ́xa Sxwuqwálustn : pulling together identity, community, and cohesion in the Cowlitz Indian tribe". Thesis, University of Essex, 2017. http://repository.essex.ac.uk/19230/.

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In the last 30 years many changes have taken place within the Cowlitz Indian Tribe. These changes involve the tribe’s sovereignty and have greatly impacted the emic identity of the tribe. Previous identity research with the Cowlitz predates these changes and no longer accurately describe the Cowlitz. The question for this research was how have these changes affected the emic identity of the Cowlitz today as seen in their community and interactions? And how does their identity now compare with their identity in the times of pre-contact and initial contact with whites? This research uses Manuel DeLanda’s assemblage theory to assess and compare the emic identity of the contemporary and historical tribe in terms of sovereignty, identity, and cultural rejuvenation. When the structure, relationships, activities, and purposes of the tribe and groups within the contemporary tribe were analyzed, there was a striking resemblance to the community system described in early settler journals and histories of the Cowlitz. The research was cross-sectional, including ethnographic study, interviews of tribal members, document analysis, and historical analysis. In an attempt to allow the Cowlitz people to speak for themselves rather than project ideas onto the tribe, each section of the research first allows tribal members to voice their opinions and then relies on Cowlitz voices to confirm the analysis. The final dissertation was then submitted to the tribe for comment.
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15

Raj, Shehzad D. "Ambivalence and penetration of boundaries in the worship of Dionysos : analysing the enacting of psychical conflicts in religious ritual and myth, with reference to societal structure". Thesis, University of Essex, 2018. http://repository.essex.ac.uk/23662/.

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This thesis draws on Freud to understand the innate human need to create boundaries and argues that ambivalence is an inescapable dilemma in their creation. It argues that a re-reading of Freud’s major thesis in Totem and Taboo via an engagement with the Dionysos myth and cult scholarship allows for a new understanding of dominant forms of hegemonic psychic and social formations that attempt to keep in place a false opposition of polis and phusis, self and Other, resulting in the perpetuation of oppressive structures and processes. The primary methodological claim of the thesis is that prior psychoanalytic engagements with cultus scholarship have suffered from being either insufficiently thorough or diffused in attempts to be comparative. A more holistic and detailed approach allows us to ground a psychoanalytic interpretation in the realities of said culture, allowing us to critique Freud’s misreading of Dionysos regarding the Primal Father and the psychic transmission of the Primal Crime. This thesis posits that Dionysos needs to acknowledged as a projection of the Primal Father fantasy linked to a basic ambivalence about the necessity of boundaries in psychosocial life. Using research from the classics and psychoanalysis alongside Queer and post-colonial theory, as well as extensive fieldwork and primary source analysis, this thesis provides a grounded materialist critique of psychoanalysis’ complicity in reproducing a false dichotomy between polis and phusis, a dichotomy that furthers the projection onto marginalised groups whose othering is linked to a fear and desire of a return to phusis and denial of its constant presence in the psyche and polis. This re-reading of Dionysos challenges the defensive structures, which are organised around ideas of subjectification that posit that phusis must be severed from polis/ego and projected onto Dionysos and all groups that threaten the precariousness of these boundaries.
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16

Vargas, Miguel M. "Causes of the Jewish Diaspora Revolt in Alexandria: Regional Uprisings from the Margins of Greco-Roman Society, 115-117 CE". Thesis, University of North Texas, 2016. https://digital.library.unt.edu/ark:/67531/metadc849731/.

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This thesis examines the progression from relatively peaceful relations between Alexandrians and Jews under the Ptolemies to the Diaspora Revolt under the Romans. A close analysis of the literature evidences that the transition from Ptolemaic to Roman Alexandria had critical effects on Jewish status in the Diaspora. One of the most far reaching consequences of the shift from the Ptolemies to Romans was forcing the Alexandrians to participate in the struggle for imperial patronage. Alexandrian involvement introduced a new element to the ongoing conflict among Egypt’s Jews and native Egyptians. The Alexandrian citizens consciously cut back privileges the Jews previously enjoyed under the Ptolemies and sought to block the Jews from advancing within the Roman system. Soon the Jews were confronted with rhetoric slandering their civility and culture. Faced with a choice, many Jews forsook Judaism and their traditions for more upwardly mobile life. After the outbreak of the First Jewish War Jewish life took a turn for the worse. Many Jews found themselves in a system that classified them according to their heritage and ancestry, limiting advancement even for apostates. With the resulting Jewish tax (fiscus Judaicus) Jews were becoming more economically and socially marginalized. The Alexandrian Jews were a literate society in their own right, and sought to reverse their diminishing prestige with a rhetoric of their own. This thesis analyzes Jewish writings and pagan writings about the Jews, which evidences their changing socio-political position in Greco-Roman society. Increasingly the Jews wrote with an urgent rhetoric in attempts to persuade their fellow Jews to remain loyal to Judaism and to seek their rights within the construct of the Roman system. Meanwhile, tensions between their community and the Alexandrian community grew. In less than 100 years, from 30 CE to 117 CE, the Alexandrians attacked the Jewish community on at least three occasions. Despite the advice of the most Hellenized elites, the Jews did not sit idly by, but instead sought to disrupt Alexandrian meetings, anti-Jewish theater productions, and appealed to Rome. In the year 115 CE, tensions reached a high. Facing three years of violent attacks against their community, Alexandrian Jews responded to Jewish uprisings in Cyrene and Egypt with an uprising of their own. Really a series of revolts, historians have termed these events simply “the Diaspora Revolt.”
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17

Vargas, Miguel M. "Causes of the Jewish Diaspora Revolt in Alexandria: Regional Uprisings from the Margins of Greco-Roman Society". Thesis, University of North Texas, 2005. https://digital.library.unt.edu/ark:/67531/metadc849731/.

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This thesis examines the progression from relatively peaceful relations between Alexandrians and Jews under the Ptolemies to the Diaspora Revolt under the Romans. A close analysis of the literature evidences that the transition from Ptolemaic to Roman Alexandria had critical effects on Jewish status in the Diaspora. One of the most far reaching consequences of the shift from the Ptolemies to Romans was forcing the Alexandrians to participate in the struggle for imperial patronage. Alexandrian involvement introduced a new element to the ongoing conflict among Egypt’s Jews and native Egyptians. The Alexandrian citizens consciously cut back privileges the Jews previously enjoyed under the Ptolemies and sought to block the Jews from advancing within the Roman system. Soon the Jews were confronted with rhetoric slandering their civility and culture. Faced with a choice, many Jews forsook Judaism and their traditions for more upwardly mobile life. After the outbreak of the First Jewish War Jewish life took a turn for the worse. Many Jews found themselves in a system that classified them according to their heritage and ancestry, limiting advancement even for apostates. With the resulting Jewish tax (fiscus Judaicus) Jews were becoming more economically and socially marginalized. The Alexandrian Jews were a literate society in their own right, and sought to reverse their diminishing prestige with a rhetoric of their own. This thesis analyzes Jewish writings and pagan writings about the Jews, which evidences their changing socio-political position in Greco-Roman society. Increasingly the Jews wrote with an urgent rhetoric in attempts to persuade their fellow Jews to remain loyal to Judaism and to seek their rights within the construct of the Roman system. Meanwhile, tensions between their community and the Alexandrian community grew. In less than 100 years, from 30 CE to 117 CE, the Alexandrians attacked the Jewish community on at least three occasions. Despite the advice of the most Hellenized elites, the Jews did not sit idly by, but instead sought to disrupt Alexandrian meetings, anti-Jewish theater productions, and appealed to Rome. In the year 115 CE, tensions reached a high. Facing three years of violent attacks against their community, Alexandrian Jews responded to Jewish uprisings in Cyrene and Egypt with an uprising of their own. Really a series of revolts, historians have termed these events simply “the Diaspora Revolt.”
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18

Stockhausen, John Matthew. "The Price of Failure: Conceptions of Nicias’ Culpability in Athens’ Sicilian Disaster". Columbus, Ohio : Ohio State University, 2008. http://rave.ohiolink.edu/etdc/view.cgi?acc%5Fnum=osu1218591683.

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19

Perras, Jean-Alexandre. "L'exception exemplaire : une histoire de la notion de génie du XVIe au XVIIIe siècle". Thèse, Paris 8, 2012. http://hdl.handle.net/1866/8969.

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Cette thèse montre comment s’est constituée la figure du génie en France au cours des XVIe, XVIIe et XVIIIe siècles, en mettant en évidence les paradoxes qui lui ont permis de devenir l’une des notions fondamentales de la modernité. Cette analyse s’articule autour de trois axes principaux. D’abord, il s’agit d’interroger les circonstances de l’invention du terme « génie » dans la langue française, en insistant sur son bagage culturel gréco-latin. La notion de génie apparaît alors comme intimement liée au génie de la langue française et à son histoire. Ensuite, l’analyse s’intéresse au rôle que la notion de génie joue dans le cadre régulateur de la théorie poétique à la fin du XVIIe siècle. Le génie, qui se définit alors comme une aptitude naturelle à l’exercice d’une régularité normée du faire, n’a cependant de valeur que si cette régularité est transgressée, dépassée. Cette relation fait apparaître le paradoxe social que représente le génie, considéré à la fois comme exceptionnel et exemplaire. Ce paradoxe du génie est ensuite analysé dans le cadre du développement des théories esthétiques au XVIIIe siècle, fondées sur une expérience communautarisante du beau. Cette problématique est étudiée au regard de l’intérêt des philosophes sensualistes pour le problème que constitue le génie, en particulier quant aux mécanismes de l’invention et de la découverte. À l’issue de ce parcours, il apparaît que le génie est à la fois problématique pour les théories qui tentent de le circonscrire et unificateur pour la communauté qu’il permet d’illustrer.
This dissertation shows how the figure of the génie was constituted in France over the course of the 16th, 17th and 18th centuries, by highlighting the paradoxes which allowed such a figure to become the fundamental notion of modernity. The analysis revolves around three main lines. First, the circumstances for the invention of the very term génie in the French language are examined by focusing on the Greco-Latin cultural background it carried along. As a result, the notion appears as intimately connected to the genius of the French language and its history. Secondly, the analysis focuses on the role this notion played within the normative framework of poetic production at the end of the 17th century. Paradoxically, the value of the génie, which was then defined as the natural ability for the exercising of a regulated technique of poesis, was inconceivable without the transgression of such a normative framework. This social paradox underscores the fact that a génie was, at once, considered both as exceptional and exemplary. Finally, this very paradox his analyzed further within the trajectory of the development of aesthetic theories, during the 18th century, which were founded on a community-defining experience of beauty. This specific issue his examined with reference to the interest sensualist philosophers displayed, in particular, for the mechanisms of invention and discovery. The investigation comes to the following essential conclusion: the génie was, at the same time, problematic for the theories that attempted to circumscribe it and unifying for the communities which were illustrated through it.
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20

Ríos, Camacho Xosé Carlos. "Mozarabismo en la Gallaecia Altomedieval. Estudios generales y análisis desde sus fuentes documentales monásticas (siglos VIII, IX, X y XI)". Doctoral thesis, Universidad de Murcia, 2009. http://hdl.handle.net/10803/11017.

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El objetivo de esta aproximación al fenómeno de la mozarabización-arabización de las gentes desplazadas desde Al-Ándalus o ubicadas y desplazadas en territorios de la amplia Gallaecia y fronteras, es poder ver su huella, seguir su rastro allá donde se localice cualquier fenómeno de tradición latino-romance y andalusí. Los datos de contexto de la Ylliqiyya son claves más allá de la Galiza nuclear, en las fronteras (Marcas Inferior, Al-Tagr al garbi y Central, cabeza y discurso del Duero) e interior, y así nuestras fuentes documentales monásticas seleccionadas (tumbos de Sobrado, Samos, Celanova y Castañeda sanabrés) son capaces de enfocar onomástica-antroponimia, léxico, objetos de extracción comercial y litúrgicos, toponimia-hagiotoponimia, y esos nuevos caminos de investigación que atisbamos en los siglos VIII al XI.
The objective of this approach to the phenomenon of the mozarabization-arabicization of the people moved from Al-Ándalus or located and moved in territories of the ample Gallaecia and borders, is to be able to see its track, to follow its sign there where any phenomenon of Latin-Romance and andalusí tradition is located. The data of context of the Ylliqiyya are keys beyond the nuclear Galiza, in the borders (Marks Inferior, Al-Tagr al Garbi and Power station, head and route of the Duero) and interior, and thus our selected monastic documentary sources (tumbles of Sobrado, Samos, Celanova and Castañeda) are able to focus onomastic-anthroponymy, lexicon, objects of commercial extraction and liturgical, toponymy-hagiotoponymy, and those new ways of investigation that we watched in centuries VIII to the XI.
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21

Berruecos, Frank Bernardo. "Polipeiros sofía. Heródoto en la historia de la filosofía griega". Doctoral thesis, Universitat de Barcelona, 2013. http://hdl.handle.net/10803/117852.

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Las Historias de Heródoto pueden ser para el contexto jurídico-político de los presocráticos lo que los doxógrafos son para su contenido doctrinal. En este trabajo se ofrece una alternativa a la visión "doxografizante" del pensamiento arcaico. Las Historias, monumento paradigmático del saber en su relación con el poder, testimonio invaluable de las relaciones de lucha y de dominio, de las formas de gobierno político, ofrecen un retrato vivo de los modos de conocimiento arcaicos; en lugar de recurrir únicamente al contexto tardío en que una declaración presocrática emerge y a la exégesis doxográfica subsiguiente, a menudo plagada de suposiciones anacrónicas que se expresan con una dicción extemporánea e improcedente, las Historias constituyen, en virtud de haber sobrevivido en su totalidad y de compartir con los presocráticos una misma comunidad epistemológica, una fuente privilegiada para reedificar una parte del contexto cultural. Los métodos de pensamiento y conocimiento del historiador no están sepultados dentro de una sentencia lapidaria, sino que se desarrollan de forma dinámica y transversal a través de su discurso, a la vez que se activan en el lector y lo interpelan constantemente. Las Historias ponen en escena el choque de unos discursos con otros, el enfrentamiento de lo que unos y otros dicen, es decir, la batalla por la legitimación discursiva. La forma en que el historiador organiza, critica y jerarquiza la información pone en evidencia una concepción política del conocimiento, pues siempre se sitúa en una posición mediadora intercediendo y fungiendo como árbitro y juez de los discursos. Esta lucha, esta contienda discursiva es, en definitiva, un símbolo de las fuerzas políticas inherentes al pensamiento arcaico. El trabajo está conformado por tres capítulos. Los dos primeros representan dos etapas del camino que, sin ser aún la meta, posibilitan el encaminamiento hacia ella. Ambos movimientos pretenden legitimar la propuesta que se lleva a cabo en el tercer capítulo y que constituye propiamente la tesis. Para erigir a Hérodoto como símbolo de los presocráticos, es necesario definir su posición intersticial con respecto al pasado (Homero) y con respecto al futuro (Platón- Aristóteles), pues los presocráticos son también intersticios entre el corpus homérico y el platónico-aristotélico. No se trata, pues, de demostrar posibles influencias intelectuales o alusiones más o menos veladas del pensamiento de unos y otros; se trata más bien de dilucidar las condiciones comunes (político-jurídico-sociales) que permiten a unos y a otros desarrollar su pensamiento. Se han estudiado una serie de vocablos y se ha intentado, a través de sus formas de articulación en oposiciones, asociaciones o meras concomitancias, determinar su funcionamiento. Así, se ha pretendido poner en evidencia cómo las Historias de Heródoto pueden iluminar el campo semántico de algunos de los vocablos más representativos de los textos presocráticos. De esta manera, la dilucidación de la significación de un término y de las representaciones sociales, políticas o religiosas inherentes a él, encuentra en las Historias un gran diccionario en el que es posible descubrir un amplio repertorio de ocurrencias lexicales a la vez que un espejo reflector en donde se reconocen los usos vivos e, incluso, los gestos de sus hablantes.
“Polipeiros sophia. Herodotus in the history of greek philosophy.” The central thesis of this research is to examine how the Histories of Herodotus, acting as a symbol of Presocratic thought, display a political conception of kwowledge in which the various archaic modes of thought may find a sort of architext that offers a peculiar reading and analysis method. The Histories bring into stage the clash of discourses, the confrontation between them, representing the battle for discursive legitimation. The way the historian organizes, criticizes and sets a hierarchy for the information reveals a political conception of knowledge, because he invariably places himself as a mediator interceding and acting as an arbitrator and judge of discourses. This struggle or discursive battle is definitely a symbol of the political forces that are immanent to the archaic thought. A fundamental hypothesis guiding this research is that an analogy can be drawn between the role played by the people of a city as a function of their form of government and the role of the auditorium or addressee of a discourse. As such, the analysis of the Presocratic texts may be performed under the perspective that it is possible to trace in them a defined politics of discourse. This research comprises three chapters. The first two aim to legitimate the proposal carried out in the third chapter in which the core of the thesis is presented. To raise Herodotus into a Presocratic symbol (Chapter 3), it is necessary to define his interstitial stance with respect to the past (Homer = chapter 1) and the future (Plato-Aristotle = chapter 2). Several terms have been studied and through their forms of articulation in oppositions, associations or mere concomitances, an attempt has been made to determine how they work. So, we expect to show how the Histories of Herodotus may enlighten the semantic field of the most significant terms used in Presocratic texts. In this way, the elucidation of the significance of a term and its inherent social, political and religious representations, makes it possible to discover in the Histories a great dictionary where a large repertory of lexical uses can be found, just as a mirror reflecting the live usages and even the gestures of the speakers.
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22

Miller-Dorangeon, Emeline. "Aristophane et l’épopée : Formes et fonctions des parodies, citations et imitations épiques dans les comédies d’Aristophane". Thesis, Lyon, 2016. http://www.theses.fr/2016LYSE3031.

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Ce travail décrit les différentes formes que prennent les emprunts à l'épopée dans les comédies d'Aristophane afin de définir le rapport construit par la comédie entre les deux genres littéraires, entre dérision comique et hommage littéraire, ruptures et continuités idéologiques, filiations et innovations poétiques
This study tries to describe the various forms of Aristophanic borrowing to epic poetry, in order to define the relationship between the two genres: mockery or homage to the poet, ideological break or continuity, poetic filiation or innovation?
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23

van, Loenen Ayla Lore. "The 'next generation’ of ancient DNA research: a series of methods and approaches to improve our understanding of the evolutionary history of species in general, and European bison in particular". Thesis, 2018. https://hdl.handle.net/2440/132530.

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Understanding the complex and dynamic processes underlying the evolutionary history of species is key for predicting how species evolve and respond to changes in their environment. This is particularly important for the development of appropriate conservation management strategies for species that are currently under threat or predicted to come under threat in the future. While modern DNA may be available, identifying long term patterns of evolutionary history in extant populations can be confounded by more recent population events (such as bottlenecks or local extinctions). Instead, DNA from ancient specimens can be used to directly observe genetic changes through the evolutionary history of a species as well as reconstruct the demographic history of both extinct and extant species or populations. However, the small number of specimens typically included in ancient DNA studies often limits their interpretations to fairly general or location specific conclusions. In this thesis, I developed approaches for the integration of genetic and nongenetic datasets, specifically combining modern and ancient DNA data, geographic and temporal information, palaeoenvironmental predictions, and historical records to improve our understanding of evolutionary processes. In order to maximise the inclusion of ancient DNA data, I have optimised techniques for sequencing and processing data (Chapters 2 & 3). Collectively these methods significantly improve the recovery of ancient DNA data from larger numbers of poor quality samples. Larger datasets subsequently facilitate the investigation of broad-scale continental patterns of species evolution and response to environmental change. European bison are a particularly good model for studying the responses of megafaunal species to environmental change. Samples are available from both modern and ancient individuals, and European bison have persisted across a broad geographic change throughout periods of dramatic Pleistocene environmental change. In addition, the evolutionary history of European bison remains unclear and relatively few ancient samples have been analysed (Chapter 4). I applied the optimised methods from Chapters 2 & 3 to a large set of European bison samples, significantly increasing the recovery of ancient genetic data and creating a much larger ancient DNA dataset for subsequent analysis. Using this comprehensive dataset comprising samples from across the temporal and geographic range of the species, I delineated patterns of genetic change through time in both mitochondrial (Chapter 5) and nuclear (Chapter 6) genomes. To identify potential drivers of evolution I combined palaeoenvironmental data (such as palaeoecology and palaeoclimate), and historical records with patterns of genetic change. Using this approach, I found that historical changes in forest cover and anthropogenic impacts were primary drivers of European bison evolution, and shaped their modern diversity and distribution (Chapters 5 & 6). Ultimately the research presented in my thesis contributes towards the ‘next-generation’ of ancient DNA research, providing a series of approaches to optimise recovery of genetic data from ancient samples, and combining genetic and non-genetic datasets in order to further our understanding of how species evolve and respond to environmental change.
Thesis (Ph.D.) -- University of Adelaide, School of Biological Sciences, 2018
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24

Hill, Joan. "Ancient and modern treatment of Alexander the Great". Diss., 2002. http://hdl.handle.net/10500/2487.

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This dissertation examines the different interpretations of the secondary sources for Alexander the Great by three modern historians, Nicholas Hammond, Peter Green and Mary Renault. The Introduction looks briefly at the lost primary Alexander-histories, the extant works of Diodorus Siculus, Quintus Curtius, Plutarch and Arrian and includes an abbreviated curriculum vltae of each modern author. Chapter X concerns modern interpretations of the controversial circumstances surrounding the accession of Alexander and the assassination of Philip. Chapter II covers the elimination of possible rivals, Attalus, Alexander Lyncestes and Amyntas son of Perdiccas, two major conspiracies - the Philotas Affair and the death of Parmenio, the conspiracy of the Royal Pages and death of Callisthenes - and the killing of Cleitus the Black. Chapter III deals with modern explanations of the death of Alexander. The Conclusion highlights significant theories and trends presented by the modern historians, which influence their interpretations of the ancient sources.
History
M.A. (Ancient History)
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25

Innerst, Sean. "The ancient Narratio as an ecclesial participation in the divine pedagogy: a study of its sources and proposal for its current application". Thesis, 2010. http://hdl.handle.net/10500/4948.

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This study represents a work of practical narrative theology which originates in the notable prominence of an ancient form of catechesis in a modern document, the General Directory for Catechesis (GDC), issued in 1997 by the Sacred Congregation for the Clergy in the Vatican. The GDC first mentions narratio explicitly in number 39 in the form of an imperative: "Catechesis, for its part, transmits the words and deeds of Revelation; it is obliged to proclaim and narrate them and, at the same time, to make clear the profound mysteries that they contain." It is under the weight of that obligation that this study came to be. Narratio, or the narration of salvation history, which was a standard part of the catechesis of the Church of the fourth and fifth centuries gave way to the exigencies of a changing Church in which the catechetical focus turned from adults, who needed a Judeo-Christian worldview to replace a Greco-Roman one, to children who had grown up in communities shaped by a Christian vision. This doctoral thesis proceeds by, first, surveying Roman Catholic magisterial teaching immediately preceding the issuance of the GDC to trace the roots of this apparent innovation within an institution which is otherwise noted for its conservatism. After establishing the context and character of the GDCs call for revival of narratio, this thesis examines the historical setting, rhetorical structure, and function of narratio in Augustine of Hippo's De catechizandis rudibus, and then its scriptural precursors in the two Testaments in order to discover how this narration functioned in the Jewish and Christian communities which practiced haggadic and anamnetic recitals of God's saving works as a means to the formation and maintenance of communal identity. This study seeks to establish that a positive response to the GDC's call is as much warranted by the evidence provided in the biblical and post-biblical Jewish and Christian practice of ritual/covenantal remembrance as by the Catholic magisterial imperative in the GDC. In this, it may aid to inform and direct such a positive response to the GDC for the revival of the catechetical narratio.
Christian Spirituality, Church History and Missiology
D. Th. (Church History)
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