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1

Nadji, Mehdi. « Die diskrete Planungsebene in Castel del Monte ». Technikgeschichte 79, no 2 (2012) : 127–46. http://dx.doi.org/10.5771/0040-117x-2012-2-127.

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Todisco, Luigi. « Rilievi romani a Trani, Castel del Monte, Canosa ». Mélanges de l’École française de Rome. Antiquité 105, no 2 (1993) : 873–94. http://dx.doi.org/10.3406/mefr.1993.1822.

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Badstübner, Ernst, et Wulf Schirmer. « Castel del Monte. Forschungsergebnisse der Jahre 1990 bis 1996 ». Zeitschrift für Kunstgeschichte 66, no 4 (1 janvier 2003) : 581. http://dx.doi.org/10.2307/20055364.

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Toker, Franklin. « Review : Castel del Monte : Gestalt und Symbol der Architektur Friedrichs II by Heinz Götze ». Journal of the Society of Architectural Historians 47, no 4 (1 décembre 1988) : 415–16. http://dx.doi.org/10.2307/990387.

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Reveyron, N. « De Cluny à Castel del Monte : la Renaissance monumentale du XIIe siècle et l’universalisme de l’esthétique antiquisante ». Hortus Artium Medievalium 16 (mai 2010) : 107–24. http://dx.doi.org/10.1484/j.ham.3.10.

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Barbarroja, Jorge Martín, Rafael Jiménez Díaz, Víctor Hernández Fernández et Pablo Castillo. « Reproductive fitness of Meloidogyne artiellia populations on chickpea and durum wheat ». Nematology 7, no 2 (2005) : 243–47. http://dx.doi.org/10.1163/1568541054879656.

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AbstractThe influence of chickpea and durum wheat, as crops widely used in rotations in the Mediterranean Basin, on the reproductive fitness of five Meloidogyne artiellia populations from Italy, Spain and Syria, was investigated under controlled conditions. The reproductive fitness of the M. artiellia populations, determined as the number of eggs per mature egg mass, was significantly greater in durum wheat cv. Simeto than in chickpea cv. UC 27 for all five nematode populations. Similarly, both in chickpea and durum wheat the reproductive fitness differed among nematode populations, with populations of M. artiellia from Castel del Monte (southern Italy) and CL5 (northern Spain) producing the greatest number of eggs per egg mass. The fewest number of eggs per egg mass of M. artiellia occurred for populations from Alhama 6 (southern Spain) and Tel-Hadya (northern Syria).
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Costantino, D., M. G. Angelini et F. Settembrini. « POINT CLOUD MANAGEMENT THROUGH THE REALIZATION OF THE INTELLIGENT CLOUD VIEWER SOFTWARE ». ISPRS - International Archives of the Photogrammetry, Remote Sensing and Spatial Information Sciences XLII-5/W1 (12 mai 2017) : 105–12. http://dx.doi.org/10.5194/isprs-archives-xlii-5-w1-105-2017.

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The paper presents a software dedicated to the elaboration of point clouds, called <i>Intelligent Cloud Viewer</i> (ICV), made in-house by AESEI software (Spin-Off of Politecnico di Bari), allowing to view point cloud of several tens of millions of points, also on of “no” very high performance systems. The elaborations are carried out on the whole point cloud and managed by means of the display only part of it in order to speed up rendering. It is designed for 64-bit Windows and is fully written in C ++ and integrates different specialized modules for computer graphics (Open Inventor by SGI, Silicon Graphics Inc), maths (BLAS, EIGEN), computational geometry (CGAL, <i>Computational Geometry Algorithms Library</i>), registration and advanced algorithms for point clouds (PCL, <i>Point Cloud Library</i>), advanced data structures (BOOST, <i>Basic Object Oriented Supporting Tools</i>), etc. ICV incorporates a number of features such as, for example, cropping, transformation and georeferencing, matching, registration, decimation, sections, distances calculation between clouds, etc. It has been tested on photographic and TLS (<i>Terrestrial Laser Scanner</i>) data, obtaining satisfactory results. The potentialities of the software have been tested by carrying out the photogrammetric survey of the Castel del Monte which was already available in previous laser scanner survey made from the ground by the same authors. For the aerophotogrammetric survey has been adopted a flight height of approximately 1000ft AGL (<i>Above Ground Level</i>) and, overall, have been acquired over 800 photos in just over 15 minutes, with a covering not less than 80%, the planned speed of about 90 knots.
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Tarricone, Luigi, Michele Faccia, Gianvito Masi et Giuseppe Gambacorta. « The Impact of Early Basal Leaf Removal at Different Sides of the Canopy on Aglianico Grape Quality ». Agriculture 10, no 12 (14 décembre 2020) : 630. http://dx.doi.org/10.3390/agriculture10120630.

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It is known that early removal of basal leaves improves the exposure of cluster to direct sunlight and UV radiation, which positively influence the phenolic compounds and anthocyanin concentration of berries. This study was carried out to evaluate the effect of leaf removal applied before flowering to the basal zone of the canopy at different sides (fruit-zone north canopy side, south canopy side and north–south canopy side, respectively) of Aglianico vines trained to vertical shoot position system and row oriented to east–west (EW). The study was conducted in the controlled and guaranteed designation of origin (CGDO) Castel del Monte area (Apulia region, Italy). The treatment did not affect yield per vine, and nor sugar, pH, and total acidity of grapes. When it was applied to the basal south canopy side, the concentration of proanthocyanidins and total polyphenols of grapes increased, as well as antioxidant activity. In particular, anthocyanins content, determined by HPLC, increased by 20% with respect to control when treatment was applied to south and north–south canopy sides. Interaction between season period and treatment was found for all anthocyanins except for petunidin-3-coumaroyl-glucoside. Basal leaf removal applied to the north canopy side caused an increase in malvidin-3-O-glucoside content in grapes in 2016 and 2018, but not in 2017. Our results indicate that basal leaf removal (six basal leaves removed from the base of the shoots) before flowering (BBCH 57) can be used as an effective strategy to improve grape total polyphenols, anthocyanins concentration and antioxidant activity in vineyards cultivated under warm climate conditions. The treatment could represent a sustainable alternative to manual cluster thinning since it does not reduce yield per vine and can be performed mechanically.
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Peinado Guzmán, José Antonio. « El arzobispo don Pedro de Castro Cabeza de Vaca y Quiñones y la influencia del Sacro Monte en el desarrollo inmaculista en Granada ». Historia. Instituciones. Documentos, no 42 (2015) : 275–95. http://dx.doi.org/10.12795/hid.2015.i42.09.

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Jácome Roca, Alfredo. « Académico honorario Egon Lichtemberger Salomón y académico correspondiente extranjero Roger Guerra-García ». Medicina 42, no 3 (3 octobre 2020) : 501–2. http://dx.doi.org/10.56050/01205498.1546.

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El Académico Egon Lichtenberger falleció en Bogotá en mayo de 2020, a sus 99 años. Ante la situación de la comunidad judía durante el gobierno del Tercer Reich, en 1936 su familia emigró a Bogotá, pensando en que con Hitler, ningún lugar de Europa era seguro. El joven Egon quedó marcado por aquel inhumano “holocausto judío” que lo volvió escéptico de la rectoría del universo, aunque su vida fue un testimonio de la posibilidad de un mundo mejor. Fue un gran admirador de Churchill, por la entereza que mostró para enfrentar sin reparos al líder nazi, sin quitar la vista del soviético. Tal vez era el sentimiento de la época, también experimenté lo mismo, aunque dos décadas después. Estudió medicina en la Universidad Nacional de Colombia e inició su formación de patología al lado de Juan Pablo Llinás (formado en París) y Manuel Sánchez Herrera, quien estuvo en Harvard. Posteriormente hizo posgrados en Durham University de New Castle Upon Tyne, en Inglaterra y el Mount Sinai Hospital, Columbia University, de Nueva York. En 1952 regresó a Colombia y se vinculó al Hospital San Juan de Dios de Bogotá, donde, aprovechando el alto número de autopsias practicadas (de fallecidos de la Hortúa, el Instituto Nacional d Cancerología, y el Instituto Materno Infantil), inició actividades docente asistenciales con microscopía diagnóstica y con reuniones clínicopatológicas que pronto se tornaron en el centro de la docencia en ese hospital, regentado por la Universidad Nacional. Por años fue jefe del departamento de Patología, y con él trabajó un grupo de renombrados patólogos, y se entrenaron muchos residentes. __________________________________ El académico correspondiente extranjero Roger Guerra-García (1933-2020) falleció a los 87 años en Lima, según información enviada por la Academia Nacional de Medicina del Perú, de la cual fue presidente. También ocupó este máximo cargo en la Academia Nacional de Ciencias del país andino. Guerra-García fue egresado de la Universidad Mayor de San Marcos e hizo estudios de postgrado en Endocrinología y Bioquímica en el Hospital Monte Sinai de Nueva York y en la Universidad de Boston. Fue por muchos años profesor universitario y en diversos períodos presidente de la Sociedad Peruana de Endocrinología, fue el primer presidente del Consejo Nacional de Ciencia y Tecnología CONCYTEC -entidad similar a ColcienciasVice-Ministro de Educación, Rector de la Universidad Peruana Cayetano Heredia y Senador de la República. Participó en los congresos bolivarianos de endocrinología como conferencista.
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Bartholomew, Duane P., Richard A. Hawkins et Johnny A. Lopez. « Hawaii Pineapple : The Rise and Fall of an Industry ». HortScience 47, no 10 (octobre 2012) : 1390–98. http://dx.doi.org/10.21273/hortsci.47.10.1390.

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The date pineapple (Ananas comosus var. comosus) was introduced to Hawaii is not known, but its presence was first recorded in 1813. When American missionaries first arrived in Hawaii in 1820, pineapple was found growing wild and in gardens and small plots. The pineapple canning industry began in Baltimore in the mid-1860s and used fruit imported from the Caribbean. The export-based Hawaii pineapple industry was developed by an entrepreneurial group of California migrants who arrived in Hawaii in 1898 and the well-connected James D. Dole who arrived in 1899. The first profitable lot of canned pineapples was produced by Dole’s Hawaiian Pineapple Company in 1903 and the industry grew rapidly from there. Difficulties encountered in production and processing as the industry grew included low yields resulting from severe iron chlorosis and the use of low plant populations, mealybug wilt that devastated whole fields, inadequate machinery that limited cannery capacity, and lack of or poorly developed markets for the industry’s canned fruit. The major production problems were solved by public- and industry-funded research and innovation in the field and in the cannery. An industry association and industry-funded cooperative marketing efforts, initially led by James Dole, helped to expand the market for canned pineapple. Industry innovations were many and included: selection of ‘Smooth Cayenne’ pineapple as the most productive cultivar with the best quality fruit for canning; identification of the cause of manganese-induced iron chlorosis and its control with biweekly iron sulphate sprays; the use of mulch paper and the mechanization of its application, which increased yields by more than 20 t·ha−1; and the invention of the Ginaca peeler–corer machine, which greatly sped cannery throughput. Nematodes were also a serious problem for the industry, which resulted in the discovery and development of nematicides in the 1930s. As a result, by 1930 Hawaii led the world in the production of canned pineapple and had the world’s largest canneries. Production and sale of canned pineapple fell sharply during the world depression that began in 1929. However, the formation of an industry cartel to control output and marketing of canned pineapple, aggressive industry-funded marketing programs, and rapid growth in the volume of canned juice after 1933 restored industry profitability. Although the industry supported the world’s largest pineapple breeding program from 1914 until 1986, no cultivars emerged that replaced ‘Smooth Cayenne’ for canning. The lack of success was attributed in part to the superiority of ‘Smooth Cayenne’ in the field and the cannery, but also to the difficulty in producing defect-free progeny from crosses between highly heterozygous parents that were self-incompatible. Production of canned pineapple peaked in 1957, but the stage was set for the decline of the Hawaii industry when Del Monte, one of Hawaii’s largest canners, established the Philippine Packing Corporation (PPC) in the Philippines in the 1930s. The expansion of the PPC after World War II, followed by the establishment of plantations and canneries by Castle and Cooke’s Dole division in the Philippines in 1964 and in Thailand in 1972, sped the decline. The decline occurred mainly because foreign-based canneries had labor costs approximately one-tenth those in Hawaii. As the Hawaii canneries closed, the industry gradually shifted to the production of fresh pineapples. During that transition, the pineapple breeding program of the Pineapple Research Institute of Hawaii produced the MD-2 pineapple cultivar, now the world’s pre-eminent fresh fruit cultivar. However, the first and major beneficiary of that cultivar was Costa Rica where Del Monte had established a fresh fruit plantation in the late 1970s. Dole Food Co. and Maui Gold Pineapple Co. continue to produce fresh pineapples in Hawaii, mostly for the local market. All of the canneries eventually closed, the last one on Maui in 2007.
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Molero García, Jesús. « El castillo medieval en la Península Ibérica : ensayo de conceptualización y evolución tipológico-funcional ». Vínculos de Historia Revista del Departamento de Historia de la Universidad de Castilla-La Mancha, no 11 (22 juin 2022) : 141–69. http://dx.doi.org/10.18239/vdh_2022.11.06.

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La historiografía sobre fortificaciones medievales en el ámbito medieval cristiano es tan amplia como dispersa. Abundan los estudios de carácter local abordados con metodologías y desde disciplinas diversas, empezando por los clásicos trabajos de Historia del Arte e Historia de la Arquitectura, y, por supuesto, los de contenido estrictamente histórico, planteados desde el estudio de las fuentes escritas y, más recientemente, desde la Arqueología. Faltan, no obstante, estudios de conjunto y aunque se ha abordado el tema de la conceptualización y clasificación tipológica de estas fortalezas, creemos que sigue siendo una asignatura pendiente en el ámbito de la castellología. El presente trabajo pretende pues abordar la problemática sobre la definición y límites del castillo medieval, para pasar después a plantear una clasificación tipológica y funcional de los castillos cristianos peninsulares, para lo cual tendremos en cuenta no sólo la producción historiográfica reciente, sino también nuestras propias investigaciones de base fundamentalmente arqueológica. Palabras clave: Castellología, castillo feudal, tipología castral, reinos cristianos peninsulares, poliorcéticaTopónimos: Península IbéricaPeríodo: siglos VIII-XV ABSTRACTHistoriography on the subject of medieval fortifications in the medieval Christian area is as wide as it is disperse. There is an abundance of local studies undertaken employing different methodologies, starting with the History of Art, the History of Architecture and, of course, those of strictly historical content, based on the study of written sources and, more recently, on Archaeology. However, there is a lack of comprehensive studies and, although the problem of the conceptualisation and typological classification of these fortresses has been addressed, I believe that this continues to be an unresolved issue in the field of castellology. This article aims to address the problem of the definition and limits of the medieval castle, and then propose a typological and functional classification of peninsular Christian castles, taking into account not only recent historiographical production but also my own archaeological research. Keywords: castellology, feudal castle, castral typology, peninsular Christian kingdoms, polyorceticPlace names: Iberian PeninsulaPeriod: 8th-15th centuries REFERENCIASAcién Almansa, M. (2002), “De nuevo sobre la fortificación del emirato” en Mil anos de Fortificações na Península Ibérica e no Magreb (500-1500). Actas do simpósio internacional sobre castelos, Lisboa, pp. 59-75.Almedia, C. A. F. de (1991), “Castelos e cercas medievais. 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XII a XIV” en Arqueologia da Idade Média da Península Ibérica, Actas do 3 Congresso de Arqueologia Peninsular (Utad, Vila Real de 21 a 27 de setembro de 1999), vol. 7, Porto, pp. 187-211.Barroca, M. J. (2002), “Os castelos das Ordens Militares em Portugal (Séc.s XII a XIV)” en Mil anos de Fortificações na Península Ibérica e no Magreb (500-1500). Actas do simpósio internacional sobre castelos, Lisboa, pp. 535-548.Bazzana, A. y Guichard, P. (1980), “Châteaux et peuplement en Espagne médiévale, l’exemple de la région valencienne” en Châteaux et peuplement en Europe occidentale du Xe au XVIIIe siècle. (Premières journèes internationales d’Histoire 20-22 septembre 1979), Auch, pp. 191-202.Bazzana, A. Guichard, P. y Sénac, Ph. (1992), “La frontière dans l’Espagne Médiévale” en J.-M- Poisson (ed.), Castrum 4. 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(2014), Fortificaciones en la tardoantigüedad, élites y articulación del territorio (siglos V-VIII d.C.). Madrid.Cobos, F. (2002), “Artillería y fortificación ibérica de transición en torno a 1500” en Mil anos de Fortificações na Península Ibérica e no Magreb (500-1500). Actas do simpósio internacional sobre castelos, Lisboa, pp. 677-696.Cobos, F. y Castro, J. J. de (1998), “La fortaleza de Salsas y la fortificación de transición española” Castillos de España, 110-111, pp. 19-30.Cobos, F. y Castro, J. J. de (1998), Castilla y León. Castillos y fortalezas, León.Cooper, E. (1991), Castillos señoriales en la Corona de Castilla, 4 vols. Salamanca, 1991.Cooper, E. (2002), “Desarrollo de la fortificación tardomedieval española” en Mil anos de Fortificações na Península Ibérica e no Magreb (500-1500). Actas do simpósio internacional sobre castelos, Lisboa, pp. 667-676.Cooper, E. (2012), “El dominio de la pólvora en la Arquitectura Militar a finales de la Edad Media”, Castillos de España, 167-170, pp. 39-44.Cooper, E. (2014), La fortificación de España en los siglos XIII y XIV, Ministerio de Defensa, Marcial Pons.Deschamps, P. (1973), Les châteaux des croisés en Terre Sainte, Paris, 1973.Durand, R. (1988), “Guerre et fortifications de l’habitat au Portugal aux XIIe et XIIIe siècles” en Castrum 3: Guerre, fortification et habitat dans le monde Méditerranéen au Moyen Âge. (Colloque organisé par la Casa de Velázquez et l’École Française de Rome, Madrid 24-27 novembre 1985), Madrid, pp. 179-186Estepa, C. (1978), “La vida urbana en el norte de la Península Ibérica en los siglos VIII y IX. El significado de los términos “civitates” y “castra”, Hispania, 139, pp. 260-267.Estepa, C. (1991), “Poder y propiedad feudales en el período astur: las mandaciones de los Flaínez en la montaña leonesa” en Miscellània en homenatge al P. Agustí Altisent, Tarragona, pp. 285-327.Fondevilla Aparicio, J. J. (2019), “La Banda Gallega y el castillo de Las Cumbres. Control estratégico del territorio histórico: espacio y frontera en el limes septentrional del alfoz sevillano en la Baja Edad Media”, E-Strategica, 3, pp. 145-192.Fournier, G. (1980), “Châteaux et peuplements au Moyen Âge. Essai de synthèse” en Châteaux et peuplements en Europe occidentale du Xe au XVIIIe siècle. (Premières journès internationales d’Histoire, 20-22 septembre 1979), Auch, 131-144.Gallego Valle, D. (2016), La fortificación medieval en el Campo de Montiel (ss. VIII-XVI). Análisis de su secuencia histórica y constructiva, Espacio, tiempo y forma. Serie III, Historia medieval, 29, pp. 337-376.Gallego Valle, D. (2020), Las fortificaciones del Campo de Montiel (ss. VIII al XVI), historia, arqueología y análisis constructivo. Tesis Doctoral, Universidad de Castilla-La Mancha. https://ruidera.uclm.es/xmlui/handle/10578/26922Gallego Valle, D. (2021), “Los procesos constructivos de los castillos-casa de la encomienda de las órdenes militares en Castilla (fines del siglo XIII e inicios del siglo XIV)”, Ordens militares. Identidade e mudança, Isabel Cristina F. Fernandes, vol. 2, Palmela, pp. 773-798.García Fitz, F. (1998), “Para acreçentamiento de nuestros regnos. Las funciones ofensivas de los castillos de frontera” en La fortaleza medieval. Realidad y símbolo. Actas de la XV Asamblea General de la Sociedad Española de Estudios Medievales (Alicante, 1997), Madrid, pp. 75-89.García Fitz, F. (2001), “Una frontera caliente. La guerra en las fronteras hispano-musulmanas (siglos XI-XIII)” en Identidad y representación de la frontera en la España medieval (siglos XI-XIV), (Seminario celebrado en la Casa de Velázquez y la Universidad Autónoma de Madrid, 14-15 de diciembre de 1998), Madrid, pp. 159-180.García Fitz, F. (2002), “Guerra y fortificaciones en contextos de frontera. Algunos casos ibéricos de la Plena Edad Media” en Mil anos de Fortificações na Península Ibérica e no Magreb (500-1500). Actas do simpósio internacional sobre castelos, Lisboa, pp. 519-532.García González, J. J. (1995), “Del castro al castillo. El cerro de Burgos de la Antigüedad a la Edad Media”, Cuadernos Burgaleses de Historia Medieval, 2, pp. 71-166.García-Carpintero López de Mota, J. (2021), La Orden de Santiago a través de la cultura material: los señoríos de La Mancha y Uclés a finales de la Edad Media (siglos XV y principios del XVI). Tesis Doctoral. Universidad de Castilla-La Mancha. https://ruidera.uclm.es/xmlui/handle/10578/28684Gil Crespo, I. J. (2013), Fundamentos constructivos de las fortificaciones fronterizas entre las coronas de Castilla y Aragón de los siglos XII al XV en la actual provincia de Soria. Tesis Doctoral. Universidad Politécnica de Madrid. https://oa.upm.es/22399/Gil Crespo, I. J. 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(2005), “Del hisn al castillo: fortificaciones medievales en La Mancha toledana”, en Espacios fortificados de la provincia de Toledo (Congreso celebrado en Toledo, 2003), Toledo, pp. 331-376.— (2011), Fortificaciones medievales y organización del espacio en el campo de Calatrava (siglos IX-XVI). Tesis Doctoral. Universidad de Castilla-La Mancha.— (2014), “Retener castillos, controlar la frontera. La estrategia de Castilla frente al reino nazarí de Granada al final de la Edad Media”, en P. Sanz Camañes y D. Rex Galindo (coords.), La frontera en el mundo hispánico, pp. 123-150.— (2016), “Los primeros castillos de Ordenes Militares. Actividad edilicia y funcionalidad en la frontera castellana (1150-1195)”, en R. Torres Jiménez y F. Ruiz Gómez (coords.), Ordenes militares y construcción de la sociedad occidental: (siglos XII-XV), Madrid, pp. 103-134.— (2021), “Del castillo al palacio: transformaciones de las casas de la encomienda de la orden de Calatrava en el tránsito a la modernidad”, en Ordens militares. Identidade e mudança, Isabel Cristina F. Fernandes, vol. 2, Palmela, pp. 1021-1044.Molero García, J. M. y Gallego Valle, D. (2013), “El primer encastillamiento cristiano en el Campo de Montiel (1213-c.1250)”, en A. Pretel Marín (coord.), Alcaraz: del Islam al concejo castellano, Alcaraz, pp. 111-142.— (2020), “La arquitectura militar de las órdenes militares en la Edad Media: evolución tipológica, funcional y constructiva”, en J. Molero García, D. Gallego Valle e I. J. Gil Crespo (coords.), La construcción fortificada medieval: historia, conservación y gestión, pp. 91-112.Mora Figueroa, L. 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Erazo Solórzano, Cyntia, Diana Salazar Daza, Jaime Vera Chang et Diego Tuárez García. « APLICACIÓN DE BACTERIAS ÁCIDO-LÁCTICAS PROVENIENTES DEL MUCILAGO DE CACAO COMO AGENTE DE CONSERVACIÓN DE LA PAPAYA ». Universidad Ciencia y Tecnología 24, no 107 (24 décembre 2020) : 41–47. http://dx.doi.org/10.47460/uct.v24i107.412.

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El objetivo de esta investigación fue evaluar la conservación de la papaya con aplicación de bacterias ácidos lácticas provenientes del mucilago de cacao, se utilizaron diferentes porcentajes de aplicación (0, 5, 10 %) por aspersión a temperatura ambiente 35°C, se valoró el cambio en las características físicas, químicas, y microbiológicas en un lapso de 14 días, el peso de la papaya fluctuó entre 1 – 1.4 kg, considerando una madurez de cosecha. Se realizó un Diseño Completamente al Azar (DCA) con arreglo bifactorial AxB, para la comparación de medias de los tratamientos a estudiar se utilizó la prueba de rangos de Tukey al 5%. Las variables evaluadas (pH, pérdida de peso, acidez) dio como resultado que el tratamiento T9 (10% BAL; 14 Días) fue el que mantuvo mejores propiedades de almacenamiento transcurrido el tiempo de 14 días de conservación, el color de la fruta se mantuvo en niveles adecuados. Palabras Clave: características sensoriales, frutas frescas, procesamiento de frutas, tiempo de vida útil. Referencias [1]Organización de las Naciones Unidas para la Agricultura y la Alimentación FAO, “Procesamiento de frutas y verduras,” Roma, 2014. [2]E. Rodríguez-Sauceda, “Uso de agentes antimicrobianos naturales en la conservación de frutas y hortalizas,” Ra Ximhai, vol. 7, pp. 153–170, 2011, doi: 10.35197/rx.07.01.2011.14.er. [3]R. Raybaudi-Massilia, R. Soliva, y O. Martín, “Simposio Iberoamericano de Hortalizas Frescas , 1 / Congreso Nacional de Procesamiento Mínimo de Frutas y Hortalizas , 4 ( 2006 ),” 2006. [4]M. Valle, “Aplicación de recubrimientos comestibles para mantener la calidad de frutillas congeladas,” p. 211, 2012. [5]A. Garcia Figueroa, A. Ayala-Aponte, y M. I. Sánchez-Tamayo, “Efecto de recubrimientos comestibles de Aloe vera y alginato de sodio sobre la calidad poscosecha de fresa,” Rev. U.D.C.A Actual. Divulg. Científica, vol. 22, no. 2, 2019, doi: 10.31910/rudca.v22.n2.2019.1320. [6]K. Córdova y A. Loor, “Prolongación de la vida útil de la papaya ( Carica papaya ) en percha por inmersión en soluciones de propóleo en etanol,” 2014. [7]I. M. Brasil, C. Gomes, A. Puerta-Gomez, M. E. Castell-Perez, y R. G. Moreira, “Polysaccharide-based multilayered antimicrobial edible coating enhances quality of fresh-cut papaya,” LWT - Food Sci. Technol., vol. 47, no. 1, pp. 39–45, 2012, doi: 10.1016/j.lwt.2012.01.005. [8]Z. Kalvatchev, D. Garzaro, y F. Guerra Cedezo, “Theobroma cacao L.: Un nuevo enfoque para nutrición y salud,” Rev. Agroaliment., vol. 4, no. 6, pp. 23–25,1998. [9]S. Vasquez, H. Suárez, y S. Zapata, “Utilización de sustancias antimicrobianas producidas por bacterias acido lácticas en la conservación de la carne,” Rev. Chil. Nutr., vol. 36, no. 1, pp. 64–71, 2009, doi: 10.1097/PHH.0000000000000678. [10]R. Rivera-Rebollar, S. Cabrera-Calderón, A. Lira-Vargas, M. Trejo-Márquez, y S. Pascual-Bustamante, “Efecto de recubrimiento de carboximetilcelulosaadicionado con extracto de epazote en el control de hongos postcosecha de papaya, jitomate y chile,” Investig. y Desarro. en Cienc. y Tecnol. Aliment., vol.1, no. 2, pp. 379–384, 2016. [11]A. Sañudo, J. Siller, T. Osuna, D. Muy, G. López, y J. Labavitch, “Control de la maduración en frutos de papaya (Carica papaya L.) con 1-metilciclopropenoy ácido 2- cloroetil fosfónico,” Rev. Fitotec. Mex., vol. 31, no. 2, pp. 141–147, 2008. [12]A. Almeida-Castro, J. Reis-Pimentel, D. Santos-Souza, y T. Vieira, “Estudio de la conservación de la papaya (Carica papaya L.) asociado a la aplicación de películas comestibles,” Rev. Venez. Cienc. y Tecnol. Aliment., vol. 2, no. 1, pp. 49–060, 2011. [13]A. Jimenes-Trujillo, “Recubrimiento Comestible a Base de Aloe Vera (Aloe barbadensis miller) para Papaya (Carica papaya) Y Guayaba (Psidium guajava)Como Alternativa de Alimentos de IV Gama,” Universidad Técnica del Norte, 2017. [14]Instituto Ecuatoriano de Normalización, “NTE INEN-ISO 750:2013 Productos Vegetales y de Frutas - Determinación de la Acidez Titulable (IDT),” 2013. [15]Instituto Ecuatoriano de Normalización., “NTE INEN 1756. Frutas Frescas. Papaya. Requisitos,” Ecuador, 1990. [16]A. International, “AOAC: Official Methods of Analysis.”. [17]Instituto Ecuatoriano de Normalización, “Norma Técnica Ecuatoriana NTE INEN-ISO 2173:2013,” 2013. [18]A. Miranda, A. Alvis, y G. Arrazola, “Efectos de dos recubrimientos sobre la calidad de la papaya (Carica papaya) variedad tainung,” Temas Agrar., vol. 19,no. 1, pp. 7–18, 2014. [19]L. Konda et al., “InfluêncIa da atmosfera modIfIcada por fIlmes plástIcos sobre a qualIdade do mamão armazenado sob refrIgeração 1,” 2006. [20]A. Castricini, “Aplicação de Revestimentos Comestíveis para Conservação de Mamões (Carica papaya L.) ‘Golden,’” UNIVERSIDADE FEDERAL RURALDO RIO DE JANEIRO, 2009. [21]M. Mata, M. del C. Vásquez, N. Higinio, y D.Hernandéz, “Estudio comparativo de bio-recubrimientos a partir de Manihot esculenta y Phaseolus vulgarisempleadas como recubrimiento en uvas moradas,” Rev. Ciencias Ambient. y Recur. Nat., vol. 2, no. 5, pp. 11–25, 2016. [22]M. Maskan, “Microwave/air and microwave finish drying of banana,” J. Food Eng., vol. 44, no. 2, pp. 71–78, 2000, doi: 10.1016/S0260-8774(99)00167-3. [23]R. Torres, E. Montes, O. Pérez, y R. Andrade,“Relación del color y del estado de madurez con las propiedades fisicoquímicas de frutas tropicales,” Inf. Tecnológica, vol. 24, no. 3, pp. 51–56, 2013, doi: 10.4067/S0718-07642013000300007.
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Cressier, Patrice. « Castillos y fortalezas de Al-Andalus : observaciones historiográficas y preguntas pendientes ». Vínculos de Historia Revista del Departamento de Historia de la Universidad de Castilla-La Mancha, no 11 (22 juin 2022) : 116–40. http://dx.doi.org/10.18239/vdh_2022.11.05.

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Aunque la arqueología de Al-Andalus no se constituyó como disciplina propia hasta hace unos cuarenta años, el interés hacia las fortalezas llamadas por entonces “hispano-musulmanas” se manifestó mucho antes, centrado esencialmente en los aspectos arquitectónicos y de poliorcética. Más recientemente, la aproximación al proceso de la fortificación medieval se ha ido diversificando. No son pocos los trabajos que buscan en él unas respuestas a preguntas más ambiciosas, relativas a la organización de la sociedad campesina, a las estructuras de poblamiento y a la ordenación del territorio, o a las formas adoptadas por el control estatal.Después de unas breves observaciones introductorias sobre el cambio metodológico experimentado a finales de los años 1970, el artículo hace hincapié en la polisemia de los términos árabes referidos a la arquitectura defensiva. A continuación, se centra en las polémicas surgidas a propósito de uno de estos términos, el ḥiṣn (en el ámbito rural) y en las hipótesis avanzadas al respecto. Finalmente, plantea la cuestión de la existencia en al-Andalus de graneros colectivos fortificados y de ribāṭ-s, estructuras mejor documentadas en África del Norte. Palabras claves: fortificación, estructura social islámica, ordenación del espacioTopónimos: al-AndalusPeriodo: siglos VIII-XV ABSTRACTUntil about forty years ago, the archeology of al-Andalus was not regarded as a discipline in itself. However, interest in the so-called “Moorish” fortresses had been expressed much earlier, focused primarily on architectural and polyorcetic aspects. More recently, the approach to the process of medieval fortification has become more diverse: today many scholars seek within it answers to more ambitious questions, related to the organization of peasant society, settlement structures, land-use planning, or formulae of state control.After some preliminary remarks on the methodological change that occurred in the late 1970s, this paper emphasizes the polysemy of Arabic terms referring to defensive architecture. It then focuses on the debates that arose with regard to one of these terms, the ḥiṣn (in rural areas), and on the hypotheses proposed in this respect. Finally, the paper raises the question of the existence in al-Andalus of ribāṭ-s and fortified collective granaries, structures long considered to be specific to North Africa. Keywords: fortification, Islamic social structure, spatial planningPlace names: al-AndalusPeriod: 8th-15th centuries REFERENCIASAcién Almansa, M. 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Santos Cancelas, Alberto. « Religiones castreñas contra el estado ». Vínculos de Historia. Revista del Departamento de Historia de la Universidad de Castilla-La Mancha, no 8 (20 juin 2019) : 15. http://dx.doi.org/10.18239/vdh_2019.08.01.

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RESUMENNuestro conocimiento sobre las religiones protohistóricas se encuentra prejuiciado por categorías de pensamiento presentistas y el recurso a fuentes posteriores. Para lograr una caracterización mínima de la fenomenología de tales manifestaciones se propone una aproximación a partir de los materiales de la Edad del Hierro, con atención a los problemas y metodologías de la arqueología, que privilegie el estudio de casos particulares frente a la generalización céltica. A través del ejemplo de la cultura castreña, se examinará qué elementos constituyeron objeto de atención ritual y sobredimensión simbólica para una sociedad de la Edad del Hierro.PALABRAS CLAVE: Cultura Castreña, Edad del Hierro, protohistoria, ritual, arqueologíaABSTRACTOur knowledge of protohistoric religions is prejudiced by presentist ways of thinking and recourse to later sources. To achieve a minimum characterization of the phenomenology of such manifestations, I propose an approach based on Iron Age materials, being careful of the archaeological problems and methodologies, and favouring particular case studies rather than Celtic generalizations. Through the example of Castreño culture, I will examine which elements might have been the object of ritual attention and symbolic oversizing in an Iron Age society.KEY WORDS: Castro culture, Iron Age, Protohistory, ritual, archaeologyBIBLIOGRAFÍAAlmeida, C. A. F. (1980) “Dois Capacetes e tres copos, em Bronze, de Castelo de Neiva”, Gallaecia, 6, 245-257.Alonso Burgos, F. (2014): Estructura social y paisaje simbólico: las comunidades astures y el imperio romano. Tesis doctoral inédita, Universidad Complutense de Madrid.Angelbeck, B. y Grier, C. (2012):“Anarchism and the Archaeology of Anarchic Societies Resistance to Centralization in the Coast Salish Region of the Pacific Northwest Coast”, Current Anthropology 53(5): 547-587.Armbruster, B. R. y Perea, A. (2000) “Macizo/hueco, soldado/fundido, morfología/tecnología, el ámbito tecnológico castreño a través de los torques con remates de doble escocia”, Trabajos de Prehistoria, 57 (1), 97-114.Álvarez Núñez, A. (1986): “Castro de Penalba. Campaña de 1986”, Arqueoloxía, Memorias, 4.Armada Pita, X. L. (2005) Formas y rituales de banquete en la Hispania Indoeuropea. Tesis Doctoral Inédita, Universidade da Coruña.Armada Pita, X. L. y García Vuelta, O. (2003): “Bronces con motivos de sacrificio del área noroccidental de la península ibérica”, Archivo español de arqueología, 76, 47-75.— (2014): “Os Atributos do Guerreiro. As Ofrendas da Comunidade. Interpretación dos torques a través da iconografía”, Cátedra, revista Eumesa de Estudios, Monografía, 3, 57-92.Bettencourt, A. M. S. (2001) “O Mundo Funerario da Idade do Ferro do Norte de Portual: algumas questões”, Proto-história da Península Ibérica. Actas do 3º Congresso de Arqueología Peninsular, 5, pp. 43-61.Blas Cortina, M. A. (1983): “La prehistoria reciente de Asturias”, Estudios de arqueología Asturiana, 1.Blas Cortina, M. A. y Villa Valdés, A. (2007): “La presencia no accidental de un Hacha de talón en un fondo de hogar en el castro de Chao de Samartín (Grandas de Salime, Asturias)”, en Celis Sánchez, J., Delibes de Castro, G., Fernández Manzano, J. y Grau Lobo, L. El hallazgo leonés de Valdevimbre y los depósitos del Bronce Final Atlántico en la península Ibérica, León, Diputación de León, 280-289.Brück, J. y Fotijn, D (2003) “The myth of the chief: prestige goods, power, and personhood, in the European Bronze Age”, The Oxford Handbook of the European Bronze Age. Oxford University Press. Oxford, 197-205.Carballo Arceo, X. y Rey Castiñeiras, J. (2014): “O depósito de Máchados de talón de Cabeiras (Arbo, Galiza) no contexto da Bacia Baixa do río Miño”, en Bettencourt, A. M. S., Comendador Rey, B. y Aluai Sampaio, H., Corpos e metáis na fachada atlántica da Iberia. Do Neolítico a Idade do Bronze. Braga, Citcem, 103-120.Clastres, P. (1984), Socity Against the State, New York, Zone books.Currás, B (2014): Transformaciones sociales y territoriales en el Baixo Miño entre la Edad del Hierro y la integración en el Imperio Romano, Tesis doctoral inédita, Universidad de Santiago de Compostela.Esparza Arroyo, A. (1986) Los castros de la Edad del hierro del Noroeste de Zamora. Zamora: Instituto de Estudios Zamoranos de Florian de Ocampo.Fabian, J. (1983): Time and the Other. How anthropology makes its object, Columbia.Fanjul Peraza, A. y Marón SUÁREZ, C. (2006): “La metalurgia del Hierro en la Asturias Castreña. Nuevos datos y estado de la cuestión”, Trabajos de Prehistoria, 63, 113-131.Fernández Rodríguez, C. (2006): “Os recursos de orixe animal: primeiros datos e avaliación preliminar”, en Aboal Fernández, R. y Castro Hierro, V. (coords.), O Castro de Montealegre, Moaña, Pontevedra, Noia, Toxosoutos, 325-340.García Quintela, M. V. (1999): Mitología y mitos de la Hispania prerromana III. Madrid: Akal.García Vuelta, O. (2002) “Técnicas y evolución, fabricación y materias primas en los torques”, en Rodero Riaza, A. y Barril Vicente, M. (coords.), Torques. Belleza y poder. Madrid, Museo Arqueológico Nacional, 31-47.González García, F. J. (2006): “El noroeste de la península ibérica en la Edad del Hierro: ¿una sociedad pacífica?”, Cuaderno de Estudios Gallegos, 53 (119), 131-155.González García, F. J., Parcero, C., Ayán Vila, X. (2011): “Iron Age societies against the state. An account on the emergence of the Iron Age in the NW Iberian Peninsula”. en T. Moore y X. L. Armada Pita (eds.): Atlantic Europe in the first Millenium BC. Crossing the Divide, Oxford, Oxbow books, 285-262González Ruibal, A. (2006-07): “Galaicos, poder y comunidad en el Noroeste de la Península Ibérica (1200 a.C.-50 d.C.)” Brigantium boletín do museo arqueolóxico da Coruña, 18-19.González Ruibal, A., Rodríguez Martínez, R. y Ayán Vila, X. (2010): “Encounters in the ditch: ritual and middle ground in an Iron Age hillfort in Galicia (Spain)”, Bolletino di archeologia on line, volume special, 25-31.Gledhill, J. (2000): Power and its desguises, Anthropological Perspectives on Politics, London, Pluto Press.Hidalgo Cuñarro, J. M. (1992-1993): “Nuevas cerámicas romanas de importación del Castro de Vigo (Campaña de 1987)”, Castrelos, 5-6, 41-70.Hingley, R. (2009): “Esoteric knowledge? Ancient Bronze Artifacts from Iron Age Contexts”, Proceedings of Prehistoric Society, 75, 143-165Ladra, L. (2005): “Dous novos torques achados en Vilar do Monte (San Fiz de Reimondez, Sarria, Lugo)”, Anuario Brigantino, 28, 27-38.— (2006) “Un novo torques achado na croa de Bardaos (Tordoia, A Coruña)”, Anuario Brigantino, 29, 39-52.Martin, M. (1988): “O povoado fortificado de Lagos, Amares”, Cadernos de Arqueología, Monografías, 1.Maya, J. L y Cuesta, F. (2001): “Excavaciones arqueológicas y estudio de los materiales de La Campa de Torres”, en Maya González, J. L y Cuesta Toribio, F. (dirs.), El Castro de la Campa de Torres. Periodo Prerromano. Gijón, Ayuntamiento de Gijón, 11-277.Meijide Cameselle, G. y Acuña Castroviejo, F. (1989): “Piezas de la Edad del Bronce en el Museo de la Tierra de Melide”, Cuaderno de Estudios Gallegos, 28 (103), 7-34.Merrifield, R. (1987): The Archaeology of ritual and magic, London, Routledge.Nunes, S. A., y Ribeiro, R. A. (2001): “Uma estrutura funeraria da Idade do Ferro em contexto habitacional no castro de Palheiros – Murça NE de Portugal”, Protohistória da Península Ibérica. Actas do 3º Congresso de Arqueología Peninsular, 5, 23-43.Parcero Oubiña, C. (1997): “Documentación de un entorno castreño: Trabajos Arqueológicos en el Área de Cameixa, Ourense”, Trabajos en arqueología del paisaje, 1, 2-26.Parcero Oubiña, C., Ayán Vila, X., Fábrega Álvarez, P. y Teira Brión, A. (2007): “Arqueología, paisaje y sociedad”, en González García, J. (coord.), Los pueblos de la Galicia céltica, Madrid: Akal, 131-257.Parcero Oubiña, C. y Criado Boado, F. (2013): “Social change, social resistance. A long term approach to the process of transformation of social landscapes in the NW Iberian Peninsula”, en Cruz Berrocal, M., García Sanjuán, L. y Gilman, A. (coords.), The Prehistory of Iberia: Debating Early Social Stratification and the State. London: Routledge, 249-266.Peña Santos, A. de la (1985-86): “Tres años de excavaciones arqueológicas en el yacimiento galaico-romano de Santa Tegra (A Guarda, Pontevedra)”, Pontevedra Arqueológica, 2, 157-189.— (1992): Castro de Torroso (Mos, Pontevedra). Síntesis de las memorias de las Campañas de excavaciones 1984- 1990, Santiago de Compostela, Xunta de Galicia.Quesada Sanz, F. (1997): El armamento Ibérico. Estudio tipológico, geográfico, funcional, social y simbólico de las armas en la Cultura Ibérica (Siglos VI-I a.C.), Montagnac, Éditions Monique Mergoil.Rodríguez Corral, J. y Alfayé, S. (2009): “Espacios liminales y prácticas rituales en el noroeste peninsular”, Actas de paleohispánica, 9, 107-111.Ruíz-Gálvez Priego, M. L. (1980): “Consideraciones sobre el origen de los puñales de antenas gallego-asturianos”, Actas do seminario de arqueología do Noroeste peninsular, 1, 85-112.Santos Cancelas, A. (2015): “La memoria de las piedras. El pasado presente en los guerreiros Castreños”, Antesteria, 4, 167-186.— (2016b): “Muchas teorías y pocas fuentes: religiones castreñas”, en Cisneros, I., Herrera, J. y Lanau, P. (eds.), Problemas y limitaciones en el estudio de las fuentes. Actas de las I jornadas doctorales en Ciencias de la Antigüedad, Zaragoza 18 de Septiembre de 2015, 15-28.— (2017) Ritos, memoria e identidades Castreñas, Tesis doctoral inédita, Universidad de Zaragoza.— (e.p.): “Cambio Cultural e hibridación religiosa: el caso castreño”, Archivo Español de Arqueología.Sastre, I. (2011): “Social inequality during the Iron Age: Interpretation Models”, en T. Moore and X. L. Armada Pita (eds.): Atlantic Europe in the first Millenium BC. Crossing the Divide, Oxford, Oxford University Press, 264-284.— (2008): “Community, identity and conflict. Iron Age Warfare in Iberian Northwest”, Current Antropology 49, 1021-1051.Sastre, I. y Sánchez Palencia, F. J. (2013): “Non-hierarchical approaches to The Iron Age societies: Metals and inequality in the Castro Culture of The Northwestern Iberian Peninsula”, en M. Cruz Berrocal, L. García-Sanjuán, y A. Gilman (eds.): The Prehistory of Iberia. Debating social stratification and the State, London, Routledge 292-310.Suárez Otero, J. (2007): “Hachas de talón decoradas: un fósil de la ritualidad en torno a la producción metalúrgica del Bronce Final Atlántico”, en Celis Sánchez, J., Delibes de Castro, G., Fernández Manzano, J. y Grau Lobo, L. (eds.), El hallazgo leonés de Valdevimbre y los depósitos del Bronce Final Atlántico en la península Ibérica, León, Diputación de León, 290-297.Villa Valdés, A. y Cabo Pérez, L. (2003): “Deposito funerario y recinto fortificado de la Edad del Bronce en el castro de Chao de Samartín: Argumento para su datación”, Trabajos de prehistoria, 60 (2), 143-151.Woolf, G. (2011): Tales of the barbarians: ethnography and the empire in the RomanWest, Sussex, Wiley-Blackwell.
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Residentes, Residentes. « Endocrinología ». Acta Médica Colombiana 43, no 2S (24 juin 2019) : 59–84. http://dx.doi.org/10.36104/amc.2018.1395.

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E-1 IMPACTO CLÍNICO DE LA ADICIÓN DE DAPAGLIFLOZINA EN PACIENTES DIABÉTICOS NO CONTROLADOS CON METFORMINA Y EXENATIDE. ESTUDIO EN VIDA REAL (OSORIO LUIS M., BEDOYA VANESSA, MUÑOZ JENNY, SALGADO CARLOS, CASANOVA MARÍA E., CARVAJAL REYNALDO Y ABREU ALÍN) E-2 TIROIDITIS EN PACIENTES CON ARTRITIS REUMATOIDE, RELACIONADA CON RITUXIMAB (BEDOYA VANESSA, OSORIO LUIS M., SANTRICH MELANIE, CASTAÑO ORLANDO, CASANOVA MARÍA E., VELASCO MARGARITA Y ABREU ALÍN)E-3 EFECTOS AGUDOS DE LOS EJERCICIOS FÍSICOS RESISTIDOS Y CONCURRENTES EN EL PERFIL LIPÍDICO DE MUJERES POSTMENOPÁUSICAS (REBOLLEDO-COBOS ROBERTO, SARMIENTO-RUBIANO LUZ ADRIANA, BECERRA ENRÍQUEZ JIMMY, LAURA ARDILA PEREIRA, MANTILLA MORRÓN MIRARY) E-4 RELACIÓN ENTRE EL ESTADO NUTRICIONAL Y LA RESISTENCIA A LA INSULINA EN MUJERES POSTMENOPAUSICAS RESIDENTES EN EL DEPARTAMENTO DEL ATLÁNTICO – COLOMBIA SARMIENTO-RUBIANO LUZ ADRIANA, BECERRA ENRÍQUEZ JIMMY, REBOLLEDO-COBOS ROBERTO, BELLE MARIE ACOSTA, SUAREZ ALFONSO E-5 IMPACTO CLÍNICO DE LA ADICIÓN DE DAPAGLIFLOZINA EN PACIENTES DIABÉTICOS NO CONTROLADOS CON METFORMINA Y GLIBENCLAMIDA. (ESTUDIO EN VIDA REAL BEDOYA VANESSA, OSORIO LUIS M., MUÑOZ JENNY, SALGADO CARLOS, CASANOVA MARÍA E., CARVAJAL REYNALDO Y ABREU ALÍN) E-6 HIPERTIROIDISMO Y PANCITOPENIA: REACCIÓN ADVERSA FARMACOLÓGICA A RECORDAR (SUPELANO MARIO, CUINEME SANDRA, MUÑOZ KAREN) E-7 CARÁCTERÍSTICAS BASALES DE LA POBLACIÓN COLOMBIANA INCLUIDA EN EL ESTUDIO MULTINACIONAL, OBSERVACIONAL DE FRACTURAS DE ASIA & LATINOAMÉRICA (ALAFOS) (CASAS NOEMI, MOLINA JOSÉ FERNANDO, MEDINA ADRIANA, PINZÓN ALEJANDRO, CHALEM MONIQUE, ABREU ALIN, PANTOJA DOLY, GONZÁLEZ MIGUEL, MARTÍNEZ SAUL, RÚA CATALINA, OLARTE CARLOS MARIO, YUPANQUI HERNÁN, ROSERO OSCAR, FLÓREZ SANDRA) E-8 IMPACTO CLÍNICO DE LA ADICIÓN DE DAPAGLIFLOZINA EN PACIENTES DIABÉTICOS NO CONTROLADOS CON METFORMINA Y SAXAGLIPTINA: ESTUDIO EN VIDA REAL (MUÑOZ JENNY, BEDOYA VANESSA, OSORIO LUIS M., SALGADO CARLOS, CASANOVA MARÍA E., CARVAJAL REYNALDO Y ABREU ALÍN) E-9 ASOCIACIÓN INFRECUENTE: PÚRPURA DE HENOCH-SCHÖNLEIN Y ADENOMA PARATIROIDEO (VANEGAS ESTEBAN, RAMÍREZ KAREN, CORTÉS CAMILO) E-10 FACTORES DE RIESGO PARA RETINOPATÍA DIABÉTICA EN PACIENTES DIABÉTICOS DE ALTO RIESGO (PARRA SERRANO GUSTAVO ADOLFO, CAMACHO LÓPEZ PAUL ANTHONY, GUTIÉRREZ MURILLO ÁLVARO JAVIER, CELIS CAMARGO ANA MARÍA, CEPEDA BAREÑO DANIEL FELIPE, BRICEÑO CARREÑO RAFAEL DE JESÚS, DUQUE BAUTISTA BRAYAN ANDRÉS) E-11 CETOACIDOSIS DIABÉTICA EUGLICÉMICA SECUNDARIA AL USO DE EMPAGLIFOZINA A PROPOSITO DE UN CASO CLÍNICO (MORA BAÑOS KEVIN, NÚÑEZ-RAMOS JOSÉ A, GARCÍA-DOMÍNGUEZ JUAN C., GUZMÁN LUIS CARLOS) E-12 TIROIDITIS DE HASHIMOTO EN PACIENTE CON INSUFICIENCIA ADRENAL PRIMARIA. SÍNDROME POLIGLANDULAR AUTOINMUNE TIPO 2 (FORTICH-REVOLLO ÁLVARO, FRAGOZO-RAMOS MARÍA CAROLINA) E-13 PACIENTE CON RABDOMIÓLISIS POR HIPOTIROIDISMO (MONTOYA ZULUAGA PABLO, ARRUBLA DUQUE MATEO, TORRES CORREA E. KATHERINE) E-14 FACTORES ASOCIADOS A MAL CONTROL METABOLICO EN PACIENTES CON DIABETES TIPO 2 (BUENDIA RICHARD, ZAMBRANO MONICA, FLÓREZ ESTEFANÍA, CUADRO JUAN, MORALES ALEJANDRA, BUENDIA ANDRES, NAVARRO HASBLEIDY, QUIASÚA DIANA, VARÓN MARIA, OSPINO ANA, RIVERA JENNY) E-15 MIOPATÍA DE MÚSCULOS RESPIRATORIOS POR CUSHING EXÓGENO (RAMÍREZ JUAN DAVID, VARELA DIANA-CRISTINA) E-16 NEFROPATÍA DIABÉTICA EN UN PACIENTE NO DIABÉTICO (GUARÍN GLORIA MERCEDES, ECHEVERRI JORGE ENRIQUE, LARRARTE CAROLINA, VARGAS DIANA CAROLINA, ARIAS JOSÉ) E-17 CAUSAS INUSUALES DE HIPERCALCEMIA MALIGNA: SERIE DE CASOS Y ASPECTOS PRÁCTICOS PARA EL CLÍNICO (BUSTOS-CLARO MARLON, ÁVILA-RODRÍGUEZ VANEZA, RONDÓNCARVAJAL JULIÁN, PULIDO-ARENAS JORGE) E-18 INSULINOMA (PINTO SAAVEDRA OSCAR MARIANO, PARRA SERRANO PAOLA ANDREA, ARIAS ARIZA REINALDO FERNEY, MOROS RUBIO KEILY LISETH) E-19 HIPERCALCEMIA DE ETIOLOGIA POCO FRECIENTE: OSTEITIS FIBROSANTE QUISTICA (HURTADO YESID; CORTÉS CAMILO) E-20 HIPONATREMIA SECUNDARIA A PANHIPOPITUITARISMO ASOCIADO A SILLA TURCA VACÍA (CHEN XUEYI, NIÑO MEZA OSCAR JAVIER, PATIÑO ORTIZ CLAUDIA JULIANA, SARMIENTO RAMÓN JUAN GUILLERMO) E-21 PANCREATITIS AGUDA COMO PRIMERA MANIFESTACIÓN DE HIPERPARATIROIDISMO PRIMARIO (CAMPY JUAN MANUEL, PORRAS BEATRIZ) E-22 HIPERALDOSTERONISMO PRIMARIO COMO CAUSA DE HIPERTENSIÓN ARTERIAL SECUNDARIA. REPORTE DE CASO (BORRE-NARANJO DIANA, MORENO-PALLARES EIMAN, RODRIGUEZYANEZ TOMÁS, MONTES- FARAH JUAN, DUEÑAS-CASTELL CARMELO) E-23 DERRAME PERICÁRDICO MASIVO: DEBUT DE HIPOTIROIDISMO (OSORIO CORREA CINDY VERÓNICA, HERNÁNDEZ HÉCTOR, OCAMPO JOSE MAURICIO) E-24 CARCINOMA SUPRARRENAL CON EXTENSIÓN A VENA CAVA INFERIOR Y AURICULA DERECHA (ARIZA ABUL, OVIEDO MARTIN, PEREZ-GARCIA JESUS, MENDOZA JACKELINE, MAZA MARIO, DOMINGUEZ-VARGAS ALEX.) E-25 MANIFESTACIÓN CUTÁNEA INFRECUENTE DE LA DIABETES MELLITUS: ESCLEREDEMA DE BUSCHKE, A PROPÓSITO DE UN CASO (DURAN-GUTIÉRREZ LUIS FERNANDO, CERÓN-TAPIA RICARDO, VARGAS-VARGAS ESTIVEN, PERDOMO-QUINTERO DANIELA, MONDRAGÓN-CARDONA ÁLVARO) E-26 SÍNDROME DE POEMS, UN RETO DIAGNÓSTICO (BERNAL SANTIAGO, SÁNCHEZ PAULA, HERNÁNDEZ CATALINA)
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Alberto, Márcia De Souza Oliveira Paes Leme, Lílian Gobbi Dutra Medeiros, Marco Antônio De Carvalho et Léia Adriana Da Silva Santiago. « Formação educacional e profissional e a política de reintegração social das APACs nas produções científicas (Educational and professional formation and the APACs social reintegration policy in scientific productions) ». Revista Eletrônica de Educação 15 (22 décembre 2021) : e4523063. http://dx.doi.org/10.14244/198271994523.

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e4523063This study aims to raise, in science productions in the area, the aspects researchers have reflected on the educational and professional formation, in places such as the APAC prison system, and how this formation contributes to the social reintegration of individuals deprived of liberty. Thus, this research brings a qualitative approach and a methodological procedure based on a systematic review of the literature with a state-of-knowledge research, carried out in scientific productions found in the Google Scholar database and the digital repository of the Scientific Electronic Library Online (Scielo). The texts analysis faces us to reflect on the structural and social conditions found in Brazilian prison systems and the role of the State and public policies in the social reintegration process of individuals deprived of liberty. Based on the study, we perceived the urgency of implementing educational and professional formation policies within Brazilian prison systems, which in fact promote the emancipation and social reintegration of these individuals. The activities carried out at APAC focus on educational formation, work, and human valorization. According to the texts, the institution is a viable alternative in the process of humanization, recovery, and social reintegration of individuals deprived of liberty, and these results are observed in the low rates of recidivism.ResumoEste artigo busca levantar, em produções científicas da área, os aspectos que os pesquisadores têm refletido sobre a formação educacional e profissional em ambientes como o sistema prisional APAC e como essa formação tem contribuído para a reintegração social dos sujeitos privados de liberdade. Assim, esta pesquisa traz uma abordagem qualitativa, tendo como procedimento metodológico a revisão sistematizada de literatura do tipo estado do conhecimento, realizada em produções científicas localizadas no banco de dados do Google Acadêmico e no repositório eletrônico do Scientific Electronic Library Online (Scielo). As análises dos textos nos afrontam a refletir sobre as condições estruturais e sociais em que se encontram os sistemas prisionais brasileiros e o papel do Estado e das políticas públicas frente ao processo de reintegração social dos sujeitos privados de liberdade. Com base no estudo, foi possível perceber a urgência de implementação de políticas de formação educacional e profissional dentro dos sistemas prisionais brasileiros, que, de fato, promovam a emancipação e reintegração social desses sujeitos. As atividades realizadas na APAC focam na formação educacional, no trabalho e na valorização humana. A instituição é apontada, nos textos, como uma alternativa viável no processo de humanização, recuperação e reintegração social dos sujeitos privados de liberdade, cujos resultados são observados nos baixos índices de reincidência.ResumenEste artículo busca plantear, en las producciones científicas del área, los aspectos que los investigadores han reflexionado sobre la formación educativa y profesional, en entornos como el sistema penitenciario APAC, y cómo esta formación ha contribuido a la reinserción social de sujetos privados de libertad. Así, esta investigación presenta un abordaje cualitativo, utilizando como procedimiento metodológico la revisión sistemática de literatura del tipo estado del conocimiento, realizada en producciones científicas ubicadas en la base de datos Google Scholar y en el repositorio electrónico de la Scientific Electronic Library Online (Scielo). El análisis de los textos nos enfrenta a reflexionar sobre las condiciones estructurales y sociales de los sistemas penitenciarios brasileños y el papel del Estado y las políticas públicas en el proceso de reintegración social de los sujetos privados de libertad. A partir del estudio, fue posible percibir la urgencia de implementar políticas educativas y de formación profesional dentro de los sistemas penitenciarios brasileños, que de hecho promuevan la emancipación y reintegración social de estos sujetos. Las actividades que se llevan a cabo en APAC se centran en la formación educativa, el trabajo y la valorización humana. La institución se señala, en los textos, como una alternativa viable en el proceso de humanización, recuperación y reintegración social de los sujetos privados de libertad, cuyos resultados se observan en las bajas tasas de reincidencia.Palavras-chave: Educação, Trabalho, Sistema prisional.Keywords: Education, Work, Prison system.Palabras claves: Educación, Trabajo, Sistema penitenciario.ReferencesARAKAKI, Fernanda Franklin Seixas et al. A ressocialização do apenado na Associação de Proteção e Assistência a Condenados (APAC) de Manhuaçu sob a perspectiva de Imannuel Kant e Jurgen Habermas. In: SEMINÁRIO CIENTÍFICO DO UNIFACIG: SOCIEDADE, CIÊNCIA E TECNOLOGIA, 4., 2018, Manhuaçu. Anais [...]. Manhuaçu: FACIG, 2018a. p. 1-10. Disponível em: http://pensaracademico.facig.edu.br/index.php/semiariocientifico/article/view/941. Acesso em: 31 out. 2019.ARAKAKI, Fernanda Franklin Seixas et al. Conscientização da ressignificação do perfil e lugar do reeducando (recuperando) da APAC. In: SEMINÁRIO CIENTÍFICO DO UNIFACIG: SOCIEDADE, CIÊNCIA E TECNOLOGIA, 4., 2018, Manhuaçu. Anais [...]. Manhuaçu: FACIG, 2018b. p. 1-6. Disponível em: http://pensaracademico.unifacig.edu.br/index.php/semiariocientifico/article/view/939/830. Acesso em: 31 out. 2019.BARATTA, Alessandro. Ressocialização ou controle social: uma abordagem crítica da reintegração social do sentenciado. R. F. A.: Universidade de Saarland, [s.d.]. Disponível em: http://www.egov.ufsc.br/portal/sites/default/files/anexos/13248-13249-1-PB.pdf. Acesso em: 18 jul. 2020. BRASIL. Lei nº 7.210, de 11 de julho de 1984. Institui a Lei de Execução Penal. Brasília, DF: Presidência da República, 1984. Disponível em: http://www.planalto.gov.br/ccivil_03/leis/l7210.htm. Acesso em: 03 out. 2019.BRASIL. Constituição da República Federativa do Brasil de 1988. Brasília, DF: Presidência da República, 1988. Disponível em: http://www.planalto.gov.br/ccivil_03/constituicao/constituicaocompilado.htm. Acesso em: 05 out. 2019.BRASIL. Decreto nº 7.626, de 24 de novembro de 2011. Institui o Plano Estratégico de Educação no âmbito do Sistema Prisional. Brasília, DF: Presidência da República, 2011. Disponível em: http://www.planalto.gov.br/ccivil_03/_ato2011-2014/2011/decreto/d7626.htm. Acesso em: 21 mai. 2020.BRASIL. Departamento Penitenciário Nacional (Depen). Levantamento Nacional de Informações Penitenciárias: dezembro de 2019. Brasília: Depen, 2019. Disponível em: https://app.powerbi.com/view?r=eyJrIjoiZTlkZGJjODQtNmJlMi00OTJhLWFlMDktNzRlNmFkNTM0MWI3IiwidCI6ImViMDkwNDIwLTQ0NGMtNDNmNy05MWYyLTRiOGRhNmJmZThlMSJ9. Acesso em: 16 jun. 2020.CABRAL, Paula. A EJA nos espaços de privação e restrição de liberdade: as apropriações das diretrizes da UNESCO no redirecionamento do trabalho dos professores. 2019. 497 f. Tese (Doutorado em Educação) – Universidade Federal de Santa Catarina, Florianópolis. 2019. Disponível em: http://www.uniedu.sed.sc.gov.br/index.php/pos-graduacao/trabalhos-de-conclusao-de-bolsistas/trabalhos-de-conclusao-de-bolsistas-a-partir-de-2018/ciencias-humanas/doutorado-4/768-a-eja-nos-espacos-de-privacao-e-restricao-de-liberdade-as-apropriacoes-das-diretrizes-da-unesco-no-direcionamento-do-trabalho-de-professores-as/file. Acesso em: 30 out. 2020.FRATERNIDADE BRASILEIRA DE ASSISTÊNCIA AOS CONDENADOS (FBAC). Itaúna, MG, 2019. Disponível em: http://www.fbac.org.br/. Acesso em: 30 out. 2019.INSTITUTO BRASILEIRO DE GEOGRAFIA E ESTATÍSTICA (IBGE). Pesquisa Nacional por Amostra de Domicílios Contínua: PNAD Contínua: Educação 2018. Rio de Janeiro: IBGE, 2019. Disponível em: https://static.poder360.com.br/2019/06/00e02a8bb67cdedc4fb22601ed264c00.pdf. Acesso em: 17 abr. 2020.INSTITUTO BRASILEIRO DE GEOGRAFIA E ESTATÍSTICA (IBGE). Desemprego. Rio de Janeiro: IBGE, 2020. Disponível em: https://www.ibge.gov.br/explica/desemprego.php. Acesso em: 17 abr. 2020.JULIÃO, Elionaldo Fernandes. A ressocialização através do estudo e do trabalho no sistema penitenciário brasileiro. 2009. 450 f. Tese (Doutorado em Ciências Sociais) – Universidade Estadual do Rio de Janeiro, Rio de Janeiro, 2009. Disponível em: http://www.bdtd.uerj.br/tde_busca/arquivo.php?codArquivo=1345. Acesso em: 03 nov. 2020.LIMA, Talissa Naiara Elias; CASTIEL, Stênio. Associação de Proteção e Assistência ao Condenado (APAC) como meio de execução penal. In: CONGRESSO ACADÊMICO DE DIREITO CONSTITUCIONAL, 2017, Porto Velho. Anais [...]. Porto Velho: FCR, 2017. p. 776-794. Disponível em: www.fcr.edu.br/ojs/index.php/anaiscongdireitoconstitucional/article/view/164. Acesso em: 31 out. 2019.LIRA JÚNIOR, José do Nascimento. Matar o criminoso e salvar o homem: análise da proposta salvífica da Associação de Proteção e Assistência ao Condenado - APAC. 2017. 153 f. Tese (Doutorado em Teologia) - Pontifícia Universidade Católica do Rio de Janeiro, Rio de Janeiro, 2017. Disponível em: https://www.maxwell.vrac.puc-rio.br/31990/31990.PDF. Acesso em: 21 mai. 2020.MATTOS, Marília Soares; POZZOBON, Thayse Cristine. Reinserção social do egresso através da implementação da economia solidária. Revista Digital Constituição e Garantia de Direitos, Natal, RN, v. 11, n. 2, p. 247-261, abr. 2019. Disponível em: https://periodicos.ufrn.br/constituicaoegarantiadedireitos/article/view/16043. Acesso em: 31 out. 2019.MOURA, Marcos Vinicius (org.). Levantamento Nacional de Informações Penitenciárias: atualização junho de 2017. Brasília, DF: Ministério da Justiça e Segurança Pública, Departamento Penitenciário Nacional, 2019. Disponível em: http://antigo.depen.gov.br/DEPEN/depen/sisdepen/infopen/relatorios-sinteticos/infopen-jun-2017-rev-12072019-0721.pdf. Acesso em: 29 mar. 2020. ONOFRE, Elenice Maria Cammarosano. Educação escolar na prisão: o olhar de alunos e professores. Jundiaí: Paco Editorial, 2014. Disponível em: http://www.aedmoodle.ufpa.br/pluginfile.php/178647/mod_resource/content/1/15.%20Educa%C3%A7%C3%A3o%20escolar%20na%20pris%C3%A3o.pdf. Acesso em: 03 out. 2019.RAMOS, Brunna Suzart da Mata; SILVA, Ronaldo Alves Marinho da. APAC: uma alternativa à inércia do Estado frente à falência do sistema prisional. Cadernos de Graduação, Aracaju, v. 4, n. 3, p. 13-26, abr. 2018. Disponível em: https://periodicos.set.edu.br/index.php/cadernohumanas/article/view/4777. Acesso em: 31 out. 2019.ROMANOWSKI, Joana Paulin; ENS, Romilda Teodora. As pesquisas denominadas do tipo “estado da arte” em educação. Revista Diálogo Educacional, Curitiba, v. 6, n.19, p.37-50, set./dez. 2006. Disponível em: https://www.redalyc.org/pdf/1891/189116275004.pdf. Acesso em: 04 nov. 2019.SAVIANI, Dermeval. Trabalho e educação: fundamentos ontológicos e históricos. Revista Brasileira de Educação, Rio de Janeiro, v. 12, n. 34, p. 152-165, abr. 2007. Disponível em: http://www.scielo.br/scielo.php?script=sci_arttextpid=S1413-24782007000100012lng=ennrm=iso. Acesso em: 01 dez. 2019.SILVA, Ana Paula de Souza e. Direitos à educação dos apenados no Brasil: histórico e ornamento jurídico atual. Revista Artigos.Com, Campinas, SP, v. 2, p. e805, 21 abr. 2019. Disponível em: https://acervomais.com.br/index.php/artigos/article/view/805. Acesso em: 31 out. 2019.SILVA, Frederico Gomes da; MARQUES, Bárbara Couto Preisser Marçal. Concepções dos recuperandos da APAC Sete Lagoas sobre os estágios do curso de psicologia. Revista Brasileira de Ciências da Vida, Sete Lagoas, v. 6, n. 1, p. 1-17, 2018. Disponível em: http://jornalold.faculdadecienciasdavida.com.br/index.php/RBCV/article/view/464/249. Acesso em: 31 out. 2019.SILVA, João Pedro; COSTA, Renato Lopes. MÉTODO APAC: Motivos para a implantação. Revista Eletrônica de Ciências Jurídicas, Ipatinga, v. 1, n. 3, 2018. Disponível em: http://fadipa.educacao.ws/ojs-2.3.3-3/index.php/cjuridicas/article/view/284. Acesso em: 31 out. 2019.TEODORO, Luiz Claudio Almeida; LISBOA, Roseane de Aguiar Narciso. Reinserção social de mulheres em situação de cárcere: lições do projeto desenvolvido na APAC de Rio Piracicaba/MG. Revista Serviço Social em Perspectiva, Montes Claros, v. 2, n. 2, jul./dez. 2018. Disponível em: https://www.periodicos.unimontes.br/index.php/sesoperspectiva/article/view/343. Acesso em: 31 out. 2019.
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Stensager, Anders Otte. « »Mit navn er Boye, jeg graver dysser og gamle høje« ». Kuml 52, no 52 (14 décembre 2003) : 35–80. http://dx.doi.org/10.7146/kuml.v52i52.102638.

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»My name is Boye, I dig carins and old mounds«The archaeologist Vilhelm Christian BoyeThe story of Vilhelm Boye is the history of one man’s passionate and insightful involvement in archaeology, which from the first was directed solely towards the Bronze Age. His involvement led to an academic disaster in his youth, but left behind it a developed skill in field archaeology. Despite his problems he persisted with what most obsessed him, namely the preservation of Denmark’s oak coffin graves. His multi-facetted personality and his more popular approach to archaeology may have challenged his contemporaries, and certainly contributed to his more or less deliberate exclusion from a permanent appointment at the Museum of Northern Antiquities in Copenhagen. Even though he was opposed by powerful people within the Copenhagen museum establishment for nearly twenty years, he had the natural facility of easily winning the trust of others. This enabled him to cope with the situation and turn it to his advantage wherever he found himself. His marriage to Mimi Drachmann brought a welcome stability to his life, but his lack of professional recognition and his exclusion from a place at the top of archaeology continued. Time was running out for Boye, but he managed to leave an impressive body of published work behind him.Vilhelm Christian Boye was the son of the Norwegian-born priest and writer of hymns Caspar Johannes Boye. In 1848 his father was moved to the garrison church in Copenhagen, where the family lived at 29 Bredgade until his father’s death from cholera in 1853. This was a fashionable part of town, its residents including both the composer Niels W. Gade and Professor Adam Oehlenschläger, and even more notably J.J.A. Worsaae lived in the same property as the Boye family from 1850 to 1852. It was probably through his neighbour Worsaae that Boye later became a member of the circle around C.J. Thomsen. We may therefore assume that Boye visited and spent many after-school hours at the Museum of Northern Antiquities, and soon became an assistant during the public tours.Early in the 1840s tension arose between Worsaae and Thomsen, because Thomsen did not want to make Worsaae a junior museum inspector. Worsaae had not hitherto received any stipend or official position, and with some justice felt himself hard done by. Thomsen however did not respond to his request, so he left the Museum, later to be made Director for the Preservation of Ancient monuments. At the same time he taught at Copenhagen University, where Boye from time to time came to his lectures. There is no doubt that Boye wanted an academic career, and presumably hoped that his involvement with the Museum of Northern Antiquities would allow him to complete a study of Scandinavian archaeology. In the meantime Boye studied at the Museum under the direction of both Thomsen and Herbst.In early October 1857 Boye undertook one of his first excavations of a Bronze Age mound, the so-called Loholm barrow at Snørumnedre Mark (fig. 1). The dating of the grave however caused problems for him, but through a comparative study of Bronze Age burial rituals he concluded that the grave had close parallels within this period.The following year three funerary urns and some bronze objects were found in Hullehøj barrow, near Kjeldbymagle on the island of Møn. The barrow was going to be blown up, but the local judge had the work stopped and sent Boye to lead the excavation in May 1859. As the excavation progressed, Boye was able to ascertain that there were both cremations and inhumations in one and the same barrow. The inhumations were surrounded by fist-sized stones and placed at the bottom of the barrow, the cremations higher up within the mound. In comparison with his earlier barrow excavations it is worth noting Boye’s stratigraphic observations, which for the first time supported the division of the Bronze Age into an earlier and a later section. This hypothesis had been suggested earlier, but not hitherto adequately demonstrated. In 1859 Boye published the results of his excavations of 1857-8, as well as those of his recently completed excavation of Aasehøj barrow at Raklev, in the periodical Annaler for Nordisk Oldkyndighed og Historie for 1858. This article is his first independent scientific publication, and should have attracted greater attention than it in fact did. In modern perspective the article is a perfectly competent archaeological publication, in which Boye solely through field observations reaches the conclusion that the Bronze Age could be divided into two periods, each with its own burial ritual. Even though Boye had been close to understanding why both cremations and inhumations occurred in the same barrow as early as 1857, he did not reach his final understanding this early. In November 1857 Worsaae had in fact given lectures at the university in which he suggested a division of the Bronze Age, but it is noteworthy that he had not earlier published any or all of his conclusions. His work on the subdivision of the Stone Age was probably more important to Worsaae, while the subdivision of the Bronze Age was more of a footnote, a natural outgrowth of the idea that there was continuous development from one stage to the next. Boye’s article in Annaler thus inevitably supported Worsaae’s hypothesis, although this was presumably not the intention. On the contrary, Boye merely intended to publish his own conclusions. Boye cannot therefore be said to be the sole originator of the subdivision of the Bronze Age, but apart his barrow investigations there was nobody else who reached the same conclusion at the time independently of Worsaae.In 1860 Boye took part in the first major bog excavations, at Vimose and then at Thorsbjerg with Engelhardt. Despite adverse circumstances and appalling weather, the Thorsbjerg excavations produced several important finds including Roman coins, a gilt breastplate, and also a very unusual face mask of silver with gilt (fig. 2). Although Engelhardt did not publish the full excavation report until 1863-69, Boye presented his observations in Annaler as early as 1860, where he discussed earlier interpretations of the many weapons found in bogs. Boye observed that the universal destruction of these weapons did not happen by chance, but was deliberate. Furthermore, the weapons lay in groups of one type, and the shields were pierced by spear points to pin them to the bottom of the bog. Boye’s interpretation of the finds was thus remarkably accurate, because he regarded them as votive offerings of the spoils of war.When Prussian and Austrian troops crossed the Ejder River on 1st February 1864, Boye volunteered within the month and was promoted to lance corporal (fig. 3). In May he was landed to take part in the defence of the island of Als along with the other Danish forces. On his return home in August Boye continued his work at the Museum of Northern Antiquities, but Thomsen’s health was failing, and after a long illness he died on 21st May 1865. The question of who was to succeed Thomsen had long been discussed, and it was indeed Worsaae who was appointed. Although Herbst had been groomed for the job by Thomsen, he found himself outmanouevred. Boye probably already knew by then that he would not be given a position at the Museum. Herbst, his confidant, could no longer help him, and Thomsen’s awareness of his archaeological skills was of no use either. Circumstances thus forced Boye to leave the Museum.Boye’s relationship with the family friend and poet H.C. Andersen resulted in the latter recommending Boye in December 1867 as a Danish tutor to the Brandt family in Amsterdam (fig. 4). On Wednesday 22nd January 1868 Boye departed for Amsterdam via Kiel. During his stay Boye wrote regularly to Andersen, who also travelled to Amsterdam to visit him. His stay in Amsterdam was evidently good for Boye, and contributed to the fact that he never lost his love for archaeology. As early as late August of the same year, Boye travelled to southern Halland in Sweden at the request of Ritmester Peter von Möller, to examine and excavate a large group of barrows known as the Ätterhögar on the Drömmestrup estate, the excavation of which was concluded in early July 1869. Boye thus returned home just in time to take part as a member of the Danish Committee in the International Congress of Archaeology and Anthropology that was held in Copenhagen from 25th August to 5th September. But his love of Schleswig and the old borderland called him, and soon Boye moved permanently to Haderslev to work as a freelance writer on the daily paper Dannevirke under the editorship of H.R. Hiort-Lorenzen.His coverage of the International Congress of Archaeology and Anthropology meeting in Copenhagen is the most extensive of Boye’s writings in Dannevirke. He also wrote a series of articles with a marked archaeological-ethnographic content, for example on the antiquities of Brazil, and the discovery of ­Australia.Although Boye supported himself as a writer for Dannevirke, his main occupation seems rather to have been the investigation of the burial mounds of Schleswig, which before 1864 had only been intermittently examined by amateurs. Boye began an extensive programme, and without his efforts and initiative, knowledge of many Schleswig barrows would have been lost. Although the information he recorded was not particularly satisfactory, in that it was mostly based on the memory of local people, his efforts should be seen as a precursor, because the work of protection went slowly at the time. In his search for lost information, in 1875 Boye considered the barrow at Dybvadgård north of Åbenrå, which had been partially excavated by Prince Carl of Prussia in 1864. During the excavations the Prince’s soldiers found an oak coffin, which was despatched to the Museum für Völkerkunde in Berlin. Boye therefore wrote direct to the Prince, who in reply sent a photograph and description of the coffin. During the next eight years Boye managed to accumulate a great deal of information about the barrows of Schleswig, but his work was not without risk, because several of his “missions” involved evading the Prussian authorities and their power to confiscate the antiquities which Boye from time to time illegally sent to the Museum in Copenhagen.In 1874 the Principal of Herlufsholm School, C. Hall, engaged Vilhelm Boye to organise the school’s collection of antiquities, which had been in store for nearly twenty years. In addition to this reorganisation, funds were also made available for the systematic excavation of a nearby barrow at Grimstrup (fig. 5). The barrow however contained very little, mainly urns full of cremated bone, but the excavation was thoroughly recorded and a series of drawings was produced by R. Bertelsen, the school’s teacher of drawing. After this Boye set to work to display the collection in the six cases that were made available. The greater part of the collection came from the Stone Age, filling no fewer than five cases, giving an impression both of coastal finds from shell middens, and grave finds. The Bronze Age display contained only a few bronzes, but rather more pots. Iron Age artifacts were hardly represented at all, and consisted mostly of whetstones, a bowl-shaped buckle, and a pot burnt black.In November of the same year Boye was working at Herlufsholm, he produced his remarkable work Vejledning til Udgravning af Oldsager og deres foreløbige Behandling [Guide to the Excavation of Antiquities and their Initial Study], published under the auspices of the Society for the Historical-Antiquarian Collection in Århus. Boye’s Guide is the first of its type, and one can clearly detect his close association with Herbst, who had contributed to the scientific content of the work.Boye’s link with the antiquarian collection in Århus had not come about by chance. During his time at the Museum of Northern Antiquities he had early on made contact with the person mainly responsible for the establishment of the Århus collection, Edvard Erslev. Boye joined the museum in 1871, re-arranged the collection, and produced a guide for visitors. For the first time the museum acquired a new and professional look. Boye thus functioned as part of the leadership until 1876, when he gave up his museum post in favour of the schoolteacher Emmerik Høegh-Guldberg. The continued problems facing Dannevirke and Hiort-Lorenzen’s mounting confrontation with the judicial authorities in Flensborg probably caused Boye to consider his position with the newspaper. This culminated with the expulsion of Hiort-Lorenzen, who then took up the post of chief editor of Nationaltidende in Copenhagen. Boye also travelled to Copenhagen in early 1878, and on 15th November the year after he married Mimi Drachmann, sister of the poet Holger Drachmann (fig. 6 ). Not suprisingly, Boye got a job at the Nationaltidende, where he edited the newspaper’s Archaeological and Ethnographic Communications until 1885. In the seven years Boye worked at the paper, no fewer than 150 numbers of the Communications appeared, Boye writing more than 400 pages of them himself. The articles include a multiplicity of archaeological and ethnographic topics such as “Egypt’s Ancient Cultures” and “A Copper Age in Scandinavia”.In 1882 Count Emil Frijs of Frijsenborg commissioned Boye to catalogue and organise his estate’s collection of prehistoric and medieval objects, which came from the area round the lake and castle ruin at Søborg in northern Zealand. Attempts had been made to drain the lake since 1793, and several antiquities had been found at various times during the work. The recording project culminated in the publication of a small book, Fund af Gjenstande fra Oldtiden og Middelalderen i og ved Søborg Sø [Finds of Objects from the Prehistoric and Medieval Periods in and around Søborg Lake], which among other things contains some of the first photographic illustrations of Danish antiquities (fig. 7).Worsaae’s death in 1885 inaugurated a new era, and Herbst was finally able to take over the post of head of the Museum (fig. 8). Boye’s long friendship with Herbst had in the previous years resulted in him becoming a regional inspector for the Museum. Herbst was probably even then considering Boye for a future post in the Museum, and was indicating that he himself could not be overlooked when it became time to nominate a successor to Worsaae. After his appointment to the Museum of Northern Antiquities in 1885, Boye continued his activities as inspector in northern Zealand, and was frequently called when new finds were recovered from Bronze Age barrows.In contrast to Herbst, Boye rapidly fell in with the group of younger workers, particularly Henry Petersen (fig. 9). Over the years they became close friends with a common interest in new finds, as during the excavation of Guldhøj in 1891. Boye had no draftsman at the excavation, but he did have a local photographer who recorded some aspects of the opening of the first oak coffin. These are the first photographs ever to be taken during an excavation, even though photography by then was nothing new (fig. 10).With the reorganising of the National Museum, Boye was made senior assistant of the historical section on 1st April 1892, under Henry Petersen. He was responsible for the Museum’s archive and library, but fieldwork and travels are what particularly characterise his work in these years. When the small Bronze Age barrow on which the Glavendrup rune stone had been erected in 1864 was nearly completely destroyed by ploughing, Boye undertook a restoration of the barrow itself and the associated ship-shaped arrangement of stones in 1892 (fig. 11). The restoration’s outcome was the construction of a new barrow on which was placed the rune stone, and the re-erection of the stones in the ship arrangement.At the same time, chamberlain A. Oxholm undertook a small excavation of the Bronze Age barrow at Tårnholm, and recovered an oak coffin containing the remains of a woman, a fine necklace, a belt plate, and a small bronze dagger. Boye was immediately informed, and in connection with his investigations at Tårnborg was able to go to Tårnholm and lead a new excavation of the barrow, in which A.P. Madsen was also involved, and recover two more oak coffins (fig. 12).If we now consider Boye’s last major work, the publication of the major volume Fund af Egekister fra Bronzealderen i Danmark [Finds of Oak Coffins from the Danish Bronze Age], there are several indications that suggest that Boye began the work with the early intention that its coverage should be wide, and contain his long-term investigations into and knowledge of the country’s oak coffin graves. It is particularly noteworthy that his work as an archaeological journalist and with the Archaeological and Ethnographic Communications seems to have been a kind of precursor to this, as the last chapters contain sections that are clearly derived from his contributions to the Communications. The manuscript was completed in April 1896, and A.P. Madsen prepared for it no fewer than 27 full-page folio sized copperplates. The work was dedicated to “the veterans of Danish archaeology”, C.F. Herbst the museum director, and Japetus Steenstrup, with whom Boye had first collaborated more recently.His many years of a wandering existence and work-related disruptions had however told on him, and soon after the book was published Boye became ill. From his private correspondence from 1896 it emerges that Boye often had insufficient time to be with his nearest and dearest. Despite his illness he travelled one last time to visit relatives at Viken, but his illness worsened and he had to travel rapidly to Lund and on to Copenhagen. Boye died on 22nd September apparently as the result of a stroke, and was buried in Søllerød churchyard north of Copenhagen.Boye’s potential as a researcher was noticed early on by Thomsen, but just as quickly suppressed by Worsaae, who may more or less deliberately have sought to out-manoeuvre his colleague. Boye’s character and energy may have seemed a threat, and although he never finished an academic education he nevertheless displayed a remarkable archaeological acuity, but was unable to bolster his own reputation. Some of the blame for this must rest with the Museum’s aged leaders, who never supported or developed Boye’s evident skills to any great extent. It must also be stressed that some of Boye’s earlier career problems are closely connected to the lack of vision and jealousy of these same leaders. When he departed for Amsterdam Boye had no expectation of a Museum post, but despite this he intelligently kept up his contacts with Copenhagen, particularly with Herbst, knowing full well that Worsaae’s leadership would one day end. This somewhat bold presumption turned out to be correct, and helped his archaeological career.There is no doubt that Boye in his later years tried hard to recover his lost reputation and save his career from the disaster it suffered when he was younger, but the price was high and it also affected his health. We must today recognise that his reputation was restored to the highest level, and we must thank him for the fact that, through him, a uniquely detailed knowledge of the Bronze Age people themselves was preserved for Danish archaeology, as well as of their most prominent contribution to the Danish landscape: the barrows.Anders Otte StensagerInstitut for forhistorisk arkæologiKøbenhavns UniversitetTranslated by Peter Rowley-Conwy
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Wolf, Gunther G. « Überlegungen zum Gründungsdatum von Castel del Monte ». Archiv für Diplomatik 44, JG (janvier 1998). http://dx.doi.org/10.7788/afd.1998.44.jg.13.

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Brentjes, Burchard. « Castel del Monte - ein Zahlensymbol im Dienste staufischer Repräsentation ? » Archiv für Diplomatik 44, JG (janvier 1998). http://dx.doi.org/10.7788/afd.1998.44.jg.7.

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Castellano, Anna, et Giuseppe Pompeo Demelio. « The role of the ‘silver ratio’ in the geometry of Castel del Monte ». Journal of Mathematics and the Arts, 26 septembre 2022, 1–27. http://dx.doi.org/10.1080/17513472.2022.2124475.

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González, María Candelaria. « Fusiones y flexibilidad laboral en la banca universal venezolana ». Revista Venezolana de Gerencia 16, no 53 (12 juillet 2011). http://dx.doi.org/10.31876/revista.v16i53.10606.

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El objetivo del presente artículo es describir los cambios en los diferentes tipos de flexibilidad laboral producidos en la banca universal venezolana de capital nacional, a partir del proceso de globalización financiera de 1994; como consecuencia de la desregulación financiera y el mayor uso de las tecnologías. El tipo de investigación es descriptiva y se utilizó un diseño de investigación no experimental, longitudinal, de tendencia; al realizarse el estudio desde 1994 hasta el 2008. Las fuentes de información utilizadas fueron primarias y secundarias. Se realizó un trabajo de campo en 3 bancos universales, seleccionando una muestra de 30 trabajadores, con un muestreo no probabilístico de tipo intencional; aplicándoles un cuestionario y una entrevista estructurada. Los autores analizados en el desarrollo de la flexibilidad laboral fueron: Coller (1997), Battistini y Montes (2000), Estrada (2004), Urréa (1999) y Castel (1996). Los resultados obtenidos evidencian que existen cambios de tipo numérico, funcional, salarial, de selección de personal, de la relación del sindicato con los trabajadores y con la empresa y en la contratación del personal en las oficinas bancarias.
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Corso, Antonio. « Praxitelian Dionysi ». EULIMENE, 31 décembre 2000, 25–53. http://dx.doi.org/10.12681/eul.32682.

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Si percorre l'evoluzione dell'interpretazione statuaria di Dioniso nel Santuario di Dioniso Eleutereo ad Atene, dallo xoanon arcaico del dio alla statua criselefantina di Alcamene, ai tipi Hope, alcamenico, e Sardanapalo, cefisodoteo. Questa tradizione figurativa, e l'Ermete con Dioniso di Cefisodoto il Vecchio, stanno alla base della ridefinizione del dio operata da Prassitele. L'immagine di Dioniso accreditata nelle 'Baccanti' di Euripide ebbe pure un rilevante impatto nelle cultura figurativa tardoclassica. Alla bottega di Prassitele è riconducibile la base di monumento coregico, con Dioniso e due Vittorie, che si trova ad Atene, Museo Archeologico Nazionale, n. 1463. Il Dioniso di Prassitele ricordato da Plinio e descritto da Callistrato può esser riconosciuto, grazie alla descrizione di questi, nel tipo Sambon/Grimani. Il Dioniso d'Elide, pure di Prassitele, è raffigurato su monete di questa città e riconoscibile nel tipo Tauromorfo Vaticano/Albani. L'Ermete con Dioniso di Olimpia è forse un donario degli Elei del 343 A. C. ed è quasi certamente un'opera originale di Prassitele. Ai figli di Prassitele è ascrivibile il Dioniso WoburnAbbey/Castle Howard, rimeditazione del tipo Sambon/Grimani. Il tipo Richelieu/Prado pare dipendere da una variante protoellenistica del tipo Woburn Abbey/Castle Howard, il tipo Jacobsen sembra essere un adattamento dello stesso alla temperie barocca, il tipo Terme pare costituire una rimeditazione del medesimo in chiave Rococo. Il tipo Cirene offre una soluzione tardorepubblicana dello stesso schema compositivo, rispondente all'esigenza eclettica di valorizzare le soluzioni ritenute migliori di Prassitele, Policleto e Lisippo. Il tipo Borghese/Colonna sembra un adattamento del ritmo Woburn Abbey alla predilezione neoattica per ritmi frontali. Il tipo Horti Lamiani/Holkham Hall pare un adattamento del tipo Woburn Abbey alla posizione di quinta architettonica destra di un ambiente. Il tipo Copenhagen/Valentini risponde al bisogno, tipico del classicismo romano, di dare movimento e vita alla creazione statuaria. Altri due Dionisi, che si trovano a Digione e a Cirene, sono variazioni del tipo Jacobsen. La documentazione raccolta dimostra che l'immagine del dio elaborata nella corrente prassitelica divenne quella consueta nella cultura iconografica di età ellenistica e imperiale.
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Casale, Achille, et Paolo Magrini. « Trechus montiscrystalli Casale, 1979 (=Trechus pecoudi Jeannel, 1937 nec T. brucki pecoudi Colas & ; Gaudin, 1935), nuovo sinonimo di Trechus italicus K. Daniel & ; J. Daniel, 1898 (=T. samnis Jeannel, 1921) (Coleoptera : Carabidae) ». Bollettino della Società Entomologica Italiana, 16 décembre 2013, 121–27. http://dx.doi.org/10.4081/bollettinosei.2013.121.

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A seguito dell’esame delle caratteristiche esterne e genitali di un paratipo maschio, Trechus montiscrystalli Casale, 1979 (nome nuovo proposto per Trechus pecoudi Jeannel, 1937, nec T. brucki pecoudi Colas & Gaudin, 1935), descritto delle Alpi orientali (dolomiti, Monte Cristallo), è riconosciuto come sinonimo junior di Trechus italicus K. Daniel & J. Daniel, 1898 (=T. samnis Jeannel, 1921), specie localizzata in alcuni massicci montuosi dell’Appennino centrale (Abruzzo, italia). La sinonimia è spiegabile per la località errata riportata nel materiale tipico del taxon suddetto, e tale ipotesi è confermata dalla presenza, in Collezione Pécoud (MNHN), di esemplari di Carabidi raccolti da Pécoud stesso in Abruzzo (Gran sasso d’italia) nelle stesse date riportate per Trechus pecoudi Jeannel.
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Mullen, Mark. « It Was Not Death for I Stood Up…and Fragged the Dumb-Ass MoFo Who'd Wasted Me ». M/C Journal 6, no 1 (1 février 2003). http://dx.doi.org/10.5204/mcj.2134.

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I remember the first time I saw a dead body. I spawned just before dawn; around me engines were clattering into life, the dim silhouettes of tanks beginning to move out in a steady grinding rumble. I could dimly make out a few other people, the anonymity of their shadowy outlines belied by the names hanging over their heads in a comforting blue. Suddenly, a stream of tracers arced across the sky; explosions sounded nearby, then closer still; a tank ahead of me stopped, turned sluggishly, and fired off a couple of rounds, rocking slightly against the recoil. The radio was filled with talk of Germans in the town, but I couldn’t even see the town. I ran toward what looked like the shattered hulk of a building and dived into what I hoped was a doorway. It was already occupied by another Tommy and together we waited for it to get lighter, listening to the rattle of machine guns, the sharp ping as shells ricocheted off steel, the sickening, indescribable, but immediately recognisable sound when they didn’t. Eventually, the other soldier moved out, but I waited for the sun to peek over the nearby hills. Once I was able to see where I was going, I made straight for the command post on the edge of town, and came across a group of allied soldiers standing in a circle. In the centre of the circle lay a dead German soldier, face up. “Well I’ll be damned,” I said aloud; no one else said anything, and the body abruptly faded. I remember the first time I killed someone. I had barely got the Spit V up to 4000 feet when out of the corner of my eye I caught a glimpse of something below me. I dropped the left wing and saw a Stuka making a bee-line for the base. I made a hash of the turn, almost stalling, but he obviously had no idea I was there. I saddled-up on his six, dropping down low to avoid fire from his gunner, and opened up on him. I must have hit him at perfect convergence because he disintegrated, pieces of dismembered airframe raining down on the field below. I circled the field, putting all my concentration into making the landing that would make the kill count, then switched off the engine and sat in the cockpit for a moment, heart pounding. As you can tell, I’ve been in the wars lately. The first example is drawn from the launch of Cornered Rat Software’s WWII Online: Blitzkrieg (2001) while the second is based on a short stint playing Warbirds 3 (2002). Both games are examples of one of the most interesting recent developments in computer and video gaming: the increasing popularity and range of Massively Multiplayer Online Games (MMOGs); other notable examples of historical combat simulation MMOGs include HiTech Creations Aces High (2002) and Jaleco Entertainment’s Fighter Ace 3.5 (2002). For a variety of technical reasons, most popular multiplayer games—particularly first-person shooter (FPS) games such as Doom, Quake, and more recently Medal of Honor: Allied Assault (2002) and Return to Castle Wolfenstein (2001)—are played on player-organised servers that are usually limited to 32 or fewer players; terrain maps are small and rotated every couple of hours on average. MMOGs, by contrast, feature anywhere from hundreds to tens of thousands of players hosted on a handful of company-run servers. The shared virtual geography of these worlds is huge, extending across tens of thousands of square miles; these worlds are also persistent in that they respond dynamically to the actions of players and continue to do so while individual players are offline. As my opening anecdotes demonstrate, the experience of dealing and receiving virtual death is central to massively multiplayer simulations as it is to so many forms of computer games. Yet for an experience is that is so ubiquitous in computer games (and, some would say, even constitutes their experiential core) death is under-theorised. Mainstream culture tends to see computer and console game mayhem according to a rigid desensitisation argument: the experience of repeatedly killing other players online leads to a gradual erosion of the individual moral sense which makes players more likely to countenance killing people in the real world. Nowhere was this argument more in evidence that in the wake of the murder of fifteen students by Dylan Klebold and Eric Harris at Columbine High School in Littleton, Colorado on April 20, 1999. The discovery that the two boys were enthusiastic players of Id Software’s Doom and Quake resulted in an avalanche of hysterical news stories that charged computer games with a number of evils: eroding kids’ ability to distinguish fantasy from reality, encouraging them to imitate the actions represented in the games, and immuring them to the real-world consequences of violence. These claims were hardly new, and had in fact been directed at any number of violent popular entertainment genres over the years. What was new was the claim that the interactive nature of FPS games rendered them a form of simulated weapons training. What was also striking about the discourse surrounding the Littleton shooting was just how little the journalists covering the story knew about computer, console and arcade games. Nevertheless, their approach to the issue encouraged readers to see games as having real life analogs. Media discussion of the event also reinforced the notion of a connection with military training techniques, making extensive use of Lt. Col. (ret) David Grossman, a former Army ranger and psychologist who led the charge in claiming that games were “mass-murder simulators” (Gittrich, AA06). This controversy over the role of violent computer games in the Columbine murders is part of a larger cultural discourse that adopts the logical fallacy characteristic of moral panics: coincidence equals causation. Yet the impoverished discussion of online death and destruction is also due in no small measure to an entrenched hostility toward popular entertainment as a whole, a hostility that is evident even in the work of some academic critics who study popular culture. Andrew Darley, for example, argues that, never has the flattening of meaning or depth in the traditional aesthetic sense of these words been so pronounced as in the action-simulation genres of the computer game: here, aesthetic experience is tied directly to the purely sensational and allied to tests of physical dexterity (143). In this view, the repeated experience of death is merely a part of the overall texture of a form characterised not so much by narrative as by compulsive repetition. More generally, computer games are seen by many critics as the pernicious, paradigmatic instance of the colonisation of individual consciousness by cultural spectacle. According to this Frankfurt school-influenced critique (most frequently associated with the work of Guy Debord), spectacle serves both to mystify and pacify its audience: The more the technology opens up narrative possibilities, the less there is for the audience to do. [. . .]. When the spectacle conceals the practice of the artists who create it, it [announces]…itself as an expression of a universe beyond human volition and effort (Filewood 24). In supposedly sapping its audience’s critical faculties by bombarding them with a technological assault whose only purpose is to instantiate a deterministic worldview, spectacle is seen by its critics as exemplifying the work of capitalist ideology which teaches people not to question the world around them by establishing, in Althusser’s famous phrase, an “imaginary relationship of individuals to their real conditions of their existence” (162). The desensitisation thesis is thus part of a larger discourse that considers computer games paradoxically to be both escapist and as having real-world effects. With regard to online death, neo-Marxism meets neo-Freudianism: players are seen as hooked on the thrill not only of destroying others but also of self-destruction. Death is thus considered the terminus of all narrative possibility, and the participation of individuals in fantasy-death and mayhem is seen to lead inevitably to several kinds of cultural death: the death of “family values,” the death of community, the death of individual responsibility, and—given the characterisation of FPS games in particular as lacking in plot and characterisation—the death of storytelling. However, it is less productive to approach computer, arcade and console games as vehicles for force-feeding content with pre-determined cultural effects than it is to understand them as venues within and around which players stage a variety of theatrical performances. Thus even the bêtes noire of the mainstream media, first-person shooters, serve as vehicles for a variety of interactions ranging from the design of new sounds, graphics and levels, new “skins” for player characters, the formation of “tribes” or “clans” that fight and socialise together, and the creation of elaborate fan fictions. This idea that narrative does not simply “happen” within the immediate experience of playing the game, but is in fact produced by a dynamic interplay of interactions for which the game serves as a focus, also suggests a very different way of looking at the role of death online. Far from being the logical endpoint, the inevitable terminus of all narrative possibility, death becomes the indispensable starting point for narrative. In single-player games, for example, the existence of the simple “save game” function—differing from simply putting the game board to one side in that the save function allows the preservation of the game world in multiple temporal states—generates much of the narrative and dramatic range of computer games. Generally a player saves the game because he or she is facing an obstacle that may result in death; saving the game at that point allows the player to investigate alternatives. Thus, the ever-present possibility of death in the game world becomes the origin of all narratives based on forward investigation. In multiplayer and MMOG environments, where the players have no control over the save game state, it is nevertheless the possibility of a mode of forward projection that gives the experience its dramatic intensity. Flight simulation games in particular are notoriously difficult to master; the experience of serial death, therefore, becomes the necessary condition for honing your flying skills, trying out different tactics in a variety of combat situations, trying similar tactics in different aircraft, and so on. The experience of online death creates a powerful narrative impulse, and not only in those situations where death is serialised and guaranteed. A sizable proportion of the flight sim communities of both Warbirds and Aces High participate in specially designed scenario events that replicate a specific historical air combat event (the Battle of Britain, the Coral Sea, USAAF bomber operations in Europe, etc.) as closely as possible. What makes these scenarios so compelling for many players is that they are generally “one life” events: once the player is dead, they are out for the rest of the event and this creates an intense experience that is completely unlike flying in the everyday free-for-all arenas. The desensitisation thesis notwithstanding, there is little evidence that this narrative investment in death produces a more casual attitude toward real-life death amongst MMOG players. For example, when real-world death intrudes, simulation players often reach for the same rituals of comfort and acknowledgement that are employed offline. Recently, when an Aces High player died unexpectedly of heart failure at the age of 35, his squadron held an elaborate memorial event in his honor. Over a hundred players bailed out over an aerodrome—bailing out is the only way that a player in Aces High can acquire a virtual human body—and lined the edges of the runway as members of the dead player’s squad flew the missing man formation overhead (GrimmCAF). The insistence upon bodily presence in the context of a classic military ceremony marking irrecoverable absence suggests the way in which the connections between real and virtual worlds are experienced by players: as tensions, but also as points where identities are negotiated. This example does not seem to indicate that everyday familiarity with virtual death has dulled the players’ sensibilities to the sorrow and loss accompanying death in the real world. I began this article talking about death in simulation MMOGs for a number of reasons. In the first place, MMOGs are more commonly identified with their role-playing examples (MMORPGs) such as Ultima Online and Everquest, games that focus on virtual community-building and exploration in addition to violence and conquest. By contrast, simulation games tend to be seen as having more in common with first-person shooters like Quake, in the way in which they foreground the experience of serial death. Secondly, it is precisely the connection between simulation and death that makes games in general (as I demonstrated in relation to the media coverage of the Columbine murders) so problematic. In response, I would argue that one of the most interesting aspects of computer games recently has been the degree to which generic distinctions have been breaking down. MMORPGs, which had their roots in the Dungeons and Dragons gaming world, and the text-based world of MUDs and MOOs have since developed sophisticated third-person and even first-person representational styles to facilitate both peaceful character interactions and combat. Likewise, first-person shooters have begun to add role-playing elements (see, for example, Looking Glass Studios’ superb System Shock 2 (1999) or Lucasarts' Jedi Knight series). This trend has also been incorporated into simulation MMOGs: World War II Online includes a rudimentary set of character-tracking features, and Aces High has just announced a more ambitious expansion whose major focus will be the incorporation of role-playing elements. I feel that MMOGs in particular are all evolving towards a state that I would describe as “simulance:” simulations that, while they may be associated with a nominal representational reality, are increasingly about exploring the narrative possibilities, the mechanisms of theatrical engagement for self and community of simulation itself. Increasingly, none of the terms "simulation,” "role-playing" or indeed “game” quite captures the texture of these evolving experiences. In their complex engagement with both scripted and extemporaneous narrative, the players have more in common with period re-enactors; the immersive power of a well-designed flight simulator scenario produces a feeling in players akin to the “period rush” experienced by battlefield re-enactors, the frisson between awareness of playing a role and surrendering completely to the momentary power of its illusory reality. What troubles critics about simulations (and what also blinds them to the narrative complexity in other forms of computer games) is that they are indeed not simply examples of re-enactment —a re-staging of supposedly real events—but a generative form of narrative enactment. Computer games, particularly large-scale online games, provide a powerful set of theatrical tools with which players and player communities can help shape narratives and deepen their own narrative investment. Obviously, they are not isolated from real-world cultural factors that shape and constrain narrative possibility. However, we are starting to see the way in which the games use the idea of virtual death as the generative force for new storytelling frameworks based, in Filewood’s terms, on forward investigation. As games begin to move out of their incunabular state, they may contribute to the re-shaping of culture and consciousness, as other narrative platforms have done. Far from causing the downfall of civilisation, game-based narratives may bring with them a greater cultural awareness of simultaneous narrative possibility, of the past as sets of contingent phenomena, and a greater attention to practical, hands-on experimental problem-solving. It would be ironic, but no great surprise, if a form built around the creative possibilities inherent in serial death in fact made us more attentive to the rich alternative possibilities of living. Works Cited Aces High. HiTech Creations, 2002. http://www.bartleby.com/201/1.html Althusser, Louis. “Ideology and Ideological State Apparatuses (Notes Toward an Investigation).” Lenin and Philosophy and Other Essays. By Louis Althusser, trans. Ben Brewster. New York, 1971. 127-86. Barry, Ellen. “Games Feared as Youths’ Basic Training; Industry, Valued as Aid to Soldiers, on Defensive.” The Boston Globe 29 Apr 1999: A1. LexisNexis. Feb. 7, 2003. Cornered Rat Software. World War II Online: Blitzkrieg. Strategy First, 2001. http://www.wwiionline.com/ Darley, Andrew. Visual Digital Culture: Surface Play and Spectacle in New Media Genres. London: Routledge, 2000. Debord, Guy. The Society of the Spectacle. Donald Nicholson-Smith. New York: Zone Books, 1994. 1967. Der Derian, James. “The Simulation Syndrome: From War Games to Game Wars.” Social Text 8.2 (1990): 187-92. Filewood, Alan. “C:\Games\Dramaturgy: The Cybertheatre of Computer Games.” Canadian Theatre Review 81 (Winter 1994): 24-28. Gittrich, Greg. “Expert Differs with Kids over Video Game Effects.” The Denver Post 27 Apr 1999: AA-06. LexisNexis. Feb. 7 2003. GrimmCAF. “MojoCAF’s Memorial Flight.” Aces High BB, 13 Dec. 2002. http://www.hitechcreations.com/forums/sh... IEntertainment Network. Warbirds III. Simon and Schuster Interactive, 2002.http://www.totalsims.com/index.php?url=w... Jenkins, Henry, comp. “Voices from the Combat Zone: Game Grrlz Talk Back.” From Barbie to Mortal Kombat: Gender and Computer Games. Ed. Justine Cassell and Henry Jenkins. Cambridge, Massachusetts: MIT P, 1998. 328-41. Lieberman, Joseph I. “The Social Impact of Music Violence.” Statement Before the Governmental Affairs Committee Subcommittee on Oversight, 1997. http://www.senate.gov/member/ct/lieberma... Feb. 7 2003. Murray, Janet H. Hamlet on the Holodeck: The Future of Narrative in Cyberspace. New York: Free, 1997. Poole, Steven. Trigger Happy: Videogames and the Entertainment Revolution. New York: Arcade Publishing, 2000. Pyro. “AH2 FAQ.” Aces High BB, 29 Jan. 2003. Internet. http://www.hitechcreations.com/forums/sh... Feb. 8 2003. Links http://www.wwiionline.com/ http://www.idsoftware.com/games/doom/ http://www.hitechcreations.com/ http://www.totalsims.com/index.php?url=wbiii/content_home.php http://www.hitechcreations.com/forums/showthread.php?s=&amp;amp;amp;amp;amp;threadid=77265 http://www.senate.gov/member/ct/lieberman/releases/r110697c.html http://www.idsoftware.com/games/wolfenstein http://www.idsoftware.com/games/quake/ http://www.ea.com/eagames/official/moh_alliedassault/home.jsp http://www.jaleco.com/fighterace/index.html http://www.bartleby.com/201/1.html http://www.hitechcreations.com/forums/showthread.php?s=&amp;amp;amp;amp;amp;threadid=72560 Citation reference for this article Substitute your date of access for Dn Month Year etc... MLA Style Mullen, Mark. "It Was Not Death for I Stood Up…and Fragged the Dumb-Ass MoFo Who'd Wasted Me" M/C: A Journal of Media and Culture 6.1 (2003). Dn Month Year < http://www.media-culture.org.au/0302/03-itwasnotdeath.php>. APA Style Mullen, M., (2003, Feb 26). It Was Not Death for I Stood Up…and Fragged the Dumb-Ass MoFo Who'd Wasted Me. M/C: A Journal of Media and Culture, 6,(1). Retrieved Month Dn, Year, from http://www.media-culture.org.au/0302/03-itwasnotdeath.html
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Cushing, Nancy. « To Eat or Not to Eat Kangaroo : Bargaining over Food Choice in the Anthropocene ». M/C Journal 22, no 2 (24 avril 2019). http://dx.doi.org/10.5204/mcj.1508.

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Kangatarianism is the rather inelegant word coined in the first decade of the twenty-first century to describe an omnivorous diet in which the only meat consumed is that of the kangaroo. First published in the media in 2010 (Barone; Zukerman), the term circulated in Australian environmental and academic circles including the Global Animal conference at the University of Wollongong in July 2011 where I first heard it from members of the Think Tank for Kangaroos (THINKK) group. By June 2017, it had gained enough attention to be named the Oxford English Dictionary’s Australian word of the month (following on from May’s “smashed avo,” another Australian food innovation), but it took the Nine Network reality television series Love Island Australia to raise kangatarian to trending status on social media (Oxford UP). During the first episode, aired in late May 2018, Justin, a concreter and fashion model from Melbourne, declared himself to have previously been a kangatarian as he chatted with fellow contestant, Millie. Vet nurse and animal lover Millie appeared to be shocked by his revelation but was tentatively accepting when Justin explained what kangatarian meant, and justified his choice on the grounds that kangaroo are not farmed. In the social media response, it was clear that eating only the meat of kangaroos as an ethical choice was an entirely new concept to many viewers, with one tweet stating “Kangatarian isn’t a thing”, while others variously labelled the diet brutal, intriguing, or quintessentially Australian (see #kangatarian on Twitter).There is a well developed literature around the arguments for and against eating kangaroo, and why settler Australians tend to be so reluctant to do so (see for example, Probyn; Cawthorn and Hoffman). Here, I will concentrate on the role that ethics play in this food choice by examining how the adoption of kangatarianism can be understood as a bargain struck to help to manage grief in the Anthropocene, and the limitations of that bargain. As Lesley Head has argued, we are living in a time of loss and of grieving, when much that has been taken for granted is becoming unstable, and “we must imagine that drastic changes to everyday life are in the offing” (313). Applying the classic (and contested) model of five stages of grief, first proposed by Elisabeth Kübler-Ross in her book On Death and Dying in 1969, much of the population of the western world seems to be now experiencing denial, her first stage of loss, while those in the most vulnerable environments have moved on to anger with developed countries for destructive actions in the past and inaction in the present. The next stages (or states) of grieving—bargaining, depression, and acceptance—are likely to be manifested, although not in any predictable sequence, as the grief over current and future losses continues (Haslam).The great expansion of food restrictive diets in the Anthropocene can be interpreted as part of this bargaining state of grieving as individuals attempt to respond to the imperative to reduce their environmental impact but also to limit the degree of change to their own diet required to do so. Meat has long been identified as a key component of an individual’s environmental footprint. From Frances Moore Lappé’s 1971 Diet for a Small Planet through the United Nations’ Food and Agriculture Organisation’s 2006 report Livestock’s Long Shadow to the 2019 report of the EAT–Lancet Commission on Healthy Diets from Sustainable Food Systems, the advice has been consistent: meat consumption should be minimised in, if not eradicated from, the human diet. The EAT–Lancet Commission Report quantified this to less than 28 grams (just under one ounce) of beef, lamb or pork per day (12, 25). For many this would be keenly felt, in terms of how meals are constructed, the sensory experiences associated with eating meat and perceptions of well-being but meat is offered up as a sacrifice to bring about the return of the beloved healthy planet.Rather than accept the advice to cut out meat entirely, those seeking to bargain with the Anthropocene also find other options. This has given rise to a suite of foodways based around restricting meat intake in volume or type. Reducing the amount of commercially produced beef, lamb and pork eaten is one approach, while substituting a meat the production of which has a smaller environmental footprint, most commonly chicken or fish, is another. For those willing to make deeper changes, the meat of free living animals, especially those which are killed accidentally on the roads or for deliberately for environmental management purposes, is another option. Further along this spectrum are the novel protein sources suggested in the Lancet report, including insects, blue-green algae and laboratory-cultured meats.Kangatarianism is another form of this bargain, and is backed by at least half a century of advocacy. The Australian Conservation Foundation made calls to reduce the numbers of other livestock and begin a sustainable harvest of kangaroo for food in 1970 when the sale of kangaroo meat for human consumption was still illegal across the country (Conservation of Kangaroos). The idea was repeated by biologist Gordon Grigg in the late 1980s (Jackson and Vernes 173), and again in the Garnaut Climate Change Review in 2008 (547–48). Kangaroo meat is high in protein and iron, low in fat, and high in healthy polyunsaturated fatty acids and conjugated linoleic acid, and, as these authors showed, has a smaller environmental footprint than beef, lamb, or pork. Kangaroo require less water than cattle, sheep or pigs, and no land is cleared to grow feed for them or give them space to graze. Their paws cause less erosion and compaction of soil than do the hooves of common livestock. They eat less fodder than ruminants and their digestive processes result in lower emissions of the powerful greenhouse gas methane and less solid waste.As Justin of Love Island was aware, kangaroo are not farmed in the sense of being deliberately bred, fed, confined, or treated with hormones, drugs or chemicals, which also adds to their lighter impact on the environment. However, some pastoralists argue that because they cannot prevent kangaroos from accessing the food, water, shelter, and protection from predators they provide for their livestock, they do effectively farm them, although they receive no income from sales of kangaroo meat. This type of light touch farming of kangaroos has a very long history in Australia going back to the continent’s first peopling some 60,000 years ago. Kangaroos were so important to Aboriginal people that a wide range of environments were manipulated to produce their favoured habitats of open grasslands edged by sheltering trees. As Bill Gammage demonstrated, fire was used as a tool to preserve and extend grassy areas, to encourage regrowth which would attract kangaroos and to drive the animals from one patch to another or towards hunters waiting with spears (passim, for example, 58, 72, 76, 93). Gammage and Bruce Pascoe agree that this was a form of animal husbandry in which the kangaroos were drawn to the areas prepared for them for the young grass or, more forcefully, physically directed using nets, brush fences or stone walls. Burnt ground served to contain the animals in place of fencing, and regular harvesting kept numbers from rising to levels which would place pressure on other species (Gammage 79, 281–86; Pascoe 42–43). Contemporary advocates of eating kangaroo have promoted the idea that they should be deliberately co-produced with other livestock instead of being killed to preserve feed and water for sheep and cattle (Ellicott; Wilson 39). Substituting kangaroo for the meat of more environmentally damaging animals would facilitate a reduction in the numbers of cattle and sheep, lessening the harm they do.Most proponents have assumed that their audience is current meat eaters who would substitute kangaroo for the meat of other more environmentally costly animals, but kangatarianism can also emerge from vegetarianism. Wendy Zukerman, who wrote about kangaroo hunting for New Scientist in 2010, was motivated to conduct the research because she was considering becoming an early adopter of kangatarianism as the least environmentally taxing way to counter the longterm anaemia she had developed as a vegetarian. In 2018, George Wilson, honorary professor in the Australian National University’s Fenner School of Environment and Society called for vegetarians to become kangatarians as a means of boosting overall consumption of kangaroo for environmental and economic benefits to rural Australia (39).Given these persuasive environmental arguments, it might be expected that many people would have perceived eating kangaroo instead of other meat as a favourable bargain and taken up the call to become kangatarian. Certainly, there has been widespread interest in trying kangaroo meat. In 1997, only five years after the sale of kangaroo meat for human consumption had been legalised in most states (South Australia did so in 1980), 51% of 500 people surveyed in five capital cities said they had tried kangaroo. However, it had not become a meat of choice with very few found to eat it more than three times a year (Des Purtell and Associates iv). Just over a decade later, a study by Ampt and Owen found an increase to 58% of 1599 Australians surveyed across the country who had tried kangaroo but just 4.7% eating it at least monthly (14). Bryce Appleby, in his study of kangaroo consumption in the home based on interviews with 28 residents of Wollongong in 2010, specifically noted the absence of kangatarians—then a very new concept. A study of 261 Sydney university students in 2014 found that half had tried kangaroo meat and 10% continued to eat it with any regularity. Only two respondents identified themselves as kangatarian (Grant 14–15). Kangaroo meat advocate Michael Archer declared in 2017 that “there’s an awful lot of very, very smart vegetarians [who] have opted for semi vegetarianism and they’re calling themselves ‘kangatarians’, as they’re quite happy to eat kangaroo meat”, but unless there had been a significant change in a few years, the surveys did not bear out his assertion (154).The ethical calculations around eating kangaroo are complicated by factors beyond the strictly environmental. One Tweeter advised Justin: “‘I’m a kangatarian’ isn’t a pickup line, mate”, and certainly the reception of his declaration could have been very cool, especially as it was delivered to a self declared animal warrior (N’Tash Aha). All of the studies of beliefs and practices around the eating of kangaroo have noted a significant minority of Australians who would not consider eating kangaroo based on issues of animal welfare and animal rights. The 1997 study found that 11% were opposed to the idea of eating kangaroo, while in Grant’s 2014 study, 15% were ethically opposed to eating kangaroo meat (Des Purtell and Associates iv; Grant 14–15). Animal ethics complicate the bargains calculated principally on environmental grounds.These ethical concerns work across several registers. One is around the flesh and blood kangaroo as a charismatic native animal unique to Australia and which Australians have an obligation to respect and nurture. Sheep, cattle and pigs have been subject to longterm propaganda campaigns which entrench the idea that they are unattractive and unintelligent, and veil their transition to meat behind euphemistic language and abattoir walls, making it easier to eat them. Kangaroos are still seen as resourceful and graceful animals, and no linguistic tricks shield consumers from the knowledge that it is a roo on their plate. A proposal in 2009 to market a “coat of arms” emu and kangaroo-flavoured potato chip brought complaints to the Advertising Standards Bureau that this was disrespectful to these native animals, although the flavours were to be simulated and the product vegetarian (Black). Coexisting with this high regard to kangaroos is its antithesis. That is, a valuation of them informed by their designation as a pest in the pastoral industry, and the use of the carcasses of those killed to feed dogs and other companion animals. Appleby identified a visceral, disgust response to the idea of eating kangaroo in many of his informants, including both vegetarians who would not consider eating kangaroo because of their commitment to a plant-based diet, and at least one omnivore who would prefer to give up all meat rather than eat kangaroo. While diametrically opposed, the end point of both positions is that kangaroo meat should not be eaten.A second animal ethics stance relates to the imagined kangaroo, a cultural construct which for most urban Australians is much more present in their lives and likely to shape their actions than the living animals. It is behind the rejection of eating an animal which holds such an iconic place in Australian culture: to the dexter on the 1912 national coat of arms; hopping through the Hundred Acre Wood as Kanga and Roo in A.A. Milne’s Winnie-the-Pooh children’s books from the 1920s and the Disney movies later made from them; as a boy’s best friend as Skippy the Bush Kangaroo in a fondly remembered 1970s television series; and high in the sky on QANTAS planes. The anthropomorphising of kangaroos permitted the spectacle of the boxing kangaroo from the late nineteenth century. By framing natural kangaroo behaviours as boxing, these exhibitions encouraged an ambiguous understanding of kangaroos as human-like, moving them further from the category of food (Golder and Kirkby). Australian government bodies used this idea of the kangaroo to support food exports to Britain, with kangaroos as cooks or diners rather than ingredients. The Kangaroo Kookery Book of 1932 (see fig. 1 below) portrayed kangaroos as a nuclear family in a suburban kitchen and another official campaign supporting sales of Australian produce in Britain in the 1950s featured a Disney-inspired kangaroo eating apples and chops washed down with wine (“Kangaroo to Be ‘Food Salesman’”). This imagining of kangaroos as human-like has persisted, leading to the opinion expressed in a 2008 focus group, that consuming kangaroo amounted to “‘eating an icon’ … Although they are pests they are still human nature … these are native animals, people and I believe that is a form of cannibalism!” (Ampt and Owen 26). Figure 1: Rather than promoting the eating of kangaroos, the portrayal of kangaroos as a modern suburban family in the Kangaroo Kookery Book (1932) made it unthinkable. (Source: Kangaroo Kookery Book, Director of Australian Trade Publicity, Australia House, London, 1932.)The third layer of ethical objection on the ground of animal welfare is more specific, being directed to the method of killing the kangaroos which become food. Kangaroos are perhaps the only native animals for which state governments set quotas for commercial harvest, on the grounds that they compete with livestock for pasturage and water. In most jurisdictions, commercially harvested kangaroo carcasses can be processed for human consumption, and they are the ones which ultimately appear in supermarket display cases.Kangaroos are killed by professional shooters at night using swivelling spotlights mounted on their vehicles to locate and daze the animals. While clean head shots are the ideal and regulations state that animals should be killed when at rest and without causing “undue agonal struggle”, this is not always achieved and some animals do suffer prolonged deaths (NSW Code of Practice for Kangaroo Meat for Human Consumption). By regulation, the young of any female kangaroo must be killed along with her. While averting a slow death by neglect, this is considered cruel and wasteful. The hunt has drawn international criticism, including from Greenpeace which organised campaigns against the sale of kangaroo meat in Europe in the 1980s, and Viva! which was successful in securing the withdrawal of kangaroo from sale in British supermarkets (“Kangaroo Meat Sales Criticised”). These arguments circulate and influence opinion within Australia.A final animal ethics issue is that what is actually behind the push for greater use of kangaroo meat is not concern for the environment or animal welfare but the quest to turn a profit from these animals. The Kangaroo Industries Association of Australia, formed in 1970 to represent those who dealt in the marsupials’ meat, fur and skins, has been a vocal advocate of eating kangaroo and a sponsor of market research into how it can be made more appealing to the market. The Association argued in 1971 that commercial harvest was part of the intelligent conservation of the kangaroo. They sought minimum size regulations to prevent overharvesting and protect their livelihoods (“Assn. Backs Kangaroo Conservation”). The Association’s current website makes the claim that wild harvested “Australian kangaroo meat is among the healthiest, tastiest and most sustainable red meats in the world” (Kangaroo Industries Association of Australia). That this is intended to initiate a new and less controlled branch of the meat industry for the benefit of hunters and processors, rather than foster a shift from sheep or cattle to kangaroos which might serve farmers and the environment, is the opinion of Dr. Louise Boronyak, of the Centre for Compassionate Conservation at the University of Technology Sydney (Boyle 19).Concerns such as these have meant that kangaroo is most consumed where it is least familiar, with most of the meat for human consumption recovered from culled animals being exported to Europe and Asia. Russia has been the largest export market. There, kangaroo meat is made less strange by blending it with other meats and traditional spices to make processed meats, avoiding objections to its appearance and uncertainty around preparation. With only a low profile as a novelty animal in Russia, there are fewer sentimental concerns about consuming kangaroo, although the additional food miles undermine its environmental credentials. The variable acceptability of kangaroo in more distant markets speaks to the role of culture in determining how patterns of eating are formed and can be shifted, or, as Elspeth Probyn phrased it “how natural entities are transformed into commodities within a context of globalisation and local communities”, underlining the impossibility of any straightforward ethics of eating kangaroo (33, 35).Kangatarianism is a neologism which makes the eating of kangaroo meat something it has not been in the past, a voluntary restriction based on environmental ethics. These environmental benefits are well founded and eating kangaroo can be understood as an Anthropocenic bargain struck to allow the continuation of the consumption of red meat while reducing one’s environmental footprint. Although superficially attractive, the numbers entering into this bargain remain small because environmental ethics cannot be disentangled from animal ethics. The anthropomorphising of the kangaroo and its use as a national symbol coexist with its categorisation as a pest and use of its meat as food for companion animals. Both understandings of kangaroos made their meat uneatable for many Australians. Paired with concerns over how kangaroos are killed and the commercialisation of a native species, kangaroo meat has a very mixed reception despite decades of advocacy for eating its meat in favour of that of more harmed and more harmful introduced species. Given these constraints, kangatarianism is unlikely to become widespread and indeed it should be viewed as at best a temporary exigency. As the climate warms and rainfall becomes more erratic, even animals which have evolved to suit Australian conditions will come under increasing pressure, and humans will need to reach Kübler-Ross’ final state of grief: acceptance. In this case, this would mean acceptance that our needs cannot be placed ahead of those of other animals.ReferencesAmpt, Peter, and Kate Owen. Consumer Attitudes to Kangaroo Meat Products. Canberra: Rural Industries Research and Development Corporation, 2008.Appleby, Bryce. “Skippy the ‘Green’ Kangaroo: Identifying Resistances to Eating Kangaroo in the Home in a Context of Climate Change.” BSc Hons, U of Wollongong, 2010 <http://ro.uow.edu.au/thsci/103>.Archer, Michael. “Zoology on the Table: Plenary Session 4.” Australian Zoologist 39, 1 (2017): 154–60.“Assn. Backs Kangaroo Conservation.” The Beverley Times 26 Feb. 1971: 3. 22 Feb. 2019 <http://nla.gov.au/nla.news-article202738733>.Barone, Tayissa. “Kangatarians Jump the Divide.” Sydney Morning Herald 9 Feb. 2010. 13 Apr. 2019 <https://www.smh.com.au/lifestyle/kangatarians-jump-the-divide-20100209-gdtvd8.html>.Black, Rosemary. “Some Australians Angry over Idea for Kangaroo and Emu-Flavored Potato Chips.” New York Daily News 4 Dec. 2009. 5 Feb. 2019 <https://www.nydailynews.com/life-style/eats/australians-angry-idea-kangaroo-emu-flavored-potato-chips-article-1.431865>.Boyle, Rhianna. “Eating Skippy.” Big Issue Australia 578 11-24 Jan. 2019: 16–19.Cawthorn, Donna-Mareè, and Louwrens C. Hoffman. “Controversial Cuisine: A Global Account of the Demand, Supply and Acceptance of ‘Unconventional’ and ‘Exotic’ Meats.” Meat Science 120 (2016): 26–7.Conservation of Kangaroos. Melbourne: Australian Conservation Foundation, 1970.Des Purtell and Associates. Improving Consumer Perceptions of Kangaroo Products: A Survey and Report. Canberra: Rural Industries Research and Development Corporation, 1997.Ellicott, John. “Little Pay Incentive for Shooters to Join Kangaroo Meat Industry.” The Land 15 Mar. 2018. 28 Mar. 2019 <https://www.theland.com.au/story/5285265/top-roo-shooter-says-harvesting-is-a-low-paid-job/>.Garnaut, Ross. Garnaut Climate Change Review. 2008. 26 Feb. 2019 <http://www.garnautreview.org.au/index.htm>.Gammage, Bill. The Biggest Estate on Earth: How Aborigines Made Australia. Sydney: Allen and Unwin, 2012.Golder, Hilary, and Diane Kirkby. “Mrs. Mayne and Her Boxing Kangaroo: A Married Woman Tests Her Property Rights in Colonial New South Wales.” Law and History Review 21.3 (2003): 585–605.Grant, Elisabeth. “Sustainable Kangaroo Harvesting: Perceptions and Consumption of Kangaroo Meat among University Students in New South Wales.” Independent Study Project (ISP). U of NSW, 2014. <https://digitalcollections.sit.edu/isp_collection/1755>.Haslam, Nick. “The Five Stages of Grief Don’t Come in Fixed Steps – Everyone Feels Differently.” The Conversation 22 Oct. 2018. 28 Mar. 2019 <https://theconversation.com/the-five-stages-of-grief-dont-come-in-fixed-steps-everyone-feels-differently-96111>.Head, Lesley. “The Anthropoceans.” Geographical Research 53.3 (2015): 313–20.Kangaroo Industries Association of Australia. Kangaroo Meat. 26 Feb. 2019 <http://www.kangarooindustry.com/products/meat/>.“Kangaroo Meat Sales Criticised.” The Canberra Times 13 Sep. 1984: 14. 22 Feb 2019 <http://nla.gov.au/nla.news-article136915919>.“Kangaroo to Be Food ‘Salesman.’” Newcastle Morning Herald and Miners’ Advocate, 2 Dec. 1954. 22 Feb 2019 <http://nla.gov.au/nla.news-article134089767>.Kübler-Ross, Elisabeth. On Death and Dying: What the Dying Have to Teach Doctors, Nurses, Clergy, and their own Families. New York: Touchstone, 1997.Jackson, Stephen, and Karl Vernes. Kangaroo: Portrait of an Extraordinary Marsupial. Sydney: Allen and Unwin, 2010.Lappé, Frances Moore. Diet for a Small Planet. New York: Ballantine Books, 1971.N’Tash Aha (@Nsvasey). “‘I’m a Kangatarian’ isn’t a Pickup Line, Mate. #LoveIslandAU.” Twitter post. 27 May 2018. 5 Apr. 2019 <https://twitter.com/Nsvasey/status/1000697124122644480>.“NSW Code of Practice for Kangaroo Meat for Human Consumption.” Government Gazette of the State of New South Wales 24 Mar. 1993. 22 Feb. 2019 <http://nla.gov.au/nla.news-page14638033>.Oxford University Press, Australia and New Zealand. Word of the Month. June 2017. <https://www.oup.com.au/dictionaries/word-of-the-month>.Pascoe, Bruce. Dark Emu, Black Seeds: Agriculture or Accident? Broome: Magabala Books, 2014.Probyn, Elspeth. “Eating Roo: Of Things That Become Food.” New Formations 74.1 (2011): 33–45.Steinfeld, Henning, Pierre Gerber, Tom Wassenaar, Vicent Castel, Mauricio Rosales, and Cees d Haan. Livestock’s Long Shadow: Environmental Issues and Options. Rome: Food and Agriculture Organisation of the United Nations, 2006.Trust Nature. Essence of Kangaroo Capsules. 26 Feb. 2019 <http://ncpro.com.au/products/all-products/item/88139-essence-of-kangaroo-35000>.Victoria Department of Environment, Land, Water and Planning. Kangaroo Pet Food Trial. 28 Mar. 2019 <https://www.wildlife.vic.gov.au/managing-wildlife/wildlife-management-and-control-authorisations/kangaroo-pet-food-trial>.Willett, Walter, et al. “Food in the Anthropocene: The EAT–Lancet Commission on Healthy Diets from Sustainable Food Systems.” The Lancet 16 Jan. 2019. 26 Feb. 2019 <https://www.thelancet.com/commissions/EAT>.Wilson, George. “Kangaroos Can Be an Asset Rather than a Pest.” Australasian Science 39.1 (2018): 39.Zukerman, Wendy. “Eating Skippy: The Future of Kangaroo Meat.” New Scientist 208.2781 (2010): 42–5.
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Cashman, Dorothy Ann. « “This receipt is as safe as the Bank” : Reading Irish Culinary Manuscripts ». M/C Journal 16, no 3 (23 juin 2013). http://dx.doi.org/10.5204/mcj.616.

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Introduction Ireland did not have a tradition of printed cookbooks prior to the 20th century. As a consequence, Irish culinary manuscripts from before this period are an important primary source for historians. This paper makes the case that the manuscripts are a unique way of accessing voices that have quotidian concerns seldom heard above the dominant narratives of conquest, colonisation and famine (Higgins; Dawson). Three manuscripts are examined to see how they contribute to an understanding of Irish social and culinary history. The Irish banking crisis of 2008 is a reminder that comments such as the one in the title of this paper may be more then a casual remark, indicating rather an underlying anxiety. Equally important is the evidence in the manuscripts that Ireland had a domestic culinary tradition sited within the culinary traditions of the British Isles. The terms “vernacular”, representing localised needs and traditions, and “polite”, representing stylistic features incorporated for aesthetic reasons, are more usually applied in the architectural world. As terms, they reflect in a politically neutral way the culinary divide witnessed in the manuscripts under discussion here. Two of the three manuscripts are anonymous, but all are written from the perspective of a well-provisioned house. The class background is elite and as such these manuscripts are not representative of the vernacular, which in culinary terms is likely to be a tradition recorded orally (Gold). The first manuscript (NLI, Tervoe) and second manuscript (NLI, Limerick) show the levels of impact of French culinary influence through their recipes for “cullis”. The Limerick manuscript also opens the discussion to wider social concerns. The third manuscript (NLI, Baker) is unusual in that the author, Mrs. Baker, goes to great lengths to record the provenance of the recipes and as such the collection affords a glimpse into the private “polite” world of the landed gentry in Ireland with its multiplicity of familial and societal connections. Cookbooks and Cuisine in Ireland in the 19th Century During the course of the 18th century, there were 136 new cookery book titles and 287 reprints published in Britain (Lehmann, Housewife 383). From the start of the 18th to the end of the 19th century only three cookbooks of Irish, or Anglo-Irish, authorship have been identified. The Lady’s Companion: or Accomplish’d Director In the whole Art of Cookery was published in 1767 by John Mitchell in Skinner-Row, under the pseudonym “Ceres,” while the Countess of Caledon’s Cheap Receipts and Hints on Cookery: Collected for Distribution Amongst the Irish Peasantry was printed in Armagh by J. M. Watters for private circulation in 1847. The modern sounding Dinners at Home, published in London in 1878 under the pseudonym “Short”, appears to be of Irish authorship, a review in The Irish Times describing it as being written by a “Dublin lady”, the inference being that she was known to the reviewer (Farmer). English Copyright Law was extended to Ireland in July 1801 after the Act of Union between Great Britain and Ireland in 1800 (Ferguson). Prior to this, many titles were pirated in Ireland, a cause of confusion alluded to by Lehmann when she comments regarding the Ceres book that it “does not appear to be simply a Dublin-printed edition of an English book” (Housewife 403). This attribution is based on the dedication in the preface: “To The Ladies of Dublin.” From her statement that she had a “great deal of experience in business of this kind”, one may conclude that Ceres had worked as a housekeeper or cook. Cheap Receipts and Hints on Cookery was the second of two books by Catherine Alexander, Countess of Caledon. While many commentators were offering advice to Irish people on how to alleviate their poverty, in Friendly Advice to Irish Mothers on Training their Children, Alexander was unusual in addressing her book specifically to its intended audience (Bourke). In this cookbook, the tone is of a practical didactic nature, the philosophy that of enablement. Given the paucity of printed material, manuscripts provide the main primary source regarding the existence of an indigenous culinary tradition. Attitudes regarding this tradition lie along the spectrum exemplified by the comments of an Irish journalist, Kevin Myers, and an eminent Irish historian, Louis Cullen. Myers describes Irish cuisine as a “travesty” and claims that the cuisine of “Old Ireland, in texture and in flavour, generally resembles the cinders after the suttee of a very large, but not very tasty widow”, Cullen makes the case that Irish cuisine is “one of the most interesting culinary traditions in Europe” (141). It is not proposed to investigate the ideological standpoints behind the various comments on Irish food. Indeed, the use of the term “Irish” in this context is fraught with difficulty and it should be noted that in the three manuscripts proposed here, the cuisine is that of the gentry class and representative of a particular stratum of society more accurately described as belonging to the Anglo-Irish tradition. It is also questionable how the authors of the three manuscripts discussed would have described themselves in terms of nationality. The anxiety surrounding this issue of identity is abating as scholarship has moved from viewing the cultural artifacts and buildings inherited from this class, not as symbols of an alien heritage, but rather as part of the narrative of a complex country (Rees). The antagonistic attitude towards this heritage could be seen as reaching its apogee in the late 1950s when the then Government minister, Kevin Boland, greeted the decision to demolish a row of Georgian houses in Dublin with jubilation, saying that they stood for everything that he despised, and describing the Georgian Society, who had campaigned for their preservation, as “the preserve of the idle rich and belted earls” (Foster 160). Mac Con Iomaire notes that there has been no comprehensive study of the history of Irish food, and the implications this has for opinions held, drawing attention to the lack of recognition that a “parallel Anglo-Irish cuisine existed among the Protestant elite” (43). To this must be added the observation that Myrtle Allen, the doyenne of the Irish culinary world, made when she observed that while we have an Irish identity in food, “we belong to a geographical and culinary group with Wales, England, and Scotland as all counties share their traditions with their next door neighbour” (1983). Three Irish Culinary Manuscripts The three manuscripts discussed here are held in the National Library of Ireland (NLI). The manuscript known as Tervoe has 402 folio pages with a 22-page index. The National Library purchased the manuscript at auction in December 2011. Although unattributed, it is believed to come from Tervoe House in County Limerick (O’Daly). Built in 1776 by Colonel W.T. Monsell (b.1754), the Monsell family lived there until 1951 (see, Fig. 1). The house was demolished in 1953 (Bence-Jones). William Monsell, 1st Lord Emly (1812–94) could be described as the most distinguished of the family. Raised in an atmosphere of devotion to the Union (with Great Britain), loyalty to the Church of Ireland, and adherence to the Tory Party, he converted in 1850 to the Roman Catholic religion, under the influence of Cardinal Newman and the Oxford Movement, changing his political allegiance from Tory to Whig. It is believed that this change took place as a result of the events surrounding the Great Irish Famine of 1845–50 (Potter). The Tervoe manuscript is catalogued as 18th century, and as the house was built in the last quarter of the century, it would be reasonable to surmise that its conception coincided with that period. It is a handsome volume with original green vellum binding, which has been conserved. Fig. 1. Tervoe House, home of the Monsell family. In terms of culinary prowess, the scope of the Tervoe manuscript is extensive. For the purpose of this discussion, one recipe is of particular interest. The recipe, To make a Cullis for Flesh Soups, instructs the reader to take the fat off four pounds of the best beef, roast the beef, pound it to a paste with crusts of bread and the carcasses of partridges or other fowl “that you have by you” (NLI, Tervoe). This mixture should then be moistened with best gravy, and strong broth, and seasoned with pepper, thyme, cloves, and lemon, then sieved for use with the soup. In 1747 Hannah Glasse published The Art of Cookery, Made Plain and Easy. The 1983 facsimile edition explains the term “cullis” as an Anglicisation of the French word coulis, “a preparation for thickening soups and stews” (182). The coulis was one of the essential components of the nouvelle cuisine of the 18th century. This movement sought to separate itself from “the conspicuous consumption of profusion” to one where the impression created was one of refinement and elegance (Lehmann, Housewife 210). Reactions in England to this French culinary innovation were strong, if not strident. Glasse derides French “tricks”, along with French cooks, and the coulis was singled out for particular opprobrium. In reality, Glasse bestrides both sides of the divide by giving the much-hated recipe and commenting on it. She provides another example of this in her recipe for The French Way of Dressing Partridges to which she adds the comment: “this dish I do not recommend; for I think it an odd jumble of thrash, by that time the Cullis, the Essence of Ham, and all other Ingredients are reckoned, the Partridges will come to a fine penny; but such Receipts as this, is what you have in most Books of Cookery yet printed” (53). When Daniel Defoe in The Complete English Tradesman of 1726 criticised French tradesmen for spending so much on the facades of their shops that they were unable to offer their customers a varied stock within, we can see the antipathy spilling over into other creative fields (Craske). As a critical strategy, it is not dissimilar to Glasse when she comments “now compute the expense, and see if this dish cannot be dressed full as well without this expense” at the end of a recipe for the supposedly despised Cullis for all Sorts of Ragoo (53). Food had become part of the defining image of Britain as an aggressively Protestant culture in opposition to Catholic France (Lehmann Politics 75). The author of the Tervoe manuscript makes no comment about the dish other than “A Cullis is a mixture of things, strained off.” This is in marked contrast to the second manuscript (NLI, Limerick). The author of this anonymous manuscript, from which the title of this paper is taken, is considerably perplexed by the term cullis, despite the manuscript dating 1811 (Fig. 2). Of Limerick provenance also, but considerably more modest in binding and scope, the manuscript was added to for twenty years, entries terminating around 1831. The recipe for Beef Stake (sic) Pie is an exact transcription of a recipe in John Simpson’s A Complete System of Cookery, published in 1806, and reads Cut some beef steaks thin, butter a pan (or as Lord Buckingham’s cook, from whom these rects are taken, calls it a soutis pan, ? [sic] (what does he mean, is it a saucepan) [sic] sprinkle the pan with pepper and salt, shallots thyme and parsley, put the beef steaks in and the pan on the fire for a few minutes then put them to cool, when quite cold put them in the fire, scrape all the herbs in over the fire and ornament as you please, it will take an hour and half, when done take the top off and put in some coulis (what is that?) [sic]. Fig. 2. Beef Stake Pie (NLI, Limerick). Courtesy of the National Library of Ireland. Simpson was cook to Lord Buckingham for at least a year in 1796, and may indeed have travelled to Ireland with the Duke who had several connections there. A feature of this manuscript are the number of Cholera remedies that it contains, including the “Rect for the cholera sent by Dr Shanfer from Warsaw to the Brussels Government”. Cholera had reached Germany by 1830, and England by 1831. By March 1832, it had struck Belfast and Dublin, the following month being noted in Cork, in the south of the country. Lasting a year, the epidemic claimed 50,000 lives in Ireland (Fenning). On 29 April 1832, the diarist Amhlaoibh Ó Súilleabháin notes, “we had a meeting today to keep the cholera from Callan. May God help us” (De Bhaldraithe 132). By 18 June, the cholera is “wrecking destruction in Ennis, Limerick and Tullamore” (135) and on 26 November, “Seed being sown. The end of the month wet and windy. The cholera came to Callan at the beginning of the month. Twenty people went down with it and it left the town then” (139). This situation was obviously of great concern and this is registered in the manuscript. Another concern is that highlighted by the recommendation that “this receipt is as good as the bank. It has been obligingly given to Mrs Hawkesworth by the chief book keeper at the Bank of Ireland” (NLI, Limerick). The Bank of Ireland commenced business at St. Mary’s Abbey in Dublin in June 1783, having been established under the protection of the Irish Parliament as a chartered rather then a central bank. As such, it supplied a currency of solidity. The charter establishing the bank, however, contained a prohibitory clause preventing (until 1824 when it was repealed) more then six persons forming themselves into a company to carry on the business of banking. This led to the formation, especially outside Dublin, of many “small private banks whose failure was the cause of immense wretchedness to all classes of the population” (Gilbert 19). The collapse that caused the most distress was that of the Ffrench bank in 1814, founded eleven years previously by the family of Lord Ffrench, one of the leading Catholic peers, based in Connacht in the west of Ireland. The bank issued notes in exchange for Bank of Ireland notes. Loans from Irish banks were in the form of paper money which were essentially printed promises to pay the amount stated and these notes were used in ordinary transactions. So great was the confidence in the Ffrench bank that their notes were held by the public in preference to Bank of Ireland notes, most particularly in Connacht. On 27 June 1814, there was a run on the bank leading to collapse. The devastation spread through society, from business through tenant farmers to the great estates, and notably so in Galway. Lord Ffrench shot himself in despair (Tennison). Williams and Finn, founded in Kilkenny in 1805, entered bankruptcy proceedings in 1816, and the last private bank outside Dublin, Delacours in Mallow, failed in 1835 (Barrow). The issue of bank failure is commented on by writers of the period, notably so in Dickens, Thackery, and Gaskill, and Edgeworth in Ireland. Following on the Ffrench collapse, notes from the Bank of Ireland were accorded increased respect, reflected in the comment in this recipe. The receipt in question is one for making White Currant Wine, with the unusual addition of a slice of bacon suspended from the bunghole when the wine is turned, for the purpose of enriching it. The recipe was provided to “Mrs Hawkesworth by the chief book keeper of the bank” (NLI, Limerick). In 1812, a John Hawkesworth, agent to Lord CastleCoote, was living at Forest Lodge, Mountrath, County Laois (Ennis Chronicle). The Coote family, although settling in County Laois in the seventeenth century, had strong connections with Limerick through a descendent of the younger brother of the first Earl of Mountrath (Landed Estates). The last manuscript for discussion is the manuscript book of Mrs Abraham Whyte Baker of Ballytobin House, County Kilkenny, 1810 (NLI, Baker). Ballytobin, or more correctly Ballaghtobin, is a townland in the barony of Kells, four miles from the previously mentioned Callan. The land was confiscated from the Tobin family during the Cromwellian campaign in Ireland of 1649–52, and was reputedly purchased by a Captain Baker, to establish what became the estate of Ballaghtobin (Fig. 3) To this day, it is a functioning estate, remaining in the family, twice passing down through the female line. In its heyday, there were two acres of walled gardens from which the house would have drawn for its own provisions (Ballaghtobin). Fig. 3. Ballaghtobin 2013. At the time of writing the manuscript, Mrs. Sophia Baker was widowed and living at Ballaghtobin with her son and daughter-in-law, Charity who was “no beauty, but tall, slight” (Herbert 414). On the succession of her husband to the estate, Charity became mistress of Ballaghtobin, leaving Sophia with time on what were her obviously very capable hands (Nevin). Sophia Baker was the daughter of Sir John Blunden of Castle Blunden and Lucinda Cuffe, daughter of the first Baron Desart. Sophia was also first cousin of the diarist Dorothea Herbert, whose mother was Lucinda’s sister, Martha. Sophia Baker and Dorothea Herbert have left for posterity a record of life in the landed gentry class in rural Georgian Ireland, Dorothea describing Mrs. Baker as “full of life and spirits” (Herbert 70). Their close relationship allows the two manuscripts to converse with each other in a unique way. Mrs. Baker’s detailing of the provenance of her recipes goes beyond the norm, so that what she has left us is not just a remarkable work of culinary history but also a palimpsest of her family and social circle. Among the people she references are: “my grandmother”; Dorothea Beresford, half sister to the Earl of Tyrone, who lived in the nearby Curraghmore House; Lady Tyrone; and Aunt Howth, the sister of Dorothea Beresford, married to William St Lawrence, Lord Howth, and described by Johnathan Swift as “his blue eyed nymph” (195). Other attributions include Lady Anne Fitzgerald, wife of Maurice Fitzgerald, 16th knight of Kerry, Sir William Parsons, Major Labilen, and a Mrs. Beaufort (Fig. 4). Fig. 4. Mrs. Beauforts Rect. (NLI, Baker). Courtesy of the National Library of Ireland. That this Mrs. Beaufort was the wife of Daniel Augustus Beaufort, mother of the hydrographer Sir Francis Beaufort, may be deduced from the succeeding recipe supplied by a Mrs. Waller. Mrs. Beaufort’s maiden name was Waller. Fanny Beaufort, the elder sister of Sir Francis, was Richard Edgeworth’s fourth wife and close friend and confidante of his daughter Maria, the novelist. There are also entries for “Miss Herbert” and “Aunt Herbert.” While the Baker manuscript is of interest for the fact that it intersects the worlds of the novelist Maria Edgeworth and the diarist Dorothea Herbert, and for the societal references that it documents, it is also a fine collection of recipes that date back to the mid-18th century. An example of this is a recipe for Sligo pickled salmon that Mrs. Baker, nee Blunden, refers to in an index that she gives to a second volume. Unfortunately this second volume is not known to be extant. This recipe features in a Blunden family manuscript of 1760 as referred to in Anelecta Hibernica (McLysaght). The recipe has also appeared in Cookery and Cures of Old Kilkenny (St. Canices’s 24). Unlike the Tervoe and Limerick manuscripts, Mrs. Baker is unconcerned with recipes for “cullis”. Conclusion The three manuscripts that have been examined here are from the period before the famine of 1845–50, known as An Gorta Mór, translated as “the big hunger”. The famine preceding this, Bliain an Áir (the year of carnage) in 1740–1 was caused by extremely cold and rainy weather that wiped out the harvest (Ó Gráda 15). This earlier famine, almost forgotten today, was more severe than the subsequent one, causing the death of an eight of the population of the island over one and a half years (McBride). These manuscripts are written in living memory of both events. Within the world that they inhabit, it may appear there is little said about hunger or social conditions beyond the walls of their estates. Subjected to closer analysis, however, it is evident that they are loquacious in their own unique way, and make an important contribution to the narrative of cookbooks. Through the three manuscripts discussed here, we find evidence of the culinary hegemony of France and how practitioners in Ireland commented on this in comparatively neutral fashion. An awareness of cholera and bank collapses have been communicated in a singular fashion, while a conversation between diarist and culinary networker has allowed a glimpse into the world of the landed gentry in Ireland during the Georgian period. References Allen, M. “Statement by Myrtle Allen at the opening of Ballymaloe Cookery School.” 14 Nov. 1983. Ballaghtobin. “The Grounds”. nd. 13 Mar. 2013. ‹http://www.ballaghtobin.com/gardens.html›. Barrow, G.L. “Some Dublin Private Banks.” Dublin Historical Record 25.2 (1972): 38–53. Bence-Jones, M. A Guide to Irish Country Houses. London: Constable, 1988. Bourke, A. Ed. Field Day Anthology of Irish Writing Vol V. Cork: Cork UP, 2002. Craske, M. “Design and the Competitive Spirit in Early and Mid 18th Century England”, Journal of Design History 12.3 (1999): 187–216. Cullen, L. The Emergence of Modern Ireland. London: Batsford, 1981. Dawson, Graham. “Trauma, Memory, Politics. The Irish Troubles.” Trauma: Life Stories of Survivors. Ed. Kim Lacy Rogers, Selma Leydesdorff and Graham Dawson. New Jersey: Transaction P, 2004. De Bhaldraithe,T. Ed. Cín Lae Amhlaoibh. Cork: Mercier P, 1979. Ennis Chronicle. 12–23 Feb 1812. 10 Feb. 2013 ‹http://astheywere.blogspot.ie/2012/12/ennis-chronicle-1812-feb-23-feb-12.html› Farmar, A. E-mail correspondence between Farmar and Dr M. Mac Con Iomaire, 26 Jan. 2011. Fenning, H. “The Cholera Epidemic in Ireland 1832–3: Priests, Ministers, Doctors”. Archivium Hibernicum 57 (2003): 77–125. Ferguson, F. “The Industrialisation of Irish Book Production 1790-1900.” The Oxford History of the Irish Book, Vol. IV The Irish Book in English 1800-1891. Ed. J. Murphy. Oxford: Oxford UP, 2011. Foster, R.F. Luck and the Irish: A Brief History of Change from 1970. Oxford: Oxford UP, 2008. Gilbert, James William. The History of Banking in Ireland. London: Longman, Rees, Orme, Brown, Green, and Longman, 1836. Glasse, Hannah. The Art of Cookery Made Plain and Easy by a Lady: Facsimile Edition. Devon: Prospect, 1983. Gold, C. Danish Cookbooks. Seattle: U of Washington P, 2007. Herbert, D. Retrospections of an Outcast or the Life of Dorothea Herbert. London: Gerald Howe, 1929. Higgins, Michael D. “Remarks by President Michael D. Higgins reflecting on the Gorta Mór: the Great famine of Ireland.” Famine Commemoration, Boston, 12 May 2012. 18 Feb. 2013 ‹http://www.president.ie/speeches/ › Landed Estates Database, National University of Galway, Moore Institute for Research, 10 Feb. 2013 ‹http://landedestates.nuigalway.ie/LandedEstates/jsp/family-show.jsp?id=633.› Lehmann, G. The British Housewife: Cookery books, cooking and society in eighteenth-century Britain. Totnes: Prospect, 1993. ---. “Politics in the Kitchen.” 18th Century Life 23.2 (1999): 71–83. Mac Con Iomaire, M. “The Emergence, Development and Influence of French Haute Cuisine on Public Dining in Dublin Restaurants 1900-2000: An Oral History”. Vol. 2. PhD thesis. Dublin Institute of Technology. 2009. 8 Mar. 2013 ‹http://arrow.dit.ie/tourdoc/12›. McBride, Ian. Eighteenth Century Ireland: The Isle of Slaves. Dublin: Gill and Macmillan, 2009. McLysaght, E.A. Anelecta Hibernica 15. Dublin: Irish Manuscripts Commission, 1944. Myers, K. “Dinner is served ... But in Our Culinary Dessert it may be Korean.” The Irish Independent 30 Jun. 2006. Nevin, M. “A County Kilkenny Georgian Household Notebook.” Journal of the Royal Society of Antiquaries of Ireland 109 (1979): 5–18. (NLI) National Library of Ireland. Baker. 19th century manuscript. MS 34,952. ---. Limerick. 19th century manuscript. MS 42,105. ---. Tervoe. 18th century manuscript. MS 42,134. Ó Gráda, C. Famine: A Short History. New Jersey: Princeton UP, 2009. O’Daly, C. E-mail correspondence between Colette O’Daly, Assistant Keeper, Dept. of Manuscripts, National Library of Ireland and Dorothy Cashman. 8 Dec. 2011. Potter, M. William Monsell of Tervoe 1812-1894. Dublin: Irish Academic P, 2009. Rees, Catherine. “Irish Anxiety, Identity and Narrative in the Plays of McDonagh and Jones.” Redefinitions of Irish Identity: A Postnationalist Approach. Eds. Irene Gilsenan Nordin and Carmen Zamorano Llena. Bern: Peter Lang, 2010. St. Canice’s. Cookery and Cures of Old Kilkenny. Kilkenny: Boethius P, 1983. Swift, J. The Works of the Rev Dr J Swift Vol. XIX Dublin: Faulkner, 1772. 8 Feb. 2013. ‹http://www.google.ie/search?tbm=bks&hl=en&q=works+of+jonathan+swift+Vol+XIX+&btnG=› Tennison, C.M. “The Old Dublin Bankers.” Journal of the Cork Historical and Archeological Society 1.2 (1895): 36–9.
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Holmes, Ashley M. « Cohesion, Adhesion and Incoherence : Magazine Production with a Flickr Special Interest Group ». M/C Journal 13, no 1 (22 mars 2010). http://dx.doi.org/10.5204/mcj.210.

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Résumé :
This paper provides embedded, reflective practice-based insight arising from my experience collaborating to produce online and print-on-demand editions of a magazine showcasing the photography of members of haphazart! Contemporary Abstracts group (hereafter referred to as haphazart!). The group’s online visual, textual and activity-based practices via the photo sharing social networking site Flickr are portrayed as achieving cohesive visual identity. Stylistic analysis of pictures in support of this claim is not attempted. Rather negotiation, that Elliot has previously described in M/C Journal as innate in collaboration, is identified as the unifying factor. However, the collaborators’ adherence to Flickr’s communication platform proves problematic in the editorial context. Some technical incoherence with possible broader cultural implications is encountered during the process of repurposing images from screen to print. A Scan of Relevant Literature The photographic gaze perceives and captures objects which seem to ‘carry within them ready-made’ a work of art. But the reminiscences of the gaze are only made possible by knowing and associating with groups that define a tradition. The list of valorised subjects is not actually defined with reference to a culture, but rather by familiarity with a limited group. (Chamboredon 144) As part of the array of socio-cultural practices afforded by Web 2.0 interoperability, sites of produsage (Bruns) are foci for studies originating in many disciplines. Flickr provides a rich source of data that researchers interested in the interface between the technological and the social find useful to analyse. Access to the Flickr application programming interface enables quantitative researchers to observe a variety of means by which information is propagated, disseminated and shared. Some findings from this kind of research confirm the intuitive. For example, Negoecsu et al. find that “a large percentage of users engage in sharing with groups and that they do so significantly” ("Analyzing Flickr Groups" 425). They suggest that Flickr’s Groups feature appears to “naturally bring together two key aspects of social media: content and relations.” They also find evidence for what they call hyper-groups, which are “communities consisting of groups of Flickr groups” ("Flickr Hypergroups" 813). Two separate findings from another research team appear to contradict each other. On one hand, describing what they call “social cascades,” Cha et al. claim that “content in the form of ideas, products, and messages spreads across social networks like a virus” ("Characterising Social Cascades"). Yet in 2009 they claim that homocity and reciprocity ensure that “popularity of pictures is localised” ("Measurement-Driven Analysis"). Mislove et al. reflect that the affordances of Flickr influence the growth patterns they observe. There is optimism shared by some empiricists that through collation and analysis of Flickr tag data, the matching of perceptual structures of images and image annotation techniques will yield ontology-based taxonomy useful in automatic image annotation and ultimately, the Semantic Web endeavour (Kennedy et al.; Su et al.; Xu et al.). Qualitative researchers using ethnographic interview techniques also find Flickr a valuable resource. In concluding that the photo sharing hobby is for many a “serious leisure” activity, Cox et al. propose that “Flickr is not just a neutral information system but also value laden and has a role within a wider cultural order.” They also suggest that “there is genuinely greater scope for individual creativity, releasing the individual to explore their own identity in a way not possible with a camera club.” Davies claims that “online spaces provide an arena where collaboration over meanings can be transformative, impacting on how individuals locate themselves within local and global contexts” (550). She says that through shared ways of describing and commenting on images, Flickrites develop a common criticality in their endeavour to understand images, each other and their world (554).From a psychologist’s perspective, Suler observes that “interpersonal relationships rarely form and develop by images alone” ("Image, Word, Action" 559). He says that Flickr participants communicate in three dimensions: textual (which he calls “verbal”), visual, and via the interpersonal actions that the site affords, such as Favourites. This latter observation can surely be supplemented by including the various games that groups configure within the constraints of the discussion forums. These often include submissions to a theme and voting to select a winning image. Suler describes the place in Flickr where one finds identity as one’s “cyberpsychological niche” (556). However, many participants subscribe to multiple groups—45.6% of Flickrites who share images share them with more than 20 groups (Negoescu et al., "Analyzing Flickr Groups" 420). Is this a reflection of the existence of the hyper-groups they describe (2009) or, of the ranging that people do in search of a niche? It is also probable that some people explore more than a singular identity or visual style. Harrison and Bartell suggest that there are more interesting questions than why users create media products or what motivates them to do so: the more interesting questions center on understanding what users will choose to do ultimately with [Web2.0] capabilities [...] in what terms to define the success of their efforts, and what impact the opportunity for individual and collaborative expression will have on the evolution of communicative forms and character. (167) This paper addresseses such questions. It arises from a participatory observational context which differs from that of the research described above. It is intended that a different perspective about online group-based participation within the Flickr social networking matrix will avail. However, it will be seen that the themes cited in this introductory review prove pertinent. Context As a university teacher of a range of subjects in the digital media field, from contemporary photomedia to social media to collaborative multimedia practice, it is entirely appropriate that I embed myself in projects that engage, challenge and provide me with relevant first-hand experience. As an academic I also undertake and publish research. As a practicing new media artist I exhibit publically on a regular basis and consider myself semi-professional with respect to this activity. While there are common elements to both approaches to research, this paper is written more from the point of view of ‘reflective practice’ (Holmes, "Reconciling Experimentum") rather than ‘embedded ethnography’ (Pink). It is necessarily and unapologetically reflexive. Abstract Photography Hyper-Group A search of all Flickr groups using the query “abstract” is currently likely to return around 14,700 results. However, only in around thirty of them does the group name, its stated rules and, the stream of images that flow through the pool arguably reflect a sense of collective concept and aesthetic that is coherently abstract. This loose complex of groups comprises a hyper-group. Members of these groups often have co-memberships, reciprocal contacts, and regularly post images to a range of groups and comment on others’ posts to be found throughout. Given that one of Flickr’s largest groups, Black and White, currently has around 131,150 members and hosts 2,093,241 items in its pool, these abstract special interest groups are relatively small. The largest, Abstract Photos, has 11,338 members and hosts 89,306 items in its pool. The group that is the focus of this paper, haphazart!, currently has 2,536 members who have submitted 53,309 items. The group pool is more like a constantly flowing river because the most recently added images are foremost. Older images become buried in an archive of pages which cannot be reverse accessed at a rate greater than the seven pages linked from a current view. A member’s presence is most immediate through images posted to a pool. This structural feature of Flickr promotes a desire for currency; a need to post regularly to maintain presence. Negotiating Coherence to the Abstract The self-managing social dynamics in groups has, as Suler proposes to be the case for individuals, three dimensions: visual, textual and action. A group integrates the diverse elements, relationships and values which cumulatively constitute its identity with contributions from members in these dimensions. First impressions of that identity are usually derived from the group home page which consists of principal features: the group name, a selection of twelve most recent posts to the pool, some kind of description, a selection of six of the most recent discussion topics, and a list of rules (if any). In some of these groups, what is considered to constitute an abstract photographic image is described on the group home page. In some it is left to be contested and becomes the topic of ongoing forum debates. In others the specific issue is not discussed—the images are left to speak for themselves. Administrators of some groups require that images are vetted for acceptance. In haphazart! particular administrators dutifully delete from the pool on a regular basis any images that they deem not to comply with the group ethic. Whether reasons are given or not is left to the individual prosecutor. Mostly offending images just disappear from the group pool without trace. These are some of the ways that the coherence of a group’s visual identity is established and maintained. Two groups out of the abstract photography hyper-group are noteworthy in that their discussion forums are particularly active. A discussion is just the start of a new thread and may have any number of posts under it. At time of writing Abstract Photos has 195 discussions and haphazart! — the most talkative by this measure—has 333. Haphazart! invites submissions of images to regularly changing themes. There is always lively and idiosyncratic banter in the forum over the selection of a theme. To be submitted an image needs to be identified by a specific theme tag as announced on the group home page. The tag can be added by the photographer themselves or by anyone else who deems the image appropriate to the theme. An exhibition process ensues. Participant curators search all Flickr items according to the theme tag and select from the outcome images they deem to most appropriately and abstractly address the theme. Copies of the images together with comments by the curators are posted to a dedicated discussion board. Other members may also provide responses. This activity forms an ongoing record that may serve as a public indicator of the aesthetic that underlies the group’s identity. In Abstract Photos there is an ongoing discussion forum where one can submit an image and request that the moderators rule as to whether or not the image is ‘abstract’. The same group has ongoing discussions labelled “Hall of Appropriate” where worthy images are reposted and celebrated and, “Hall of Inappropriate” where images posted to the group pool have been removed and relegated because abstraction has been “so far stretched from its definition that it now resides in a parallel universe” (Askin). Reasons are mostly courteously provided. In haphazart! a relatively small core of around twelve group members regularly contribute to the group discussion board. A curious aspect of this communication is that even though participants present visually with a ‘buddy icon’ and most with a screen name not their real name, it is usual practice to address each other in discussions by their real Christian names, even when this is not evident in a member’s profile. This seems to indicate a common desire for authenticity. The makeup of the core varies from time to time depending on other activities in a member’s life. Although one or two may be professionally or semi-professionally engaged as photographers or artists or academics, most of these people would likely consider themselves to be “serious amateurs” (Cox). They are internationally dispersed with bias to the US, UK, Europe and Australia. English is the common language though not the natural tongue of some. The age range is approximately 35 to 65 and the gender mix 50/50. The group is three years old. Where Do We Go to from Here? In early January 2009 the haphazart! core was sparked into a frenzy of discussion by a post from a member headed “Where do we go to from here?” A proposal was mooted to produce a ‘book’ featuring images and texts representative of the group. Within three days a new public group with invited membership dedicated to the idea had been established. A smaller working party then retreated to a private Flickr group. Four months later Issue One of haphazart! magazine was available in print-on-demand and online formats. Following however is a brief critically reflective review of some of the collaborative curatorial, editorial and production processes for Issue Two which commenced in early June 2009. Most of the team had also been involved with Issue One. I was the only newcomer and replaced the person who had undertaken the design for Issue One. I was not provided access to the prior private editorial ruminations but apparently the collaborative curatorial and editorial decision-making practices the group had previously established persisted, and these took place entirely within the discussion forums of a new dedicated private Flickr group. Over a five-month period there were 1066 posts in 54 discussions concerning matters such as: change of format from the previous; selection of themes, artists and images; conduct of and editing of interviews; authoring of texts; copyright and reproduction. The idiom of those communications can be described as: discursive, sporadic, idiosyncratic, resourceful, collegial, cooperative, emphatic, earnest and purposeful. The selection process could not be said to follow anything close to a shared manifesto, or articulation of style. It was established that there would be two primary themes: the square format and contributors’ use of colour. Selection progressed by way of visual presentation and counter presentation until some kind of consensus was reached often involving informal votes of preference. Stretching the Limits of the Flickr Social Tools The magazine editorial collaborators continue to use the facilities with which they are familiar from regular Flickr group participation. However, the strict vertically linear format of the Flickr discussion format is particularly unsuited to lengthy, complex, asynchronous, multithreaded discussion. For this purpose it causes unnecessary strain, fatigue and confusion. Where images are included, the forums have set and maximum display sizes and are not flexibly configured into matrixes. Images cannot readily be communally changed or moved about like texts in a wiki. Likewise, the Flickrmail facility is of limited use for specialist editorial processes. Attachments cannot be added. This opinion expressed by a collaborator in the initial, open discussion for Issue One prevailed among Issue Two participants: do we want the members to go to another site to observe what is going on with the magazine? if that’s ok, then using google groups or something like that might make sense; if we want others to observe (and learn from) the process - we may want to do it here [in Flickr]. (Valentine) The opinion appears socially constructive; but because the final editorial process and production processes took place in a separate private forum, ultimately the suggested learning between one issue and the next did not take place. During Issue Two development the reluctance to try other online collaboration tools for the selection processes requiring visual comparative evaluation of images and trials of sequencing adhered. A number of ingenious methods of working within Flickr were devised and deployed and, in my opinion, proved frustratingly impractical and inefficient. The digital layout, design, collation and formatting of images and texts, all took place on my personal computer using professional software tools. Difficulties arose in progressively sharing this work for the purposes of review, appraisal and proofing. Eventually I ignored protests and insisted the team review demonstrations I had converted for sharing in Google Documents. But, with only one exception, I could not tempt collaborators to try commenting or editing in that environment. For example, instead of moving the sequence of images dynamically themselves, or even typing suggestions directly into Google Documents, they would post responses in Flickr. To Share and to Hold From the first imaginings of Issue One the need to have as an outcome something in one’s hands was expressed and this objective is apparently shared by all in the haphazart! core as an ongoing imperative. Various printing options have been nominated, discussed and evaluated. In the end one print-on-demand provider was selected on the basis of recommendation. The ethos of haphazart! is clearly not profit-making and conflicts with that of the printing organisation. Presumably to maintain an incentive to purchase the print copy online preview is restricted to the first 15 pages. To satisfy the co-requisite to make available the full 120 pages for free online viewing a second host that specialises in online presentation of publications is also utilised. In this way haphazart! members satisfy their common desires for sharing selected visual content and ideas with an online special interest audience and, for a physical object of art to relish—with all the connotations of preciousness, fetish, talisman, trophy, and bookish notions of haptic pleasure and visual treasure. The irony of publishing a frozen chunk of the ever-flowing Flickriver, whose temporally changing nature is arguably one of its most interesting qualities, is not a consideration. Most of them profess to be simply satisfying their own desire for self expression and would eschew any critical judgement as to whether this anarchic and discursive mode of operation results in a coherent statement about contemporary photographic abstraction. However there remains a distinct possibility that a number of core haphazart!ists aspire to transcend: popular taste; the discernment encouraged in camera clubs; and, the rhetoric of those involved professionally (Bourdieu et al.); and seek to engage with the “awareness of illegitimacy and the difficulties implied by the constitution of photography as an artistic medium” (Chamboredon 130). Incoherence: A Technical Note My personal experience of photography ranges from the filmic to the digital (Holmes, "Bridging Adelaide"). For a number of years I specialised in facsimile graphic reproduction of artwork. In those days I became aware that films were ‘blind’ to the psychophysical affect of some few particular paint pigments. They just could not be reproduced. Even so, as I handled the dozens of images contributed to haphazart!2, converting them from the pixellated place where Flickr exists to the resolution and gamut of the ink based colour space of books, I was surprised at the number of hue values that exist in the former that do not translate into the latter. In some cases the affect is subtle so that judicious tweaking of colour levels or local colour adjustment will satisfy discerning comparison between the screenic original and the ‘soft proof’ that simulates the printed outcome. In other cases a conversion simply does not compute. I am moved to contemplate, along with Harrison and Bartell (op. cit.) just how much of the experience of media in the shared digital space is incomparably new? Acknowledgement Acting on the advice of researchers experienced in cyberethnography (Bruckman; Suler, "Ethics") I have obtained the consent of co-collaborators to comment freely on proceedings that took place in a private forum. They have been given the opportunity to review and suggest changes to the account. References Askin, Dean (aka: dnskct). “Hall of Inappropriate.” Abstract Photos/Discuss/Hall of Inappropriate, 2010. 12 Jan. 2010 ‹http://www.flickr.com/groups/abstractphotos/discuss/72157623148695254/>. Bourdieu, Pierre, Luc Boltanski, Robert Castel, Jean-Claude Chamboredeon, and Dominique Schnapper. Photography: A Middle-Brow Art. 1965. Trans. Shaun Whiteside. Stanford: Stanford UP, 1990. Bruckman, Amy. Studying the Amateur Artist: A Perspective on Disguising Data Collected in Human Subjects Research on the Internet. 2002. 12 Jan. 2010 ‹http://www.nyu.edu/projects/nissenbaum/ethics_bru_full.html>. Bruns, Axel. “Towards Produsage: Futures for User-Led Content Production.” Proceedings: Cultural Attitudes towards Communication and Technology 2006. Perth: Murdoch U, 2006. 275–84. ———, and Mark Bahnisch. Social Media: Tools for User-Generated Content. 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Neilsen Glenn, Lorri. « The Loseable World : Resonance, Creativity, and Resilience ». M/C Journal 16, no 1 (19 mars 2013). http://dx.doi.org/10.5204/mcj.600.

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[Editors’ note: this lyric essay was presented as the keynote address at Edith Cowan University’s CREATEC symposium on the theme Catastrophe and Creativity in November 2012, and represents excerpts from the author’s publication Threading Light: Explorations in Loss and Poetry. Regina, SK: Hagios Press, 2011. Reproduced with the author’s permission].Essay and verse and anecdote are the ways I have chosen to apprentice myself to loss, grief, faith, memory, and the stories we use to tie and untie them. Cat’s cradle, Celtic lines, bends and hitches are familiar: however, when I write about loss, I find there are knots I cannot tie or release, challenging both my imagination and my craft. Over the last decade, I have been learning that writing poetry is also the art of tying together light and dark, grief and joy, of grasping and releasing. Language is a hinge that connects us with the flesh of our experience; it is also residue, the ash of memory and imagination. (Threading Light 7) ———Greek katastrophé overturning, sudden turn, from kata down + strophe ‘turning” from strephein to turn.Loss and catastrophe catapult us into the liminal, into a threshold space. We walk between land we have known and the open sea. ———Mnemosyne, the mother of the nine Muses, the personification of memory, makes anthropologists of us all. When Hermes picked up the lyre, it was to her—to Remembrance —that he sang the first song. Without remembrance, oral or written, we have no place to begin. Stone, amulet, photograph, charm bracelet, cufflink, fish story, house, facial expression, tape recorder, verse, or the same old traveling salesman joke—we have places and means to try to store memories. Memories ground us, even as we know they are fleeting and flawed constructions that slip through our consciousness; ghosts of ghosts. One cold winter, I stayed in a guest room in my mother’s apartment complex for three days. Because she had lost her sight, I sat at the table in her overheated and stuffy kitchen with the frozen slider window and tried to describe photographs as she tried to recall names and events. I emptied out the dusty closet she’d ignored since my father left, and we talked about knitting patterns, the cost of her mother’s milk glass bowl, the old clothes she could only know by rubbing the fabric through her fingers. I climbed on a chair to reach a serving dish she wanted me to have, and we laughed hysterically when I read aloud the handwritten note inside: save for Annette, in a script not hers. It’s okay, she said; I want all this gone. To all you kids. Take everything you can. When I pop off, I don’t want any belongings. Our family had moved frequently, and my belongings always fit in a single box; as a student, in the back of a car or inside a backpack. Now, in her ninth decade, my mother wanted to return to the simplicity she, too, recalled from her days on a small farm outside a small town. On her deathbed, she insisted on having her head shaved, and frequently the nursing staff came into the room to find she had stripped off her johnny shirt and her covers. The philosopher Simone Weil said that all we possess in the world is the power to say “I” (Gravity 119).Memory is a cracked bowl, and it fills endlessly as it empties. Memory is what we create out of what we have at hand—other people’s accounts, objects, flawed stories of our own creation, second-hand tales handed down like an old watch. Annie Dillard says as a life’s work, she’d remember everything–everything against loss, and go through life like a plankton net. I prefer the image of the bowl—its capacity to feed us, the humility it suggests, its enduring shape, its rich symbolism. Its hope. To write is to fashion a bowl, perhaps, but we know, finally, the bowl cannot hold everything. (Threading Light 78–80) ———Man is the sire of sorrow, sang Joni Mitchell. Like joy, sorrow begins at birth: we are born into both. The desert fathers believed—in fact, many of certain faiths continue to believe—that penthos is mourning for lost salvation. Penthus was the last god to be given his assignment from Zeus: he was to be responsible for grieving and loss. Eros, the son of Aphrodite, was the god of love and desire. The two can be seen in concert with one another, each mirroring the other’s extreme, each demanding of us the farthest reach of our being. Nietzsche, through Zarathustra, phrased it another way: “Did you ever say Yes to one joy? O my friends, then you have also said Yes to all Woe as well. All things are chained, entwined together, all things are in love.” (Threading Light 92) ———We are that brief crack of light, that cradle rocking. We can aspire to a heaven, or a state of forgiveness; we can ask for redemption and hope for freedom from suffering for ourselves and our loved ones; we may create children or works of art in the vague hope that we will leave something behind when we go. But regardless, we know that there is a wall or a dark curtain or a void against which we direct or redirect our lives. We hide from it, we embrace it; we taunt it; we flout it. We write macabre jokes, we play hide and seek, we walk with bated breath, scream in movies, or howl in the wilderness. We despair when we learn of premature or sudden death; we are reminded daily—an avalanche, an aneurysm, a shocking diagnosis, a child’s bicycle in the intersection—that our illusions of control, that youthful sense of invincibility we have clung to, our last-ditch religious conversions, our versions of Pascal’s bargain, nothing stops the carriage from stopping for us.We are fortunate if our awareness calls forth our humanity. We learn, as Aristotle reminded us, about our capacity for fear and pity. Seeing others as vulnerable in their pain or weakness, we see our own frailties. As I read the poetry of Donne or Rumi, or verse created by the translator of Holocaust stories, Lois Olena, or the work of poet Sharon Olds as she recounts the daily horror of her youth, I can become open to pity, or—to use the more contemporary word—compassion. The philosopher Martha Nussbaum argues that works of art are not only a primary means for an individual to express her humanity through catharsis, as Aristotle claimed, but, because of the attunement to others and to the world that creation invites, the process can sow the seeds of social justice. Art grounds our grief in form; it connects us to one another and to the world. And the more we acquaint ourselves with works of art—in music, painting, theatre, literature—the more we open ourselves to complex and nuanced understandings of our human capacities for grief. Why else do we turn to a stirring poem when we are mourning? Why else do we sing? When my parents died, I came home from the library with stacks of poetry and memoirs about loss. How does your story dovetail with mine? I wanted to know. How large is this room—this country—of grief and how might I see it, feel the texture on its walls, the ice of its waters? I was in a foreign land, knew so little of its language, and wanted to be present and raw and vulnerable in its climate and geography. Writing and reading were my way not to squander my hours of pain. While it was difficult to live inside that country, it was more difficult not to. In learning to know graveyards as places of comfort and perspective, Mnemosyne’s territory with her markers of memory guarded by crow, leaf, and human footfall, with storehouses of vast and deep tapestries of stories whispered, sung, or silent, I am cultivating the practice of walking on common ground. Our losses are really our winter-enduring foliage, Rilke writes. They are place and settlement, foundation and soil, and home. (Threading Light 86–88) ———The loseability of our small and larger worlds allows us to see their gifts, their preciousness.Loseability allows us to pay attention. ———“A faith-based life, a Trappistine nun said to me, aims for transformation of the soul through compunction—not only a state of regret and remorse for our inadequacies before God, but also living inside a deeper sorrow, a yearning for a union with the divine. Compunction, according to a Christian encyclopaedia, is constructive only if it leads to repentance, reconciliation, and sanctification. Would you consider this work you are doing, the Trappistine wrote, to be a spiritual journey?Initially, I ducked her question; it was a good one. Like Neruda, I don’t know where the poetry comes from, a winter or a river. But like many poets, I feel the inadequacy of language to translate pain and beauty, the yearning for an embodied understanding of phenomena that is assensitive and soul-jolting as the contacts of eye-to-eye and skin-to-skin. While I do not worship a god, I do long for an impossible union with the world—a way to acknowledge the gift that is my life. Resonance: a search for the divine in the everyday. And more so. Writing is a full-bodied, sensory, immersive activity that asks me to give myself over to phenomena, that calls forth deep joy and deep sorrow sometimes so profound that I am gutted by my inadequacy. I am pierced, dumbstruck. Lyric language is the crayon I use, and poetry is my secular compunction...Poets—indeed, all writers—are often humbled by what we cannot do, pierced as we are by—what? I suggest mystery, impossibility, wonder, reverence, grief, desire, joy, our simple gratitude and despair. I speak of the soul and seven people rise from their chairs and leave the room, writes Mary Oliver (4). Eros and penthos working in concert. We have to sign on for the whole package, and that’s what both empties us out, and fills us up. The practice of poetry is our inadequate means of seeking the gift of tears. We cultivate awe, wonder, the exquisite pain of seeing and knowing deeply the abundant and the fleeting in our lives. Yes, it is a spiritual path. It has to do with the soul, and the sacred—our venerating the world given to us. Whether we are inside a belief system that has or does not have a god makes no difference. Seven others lean forward to listen. (Threading Light 98–100)———The capacity to give one’s attention to a sufferer is a rare thing; it is almost a miracle; it is a miracle. – Simone Weil (169)I can look at the lines and shades on the page clipped to the easel, deer tracks in the snow, or flecks of light on a summer sidewalk. Or at the moon as it moves from new to full. Or I can read the poetry of Paul Celan.Celan’s poem “Tenebrae” takes its title from high Christian services in which lighting, usually from candles, is gradually extinguished so that by the end of the service, the church is in total darkness. Considering Celan’s—Antschel’s—history as a Romanian Jew whose parents were killed in the Nazi death camps, and his subsequent years tortured by the agony of his grief, we are not surprised to learn he chose German, his mother’s language, to create his poetry: it might have been his act of defiance, his way of using shadow and light against the other. The poet’s deep grief, his profound awareness of loss, looks unflinchingly at the past, at the piles of bodies. The language has become a prism, reflecting penetrating shafts of shadow: in the shine of blood, the darkest of the dark. Enlinked, enlaced, and enamoured. We don’t always have names for the shades of sorrows and joys we live inside, but we know that each defines and depends upon the other. Inside the core shadow of grief we recognise our shared mortality, and only in that recognition—we are not alone—can hope be engendered. In the exquisite pure spot of light we associate with love and joy, we may be temporarily blinded, but if we look beyond, and we draw on what we know, we feel the presence of the shadows that have intensified what appears to us as light. Light and dark—even in what we may think are their purest state—are transitory pauses in the shape of being. Decades ago my well-meaning mother, a nurse, gave me pills to dull the pain of losing my fiancé who had shot himself; now, years later, knowing so many deaths, and more imminent, I would choose the bittersweet tenderness of being fully inside grief—awake, raw, open—feeling its walls, its every rough surface, its every degree of light and dark. It is love/loss, light/dark, a fusion that brings me home to the world. (Threading Light 100–101) ———Loss can trigger and inspire creativity, not only at the individual level but at the public level, whether we are marching in Idle No More demonstrations, re-building a shelter, or re-building a life. We use art to weep, to howl, to reach for something that matters, something that means. And sometimes it may mean that all we learn from it is that nothing lasts. And then, what? What do we do then? ———The wisdom of Epictetus, the Stoic, can offer solace, but I know it will take time to catch up with him. Nothing can be taken from us, he claims, because there is nothing to lose: what we lose—lover, friend, hope, father, dream, keys, faith, mother—has merely been returned to where it (or they) came from. We live in samsara, Zen masters remind us, inside a cycle of suffering that results from a belief in the permanence of self and of others. Our perception of reality is narrow; we must broaden it to include all phenomena, to recognise the interdependence of lives, the planet, and beyond, into galaxies. A lot for a mortal to get her head around. And yet, as so many poets have wondered, is that not where imagination is born—in the struggle and practice of listening, attending, and putting ourselves inside the now that all phenomena share? Can I imagine the rush of air under the loon that passes over my house toward the ocean every morning at dawn? The hot dust under the cracked feet of that child on the outskirts of Darwin? The gut-hauling terror of an Afghan woman whose family’s blood is being spilled? Thich Nhat Hanh says that we are only alive when we live the sufferings and the joys of others. He writes: Having seen the reality of interdependence and entered deeply into its reality, nothing can oppress you any longer. You are liberated. Sit in the lotus position, observe your breath, and ask one who has died for others. (66)Our breath is a delicate thread, and it contains multitudes. I hear an echo, yes. The practice of poetry—my own spiritual and philosophical practice, my own sackcloth and candle—has allowed me a glimpse not only into the lives of others, sentient or not, here, afar, or long dead, but it has deepened and broadened my capacity for breath. Attention to breath grounds me and forces me to attend, pulls me into my body as flesh. When I see my flesh as part of the earth, as part of all flesh, as Morris Berman claims, I come to see myself as part of something larger. (Threading Light 134–135) ———We think of loss as a dark time, and yet it opens us, deepens us.Close attention to loss—our own and others’—cultivates compassion.As artists we’re already predisposed to look and listen closely. We taste things, we touch things, we smell them. We lie on the ground like Mary Oliver looking at that grasshopper. We fill our ears with music that not everyone slows down to hear. We fall in love with ideas, with people, with places, with beauty, with tragedy, and I think we desire some kind of fusion, a deeper connection than everyday allows us. We want to BE that grasshopper, enter that devastation, to honour it. We long, I think, to be present.When we are present, even in catastrophe, we are fully alive. It seems counter-intuitive, but the more fully we engage with our losses—the harder we look, the more we soften into compassion—the more we cultivate resilience. ———Resilience consists of three features—persistence, adaptability transformability—each interacting from local to global scales. – Carl FolkeResilent people and resilient systems find meaning and purpose in loss. We set aside our own egos and we try to learn to listen and to see, to open up. Resilience is fundamentally an act of optimism. This is not the same, however, as being naïve. Optimism is the difference between “why me?” and “why not me?” Optimism is present when we are learning to think larger than ourselves. Resilience asks us to keep moving. Sometimes with loss there is a moment or two—or a month, a year, who knows?—where we, as humans, believe that we are standing still, we’re stuck, we’re in stasis. But we aren’t. Everything is always moving and everything is always in relation. What we mistake for stasis in a system is the system taking stock, transforming, doing things underneath the surface, preparing to rebuild, create, recreate. Leonard Cohen reminded us there’s a crack in everything, and that’s how the light gets in. But what we often don’t realize is that it’s we—the human race, our own possibilities, our own creativity—who are that light. We are resilient when we have agency, support, community we can draw on. When we have hope. ———FortuneFeet to carry you past acres of grapevines, awnings that opento a hall of paperbarks. A dog to circle you, look behind, point ahead. A hip that bends, allows you to slidebetween wire and wooden bars of the fence. A twinge rides with that hip, and sometimes the remnant of a fall bloomsin your right foot. Hands to grip a stick for climbing, to rest your weight when you turn to look below. On your left hand,a story: others see it as a scar. On the other, a newer tale; a bone-white lump. Below, mist disappears; a nichein the world opens to its long green history. Hills furrow into their dark harbours. Horses, snatches of inhale and whiffle.Mutterings of men, a cow’s long bellow, soft thud of feet along the hill. You turn at the sound.The dog swallows a cry. Stays; shakes until the noise recedes. After a time, she walks on three legs,tests the paw of the fourth in the dust. You may never know how she was wounded. She remembers your bodyby scent, voice, perhaps the taste of contraband food at the door of the house. Story of human and dog, you begin—but the wordyour fingers make is god. What last year was her silken newborn fur is now sunbleached, basket dry. Feet, hips, hands, paws, lapwings,mockingbirds, quickening, longing: how eucalypts reach to give shade, and tiny tight grapes cling to vines that align on a slope as smoothlyas the moon follows you, as intention always leans toward good. To know bones of the earth are as true as a point of light: tendernesswhere you bend and press can whisper grace, sorrow’s last line, into all that might have been,so much that is. (Threading Light 115–116) Acknowledgments The author would like to thank Dr. Lekkie Hopkins and Dr. John Ryan for the opportunity to speak (via video) to the 2012 CREATEC Symposium Catastrophe and Creativity, to Dr. Hopkins for her eloquent and memorable paper in response to my work on creativity and research, and to Dr. Ryan for his support. The presentation was recorded and edited by Paul Poirier at Mount Saint Vincent University in Halifax, Nova Scotia. My thanks go to Edith Cowan and Mount Saint Vincent Universities. ReferencesBerman, Morris. Coming to Our Senses. New York: Bantam, 1990.Dillard, Annie. For the Time Being. New York: Vintage Books, 2000.Felstiner, John. Paul Celan: Poet, Survivor, Jew. New Haven, CT: Yale University Press, 2001.Folke, Carl. "On Resilience." Seed Magazine. 13 Dec. 2010. 22 Mar. 2013 ‹http://seedmagazine.com/content/article/on_resilience›.Franck, Frederick. Zen Seeing, Zen Drawing. New York: Bantam Books, 1993.Hanh, Thich Nhat. The Miracle of Mindfulness. Boston: Beacon Press, 1976.Hausherr, Irenee. Penthos: The Doctrine of Compunction in the Christian East. Kalamazoo, MI: Cistercian Publications, 1982.Neilsen Glenn, Lorri. Threading Light: Explorations in Loss and Poetry. Regina, SK: Hagios Press, 2011. Nietzsche, Frederick. Thus Spake Zarathustra. New York: Penguin, 1978. Nussbaum, Martha. Upheavals of Thought: The Intelligence of Emotions. New York: Cambridge University Press, 2001. Oliver, Mary. “The Word.” What Do We Know. Boston: DaCapo Press, 2002.Rilke, Rainer Maria. Duino Elegies and the Sonnets to Orpheus. (Tenth Elegy). Ed. Stephen Mitchell. New York: Random House/Vintage Editions, 2009.Weil, Simone. The Need for Roots. London: Taylor & Francis, 2005 (1952).Weil, Simone. Gravity and Grace. London: Routledge, 2004.Further ReadingChodron, Pema. Practicing Peace in Times of War. Boston: Shambhala, 2006.Cleary, Thomas (trans.) The Essential Tao: An Initiation into the Heart of Taoism through Tao de Ching and the Teachings of Chuang Tzu. Edison, NJ: Castle Books, 1993.Dalai Lama (H H the 14th) and Venerable Chan Master Sheng-yen. Meeting of Minds: A Dialogue on Tibetan and Chinese Buddhism. New York: Dharma Drum Publications, 1999. Hirshfield, Jane. "Language Wakes Up in the Morning: A Meander toward Writing." Alaska Quarterly Review. 21.1 (2003).Hirshfield, Jane. Nine Gates: Entering the Mind of Poetry. New York: HarperCollins, 1997. Lao Tzu. Tao Te Ching. Trans. Arthur Waley. Chatham: Wordsworth Editions, 1997. Neilsen, Lorri. "Lyric Inquiry." Handbook of the Arts in Qualitative Research. Eds. J. Gary Knowles and Ardra Cole. Thousand Oaks: Sage, 2008. 88–98. Ross, Maggie. The Fire and the Furnace: The Way of Tears and Fire. York: Paulist Press, 1987.
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