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This article examines the role of the mass media in driving anticartel debates during a coal crisis in Germany in 1900. Threatening the fuel supplies of millions of people, the nationwide energy shortage marked the beginning of the anticartel movement, adding a decisive thrust to antimonopoly sentiment toward the cartelized Ruhr coal industry. While hitherto overlooked, this symbolic chapter of German antimonopoly history was profoundly shaped by daily newspapers, a medium that revolutionized public communication during this period. By cross-referencing newspaper articles with records of the coal industry, this paper investigates how newspapers raised public concern for the fuel shortage and thereby forged narratives blaming the coal industrialists as well as how the coal producers responded to the ever-intensifying public scrutiny. As such, this study would serve to identify the mass media as a key determinant in the broader history of cartels and cartel politics in the twentieth century.
This essay proposes to reframe the twentieth-century history of Islam by rethinking the relationship of that history to some dominant categories of twentieth-century sociology, especially the secularization thesis. The global history of Islam since the late nineteenth century has been shaped by an apparent paradox between its two most significant features. The first of these has consisted of persistent calls for Muslim revival, reform, and unity across the world, tending toward a unification or transcendence of the older forms of variation within the tradition. The second, countervailing tendency has been an increasing fragmentation of structures of authority within the tradition, a proliferation of the meanings attributed to it and of the forms of practice taken to embody it, and a renewed acuity of internal sectarian conflict. This is a paradox that only an understanding of Islam as social practice embedded in the forms of secularity characteristic of modern societies—and emphatically not one of Islam as “medievally” religious and uniquely “secularization-resistant”—can apprehend.
This article explores how Protestants defended the co-existence of multiple translations of the Bible into English in Elizabethan England. The matter of biblical plurality is considered through the prism of the debates surrounding bible translation which occurred throughout the 1580s between the Catholic translator of the Bible into English, Gregory Martin (c. 1542–1582), and the English Protestant polemicist William Fulke (1537/8–1589). It is contended that this debate, which has tended to be cast as a storm in a teacup, reveals how Protestants responded, innovatively, to the publication of the Catholic English New Testament. Attention is paid to how Martin attacked the existence of the many different Protestant English bible translations in circulation and, reciprocally, how Fulke defended them. This study of the Martin and Fulke debate thereby unsettles some long-standing assumptions about the combative relationship between different versions of the English Bible and it points, instead, to ways in which contemporaries might have seen the plurality of translations as spiritually and polemically advantageous. Fulke's arguments help us to comprehend how, prior to early seventeenth-century attempts to restrict the existence of multiple English bibles, some Elizabethans responded to, and even defended, the plurality of English bible translations which had come to exist.
Textual sources from the Egyptian New Kingdom highlight a societal desire to preserve tombs for life after death, yet extensive architectural renovations and tomb robbing often followed the interment of elite individuals. Rather than posing a threat to conceptions of the afterlife, the author argues that these post-mortem activities were conducted with respect and the intention of forming connections. Using the identification of an unusual ritual structure from the Third Intermediate Period inside the reused Nineteenth Dynasty tomb of Paenmuaset (TT362) at Thebes (Luxor) as a basis, the author explores respect in ever-changing burial spaces as a key feature of tomb reuse.
We review shoreline monitoring methodologies used by members of the South Carolina Department of Natural Resources (SCDNR) Archaeology, Geology, and Wildlife Biology teams from February 2021 to December 2022 on Pockoy Island in Charleston County, South Carolina, USA. Our project objectives were to better understand the driving forces behind the landward movement of the shoreline (transgression), to apply new understanding to the rate of shoreline erosion of the island that directly impacts the Pockoy Island Shell Ring Complex (38CH2533), and to establish best practice for future community science monitoring efforts. Each member of our team used a different shoreline monitoring methodology (a nested methodology approach). Multiple unoccupied aerial vehicle (UAV)-derived orthoimagery datasets, on-the-ground transect measurements, and Arrow Gold real-time kinematic (RTK) unit measurements have been collected monthly following significant storms or king (perigean) tide events. Moving forward, the erosion transect approach tested within this project will serve as the foundation for community science monitoring at heritage at-risk sites in South Carolina. In this article, we introduce initial efforts in establishing a community science monitoring program in South Carolina that will influence future research, land management, and policy, and we propose how our research might be adapted for other sites at risk.
In 2003, rescue excavations at Piazzeta dell'Anfiteatro, Trento, identified an extramural funerary area dated to the 5th c. CE. The necropolis yielded 45 coins (3rd–5th c.), most of which were involuntary losses. Owing to the sound stratigraphy of the site, these coins present a reliable sample of coinage circulating in Tridentum during the 5th c. This study presents a brief synthesis of the transformations undergone by the Late Antique city, so as to understand the dynamics attested in Piazzeta dell'Anfiteatro, a description of the stratigraphic units that contained coins, and a detailed analysis of the coins from several perspectives. The aim is to improve our understanding of the Late Antique monetary history of the city and Trentino's territory.
Historical changes from shifting land use, the natural meandering of waterways, and the aftereffects of erosion complicate modern environments and obfuscate precontact landscapes. Although archaeologists can create stratified sampling models or employ systematic surveys, traditional field methodologies are often not suitable for site discovery, thereby limiting knowledge of ancient cultural landscapes. Many water systems in southern Louisiana, and in many parts of the world, have been covered or concealed in backswamps by natural geomorphological processes, development, or environmental degradation. Investigation standards that do not account for these changes will not be effective at identifying archaeological sites in such transformed landscapes. Discoveries made during ongoing archaeological research in Iberville Parish, Louisiana, provide examples of what can be missed and offer solutions through changes in archaeological field methods. This article advocates for a mixed-methodology approach, drawing from historical research and shallow geophysics to look at landforms and landscape changes. Strictly following state survey guidelines can muddle the archaeological record, particularly in places subject to significant landscape change from historical land-use alteration. By applying these approaches, we offer a way to reconstruct ancient landscapes and landforms that are culturally significant but often missed given the nature of modern environmental conditions.
Recently, women’s presence on top boards of directors has significantly increased, challenging the long standing of male-led corporate elites. In light of the still-developing literature, this article provides a century-long examination of women’s entry into the Spanish corporate elite, offering several original contributions. In addition to its pioneering input into the country’s historiography, the work uses a holistic model to introduce a comparative European approach. Moreover, it empirically examines the significant yet previously unexplored impact of elite training institutions on the advancement of female directors as well as their arrival through a national holding company and their presence in leading publicly traded companies. Findings showed four distinct stages in their trajectory: discriminatory exclusion, during the first third of the twentieth century; exceptional inclusion, with early positions in their family-owned firms; gradual incorporation, with increased political representation and expanded academic access in the latter decades of the last century; and promotion, supported by twenty-first-century political strategies, while still revealing the handicap of women’s delayed entry into the corporate network.
From less than three dozen in 1949, the number of small hydropower stations in the People’s Republic of China grew to nearly ninety thousand by 1979. By the early 1980s, these stations were distributed across nearly 1,600 of China’s 2,300 counties. In 770 counties, small hydropower was the primary source of rural electricity generation. This article offers a history and assessment of these developments, unsettling our traditional emphasis on large-scale hydroelectricity. The article begins by reconstructing the PRC’s enormous investments in small hydropower from the 1950s to the early 1980s. This reconstruction, the first of its kind in the English language, not only helps reassess key periods and events in the history of the PRC but also establishes the position of small hydropower in the hydraulic history of the twentieth century. The article then turns to a discussion of the claimed impacts of small hydropower. As electricity became available for the first time in many parts of the Chinese countryside, it affected patterns of economic and social activity for hundreds of millions of people. Finally, the paper explores what the case of small hydropower can offer to conceptual and theoretical problems surrounding development, innovation, and the environment. Returning to the long-standing debate over scale and development, China’s experience with small hydropower reminds us of the important role played by smaller-scale, appropriate, and self-reliant technologies in global energy history.
In a series of academic publications, Edward Nelson has contended that from the 1950s until the late 1970s, UK policymakers failed to recognise the primacy of monetary policy in controlling inflation. He argues that the highwater mark of monetary policy neglect occurred in the 1970s. This thesis has been rejected by Duncan Needham who has explored several experiments with monetary policy from the late 1960s and challenged the assertion that the authorities neglected monetary policy during the 1970s. Drawing on evidence from the archives and other sources, this article documents how the UK authorities wrestled with monetary policy following the 1967 devaluation of sterling. Excessive broad money growth during the early 1970s was followed by the highest level of peacetime inflation by 1975. The article shows that despite the experiments with monetary policy, a nonmonetary view of inflation dominated the mindset of policymakers during the first half of the 1970s. In the second half of the 1970s there was a change in emphasis and monetary policy became more prominent in economic policymaking, particularly when money supply targets were introduced. Despite this, the nonmonetary view of inflation dominated the decision processes of policymakers during the 1970s.
Salt works along the Yucatan coasts of Mexico and Belize provide a record of salt production for inland trade during the height of Late Classic Maya civilisation (AD 550–800). At the Paynes Creek Salt Works in Belize, production focused on the creation of salt cakes by boiling brine in pots supported over fires in dedicated salt kitchens. Underwater excavations at the Early Classic (AD 250–550) site of Jay-yi Nah now indicate there was a longer and evolving tradition of salt making in the area, one that initially employed large, incurved bowls to meet local or down-the-line trade needs before inland demand for salt soared.
The paper analyzes family-level wealth inequality and social mobility in Dudelange (Luxembourg) over five generations between 1766 and 1872, a period that saw the end of feudal social relations. While the integration of Luxembourg into the French revolutionary regime produced a reduction in the Gini coefficient for the ownership of land, the social mobility analysis reveals a relative stability of family positions within the land-wealth distribution throughout the period. This shows that family-level transmission mechanisms limit social mobility and strongly advantage those with ancestors owning property wealth, even when there are significant changes in the organization of property relations.
This paper considers the utilisation, appropriation, and renegotiation of colonial knowledge in the form of land and population registers by local litigants in eighteenth-century Dutch colonial Sri Lanka. Using a database compiled from thirty-three civil court cases held before the Landraad rural council of Colombo, I highlight how Lankan litigants frequently used the colonial thombo registers as evidence to have their property recognised. Moreover, I show that these registers were not just utilised but also altered through this process, particularly through the promotion of alternative knowledge in the form of local witness testimonies and ola palm leaf documents during court cases. I subsequently argue that we should reconsider how we view colonial knowledge. Rather than a static, top-down view from a foreign bureaucracy on a colonised society, this knowledge could be appropriated and even altered through the acts of local agents, in turn changing what was known by the colonial state and thus creating a “looping effect” of knowledge production.
At the beginning of the 1970s, college sports were on turbulent ground. “Colleges prepare for the impact of rising costs and more campus unrest,” warned the New York Times. The Los Angeles Times was a bit blunter in its prognosis, reporting that “like housewives everywhere, athletic directors of the nation's colleges [were] having budget trouble.” National Collegiate Athletics Association (NCAA) Executive Director, Walter Byers, warned of “cadres of disgruntled athletes,” demanding rights, money, and control. Byers was also troubled by Title IX, the new educational amendment mandating gender equity in federally funded schools, including in athletic departments. “The possible doom of our collegiate sports is near,” Byers proclaimed. “There is not an athletic department in the country where officials are optimistic,” University of Michigan's Athletic Director (AD), Don Canham, lamented. Norv Richey, University of Oregon's AD concurred, declaring, “The future of intercollegiate athletics are in peril.”
In the late 1990s and early 2000s, fans assembled at stadiums and arenas across the country to witness a recurring spectacular event. They headed toward the local ballpark or arena, not to watch their favorite teams and entertainers perform inside, but rather to witness the implosion of the facilities themselves. As the United States was in the midst of its latest stadium construction boom, a new community ritual took shape: the ceremonial demolition of stadiums that were built in the 1960s and 1970s. Facilities that were once celebrated for their modern designs and conveniences were deemed ugly and obsolete seemingly overnight. Atlanta-Fulton County Stadium, Three Rivers Stadium in Pittsburgh, Riverfront Stadium in Cincinnati, Market Square Arena in Indianapolis, among dozens of other professional stadiums, were demolished in this spectacular fashion (Figure 1). Explosives were strategically placed throughout the abandoned facilities, and fans gathered yards away to watch the buildings burst into gigantic clouds of dust and smoke, the environmental consequences of sending pollutants into the air notwithstanding. Television networks covered the detonations while fans donned team colors, cheered, and shed tears as their beloved community gathering places were blown into oblivion.
This paper examines the identity and origins of Swedish inventors prior to WWI, drawing on the universe of patent records linked to census data. We document that the rise of innovation during Sweden’s industrialization can largely be attributed to a small industrial elite belonging to the upper-tail of the economic, educational, and social status distribution. Analyzing children’s opportunities to become inventors, we show that inventors were disproportionately drawn from privileged family backgrounds. However, innovation was a path to upward mobility for the middle- and working-class children that managed to overcome the barriers to entry.
In the Spanish region of Galicia, immediately north of Portugal, the Bloque Nacionalista Galego (BNG) has achieved unprecedented electoral success, emerging as a prominent nationalist force within the Spanish political landscape. This study analyzes the discursive and performative repertoires employed by Galician nationalism and explores how the prevalent dual national identity in the region shapes these strategies. Reversing Brubaker’s theoretical framework and using framing and visual analysis, we compare the BNG’s strategies during two different institutional settings: its time in government (2005–2009) and its role leading the opposition (2020–2023). The findings reveal the failure of Galician nationalism to nationalize identity when in power, as policies aimed at promoting Galician identity generated a backlash and, ultimately, produced frame dealignment between the nationalists and the Galician people. The new BNG presents a social project based on the defense of Galician interests and the moderation of the nationalist discourse. It successfully accomplishes frame alignment by adapting to the non-conflictive, dual national identity shared by most Galicians while proposing an inclusive political style.
The aim of the article is to analyse, in a diachronic perspective, the street names in today’s Berlin whose bases are geographical names referring to places in contemporary Poland. The analysis reveals a purposeful city-text that supports the nation-building narrative: either by mapping the state’s actual geography at the moment of the name’s bestowal, or by including the territories claimed (literally or metaphorically), beyond the current borders at the time of the naming. However, the degree to which these street names and the intention behind them are decipherable today remains questionable. Once meaningful for their original creators, today they are partly or completely semantically oblique to the general public, as evidenced by their contemporary reception.
Several studies have shown how a system of social classifications influenced the bureaucracy of British India when dealing with Indian society on a day-to-day basis. We know less, however, about how representatives of Indian society engaged such classifications and the information accompanying it to advance their own political agendas. This article examines how the classification of “minorities,” along with data connected to it, impacted discourse of Indian political actors in the early 1930s. The article presents a novel method to analyse first-person speech for themes and information content. It then applies the method to interventions by Indian delegates to the Sub-committee on Minorities of the India Round Table Conference, held in London, 1930–2. The article places the empirical investigation within a conceptual frame inspired by Ian Hacking's “looping effect.” Hacking attempts to capture how those classified negotiate imposed designations to advance agendas beneficial to themselves. The following study shows how Indian delegates engaged minority classification in a variety of ways in their political argumentation. The study also shows how information related to the minority classification was “looped” in speech by Indian actors to advance political claims and consolidate identities.